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BNY Mellon Municipal Bond Infrastructure Fund, Inc. DMB · Stock Open BNY Mellon Municipal Bond Infrastructure Fund, Inc. in new tab

9.88 USD
P/E
31.81
EPS
0.31
Yield
5.48%
Safety Score
10
P/B
0.82
ROE
2.50
Beta
0.51
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Key Metrics
P/E31.81
EPS0.31
Book Value11.96
Price to Book0.82
Debt/Equity19.31
% Insiders0.444%
Growth
Revenue Growth0.05%
Earnings Growth9.62%
Dividend
Dividend Yield5.48%
Annual dividends0.54 USD
Ex-Div. DateSept. 17, 2026
Payout147.44%
5y avg Yield4.50%

DCF Valuation

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DCF Result

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Current Price
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Terminal PV
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BNY Mellon Municipal Bond Infrastructure Fund, Inc. Logo BNY Mellon Municipal Bond Infrastructure Fund, Inc. Analysis (DMB)

United States Financials Official Website Stock

Is BNY Mellon Municipal Bond Infrastructure Fund, Inc. a good investment? BNY Mellon Municipal Bond Infrastructure Fund, Inc. (DMB) is currently trading at 9.88 USD.

In terms of valuation, the stock trades at a P/E ratio of 31.81. This high multiple suggests investors have priced in significant future growth expectations.

For income investors, BNY Mellon Municipal Bond Infrastructure Fund, Inc. pays a dividend yield of 5.48%. With a payout ratio of 147%, the dividend appears to be under pressure.

Investor FAQ

Does BNY Mellon Municipal Bond Infrastructure Fund, Inc. pay a dividend?

Yes, it pays an annual dividend of 0.54 USD (5.48% yield).

What asset class is BNY Mellon Municipal Bond Infrastructure Fund, Inc.?

BNY Mellon Municipal Bond Infrastructure Fund, Inc. is classified as a Stock. You can compare it against its peer in the "Related Symbols" list.

Company Profile

BNY Mellon Municipal Bond Infrastructure Fund, Inc. is a closed ended fixed income mutual fund launched and managed by BNY Mellon Investment Adviser, Inc. The fund invests in the fixed income markets of the United States. It primarily invests in the tax-exempt investment grade debt obligations issued by or on behalf of states, territories and possessions of the United States and the District of Columbia and their political subdivisions, agencies and instrumentalities, or multistate agencies or authorities, and certain other specified securities. The fund invests its bonds issued by infrastructure sector including transportation, energy and utilities, social infrastructure, water and environment, and other similar public sectors which are rated as BBB- and above by S&P and Fitch and Baa3 and above by Moody's with an effective duration of up to 14 years. It employs fundamental and quantitative analysis with a bottom-up security picking approach by focusing on factors such as the relative value and attractiveness of various sectors and securities to seek to exploit pricing inefficiencies in the municipal bond market, actively trading among various sectors based on their apparent values, general economic and monetary conditions, prevailing interest rates and the condition of the general money market and the municipal bond market, the size of a particular offering, the maturity of the obligation, and the rating of the issue to create its portfolio. The fund was formerly known as Dreyfus Municipal Bond Infrastructure Fund, Inc. BNY Mellon Municipal Bond Infrastructure Fund, Inc. was formed on April 25, 2013 and is domiciled in the United States.

