PIMCO Municipal Income Fund III (PMX)
7.46
+0.07
(+0.95%)
USD |
NYSE |
May 15, 15:53
PMX 30-Day Average Daily Volume: 126845.0 for May 14, 2024
30-Day Average Daily Volume Chart
Historical 30-Day Average Daily Volume Data
Date | Value |
---|---|
May 14, 2024 | 126845.0 |
May 13, 2024 | 126405.6 |
May 10, 2024 | 126238.9 |
May 09, 2024 | 127057.2 |
May 08, 2024 | 126241.2 |
May 07, 2024 | 125250.6 |
May 06, 2024 | 125387.9 |
May 03, 2024 | 124179.7 |
May 02, 2024 | 122316.8 |
May 01, 2024 | 121949.4 |
April 30, 2024 | 119121.3 |
April 29, 2024 | 119339.2 |
April 26, 2024 | 117765.9 |
April 25, 2024 | 114230.8 |
April 24, 2024 | 108932.6 |
April 23, 2024 | 104382.7 |
April 22, 2024 | 98846.10 |
April 19, 2024 | 93694.03 |
April 18, 2024 | 93684.07 |
April 17, 2024 | 92842.60 |
April 16, 2024 | 92132.33 |
April 15, 2024 | 96005.77 |
April 12, 2024 | 98996.30 |
April 11, 2024 | 105365.3 |
April 10, 2024 | 105430.7 |
Date | Value |
---|---|
April 09, 2024 | 102619.4 |
April 08, 2024 | 102946.4 |
April 05, 2024 | 96208.00 |
April 04, 2024 | 93714.20 |
April 03, 2024 | 90351.10 |
April 02, 2024 | 86476.50 |
April 01, 2024 | 86379.00 |
March 28, 2024 | 85647.57 |
March 27, 2024 | 85086.93 |
March 26, 2024 | 86030.33 |
March 25, 2024 | 85961.53 |
March 22, 2024 | 84370.70 |
March 21, 2024 | 82489.83 |
March 20, 2024 | 86332.37 |
March 19, 2024 | 88678.83 |
March 18, 2024 | 92027.87 |
March 15, 2024 | 92877.47 |
March 14, 2024 | 95530.27 |
March 13, 2024 | 98434.53 |
March 12, 2024 | 98550.80 |
March 11, 2024 | 99372.77 |
March 08, 2024 | 101159.1 |
March 07, 2024 | 102269.9 |
March 06, 2024 | 101744.7 |
March 05, 2024 | 101104.6 |
30-Day Average Daily Volume Range, Past 5 Years
32693.03
Minimum
Jul 23 2021
195908.9
Maximum
Apr 09 2020
83296.78
Average
69804.60
Median
May 26 2023
30-Day Average Daily Volume Benchmarks
PIMCO Municipal Income Fund | 73859.43 |
PIMCO Municipal Income Fund II | 188568.3 |
Eaton Vance Municipal Income Trust | 96025.63 |
Federated Hermes Premier Municipal Income Fund | 15609.83 |
Blackrock Munivest Fund II Inc | 41307.97 |