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Alliancebernstein National Municipal Income Fund
AllianceBernstein National Municipal Income Fund, Inc. RELEASES MONTHLY PORTFOLIO UPDATE
Business
Mar 23 2026
4 min read

AllianceBernstein National Municipal Income Fund, Inc. RELEASES MONTHLY PORTFOLIO UPDATE

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NEW YORK, March 23, 2026 /PRNewswire/ -- AllianceBernstein National Municipal Income Fund, Inc.[NYSE: AFB] (the "Fund") today released its monthly portfolio update as of February 28, 2026.

AllianceBernstein National Municipal Income Fund, Inc.






Top 10 Fixed-Income Holdings


Portfolio %

1) San Francisco Intl Airport Series 2026-2 5.50%, 05/01/55


3.71 %

2) Melissa Independent School District Series 2024-2 4.25%, 02/01/53


2.10 %

3) Commonwealth of Massachusetts Series 2025-2 5.00%, 01/01/54


1.99 %

4) New York Transportation Development Corp. Series 2024 Zero Coupon, 12/31/54


1.97 %

5) Oklahoma Turnpike Authority Series 2023 4.50%, 01/01/53


1.92 %

6) Dallas Independent School District Series 2024-2 4.00%, 02/15/54


1.90 %

7) State of Hawaii Airports System Revenue Series 2025-2 5.50%, 07/01/54


1.84 %

8) Metropolitan Washington Airports Authority Aviation Revenue Series 2025-2 5.50%, 10/01/55


1.84 %

9) Worthington City School District Series 2025-2 5.50%, 12/01/54


1.84 %

10) City of New York NY Series 2023 4.125%, 08/01/53


1.83 %




Sector/Industry Breakdown


Portfolio %

Revenue



Airport


13.53 %

Health Care - Not-for-Profit


11.11 %

Revenue - Miscellaneous


6.94 %

Toll Roads/Transit


5.82 %

Industrial Development - Airline


5.18 %

Prepay Energy


4.78 %

Primary/Secondary Ed. - Public


3.92 %

Higher Education - Private


3.83 %

Port


2.32 %

Industrial Development - Industry


2.00 %

Higher Education - Public


1.77 %

Electric Utility


1.47 %

Senior Living


1.34 %

Water & Sewer


0.80 %

Tobacco Securitization


0.30 %

Primary/Secondary Ed. - Private


0.17 %

SUBTOTAL


65.28 %

Tax Supported



Local G.O.


10.57 %

State G.O.


6.37 %

Special Tax


3.69 %

Local Lease


1.47 %

Assessment District


0.36 %

SUBTOTAL


22.46 %

Guaranteed


9.90 %

Asset-Backed



Housing - Multi-Family


1.02 %

SUBTOTAL


1.02 %

Commercial Mortgage-Backed Securities



Non-Agency Fixed Rate CMBS


0.85 %

SUBTOTAL


0.85 %

Cash & Cash Equivalents



Funds and Investment Trusts


0.47 %

SUBTOTAL


0.47 %

Prerefunded/ETM


0.02 %

Total


100.00 %




State Breakdown


Portfolio %

Texas


12.57 %

California


12.39 %

New York


8.34 %

Florida


7.89 %

Illinois


7.45 %

Massachusetts


6.21 %

Wisconsin


5.83 %

Georgia


4.55 %

Ohio


4.15 %

Pennsylvania


2.82 %

New Hampshire


2.61 %

District of Columbia


2.57 %

Oklahoma


2.31 %

Louisiana


2.28 %

Arizona


2.07 %

Colorado


1.94 %

Michigan


1.90 %

Hawaii


1.84 %

Minnesota


1.30 %

Alabama


0.97 %

Nebraska


0.95 %

Indiana


0.84 %

North Carolina


0.76 %

Virginia


0.76 %

South Carolina


0.69 %

Washington


0.69 %

Tennessee


0.52 %

Maryland


0.37 %

New Jersey


0.35 %

North Dakota


0.35 %

Arkansas


0.34 %

Oregon


0.24 %

Connecticut


0.20 %

Utah


0.18 %

Alaska


0.16 %

South Dakota


0.14 %

Other


0.47 %

Total Investments


100.00 %




Credit Quality Breakdown


Portfolio %

AAA


10.47 %

AA


39.77 %

A


18.76 %

BBB


18.92 %

BB


7.01 %

B


0.54 %

Not Rated


4.04 %

Pre-refunded Bonds


0.02 %

Short Term Investments


0.47 %

Total


100.00 %




Bonds by Maturity


Portfolio %

Less than 1 Year


0.62 %

1 to 5 Years


0.13 %

5 to 10 Years


2.56 %

10 to 20 Years


13.76 %

20 to 30 Years


64.35 %

More than 30 Years


18.58 %

Other


0.00 %

Total Net Assets


100.00 %




Portfolio Statistics:



AMT Percent:


23.81 %

Average Coupon:


5.32 %

Percentage of Leverage:



Bank Borrowing:


0.00 %

Investment Operations:


0.00 %

Auction Preferred Shares (APS):


0.00 %

Tender Option Bonds:


22.83 %

VMTP Shares:


0.00 %

VRDP Shares:


17.22 %

Total Fund Leverage:


40.05%*

Average Maturity:


12.72 Years

Effective Duration:


11.55 Years

Total Net Assets:


$353.27 Million**

Common Stock Net Asset Value:


$12.29

Total Number of Holdings:


176

Portfolio Turnover:


56.00 %




* The total percentage of leverage constitutes 22.83% through the use of tender option bonds, 17.22%



 in issued and outstanding VRDPs and 0.00% 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 $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.



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