Exchange Ticker
NYQ (United States) DMB
Trades
Dividend Yield
5.48%
5y avg 4.50%
Annual Dividends
0.54USD
Next Ex. Div Date
Sept. 17, 2026
Payout Ratio
147.44%
Dividend History paid per year (USD)
Historical Dividends
Year Total Dividends
2027
0.32 USD
Aug. 2, 2027 (estimated) 0.0438
July 1, 2027 (estimated) 0.0438
June 1, 2027 (estimated) 0.0438
May 3, 2027 (estimated) 0.0368
April 1, 2027 (estimated) 0.0368
March 1, 2027 (estimated) 0.0368
Feb. 1, 2027 (estimated) 0.0368
Jan. 4, 2027 (estimated) 0.0368
2026
0.53 USD
Dec. 1, 2026 (estimated) 0.0368
Nov. 2, 2026 (estimated) 0.0333
Oct. 1, 2026 0.0500
Sept. 1, 2026 0.0500
Aug. 3, 2026 0.0500
July 1, 2026 0.0500
June 1, 2026 0.0500
May 1, 2026 0.0420
April 1, 2026 0.0420
March 2, 2026 0.0420
Feb. 2, 2026 0.0420
Jan. 2, 2026 0.0420
2025
0.42 USD
Dec. 1, 2025 0.0420
Nov. 3, 2025 0.0380
Oct. 1, 2025 0.0380
Sept. 2, 2025 0.0380
Aug. 1, 2025 0.0380
July 1, 2025 0.0380
June 2, 2025 0.0380
May 1, 2025 0.0300
April 1, 2025 0.0300
March 3, 2025 0.0300
Feb. 3, 2025 0.0300
Jan. 2, 2025 0.0300
2024
0.36 USD
Dec. 2, 2024 0.0300
Nov. 1, 2024 0.0300
Oct. 1, 2024 0.0300
Sept. 3, 2024 0.0300
Aug. 1, 2024 0.0300
July 1, 2024 0.0300
June 3, 2024 0.0300
May 1, 2024 0.0300
April 1, 2024 0.0300
March 1, 2024 0.0300
Feb. 1, 2024 0.0300
Jan. 2, 2024 0.0300
2023
0.47 USD
Dec. 1, 2023 0.0300
Nov. 1, 2023 0.0400
Oct. 2, 2023 0.0400
Sept. 1, 2023 0.0400
Aug. 1, 2023 0.0400
July 3, 2023 0.0400
June 1, 2023 0.0400
May 1, 2023 0.0400
April 3, 2023 0.0400
March 1, 2023 0.0400
Feb. 1, 2023 0.0400
Jan. 3, 2023 0.0400
2022
0.62 USD
Dec. 1, 2022 0.0400
Nov. 1, 2022 0.0530
Oct. 3, 2022 0.0530
Sept. 1, 2022 0.0530
Aug. 1, 2022 0.0530
July 1, 2022 0.0530
June 1, 2022 0.0530
May 2, 2022 0.0530
April 1, 2022 0.0530
March 1, 2022 0.0530
Feb. 1, 2022 0.0530
Jan. 3, 2022 0.0530
2021
0.64 USD
Dec. 1, 2021 0.0530
Nov. 1, 2021 0.0530
Oct. 1, 2021 0.0530
Sept. 1, 2021 0.0530
Aug. 2, 2021 0.0530
July 1, 2021 0.0530
June 1, 2021 0.0530
May 3, 2021 0.0530
April 1, 2021 0.0530
March 1, 2021 0.0530
Feb. 1, 2021 0.0530
Jan. 4, 2021 0.0530
2020
0.64 USD
Dec. 1, 2020 0.0530
Nov. 2, 2020 0.0530
Oct. 1, 2020 0.0530
Sept. 1, 2020 0.0530
Aug. 3, 2020 0.0530
July 1, 2020 0.0530
June 1, 2020 0.0530
May 1, 2020 0.0530
April 1, 2020 0.0530
March 2, 2020 0.0530
Feb. 3, 2020 0.0530
Jan. 2, 2020 0.0530
2019
0.64 USD
Dec. 2, 2019 0.0530
Nov. 1, 2019 0.0530
Oct. 1, 2019 0.0530
Sept. 3, 2019 0.0530
Aug. 1, 2019 0.0530
July 1, 2019 0.0530
June 3, 2019 0.0530
May 1, 2019 0.0530
