AllianceBernstein National Municipal Income Fund, Inc.
Top 10 Fixed-Income Holdings
Portfolio %
1) Texas Trnsp Comm 5.00%, 4/01/23
3.48%
2) Wayne State Univ MI Series 2009A 5.00%,
2.60%
11/15/29
3) Washington Fed Hwy Grant Series 2012F
2.51%
5.00%, 9/01/24
4) Metro Atlanta Rapid Tran Auth GA Series
2.14%
2012A 5.00%, 7/01/27
5) Univ of Illinois AGM 5.25%, 10/01/26
1.76%
6) Triborough Brdg & Tunl Auth NY Series 2011A
1.64%
5.00%, 1/01/26
7) Los Angeles CA Dept W&P Pwr Series 2013B
1.59%
5.00%, 7/01/30
8) Texas GO Series 2002A 5.50%, 8/01/41
1.44%
9) New York NY GO Series 2012I 5.00%, 8/01/28
1.41%
10) Coast CA CCD GO AGM 5.00%, 8/01/24
1.38%
Sector/Industry Breakdown
Portfolio %
Revenue
Water & Sewer
9.32%
Revenue - Miscellaneous
8.51%
Toll Roads/Transit
7.69%
Higher Education - Public
4.83%
Airport
4.73%
Electric Utility
4.63%
Health Care - Not-for-Profit
3.18%
Higher Education - Private
2.03%
Industrial Development - Utility
1.82%
Primary/Secondary Ed. - Private
0.89%
Prepay Energy
0.67%
Senior Living
0.66%
Primary/Secondary Ed. - Public
0.41%
SUBTOTAL
49.37%
Tax Supported
Special Tax
14.41%
Local G.O.
11.38%
State G.O.
5.83%
Assessment District
2.70%
Tax-Supported Local Lease
2.01%
State Lease
1.76%
Tax-Supported State Lease
1.43%
SUBTOTAL
39.52%
Insured/Guaranteed
Insured
2.69%
Guaranteed
1.51%
SUBTOTAL
4.20%
Prerefunded/ETM
3.57%
Asset-Backed
Housing - Multi-Family
1.78%
Housing - Single Family
0.60%
SUBTOTAL
2.38%
Cash Equivalents
Investment Companies
0.96%
SUBTOTAL
0.96%
Total
100.00%
State Breakdown
Portfolio %
Texas
18.93%
California
14.91%
New York
13.24%
Florida
6.81%
Illinois
5.50%
Michigan
5.09%
Washington
4.83%
Colorado
3.81%
Louisiana
3.23%
Georgia
2.36%
South Carolina
2.33%
Ohio
1.79%
New Jersey
1.76%
Oregon
1.58%
Hawaii
1.44%
Pennsylvania
1.42%
Alabama
1.22%
Puerto Rico
1.18%
Wisconsin
0.93%
Rhode Island
0.89%
Virginia
0.88%
Arizona
0.87%
Massachusetts
0.74%
Alaska
0.69%
North Carolina
0.63%
Mississippi
0.61%
Tennessee
0.39%
Indiana
0.34%
Missouri
0.33%
Minnesota
0.18%
New Hampshire
0.13%
Other
0.96%
Total Investments
100.00%
Credit Quality Breakdown
Portfolio %
AAA
21.20%
AA
47.80%
A
16.12%
BBB
6.37%
BB
0.28%
B
0.46%
Not Rated
3.24%
Pre-refunded Bonds
3.57%
Short Term Investments
0.96%
Total Investments
100.00%
Bonds By Maturity
Portfolio %
Less than 1 year
2.49%
1 to 5 years
2.82%
5 to 10 years
14.93%
10 to 20 years
72.88%
20 to 30 years
6.88%
More than 30 years
0.00%
Other
0.00%
Total Investments
100.00%
Portfolio Statistics:
AMT Percentage:
8.34%
Average Coupon:
5.43%
Percentage of Leverage:
Bank Borrowing:
0.00%
Investment Operations:
0.00%
Preferred Stock:
38.84%
Tender Option Bonds:
6.86%
Term Asset-Backed Loans Facility (TALF):
0.00%
Total Fund Leverage:
45.70%*
Average Effective Maturity:
6.89 Years
Effective Duration:
5.90 Years
Total Net Assets:
$623.59 Million**
Common Stock Net Asset Value:
$13.27
Number of Holdings:
178
Portfolio Turnover:
28%
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