AllianceBernstein National Municipal Income Fund, Inc. RELEASES MONTHLY PORTFOLIO UPDATE
AllianceBernstein National Municipal Income Fund, Inc. RELEASES MONTHLY PORTFOLIO UPDATE
NEW YORK, Oct. 28, 2024 /PRNewswire/ -- AllianceBernstein National Municipal Income Fund, Inc. [NYSE: AFB] (the "Fund") today released its monthly portfolio update as of September 30, 2024.
纽约,2024年10月28日 /美通社/ -- 安联伯恩国家市政收入基金,Inc. [纽交所: AFB] (“基金”)今天发布了截至2024年9月30日的月度投资组合更新。
AllianceBernstein National Municipal Income Fund, Inc. |
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Top 10 Fixed-Income Holdings |
Portfolio % |
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1) Lamar Consolidated Independent School District Series 2024-2 5.00%, 02/15/53 |
2.68 % |
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2) City of New Orleans LA Series 2021-A 5.00%, 12/01/46 |
2.66 % |
|
3) Prosper Independent School District Series 2024 4.00%, 02/15/54 |
2.42 % |
|
4) Greenwood Independent School District Series 2024 4.00%, 02/15/54 |
2.30 % |
|
5) Melissa Independent School District Series 2024-2 4.25%, 02/01/53 |
2.14 % |
|
6) Dallas Independent School District Series 2024-2 4.00%, 02/15/54 |
1.95 % |
|
7) City of New York NY Series 2023 4.125%, 08/01/53 |
1.87 % |
|
8) Public Authority for Colorado Energy Series 2008 6.50%, 11/15/38 |
1.86 % |
|
9) Denton Independent School District Series 2024-2 5.00%, 08/15/48 |
1.81 % |
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10) Commonwealth of Massachusetts Series 2024-2 5.00%, 05/01/53 |
1.80 % |
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Sector/Industry Breakdown |
Portfolio % |
|
Revenue |
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Health Care - Not-for-Profit |
10.95 % |
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Prepay Energy |
7.30 % |
|
Revenue - Miscellaneous |
7.20 % |
|
Airport |
6.20 % |
|
Toll Roads/Transit |
3.26 % |
|
Electric Utility |
2.45 % |
|
Industrial Development - Industry |
2.44 % |
|
Higher Education - Private |
2.29 % |
|
Port |
1.86 % |
|
Tobacco Securitization |
1.85 % |
|
Water & Sewer |
1.81 % |
|
Primary/Secondary Ed. - Public |
1.79 % |
|
Industrial Development - Airline |
1.74 % |
|
Senior Living |
0.96 % |
|
Industrial Development - Utility |
0.51 % |
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SUBTOTAL |
52.61 % |
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Tax Supported |
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Local G.O. |
16.75 % |
|
State G.O. |
6.09 % |
|
Special Tax |
5.62 % |
|
Assessment District |
0.18 % |
|
State Lease |
0.13 % |
|
SUBTOTAL |
28.77 % |
|
Guaranteed |
15.43 % |
|
Prerefunded/ETM |
2.07 % |
|
Asset-Backed |
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Housing - Multi-Family |
0.76 % |
|
SUBTOTAL |
0.76 % |
|
Cash & Cash Equivalents |
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Funds and Investment Trusts |
0.36 % |
|
SUBTOTAL |
0.36 % |
|
Total |
100.00 % |
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State Breakdown |
Portfolio % |
|
Texas |
19.31 % |
|
Illinois |
8.77 % |
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Florida |
7.01 % |
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New York |
6.56 % |
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California |
5.52 % |
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Wisconsin |
4.80 % |
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Michigan |
4.50 % |
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South Carolina |
3.87 % |
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Massachusetts |
3.84 % |
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Pennsylvania |
3.58 % |
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New Jersey |
2.83 % |
|
Louisiana |
2.81 % |
|
Georgia |
2.44 % |
|
Colorado |
2.43 % |
|
Nevada |
2.00 % |
|
Arizona |
1.98 % |
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Washington |
1.89 % |
|
Ohio |
1.88 % |
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Alabama |
1.79 % |
|
Nebraska |
1.60 % |
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Oklahoma |
1.19 % |
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Minnesota |
1.12 % |
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Iowa |
0.97 % |
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Virginia |
0.88 % |
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Indiana |
