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Western Asset Muni Partners Fund (MNP)

Western Asset Muni Partners Fund (MNP)
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Fundamentals

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  • Market Capitalization, $K 0
  • Shares Outstanding, K 0
  • Annual Sales, $ -25,151 K
  • Annual Income, $ -26,834 K
  • EBIT $ 0 M
  • EBITDA $ 0 M
  • 60-Month Beta 0.41
  • Price/Sales N/A
  • Price/Cash Flow N/A
  • Price/Book N/A
  • Price/Earnings ttm 0.00
  • Earnings Per Share ttm 0.00
  • Most Recent Earnings N/A on N/A
  • Next Earnings Date N/A
  • Annual Dividend & Yield N/A (0.00%)
  • Most Recent Dividend 0.073 on 09/16/15
  • Sectors:

Price Performance

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Period Period Low Period High Performance
1-Month
10.35 +2.22%
on 10/06/23
11.15 -5.11%
on 09/14/23
-0.53 (-4.77%)
since 09/13/23
3-Month
10.35 +2.22%
on 10/06/23
11.91 -11.17%
on 07/24/23
-1.23 (-10.41%)
since 07/13/23
52-Week
10.35 +2.22%
on 10/06/23
12.99 -18.55%
on 01/31/23
-0.72 (-6.37%)
since 10/13/22

Most Recent Stories

More News
Western Asset Municipal Partners Fund Inc. Announces Financial Position as of February 28, 2023

Western Asset Municipal Partners Fund Inc. (NYSE: MNP) today announced the financial position of the Fund as of February 28, 2023.

MNP : 10.58 (+0.19%)
Western Asset Intermediate Muni Fund Inc., Western Asset Municipal Partners Fund Inc. and Western Asset Managed Municipals Fund Inc. Announce Board Approval of Proposed Merger Plan

Western Asset Intermediate Muni Fund Inc. (NYSE: SBI), Western Asset Municipal Partners Fund Inc. (NYSE: MNP) and Western Asset Managed Municipals Fund Inc. (NYSE: MMU) today announced approval by each...

SBI : 8.02 (unch)
MNP : 10.58 (+0.19%)
MMU : 10.44 (+0.10%)
Legg Mason Partners Fund Advisor, LLC Announces Distributions for the Months of December 2022, January and February 2023

Legg Mason Partners Fund Advisor, LLC announced today that certain closed end funds have declared their distributions for the months of December 2022, January and February 2023.

WDI : 14.78 (+0.61%)
HIX : 4.42 (+0.23%)
HIO : 3.95 (unch)
HYI : 12.16 (+0.16%)
EHI : 6.67 (unch)
GDO : 11.53 (+0.26%)
IGI : 16.66 (+0.30%)
DMO : 12.00 (+0.50%)
SBI : 8.02 (unch)
MMU : 10.44 (+0.10%)
MHF : 7.05 (-0.28%)
MNP : 10.58 (+0.19%)
Western Asset Municipal Partners Fund Inc. Announces Financial Position as of August 31, 2022

Western Asset Municipal Partners Fund Inc. (NYSE: MNP) today announced the financial position of the Fund as of August 31, 2022.

MNP : 10.58 (+0.19%)
Legg Mason Partners Fund Advisor, LLC Announces Distributions for the Months of September, October, and November 2022

Legg Mason Partners Fund Advisor, LLC announced today that certain closed end funds have declared their distributions for the months of September, October, and November 2022.

WDI : 14.78 (+0.61%)
HIX : 4.42 (+0.23%)
HIO : 3.95 (unch)
HYI : 12.16 (+0.16%)
EHI : 6.67 (unch)
GDO : 11.53 (+0.26%)
IGI : 16.66 (+0.30%)
DMO : 12.00 (+0.50%)
SBI : 8.02 (unch)
MMU : 10.44 (+0.10%)
MHF : 7.05 (-0.28%)
MNP : 10.58 (+0.19%)
Legg Mason Partners Fund Advisor, LLC Announces Distributions for the Months of June, July, and August 2022

Legg Mason Partners Fund Advisor, LLC announced today that certain closed end funds have declared their distributions for the months of June, July, and August 2022.

WDI : 14.78 (+0.61%)
HIX : 4.42 (+0.23%)
HIO : 3.95 (unch)
HYI : 12.16 (+0.16%)
EHI : 6.67 (unch)
GDO : 11.53 (+0.26%)
IGI : 16.66 (+0.30%)
DMO : 12.00 (+0.50%)
SBI : 8.02 (unch)
MMU : 10.44 (+0.10%)
MHF : 7.05 (-0.28%)
MNP : 10.58 (+0.19%)
Western Asset Municipal Partners Fund Inc. Announces Financial Position as of February 28, 2022

Western Asset Municipal Partners Fund Inc. (NYSE: MNP) today announced the financial position of the Fund as of February 28, 2022.

