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Federated Hermes Premier Municipal Income Fund
FMN
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US Flag

NYSE

130M

Asset Management - Income

11.28USD
Shape-0.06 ( -0.49%)
Market Open
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Relative Strenght

43
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Volume Buzz

-91%
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Earning Acce

No
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Dist 52w H.

10%

Quote Panel

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Updated October 29, 2024
1W -3.47 % 1M -8.85 % 3M -1.79 % 1Y 28.38 %

Key Metrics

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  • Market Cap

    129.75M


  • Shares Outstanding

    11.50M


  • Share in Float


  • Dividende

    0.46


  • Earning Date

    No Data


  • Price Target

    11.2847


  • Average Volume

    48454


  • Beta

    0.536


  • Range

    9.12-12.53


  • Industry

    Asset Management - Income


  • Website

    https://www.federatedinvestors.com/FII/closedendfunds/details/overview.do?basketid=10461


  • Sector

    Financial Services


Fundamentals

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67.13x

P/E Ratio

12.47x

P/S Ratio

0.92x

P/B Ratio

0.6

Debt/Equity

51.1%

Net Margin

$0.5

EPS

How FMN compares to sector?

P/E Ratio

Relative Strength

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FMN

Sector

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Top 5 RS in Group

Symbol

Company

RS

5-Day Perf.

Forecast

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No Data Available

Analyst rating

No Data Available

Last analyst upgrade/downgrade

No Data Available

Earnings GrowthShape

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Current

Estimates

Q2.22

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N/A

-0.33
vs 0.32

Q3.22

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N/A

NA
vs 0.08

Q4.22

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N/A

NA
vs 0.08

Q1.23

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+109%

0.09
vs -1.05

Q2.23

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+120%

0.06
vs -0.33

Q3.23

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N/A

NA
vs NA

Q4.23

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N/A

NA
vs NA

Q1.24

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+77%

0.17
vs 0.09

Q2.24

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N/A

NA
vs 0.06

Q3.24

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N/A

1.54
vs NA

Sales GrowthShape

status-upYoY

Current

Estimates

Q2.22

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-9%

2.4M  vs 2.7M

Q3.22

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-10%

2.3M  vs 2.5M

Q4.22

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-10%

2.3M  vs 2.5M

Q1.23

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+7%

2.6M  vs 2.4M

Q2.23

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+7%

2.6M  vs 2.4M

Q3.23

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+12%

2.5M  vs 2.3M

Q4.23

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+12%

2.5M  vs 2.3M

Q1.24

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+3%

2.7M  vs 2.6M

Q2.24

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+3%

2.7M  vs 2.6M

Q3.24

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-17%

2.1M  vs 2.5M

Return on EquityShape

status-upQoQ

Q3.22

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-3%

-0.03
vs -0.08

Q4.22

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-3%

-0.03
vs -0.03

Q1.23

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+1%

0.01
vs -0.03

Q2.23

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+1%

0.01
vs 0.01

Q3.23

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+1%

0.01
vs 0.01

Q4.23

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+1%

0.01
vs 0.01

Q1.24

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+1%

0.01
vs 0.01

Q2.24

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+1%

0.01
vs 0.01

Institutionnal OwnershipShape

status-upQoQ

Q3.22

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45

45
vs 44

2%

Q4.22

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43

43
vs 45

-4%

Q1.23

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41

41
vs 43

-5%

Q2.23

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45

45
vs 41

10%

Q3.23

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45

45
vs 45

NA

Q4.23

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48

48
vs 45

7%

Q1.24

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46

46
vs 48

-4%

Q2.24

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42

42
vs 46

-9%

Earnings Growth

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