NYSE - Delayed Quote USD
Invesco Municipal Income Opportunities Trust (OIA)
5.75
0.00
(0.00%)
At close: May 29 at 4:00:02 PM EDT
Breakdown
TTM
2/28/2025
2/29/2024
2/28/2023
2/28/2022
Operating Cash Flow
37,464.19
37,464.19
-32,418.88
27,730.84
24,563.76
Financing Cash Flow
-33,017.32
-33,017.32
32,741.71
-28,604.28
-23,894.27
End Cash Position
4,769.70
4,769.70
322.83
0
873.44
Issuance of Debt
13,420
13,420
80,000
31,580
--
Repayment of Debt
--
--
-28,535
-47,190
-6,420
Repurchase of Capital Stock
-31,420.62
-31,420.62
-583.08
-212.56
--
Free Cash Flow
37,464.19
37,464.19
-32,418.88
27,730.84
24,563.76
2/28/2022 - 9/19/1988
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