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MFS VA Municipal Bond B (MBVAX)

Nasdaq - Nasdaq Delayed price. Currency in USD
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10.25-0.01 (-0.10%)
At close: 08:05AM EDT

Performance overview

Morningstar return ratingN/A1
Year-to-date return-0.47%
5-year average return0.09%
Number of years up23
Number of years down7
Best 1-yr total return (8 May 2024)15.15%
Worst 1-yr total return (8 May 2024)N/A
Best 3-yr total return15.15%
Worst 3-yr total return-2.13%

Trailing returns (%) vs. Benchmarks

Time periods longer than one year are annualised.
ReturnMBVAXCategory
YTD-1.59%1.36%
1-month-1.18%0.33%
3-month-1.30%1.72%
1-year1.03%4.41%
3-year-2.33%4.39%
5-year-0.03%2.56%
10-year1.25%3.72%
Last bull market10.15%5.39%
Last bear market-4.24%6.43%

Annual total return (%) history

Year
MBVAXCategory
2024
N/AN/A
2023
5.00%N/A
2022
-10.46%N/A
2021
1.06%N/A
2020
3.62%4.30%
2019
6.05%6.46%
2018
0.39%0.74%
2017
3.32%3.27%
2016
-0.27%0.58%
2015
2.53%2.42%
2014
8.75%10.23%
2013
-6.13%-5.66%
2012
6.38%7.57%
2011
8.80%10.20%
2010
-0.24%1.18%
2009
15.15%19.10%
2008
-6.18%-10.07%
2007
2.23%1.65%
2006
3.36%4.41%
2005
2.68%2.96%
2004
3.56%3.84%
2003
4.68%4.79%
2002
7.97%8.53%
2001
3.36%4.32%
2000
10.13%11.02%
1999
-4.16%-4.34%
1998
4.36%5.51%
1997
8.25%8.94%
1996
0.81%3.51%
1995
16.00%17.03%
1994
-7.45%-6.81%
1993
N/A12.56%

Past quarterly returns (%)

YearQ1Q2Q3Q4
2024-0.41%N/AN/AN/A
20232.29%-0.35%-4.98%8.42%
2022-5.89%-4.24%-4.43%3.95%
2021-0.47%1.68%-0.72%0.58%
2020-1.92%2.63%1.05%1.88%
20192.51%1.82%1.44%0.16%
2018-0.86%0.78%-0.40%0.88%
20171.05%1.53%0.63%0.08%
20161.56%1.94%-0.44%-3.25%
20151.01%-1.08%1.33%1.26%
20143.46%2.56%1.14%1.34%
2013-0.22%-3.83%-2.04%-0.14%
20121.86%1.84%2.08%0.47%
2011-0.51%3.97%3.36%1.76%
20101.13%0.93%2.51%-4.66%
20095.28%3.51%6.40%-0.68%
2008-0.97%0.71%-3.84%-2.18%
20070.55%-0.77%1.45%1.00%
20060.03%-0.14%2.70%0.75%
2005-0.06%2.52%-0.27%0.48%
20041.31%-2.19%3.39%1.08%
20030.98%2.70%-0.13%1.06%
20020.57%3.37%4.35%-0.47%
20011.71%0.44%1.93%-0.74%
20002.95%1.07%1.95%3.83%
19990.40%-2.01%-1.07%-1.53%
19980.70%1.05%2.49%0.06%
1997-0.55%3.25%2.97%2.38%
1996-2.81%0.12%1.88%1.69%
19956.51%1.91%1.89%4.88%
1994-5.95%0.84%-0.17%-2.25%
19930.77%N/AN/AN/A

Rank in category (by total return)

YTD84
1-month47
3-month75
1-year95
3-year86
5-year91

Load adjusted returns

1-year-2.92%
3-year-3.27%
5-year-0.40%
10-year1.25%