MNP : 10.58 (+0.19%)
Legg Mason Partners Fund Advisor, LLC Announces Distributions for the Months of March, April and May 2022

Legg Mason Partners Fund Advisor, LLC announced today that certain closed end funds have declared their distributions for the months of March, April and May 2022.

WDI : 14.78 (+0.61%)
HIX : 4.42 (+0.23%)
HIO : 3.95 (unch)
HYI : 12.16 (+0.16%)
EHI : 6.67 (unch)
GDO : 11.53 (+0.26%)
IGI : 16.66 (+0.30%)
DMO : 12.00 (+0.50%)
SBI : 8.02 (unch)
MMU : 10.44 (+0.10%)
MHF : 7.05 (-0.28%)
MNP : 10.58 (+0.19%)
Legg Mason Partners Fund Advisor, LLC Announces Distributions for the Months of December 2021, January and February 2022

Legg Mason Partners Fund Advisor, LLC announced today that certain closed end funds have declared their distributions for the months of December 2021, January and February 2022.

WDI : 14.78 (+0.61%)
HIX : 4.42 (+0.23%)
HIO : 3.95 (unch)
HYI : 12.16 (+0.16%)
EHI : 6.67 (unch)
GDO : 11.53 (+0.26%)
IGI : 16.66 (+0.30%)
DMO : 12.00 (+0.50%)
SBI : 8.02 (unch)
MMU : 10.44 (+0.10%)
MHF : 7.05 (-0.28%)
MNP : 10.58 (+0.19%)
Western Asset Municipal Partners Fund Inc. Announces Financial Position as of August 31, 2021

Western Asset Municipal Partners Fund Inc. (NYSE: MNP) today announced the financial position of the Fund as of August 31, 2021.

MNP : 10.58 (+0.19%)

Barchart Technical Opinion

The Barchart Technical Opinion rating is a 100% Sell with a Strongest short term outlook on maintaining the current direction.

Long term indicators fully support a continuation of the trend.

