NYSE American - Delayed Quote USD
Eaton Vance California Municipal Income Trust (CEV)
At close: October 31 at 3:54 PM EDT
Breakdown
TTM
11/30/2023
11/30/2022
11/30/2021
11/30/2020
Operating Cash Flow
13,121.98
13,121.98
21,706.83
578.11
7,128.23
Financing Cash Flow
-14,569.36
-14,569.36
-20,256.62
-4,031.90
-3,882.79
End Cash Position
394.32
394.32
1,841.71
391.50
3,845.29
Issuance of Debt
10,800.00
10,800.00
7,600.00
--
1,600.00
Repayment of Debt
-22,340.00
-22,340.00
-23,000.00
--
-1,590.00
Repurchase of Capital Stock
--
--
-1,069.60
--
--
Free Cash Flow
13,121.98
13,121.98
21,706.83
578.11
7,128.23
11/30/2020 - 1/27/1999
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