AllianceBernstein National Municipal Income Fund, Inc.
Top 10 Fixed-Income Holdings
Portfolio %
1) San Francisco Intl Airport Series 2026-2
3.72 %
2) Melissa Independent School District Series 2024-2
2.16 %
3) Commonwealth of Massachusetts Series 2025-2
2.00 %
4) Oklahoma Turnpike Authority Series 2023
1.97 %
5) New York Transportation Development Corp. Series 2024 Zero Coupon, 12/31/54
1.96 %
6) Dallas Independent School District Series 2024-2
1.91 %
7) State of Hawaii Airports System Revenue Series 2025-2
1.87 %
8) City of Atlanta GA Department of Aviation Series 2025-2
1.86 %
9) Worthington City School District Series 2025-2
1.85 %
10) Metropolitan Washington Airports Authority Aviation Revenue Series 2025-2
1.85 %
Sector/Industry Breakdown
Portfolio %
Revenue
Airport
13.65 %
Health Care – Not-for-Profit
11.04 %
Revenue – Miscellaneous
7.51 %
Toll Roads/Transit
5.89 %
Industrial Development – Airline
5.17 %
Prepay Energy
4.63 %
Primary/Secondary Ed. – Public
4.08 %
Higher Education – Private
3.03 %
Port
2.32 %
Industrial Development – Industry
2.01 %
Higher Education – Public
1.77 %
Senior Living
1.53 %
Water & Sewer
0.80 %
Electric Utility
0.58 %
Tobacco Securitization
0.30 %
Primary/Secondary Ed. – Private
0.17 %
SUBTOTAL
64.48 %
Tax Supported
Local G.O.
9.83 %
State G.O.
6.79 %
Special Tax
4.42 %
Local Lease
1.49 %
Assessment District
0.36 %
SUBTOTAL
22.89 %
Guaranteed
10.00 %
Asset-Backed
Housing – Multi-Family
1.36 %
SUBTOTAL
1.36 %
Commercial Mortgage-Backed Securities
Non-Agency Fixed Rate CMBS
0.47 %
Agency CMBS
0.36 %
SUBTOTAL
0.83 %
Cash & Cash Equivalents
Funds and Investment Trusts
0.42 %
SUBTOTAL
0.42 %
Prerefunded/ETM
0.02 %
Total
100.00 %
State Breakdown
Portfolio %
13.63 %
12.22 %
8.31 %
7.93 %
7.87 %
6.26 %
5.84 %
4.19 %
3.70 %
3.38 %
2.85 %
2.59 %
2.36 %
2.01 %
1.96 %
1.87 %
1.55 %
1.31 %
1.31 %
0.97 %
0.92 %
0.76 %
0.76 %
0.69 %
0.68 %
0.54 %
0.52 %
0.45 %
0.36 %
0.35 %
0.35 %
0.35 %
0.24 %
0.20 %
0.16 %
0.13 %
Other
0.43 %
Total Investments
100.00 %
Credit Quality Breakdown
Portfolio %
AAA
10.57 %
AA
41.44 %
A
17.46 %
BBB
17.26 %
BB
7.67 %
B
0.53 %
Not Rated
4.63 %
Pre-refunded Bonds
0.02 %
Short Term Investments
0.42 %
Total
100.00 %
Bonds by Maturity
Portfolio %
Less than 1 Year
0.57 %
1 to 5 Years
0.13 %
5 to 10 Years
2.78 %
10 to 20 Years
13.99 %
20 to 30 Years
63.48 %
More than 30 Years
19.05 %
Other
0.00 %
Total Net Assets
100.00 %
Portfolio Statistics:
AMT Percent:
21.54 %
Average Coupon:
4.77 %
Percentage of Leverage:
Bank Borrowing:
0.00 %
Investment Operations:
0.00 %
Auction Preferred Shares (APS):
0.00 %
Tender Option Bonds:
23.22 %
VMTP Shares:
0.00 %
VRDP Shares:
17.52 %
Total Fund Leverage:
Average Maturity:
12.94 Years
Effective Duration:
11.59 Years
Total Net Assets:
Common Stock Net Asset Value:
Total Number of Holdings:
180
Portfolio Turnover:
56.00 %
* The total percentage of leverage constitutes
in issued and outstanding VRDPs and
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
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
