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BlackRock MuniYield Quality Fund, Inc. MQY · Stock Open BlackRock MuniYield Quality Fund, Inc. in new tab

10.35 USD
P/E
33.39
EPS
0.31
Yield
6.72%
Safety Score
10
P/B
0.83
ROE
2.43
Beta
0.71
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Key Metrics
P/E33.39
EPS0.31
Book Value12.43
Price to Book0.83
Debt/Equity70.40
% Insiders0.073%
Growth
Revenue Growth0.07%
Dividend
Dividend Yield6.72%
Annual dividends0.70 USD
Ex-Div. DateDec. 11, 2026
Payout-134.84%
5y avg Yield5.42%

DCF Valuation

Tweak assumptions to recompute fair value for BlackRock MuniYield Quality Fund, Inc. (MQY)
Currency: USD
DCF Assumptions
Decimal (e.g., 0.10 = 10%). Range allows declines (−50%) to strong growth (+50%).
Decimal (e.g., 0.30 = 30%).
Decimal (e.g., 0.04 = 4%).
Decimal (e.g., 0.20 = 20%).
Percent number (e.g., 3 = 3%).
Percent number (e.g., 10 = 10%).
Percent number (e.g., 5 = 5%).
DCF Result

Fair Value (DCF)
Current Price
Upside
WACC
Terminal PV
Σ PV of FCFs
Note: historical bars show reported FCF (for context); forward bars show PV of projected FCF; if no per-year data, totals are shown.

BlackRock MuniYield Quality Fund, Inc. Logo BlackRock MuniYield Quality Fund, Inc. Analysis (MQY)

United States Financials Official Website Stock

Is BlackRock MuniYield Quality Fund, Inc. a good investment? BlackRock MuniYield Quality Fund, Inc. (MQY) is currently trading at 10.35 USD.

In terms of valuation, the stock trades at a P/E ratio of 33.39. This high multiple suggests investors have priced in significant future growth expectations.

For income investors, BlackRock MuniYield Quality Fund, Inc. pays a dividend yield of 6.72%. With a payout ratio of -135%, the dividend appears sustainable.

Investor FAQ

Does BlackRock MuniYield Quality Fund, Inc. pay a dividend?

Yes, it pays an annual dividend of 0.70 USD (6.72% yield).

What asset class is BlackRock MuniYield Quality Fund, Inc.?

BlackRock MuniYield Quality Fund, Inc. is classified as a Stock. You can compare it against its peer in the "Related Symbols" list.

Company Profile

BlackRock MuniYield Quality Fund, Inc. is a close ended fixed income mutual fund launched by BlackRock, Inc. It is managed by BlackRock Advisors, LLC. The fund invests in fixed income markets. It invests in long-term municipal obligations the interest on which is exempt from federal income taxes. The fund also invests in short-term securities. BlackRock MuniYield Quality Fund, Inc. was formed on July 21, 1992 and is domiciled in United States.