0.85 % |
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New Hampshire |
0.81 % |
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Utah |
0.77 % |
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North Carolina |
0.76 % |
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Tennessee |
0.60 % |
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North Dakota |
0.43 % |
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Puerto Rico |
0.42 % |
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Maryland |
0.37 % |
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Arkansas |
0.33 % |
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Oregon |
0.22 % |
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Connecticut |
0.19 % |
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Alaska |
0.18 % |
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South Dakota |
0.14 % |
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Other |
0.36 % |
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Total Investments |
100.00 % |
|
Credit Quality Breakdown |
Portfolio % |
|
AAA |
18.69 % |
|
AA |
29.45 % |
|
A |
26.06 % |
|
BBB |
17.39 % |
|
BB |
3.97 % |
|
B |
0.14 % |
|
Not Rated |
1.87 % |
|
Pre-refunded Bonds |
2.07 % |
|
Short Term Investments |
0.36 % |
|
Total |
100.00 % |
|
Bonds by Maturity |
Portfolio % |
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Less than 1 Year |
1.62 % |
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1 To 5 Years |
3.11 % |
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5 To 10 Years |
4.74 % |
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10 To 20 Years |
19.61 % |
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20 To 30 Years |
56.06 % |
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More than 30 Years |
14.86 % |
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Other |
0.00 % |
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Total Net Assets |
100.00 % |
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Portfolio Statistics: |
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AMT Percent: |
14.17 % |
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Average Coupon: |
4.57 % |
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Percentage of Leverage: |
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Bank Borrowing: |
0.00 % |
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Investment Operations: |
1.06 % |
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Auction Preferred Shares (APS): |
0.00 % |
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Tender Option Bonds: |
7.27 % |
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VMTP Shares: |
14.61 % |
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VRDP Shares: |
16.55 % |
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Total Fund Leverage: |
39.49%* |
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Average Maturity: |
10.09 Years |
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Effective Duration: |
8.05 Years |
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Total Net Assets: |
$371.52 Million** |
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Common Stock Net Asset Value: |
$12.92 |
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Total Number of Holdings: |
171 |
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Portfolio Turnover: |
55.00 % |
AllianceBernstein National Municipal Income Fund,Inc.债券型 |
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前十大固定收益持仓 |
组合% |
|
1) Lamar Consolidated Independent School District 2024-2系列 5.00%,02/15/53 |
2.68 % |
|
2) 新奥尔良市2021-A系列 5.00%,12/01/46 |
2.66 % |
|
3) Prosper Independent School District 2024系列 4.00%,02/15/54 |
2.42 % |
|
4) Greenwood Independent School District 2024系列 4.00%,02/15/54 |
2.30 % |
|
5) Melissa Independent School District 2024-2系列 4.25%,02/01/53 |
2.14 % |
|
6) Dallas Independent School District 2024-2系列 4.00%,02/15/54 |
1.95 % |
|
7) 纽约市2023系列4.125%,08/01/53 |
1.87% |
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8) 科罗拉多能源系列2008年6.50%,到期日11/15/38 |
1.86 % |
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9) Denton Independent School District 2024-2系列 5.00%,08/15/48 |
1.81 % |
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10) 马萨诸塞州2024-2系列5.00%,53年5月1日 |
1.80 % |
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板块/行业板块分布 |
组合% |