April 1, 2019 0.0530
March 1, 2019 0.0530
Feb. 1, 2019 0.0530
Jan. 2, 2019 0.0530
2018
0.64 USD
Dec. 3, 2018 0.0530
Nov. 1, 2018 0.0530
Oct. 1, 2018 0.0530
Sept. 4, 2018 0.0530
Aug. 1, 2018 0.0530
July 2, 2018 0.0530
June 1, 2018 0.0530
May 1, 2018 0.0530
April 2, 2018 0.0530
March 1, 2018 0.0530
Feb. 1, 2018 0.0530
Jan. 2, 2018 0.0530
2017
0.64 USD
Dec. 1, 2017 0.0530
Nov. 1, 2017 0.0530
Oct. 2, 2017 0.0530
Sept. 1, 2017 0.0530
Aug. 1, 2017 0.0530
July 3, 2017 0.0530
June 1, 2017 0.0530
May 1, 2017 0.0530
April 3, 2017 0.0530
March 1, 2017 0.0530
Feb. 1, 2017 0.0530
Jan. 3, 2017 0.0530
2016
0.75 USD
Dec. 1, 2016 0.0530
Nov. 1, 2016 0.0630
Oct. 3, 2016 0.0630
Sept. 1, 2016 0.0630
Aug. 1, 2016 0.0630
July 1, 2016 0.0630
June 1, 2016 0.0630
May 2, 2016 0.0630
April 1, 2016 0.0630
March 1, 2016 0.0630
Feb. 1, 2016 0.0630
Jan. 4, 2016 0.0630
2015
0.76 USD
Dec. 1, 2015 0.0630
Nov. 2, 2015 0.0630
Oct. 1, 2015 0.0630
Sept. 1, 2015 0.0630
Aug. 3, 2015 0.0630
July 1, 2015 0.0630
June 1, 2015 0.0630
May 1, 2015 0.0630
April 1, 2015 0.0630
March 2, 2015 0.0630
Feb. 2, 2015 0.0630
Jan. 2, 2015 0.0630
2014
0.76 USD
Dec. 1, 2014 0.0630
Nov. 3, 2014 0.0630
Oct. 1, 2014 0.0630
Sept. 2, 2014 0.0630
Aug. 1, 2014 0.0630
July 1, 2014 0.0630
June 2, 2014 0.0630
May 1, 2014 0.0630
April 1, 2014 0.0630
March 3, 2014 0.0630
Feb. 3, 2014 0.0630
Jan. 2, 2014 0.0630
2013
0.32 USD
Dec. 2, 2013 0.0630
Nov. 1, 2013 0.0630
Oct. 1, 2013 0.0630
Sept. 3, 2013 0.0630
Aug. 1, 2013 0.0630
Upcoming Dividends
Name Payment Date Status Amount
BNY Mellon Municipal Bond Infrastructure Fund, Inc. Oct 01, 2026 Upcoming 0.05 USD
BNY Mellon Municipal Bond Infrastructure Fund, Inc. Sep 01, 2026 0.05 USD
BNY Mellon Municipal Bond Infrastructure Fund, Inc. Aug 03, 2026 0.05 USD
BNY Mellon Municipal Bond Infrastructure Fund, Inc. Jul 01, 2026 0.05 USD
BNY Mellon Municipal Bond Infrastructure Fund, Inc. Jun 01, 2026 0.05 USD
BNY Mellon Municipal Bond Infrastructure Fund, Inc. May 01, 2026 0.042 USD
BNY Mellon Municipal Bond Infrastructure Fund, Inc. Apr 01, 2026 0.042 USD
BNY Mellon Municipal Bond Infrastructure Fund, Inc. Mar 02, 2026 0.042 USD
BNY Mellon Municipal Bond Infrastructure Fund, Inc. Feb 02, 2026 0.042 USD
BNY Mellon Municipal Bond Infrastructure Fund, Inc. Jan 02, 2026 0.042 USD
BNY Mellon Municipal Bond Infrastructure Fund, Inc. Dec 01, 2025 0.042 USD
BNY Mellon Municipal Bond Infrastructure Fund, Inc. Nov 03, 2025 0.038 USD
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