Exchange Ticker
NYQ (United States) MQY
Trades
Dividend Yield
6.72%
5y avg 5.42%
Annual Dividends
0.70USD
Next Ex. Div Date
Dec. 11, 2026
Payout Ratio
-134.84%
Dividend History paid per year (USD)
Historical Dividends
Year Total Dividends
2027
0.42 USD
Aug. 2, 2027 (estimated) 0.0562
July 1, 2027 (estimated) 0.0587
June 1, 2027 (estimated) 0.0611
May 3, 2027 (estimated) 0.0663
April 1, 2027 (estimated) 0.0611
March 1, 2027 (estimated) 0.0604
Feb. 1, 2027 (estimated) 0.0604
2026
0.70 USD
Dec. 22, 2026 0.0580
Dec. 1, 2026 0.0580
Nov. 2, 2026 0.0580
Oct. 1, 2026 0.0580
Sept. 1, 2026 0.0580
Aug. 3, 2026 0.0580
July 1, 2026 0.0580
June 1, 2026 0.0580
May 1, 2026 0.0580
April 1, 2026 0.0580
March 2, 2026 0.0580
Feb. 2, 2026 0.0580
2025
0.70 USD
Dec. 31, 2025 0.0580
Dec. 1, 2025 0.0580
Nov. 3, 2025 0.0580
Oct. 1, 2025 0.0580
Sept. 2, 2025 0.0580
July 31, 2025 0.0580
July 1, 2025 0.0580
June 2, 2025 0.0580
May 1, 2025 0.0580
April 1, 2025 0.0580
March 3, 2025 0.0580
Feb. 3, 2025 0.0580
2024
0.70 USD
Dec. 31, 2024 0.0580
Dec. 2, 2024 0.0580
Nov. 1, 2024 0.0580
Oct. 1, 2024 0.0580
Sept. 3, 2024 0.0580
Aug. 1, 2024 0.0580
July 1, 2024 0.0580
June 3, 2024 0.0580
May 1, 2024 0.0580
April 1, 2024 0.0580
March 1, 2024 0.0580
Feb. 1, 2024 0.0580
2023
0.54 USD
Dec. 29, 2023 0.0583
Dec. 1, 2023 0.0435
Nov. 1, 2023 0.0435
Oct. 2, 2023 0.0435
Sept. 1, 2023 0.0435
July 31, 2023 0.0435
July 3, 2023 0.0435
June 1, 2023 0.0435
May 1, 2023 0.0435
April 3, 2023 0.0435
March 1, 2023 0.0470
Feb. 1, 2023 0.0470
2022
0.68 USD
Dec. 30, 2022 0.0480
Dec. 1, 2022 0.0470
Nov. 1, 2022 0.0470
Oct. 3, 2022 0.0560
Sept. 1, 2022 0.0560
Aug. 1, 2022 0.0560
July 1, 2022 0.0560
June 1, 2022 0.0630
May 2, 2022 0.0630
April 1, 2022 0.0630
March 1, 2022 0.0630
Feb. 1, 2022 0.0630
2021
0.80 USD
Dec. 31, 2021 0.0630
Dec. 1, 2021 0.0630
Nov. 1, 2021 0.0630
Oct. 1, 2021 0.0630
Sept. 1, 2021 0.0630
Aug. 2, 2021 0.0630
July 1, 2021 0.0630
June 1, 2021 0.0630
May 3, 2021 0.1024
April 1, 2021 0.0630
March 1, 2021 0.0630
Feb. 1, 2021 0.0630
2020
0.69 USD
Dec. 31, 2020 0.0630
Dec. 1, 2020 0.0630
Nov. 2, 2020 0.0630
Oct. 1, 2020 0.0600
Sept. 1, 2020 0.0600
Aug. 3, 2020 0.0600
July 1, 2020 0.0600
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
2019
0.66 USD
Dec. 31, 2019 0.0545
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 0.0560
June 3, 2019 0.0560
May 1, 2019 0.0560
April 1, 2019 0.0560
March 1, 2019 0.0560
Feb. 1, 2019 0.0560
2018
0.74 USD
Dec. 31, 2018 0.0782
Dec. 3, 2018 0.0560
Nov. 1, 2018 0.0560
Oct. 1, 2018 0.0560
Sept. 4, 2018 0.0560
Aug. 1, 2018 0.0560