See More Share

MNP Dividends

Date Value
09/16/15 $0.0725
08/19/15 $0.0725
07/22/15 $0.0725
06/17/15 $0.0725
05/20/15 $0.0725
04/15/15 $0.0725
03/18/15 $0.0725
02/18/15 $0.0725
01/21/15 $0.0725
12/17/14 $0.0725
11/19/14 $0.0725
10/22/14 $0.0725
09/17/14 $0.0725
08/20/14 $0.0725
07/16/14 $0.0725
06/18/14 $0.0725
05/21/14 $0.0700
04/15/14 $0.0700
03/19/14 $0.0700
02/19/14 $0.0700
01/22/14 $0.0700
12/18/13 $0.0700
11/20/13 $0.0700
10/16/13 $0.0700
09/18/13 $0.0700
08/21/13 $0.0700
07/17/13 $0.0700
06/19/13 $0.0700
05/22/13 $0.0700
04/17/13 $0.0700
03/13/13 $0.0700
02/13/13 $0.0700
01/16/13 $0.0700
12/12/12 $0.1512
11/20/12 $0.0700
10/17/12 $0.0700
09/19/12 $0.0700
08/22/12 $0.0700
07/18/12 $0.0700
06/20/12 $0.0700
05/16/12 $0.0700
04/18/12 $0.0700
03/21/12 $0.0700
02/15/12 $0.0700
01/18/12 $0.0700
12/14/11 $0.0771
11/16/11 $0.0700
10/19/11 $0.0700
09/21/11 $0.0700
08/17/11 $0.0700
07/20/11 $0.0700
06/15/11 $0.0700
05/18/11 $0.0700
04/19/11 $0.0700
03/16/11 $0.0700
02/16/11 $0.0675
01/19/11 $0.0675
12/21/10 $0.0675
11/17/10 $0.0675
10/20/10 $0.0675
09/15/10 $0.0675
08/18/10 $0.0675
07/21/10 $0.0675
06/16/10 $0.0675
05/19/10 $0.0675
04/21/10 $0.0675
03/17/10 $0.0675
02/17/10 $0.0650
01/20/10 $0.0650
12/16/09 $0.0650
11/18/09 $0.0650
10/21/09 $0.0650
09/16/09 $0.0650
08/19/09 $0.0600
07/22/09 $0.0600
06/17/09 $0.0600
05/20/09 $0.0550
04/15/09 $0.0550
03/18/09 $0.0550
02/18/09 $0.0500
01/21/09 $0.0500
12/17/08 $0.0500
11/19/08 $0.0500
10/22/08 $0.0500
09/17/08 $0.0886
08/20/08 $0.0500
07/16/08 $0.0500
06/18/08 $0.0500
05/21/08 $0.0500
04/16/08 $0.0500
03/18/08 $0.0500
02/20/08 $0.0500
01/16/08 $0.0500
12/19/07 $0.0621
11/20/07 $0.0500
10/17/07 $0.0500
09/19/07 $0.0500
08/22/07 $0.0500
07/18/07 $0.0500
06/20/07 $0.0500
05/16/07 $0.0500
04/18/07 $0.0500
03/21/07 $0.0500
02/14/07 $0.0600
01/17/07 $0.0600
12/20/06 $0.0600
11/15/06 $0.0600
10/18/06 $0.0600
09/20/06 $0.0600
08/18/06 $0.0634
07/21/06 $0.0600
06/23/06 $0.0600
05/19/06 $0.0700
04/21/06 $0.0700
03/24/06 $0.0700
02/16/06 $0.0700
01/20/06 $0.0700
12/22/05 $0.0950
11/10/05 $0.0700
10/14/05 $0.0700
09/09/05 $0.0700
08/12/05 $0.0700
07/08/05 $0.0700
06/10/05 $0.0700
05/13/05 $0.0700
04/08/05 $0.0700
03/04/05 $0.0700
02/11/05 $0.0700
01/14/05 $0.0700
12/03/04 $0.1380
11/12/04 $0.0700
10/08/04 $0.0700
09/10/04 $0.0700
08/13/04 $0.0700
07/09/04 $0.0700
06/14/04 $0.0700
05/14/04 $0.0700
04/16/04 $0.0700
03/12/04 $0.0700
02/13/04 $0.0700
01/09/04 $0.0700
12/12/03 $0.0700
11/14/03 $0.0700
10/10/03 $0.0700
09/12/03 $0.0700
08/08/03 $0.0700
07/11/03 $0.0700
06/13/03 $0.0700
05/09/03 $0.0700
04/11/03 $0.0700
03/14/03 $0.0700
02/14/03 $0.0700
01/10/03 $0.0700
12/13/02 $0.0700
11/08/02 $0.0700
10/11/02 $0.0700
09/13/02 $0.0700
08/09/02 $0.0650
07/12/02 $0.0650
06/14/02 $0.0650
05/10/02 $0.0630
04/12/02 $0.0630
03/08/02 $0.0630
02/08/02 $0.0612
01/11/02 $0.0612
12/14/01 $0.0612
11/16/01 $0.0612
10/12/01 $0.0612
08/10/01 $0.0612
07/13/01 $0.0612
06/08/01 $0.0612
05/11/01 $0.0612
04/12/01 $0.0612
03/09/01 $0.0612
02/09/01 $0.0612
01/12/01 $0.0612
12/08/00 $0.0612
11/10/00 $0.0612
10/13/00 $0.0612
09/08/00 $0.0612
08/11/00 $0.0665
07/14/00 $0.0670
06/09/00 $0.0670
05/12/00 $0.0670
04/14/00 $0.0670
03/10/00 $0.0670
02/11/00 $0.0670
01/14/00 $0.0670
12/10/99 $0.0670
11/12/99 $0.0670
10/08/99 $0.0670
09/10/99 $0.0670
08/13/99 $0.0670
07/09/99 $0.0670
06/11/99 $0.0670
05/14/99 $0.0670
04/09/99 $0.0670
03/12/99 $0.0670
02/12/99 $0.0670
01/08/99 $0.0670
12/11/98 $0.0670
11/13/98 $0.0670
10/09/98 $0.0670
09/11/98 $0.0670
08/14/98 $0.0670
07/17/98 $0.0670
06/12/98 $0.0670
05/08/98 $0.0670
04/17/98 $0.0670
03/13/98 $0.0670
02/13/98 $0.0670
01/09/98 $0.0670
12/12/97 $0.0670
11/14/97 $0.0670
10/10/97 $0.0670
09/12/97 $0.0670
08/08/97 $0.0670
06/13/97 $0.0670
05/09/97 $0.0670
04/11/97 $0.0670
03/14/97 $0.0670
02/14/97 $0.0670
01/10/97 $0.0670
12/13/96 $0.0670
11/08/96 $0.0670
10/11/96 $0.0670
09/13/96 $0.0670
08/09/96 $0.0650
07/12/96 $0.0650
06/14/96 $0.0650
05/10/96 $0.0650
04/12/96 $0.0650
03/08/96 $0.0650
02/08/96 $0.0650
01/10/96 $0.0650
12/07/95 $0.0650
11/09/95 $0.0650
10/10/95 $0.0650
09/07/95 $0.0650
08/09/95 $0.0650
07/11/95 $0.0650
06/08/95 $0.0650
05/05/95 $0.0650
04/10/95 $0.0650
03/07/95 $0.0710
02/07/95 $0.0710
01/06/95 $0.0710
12/06/94 $0.0710
11/07/94 $0.0710
10/06/94 $0.0710
09/06/94 $0.0710
08/05/94 $0.0710
07/06/94 $0.0710
06/07/94 $0.0710
05/06/94 $0.0780
04/08/94 $0.0780
03/07/94 $0.0780
02/07/94 $0.0780
01/10/94 $0.0780
12/07/93 $0.0780
11/05/93 $0.0780
10/05/93 $0.2350
09/13/93 $0.0780
08/09/93 $0.0780
07/06/93 $0.0780
06/08/93 $0.0780
05/04/93 $0.0780
04/05/93 $0.8800
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