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25.08.2017 22:06:00

AllianceBernstein National Municipal Income Fund Releases Monthly Portfolio Update

NEW YORK, Aug. 25, 2017 /PRNewswire/ -- AllianceBernstein National Municipal Income Fund, Inc.[NYSE: AFB] (the "Fund") today released its monthly portfolio update as of July 31,2017.










AllianceBernstein National Municipal Income Fund, Inc.


























Top 10 Fixed-Income Holdings


Portfolio %







1) Metropolitan Transportation Authority  (Metropolitan Transportation Authority Ded Tax) 
Series 2016A  5.25%, 11/15/35

2.51%







2) State of Connecticut Special Tax Revenue   
Series 2012  5.00%, 1/01/29

2.27%







3) Massachusetts School Building Authority  (Massachusetts School Building Authority Sales Tax) 
Series 2011B  5.00%, 10/15/32

2.16%







4) Los Angeles Department of Water & Power PWR   
Series 2013B  5.00%, 7/01/30

1.72%







5) City of New York NY   
Series 2012I  5.00%, 8/01/28

1.48%







6) Miami Beach Health Facilities Authority  (Mount Sinai Medical Center of Florida, Inc.) 
Series 2014  5.00%, 11/15/39

1.46%







7) City of Orlando FL   
Series 2014A  5.00%, 11/01/44 (Prerefunded/ETM)

1.37%







8) Wayne State University   
Series 2009A  5.00%, 11/15/29

1.35%







9) Chicago O'Hare International Airport   
Series 2016B  5.00%, 1/01/41

1.32%







10) Port Authority of New York & New Jersey   
Series 2014-186  5.00%, 10/15/44

1.31%
















Sector/Industry Breakdown


Portfolio %







Revenue









Toll Roads/Transit


10.67%







Health Care - Not-for-Profit


9.52%







Airport


9.49%







Revenue - Miscellaneous


5.75%







Higher Education - Public


5.57%







Electric Utility


4.04%







Water & Sewer


3.67%







Port


1.49%







Prepay Energy


0.70%







Primary/Secondary Ed. - Public


0.56%







Senior Living


0.40%







Higher Education - Private


0.18%







SUBTOTAL


52.04%







Tax Supported









Special Tax


16.87%







State G.O.


7.25%







Local G.O.


7.21%







Tax-Supported State Lease


2.58%







Tax-Supported Local Lease


1.16%







SUBTOTAL


35.07%







Prerefunded/ETM


11.18%







Cash Equivalents









Investment Companies


0.92%







SUBTOTAL


0.92%







Insured/Guaranteed









Guaranteed


0.79%







SUBTOTAL


0.79%







Total


100.00%
















State Breakdown


Portfolio %







New York


16.56%







California


15.25%







Texas


9.41%







Pennsylvania


6.46%







Illinois


6.03%







Florida


6.02%







Connecticut


5.86%







New Jersey


5.86%







Michigan


5.41%







Massachusetts


2.58%







Hawaii


1.75%







Alabama


1.59%







Washington


1.58%







Kentucky


1.41%







North Carolina


1.40%







Colorado


1.25%







Tennessee


1.18%







Louisiana


1.12%







Maryland


1.06%







District of Columbia


1.03%







Oregon


0.83%







South Carolina


0.81%







Georgia


0.79%







Utah


0.75%







Arizona


0.70%







Indiana


0.64%







Minnesota


0.45%







Arkansas


0.32%







Missouri


0.30%







Ohio


0.30%







Oklahoma


0.27%







Wisconsin


0.11%







Other


0.92%







Total Investments


100.00%
















Credit Quality Breakdown


Portfolio %







AAA


7.82%







AA


41.52%







A


25.68%







BBB


11.30%







B


0.28%







CCC


0.45%







Not Rated


0.85%







Pre-refunded Bonds


11.18%







Short-Term Investments


0.92%







Total Investments


100.00%
















Bonds By Maturity


Portfolio %







Less than 1 year


1.28%







1 to 5 years


1.03%







5 to 10 years


10.70%







10 to 20 years


65.49%







20 to 30 years


21.50%







More Than 30 years


0.00%







Other


0.00%







Total Investments


100.00%
















Portfolio Statistics:









AMT Percent:


10.33%







Average Coupon:


5.15%







Percentage of Leverage:









Bank Borrowing:


0.00%







Investment Operations:


0.86%







Auction Preferred Shares (APS):


14.02%







Tender Option Bonds:


3.99%







Variable Rate MuniFund Term Preferred Shares (VMTPs):

21.47%







Total Fund Leverage:


40.34%*







Average Effective Maturity:


6.76  Years







Effective Duration:


5.25  Years







Total Net Assets:


$522.37 Million**







Common Stock Net Asset Value:


$14.97







Number of Holdings:


170







Portfolio Turnover:


14%
















* The total percentage of leverage constitutes 3.99% through the use of tender option bonds, 14.02% in issued and outstanding APS,21.47%  in issued and outstanding VMTPs and 0.860% in investment operations, which may include the use of certain portfolio management techniques such as credit default swaps, dollar rolls, negative cash, reverse repurchase agreements and when-issued securities.










** Includes $92,125,000 of APS at liquidation value.The Fund also had outstanding $141,100,000 of VMTPs at liquidation value, which is not included in Total Net Assets because it is treated as a liability for financial reporting purposes.


 

The foregoing portfolio characteristics are as of the date indicated and can be expected to change. The Fund is a closed-end U.S.-registered management investment company advised by AllianceBernstein L. P.

View original content:http://www.prnewswire.com/news-releases/alliancebernstein-national-municipal-income-fund-releases-monthly-portfolio-update-300509793.html

SOURCE AllianceBernstein National Municipal Income Fund, Inc.

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