July 2, 2018 0.0630
June 1, 2018 0.0630
May 1, 2018 0.0630
April 2, 2018 0.0630
March 1, 2018 0.0630
Feb. 1, 2018 0.0630
2017
0.86 USD
Dec. 29, 2017 0.0633
Dec. 1, 2017 0.0725
Nov. 1, 2017 0.0725
Oct. 2, 2017 0.0725
Sept. 1, 2017 0.0725
Aug. 1, 2017 0.0725
July 3, 2017 0.0725
June 1, 2017 0.0725
May 1, 2017 0.0725
April 3, 2017 0.0725
March 1, 2017 0.0725
Feb. 1, 2017 0.0725
2016
0.90 USD
Dec. 30, 2016 0.0732
Dec. 1, 2016 0.0725
Nov. 1, 2016 0.0725
Oct. 3, 2016 0.0725
Sept. 1, 2016 0.0725
Aug. 1, 2016 0.0725
July 1, 2016 0.0725
June 1, 2016 0.0765
May 2, 2016 0.0765
April 1, 2016 0.0765
March 1, 2016 0.0800
Feb. 1, 2016 0.0800
2015
0.96 USD
Dec. 31, 2015 0.0800
Dec. 1, 2015 0.0800
Nov. 2, 2015 0.0800
Oct. 1, 2015 0.0800
Sept. 1, 2015 0.0800
Aug. 3, 2015 0.0800
July 1, 2015 0.0800
June 1, 2015 0.0800
May 1, 2015 0.0800
April 1, 2015 0.0800
March 2, 2015 0.0800
Feb. 2, 2015 0.0800
2014
0.96 USD
Dec. 31, 2014 0.0800
Dec. 1, 2014 0.0800
Nov. 3, 2014 0.0800
Oct. 1, 2014 0.0800
Sept. 2, 2014 0.0800
Aug. 1, 2014 0.0800
July 1, 2014 0.0800
June 2, 2014 0.0800
May 1, 2014 0.0800
April 1, 2014 0.0800
March 3, 2014 0.0800
Feb. 3, 2014 0.0800
2013
0.98 USD
Dec. 31, 2013 0.0962
Dec. 2, 2013 0.0800
Nov. 1, 2013 0.0800
Oct. 1, 2013 0.0800
Sept. 3, 2013 0.0800
Aug. 1, 2013 0.0800
July 1, 2013 0.0800
June 3, 2013 0.0800
May 1, 2013 0.0800
April 1, 2013 0.0800
March 1, 2013 0.0800
Feb. 1, 2013 0.0800
2012
0.95 USD
Dec. 31, 2012 0.0800
Dec. 3, 2012 0.0800
Nov. 1, 2012 0.0800
Oct. 1, 2012 0.0800
Sept. 4, 2012 0.0800
Aug. 1, 2012 0.0800
July 2, 2012 0.0800
June 1, 2012 0.0800
May 1, 2012 0.0800
April 2, 2012 0.0800
March 1, 2012 0.0770
Feb. 1, 2012 0.0770
2011
0.93 USD
Dec. 30, 2011 0.0783
Dec. 1, 2011 0.0770
Nov. 1, 2011 0.0770
Oct. 3, 2011 0.0770
Sept. 1, 2011 0.0770
Aug. 1, 2011 0.0770
July 1, 2011 0.0770
June 1, 2011 0.0770
May 2, 2011 0.0770
April 1, 2011 0.0770
March 1, 2011 0.0770
Feb. 1, 2011 0.0770
2010
0.90 USD
Dec. 31, 2010 0.0775
Dec. 1, 2010 0.0770
Nov. 1, 2010 0.0770
Oct. 1, 2010 0.0770
Sept. 1, 2010 0.0770
Aug. 2, 2010 0.0770
July 1, 2010 0.0770
June 1, 2010 0.0745
May 3, 2010 0.0745
April 1, 2010 0.0745
March 1, 2010 0.0695
Feb. 1, 2010 0.0695
2009
0.76 USD
Dec. 31, 2009 0.0695
Dec. 1, 2009 0.0695
Nov. 2, 2009 0.0695
Oct. 1, 2009 0.0695
Sept. 1, 2009 0.0670
Aug. 3, 2009 0.0670
July 1, 2009 0.0670
June 1, 2009 0.0570
May 1, 2009 0.0570
April 1, 2009 0.0570
March 2, 2009 0.0570
Feb. 2, 2009 0.0570
2008
0.68 USD
Dec. 31, 2008 0.0570
Dec. 1, 2008 0.0570
Nov. 3, 2008 0.0570
Oct. 1, 2008 0.0570
Sept. 2, 2008 0.0570