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营业收入 |
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医疗保健-非营利组织 |
10.95 % |
|
预付能源 |
7.30 % |
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营业收入-杂项 |
7.20 % |
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机场 |
6.20 % |
|
收费公路/公交 |
3.26 % |
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电力公用事业 |
2.45 % |
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工业发展-行业板块 |
2.44% |
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私立高等教育 |
2.29 % |
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港口 |
1.86 % |
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烟草证券化 |
1.85 % |
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自来水和污水处理 |
1.81 % |
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初/中等公共教育 |
1.79 % |
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产业发展-航空公司 |
1.74 % |
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老年生活 |
0.96 % |
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产业发展-公用事业 |
0.51 % |
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小计 |
52.61 % |
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税赞助 |
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当地政府债券 |
16.75 % |
|
州政府债券 |
6.09 % |
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特殊税 |
5.62 % |
|
评估区 |
0.18% |
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州租约 |
0.13 % |
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小计 |
28.77 % |
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保证 |
15.43 % |
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预赎/ETM |
2.07 % |
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资产支持 |
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住房-多户 |
0.76% |
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小计 |
0.76% |
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现金和现金等价物 |
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所有基金类型和投资信托 |
0.36 % |
|
小计 |
0.36 % |
|
总费用 |
100.00% |
|
州份分布 |
组合% |
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得克萨斯州 |
19.31 % |
|
伊利诺伊州 |
8.77 % |
|
(561) |
7.01 % |
|
纽约 |
6.56 % |
|
加利福尼亚州 |
5.52 % |
|
威斯康星州 |
4.80 % |
|
税号38-0593940 |
4.50 % |
|
209-8581 |
3.87% |
|
马萨诸塞州 |
3.84 % |
|
宾夕法尼亚州 |
3.58 % |
|
新泽西州。 |
2.83 % |
|
路易斯安那州 |
2.81 % |
|
乔治亚州 |
2.44% |
|
科罗拉多州 |
2.43 % |
|
内华达 |
2.00 % |
|
Arizona |
1.98 % |
|
华盛顿州 |
1.89% |
|
俄亥俄州 |
1.88 % |
|
阿拉巴马州。 |
1.79 % |
|
内布拉斯加州 |
1.60 % |
|
俄克拉荷马 |
1.19 % |
|
明尼苏达州 |
1.12% |
|
爱荷华州 |
0.97 % |
|
弗吉尼亚州。 |
0.88 % |
|
印第安纳州 |
0.85% |
|
新罕布什尔州 |
0.81 % |
|
犹他州 |
0.77% |
|
北卡罗来纳州 |
0.76% |
|
田纳西州 |
0.60% |
|
北达科他州 |
0.43% |
|
波多黎各 |
0.42 % |
|
马里兰州 |
0.37% |
|
阿肯色州 |
0.33 % |
|
俄勒冈州 |
0.22% |
|
康涅狄格州 |
0.19% |
|
阿拉斯加 |
0.18% |
|
南达科他州 |
0.14% |
|
其他 |
0.36 % |
|
总投资 |
100.00% |
|
信用质量分布 |
组合% |
|
AAA |
18.69 % |
|
AA |
29.45 % |
|
A |
26.06 % |
|
BBB |
17.39 % |
|
BB |
3.97 % |
|
B |
0.14% |
|
未评级 |
1.87% |
|
可赎回债券 |
2.07 % |
|
短期投资 |
0.36 % |
|
总费用 |
100.00% |
|
按到期年限分类的债券 |
组合% |
|
少于1年 |
1.62% |
|
1至5年 |
3.11 % |
|
5至10年 |
4.74 % |
|
10至20年 |
19.61 % |
|
20至30年 |
56.06 % |
|
30年以上 |
14.86 % |
|
其他 |
0.00% |
|
总净资产 |
100.00% |
|
投资组合统计信息: |
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AMt 百分比: |
14.17 % |
|
平均票面利率: |
4.57 % |
|
杠杆比例: |
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银行借款: |
0.00% |
|
投资操作: |
1.06 % |
|
拍卖优先股(APS): |
0.00% |
|
招标选择债券: |
7.27 % |
|
VMTP股份: |
14.61 % |
|
VRDP 股份: |
16.55 % |
|
基金总杠杆率: |
39.49%* |
|
平均到期期限: |
10.09 年 |
|
有效久期: |
8.05 年 |
|
总净资产: |
37152万美元** |
|
普通股净资产价值: |
$12.92 |
|
持股总数: |
171 |
|
组合周转率: |
55.00% |
* The total percentage of leverage constitutes 7.27% through the use of tender option bonds, 14.61% in issued and outstanding VMTPs, 16.55% in issued and outstanding VRDPs and 1.06% 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. |
** The Fund also had outstanding $88,275,000 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 Fund also had outstanding $100,000,000 of VRDPs 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. |
通过使用投标期权债券,发行和流通的VMTP占7.27%,发行和流通的VRDP占14.61%,投资运作中的投资占16.55%,可能包括使用特定的投资组合管理技术,如信用违约掉期、美元卷款、负现金、逆回购协议以及即期证券。 |
**该基金在清算价值上还有优秀的$88,275,000的VMTPs,这个数额没有包括在总净资产里,因为根据财务报告目的,它被视为负债。 |
** 基金还有1亿美元的VRDP未偿还,该负债不包括在总资产净值中,因为它被视为财务报告目的的负债。 |
上述投资组合特征截至指定日期,可能会发生变化。该基金是一家封闭式美国注册的管理投资公司,由AllianceBernstein L. P.提供咨询服务。 |
SOURCE AllianceBernstein National Municipal Income Fund, Inc.
SOURCE AllianceBernstein全国市政收入基金股份有限公司。