Aug. 1, 2008 0.0570
July 1, 2008 0.0570
June 2, 2008 0.0570
May 1, 2008 0.0570
April 1, 2008 0.0570
March 3, 2008 0.0570
Feb. 1, 2008 0.0570
2007
0.76 USD
Dec. 31, 2007 0.1302
Dec. 3, 2007 0.0570
Nov. 1, 2007 0.0570
Oct. 1, 2007 0.0570
Sept. 4, 2007 0.0570
Aug. 1, 2007 0.0570
July 2, 2007 0.0570
June 1, 2007 0.0570
May 1, 2007 0.0570
April 2, 2007 0.0570
March 1, 2007 0.0570
Feb. 1, 2007 0.0570
2006
0.75 USD
Dec. 28, 2006 0.0570
Nov. 29, 2006 0.0610
Oct. 30, 2006 0.0610
Sept. 28, 2006 0.0610
Aug. 30, 2006 0.0610
July 28, 2006 0.0610
June 29, 2006 0.0610
May 30, 2006 0.0660
April 27, 2006 0.0660
March 30, 2006 0.0660
Feb. 27, 2006 0.0660
Jan. 30, 2006 0.0660
2005
0.95 USD
Dec. 29, 2005 0.0760
Nov. 29, 2005 0.0760
Oct. 28, 2005 0.0760
Sept. 29, 2005 0.0760
Aug. 30, 2005 0.0810
July 28, 2005 0.0810
June 29, 2005 0.0810
May 27, 2005 0.0810
April 28, 2005 0.0810
March 30, 2005 0.0810
Feb. 25, 2005 0.0810
Jan. 28, 2005 0.0810
2004
0.97 USD
Dec. 29, 2004 0.0810
Nov. 29, 2004 0.0810
Oct. 28, 2004 0.0810
Sept. 29, 2004 0.0810
Aug. 30, 2004 0.0810
July 29, 2004 0.0810
June 29, 2004 0.0810
May 27, 2004 0.0810
April 29, 2004 0.0810
March 30, 2004 0.0810
Feb. 26, 2004 0.0810
Jan. 29, 2004 0.0810
2003
0.97 USD
Dec. 30, 2003 0.0810
Nov. 26, 2003 0.0810
Oct. 30, 2003 0.0810
Sept. 29, 2003 0.0810
Aug. 28, 2003 0.0810
July 30, 2003 0.0810
June 27, 2003 0.0810
May 29, 2003 0.0810
April 29, 2003 0.0810
March 28, 2003 0.0810
Feb. 27, 2003 0.0810
Jan. 30, 2003 0.0785
2002
0.92 USD
Dec. 30, 2002 0.0785
Nov. 27, 2002 0.0785
Oct. 30, 2002 0.0785
Sept. 27, 2002 0.0760
Aug. 29, 2002 0.0760
July 30, 2002 0.0760
June 27, 2002 0.0760
May 30, 2002 0.0760
April 29, 2002 0.0760
March 28, 2002 0.0760
Feb. 27, 2002 0.0760
Jan. 30, 2002 0.0755
2001
0.78 USD
Dec. 28, 2001 0.0755
Nov. 29, 2001 0.0755
Oct. 30, 2001 0.0755
Aug. 30, 2001 0.0730
July 30, 2001 0.0697
June 28, 2001 0.0697
May 30, 2001 0.0697
April 27, 2001 0.0678
March 29, 2001 0.0678
Feb. 27, 2001 0.0678
Jan. 30, 2001 0.0678
2000
0.81 USD
Dec. 28, 2000 0.0678
Nov. 29, 2000 0.0678
Oct. 30, 2000 0.0678
Sept. 28, 2000 0.0678
Aug. 30, 2000 0.0678
July 28, 2000 0.0678
June 29, 2000 0.0678
May 30, 2000 0.0678
April 27, 2000 0.0678
March 30, 2000 0.0678
Feb. 28, 2000 0.0678
Jan. 28, 2000 0.0685
1999
0.85 USD
Dec. 30, 1999 0.0685
Nov. 29, 1999 0.0700
Oct. 28, 1999 0.0700
Sept. 29, 1999 0.0725
Aug. 30, 1999 0.0710
July 29, 1999 0.0710
June 29, 1999 0.0710
May 27, 1999 0.0689
April 29, 1999 0.0718
March 30, 1999 0.0665
Feb. 25, 1999 0.0738
Jan. 28, 1999 0.0747
1998
0.88 USD
Dec. 30, 1998 0.0737
Nov. 27, 1998 0.0749
Oct. 29, 1998 0.0720
Sept. 29, 1998 0.0752
Aug. 28, 1998 0.0745
July 30, 1998 0.0721
June 29, 1998 0.0729
May 28, 1998 0.0728
April 29, 1998 0.0750
March 30, 1998 0.0684
Feb. 26, 1998 0.0751
Jan. 29, 1998 0.0747
1997
0.89 USD
Dec. 30, 1997 0.0729
Nov. 26, 1997 0.0746
Oct. 30, 1997 0.0723
Sept. 29, 1997 0.0735
Aug. 28, 1997 0.0749
July 30, 1997 0.0741
June 27, 1997 0.0772
May 29, 1997 0.0724
April 29, 1997 0.0766
March 27, 1997 0.0712
Feb. 27, 1997 0.0770
Jan. 30, 1997 0.0759
1996
0.90 USD
Dec. 30, 1996 0.0739
Nov. 27, 1996 0.0756
Oct. 30, 1996 0.0719
Sept. 27, 1996 0.0762
Aug. 29, 1996 0.0760
July 30, 1996 0.0712
June 27, 1996 0.0758
May 30, 1996 0.0733
April 29, 1996 0.0777
March 28, 1996 0.0743
Feb. 28, 1996 0.0777
Jan. 30, 1996 0.0747
1995
0.37 USD
Dec. 28, 1995 0.0741
Nov. 29, 1995 0.0752
Oct. 30, 1995 0.0709
Sept. 28, 1995 0.0723
Aug. 30, 1995 0.0732
1994
0.80 USD
Oct. 28, 1994 0.0776
Sept. 29, 1994 0.0813
Aug. 30, 1994 0.0814
July 28, 1994 0.0801
June 29, 1994 0.0816
May 27, 1994 0.0739
April 28, 1994 0.0748
March 30, 1994 0.0819
Feb. 25, 1994 0.0834
Jan. 28, 1994 0.0842
1993
1.20 USD
Dec. 30, 1993 0.2960
Nov. 29, 1993 0.0841
Oct. 28, 1993 0.0818
Sept. 29, 1993 0.0856
Aug. 30, 1993 0.0869
July 29, 1993 0.0827
June 29, 1993 0.0830
May 28, 1993 0.0803
April 29, 1993 0.0796
March 30, 1993 0.0786
Feb. 25, 1993 0.0820
Jan. 28, 1993 0.0842
1992
0.37 USD
Dec. 30, 1992 0.0821
Nov. 27, 1992 0.0872
Oct. 29, 1992 0.0779
Sept. 29, 1992 0.1232
Upcoming Dividends
Name Payment Date Status Amount
BlackRock MuniYield Quality Fund, Inc. Dec 22, 2026 Upcoming 0.058 USD
BlackRock MuniYield Quality Fund, Inc. Dec 01, 2026 Upcoming 0.058 USD
BlackRock MuniYield Quality Fund, Inc. Nov 02, 2026 Upcoming 0.058 USD
BlackRock MuniYield Quality Fund, Inc. Oct 01, 2026 Upcoming 0.058 USD
BlackRock MuniYield Quality Fund, Inc. Sep 01, 2026 0.058 USD
BlackRock MuniYield Quality Fund, Inc. Aug 03, 2026 0.058 USD
BlackRock MuniYield Quality Fund, Inc. Jul 01, 2026 0.058 USD
BlackRock MuniYield Quality Fund, Inc. Jun 01, 2026 0.058 USD
BlackRock MuniYield Quality Fund, Inc. May 01, 2026 0.058 USD
BlackRock MuniYield Quality Fund, Inc. Apr 01, 2026 0.058 USD
BlackRock MuniYield Quality Fund, Inc. Mar 02, 2026 0.058 USD
BlackRock MuniYield Quality Fund, Inc. Feb 02, 2026 0.058 USD
BlackRock MuniYield Quality Fund, Inc. Dec 31, 2025 0.058 USD
BlackRock MuniYield Quality Fund, Inc. Dec 01, 2025 0.058 USD
BlackRock MuniYield Quality Fund, Inc. Nov 03, 2025 0.058 USD
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