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AllianceBernstein National Municipal Income Fund, Inc. RELEASES MONTHLY PORTFOLIO UPDATE
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NEW YORK, July 27, 2026 /PRNewswire/ -- AllianceBernstein National Municipal Income Fund, Inc. [NYSE: AFB] (the "Fund") today released its monthly portfolio update as of June 30, 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



3.70 %

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



2.16 %

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



2.00 %

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



1.98 %

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



1.94 %

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



1.85 %

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



1.84 %

9) City of Atlanta GA Department of Aviation Series 2025-2 5.50%, 07/01/55



1.84 %

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



1.84 %







Sector/Industry Breakdown



Portfolio %

Revenue





Airport



14.61 %

Health Care - Not-for-Profit



10.97 %

Revenue - Miscellaneous



7.02 %

Toll Roads/Transit



5.83 %

Industrial Development - Airline



5.19 %

Prepay Energy



4.37 %

Primary/Secondary Ed. - Public



4.29 %

Higher Education - Private



3.18 %

Port



2.35 %

Industrial Development - Industry



2.03 %

Senior Living



1.85 %

Higher Education - Public



1.76 %

Water & Sewer



0.80 %

Electric Utility



0.58 %

Tobacco Securitization



0.30 %

Primary/Secondary Ed. - Private



0.17 %

SUBTOTAL



65.30 %

Tax Supported





Local G.O.



9.80 %

State G.O.



6.73 %

Special Tax



3.43 %

Local Lease



1.48 %

Assessment District



0.54 %

State Lease



0.27 %

SUBTOTAL



22.25 %

Guaranteed



9.93 %

Asset-Backed





Housing - Multi-Family



1.81 %

SUBTOTAL



1.81 %

Commercial Mortgage-Backed Securities





Non-Agency Fixed Rate CMBS



0.52 %

SUBTOTAL



0.52 %

Cash & Cash Equivalents





Funds and Investment Trusts



0.17 %

SUBTOTAL



0.17 %

Prerefunded/ETM



0.02 %

Total



100.00 %







State Breakdown



Portfolio %

Texas



12.61 %

California



12.01 %

Florida



8.40 %

New York



8.36 %

Illinois



7.82 %

Massachusetts



6.22 %

Wisconsin



5.83 %

Ohio



4.16 %

Georgia



3.67 %

Hawaii



3.65 %

New Hampshire



3.35 %

Pennsylvania



2.83 %

District of Columbia



2.57 %

Oklahoma



2.33 %

Arizona



1.97 %

Colorado



1.95 %

Louisiana



1.39 %

Minnesota



1.29 %

Michigan



1.25 %

Alabama



0.97 %

Nebraska



0.90 %

Utah



0.76 %

Virginia



0.76 %

South Carolina



0.69 %

Washington



0.67 %

Maryland



0.54 %

Indiana



0.52 %

Tennessee



0.52 %

New Jersey



0.36 %

North Dakota



0.35 %

Arkansas



0.34 %

Oregon



0.24 %

Connecticut



0.21 %

Alaska



0.16 %

South Dakota



0.13 %

North Carolina



0.05 %

Other



0.17 %

Total Investments



100.00 %







Credit Quality Breakdown



Portfolio %

AAA



10.50 %

AA



39.56 %

A



17.79 %

BBB



16.70 %

BB



8.01 %

B



0.52 %

Not Rated



6.73 %

Pre-refunded Bonds



0.02 %

Short Term Investments



0.17 %

Total



100.00 %







Bonds by Maturity



Portfolio %

Less than 1 Year



0.31 %

1 to 5 Years



0.13 %

5 to 10 Years



2.54 %

10 to 20 Years



14.63 %

20 to 30 Years



63.85 %

More than 30 Years



18.54 %

Other



0.00 %

Total Net Assets



100.00 %







Portfolio Statistics:





AMT Percent:



22.77 %

Average Coupon:



6.15 %

Percentage of Leverage:





Bank Borrowing:



0.00 %

Investment Operations:



0.31 %

Auction Preferred Shares (APS):



0.00 %

Tender Option Bonds:



22.81 %

VMTP Shares:



0.00 %

VRDP Shares:



17.21 %

Total Fund Leverage:



40.33%*

Average Maturity:



   11.29 Years

Effective Duration:



   10.59 Years

Total Net Assets:



$352.92 Million**

Common Stock Net Asset Value:



$12.28

Total Number of Holdings:



185

Portfolio Turnover:



56.00 %







* The total percentage of leverage constitutes 22.81% through the use of tender option bonds, 17.21%





 in issued and outstanding VRDPs and 0.31% 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.

 

Cision View original content:https://www.prnewswire.com/news-releases/alliancebernstein-national-municipal-income-fund-inc-releases-monthly-portfolio-update-302835501.html

SOURCE AllianceBernstein National Municipal Income Fund, Inc.

Disclaimer:This article represents the opinion of the author only. It does not represent the opinion of Webull, nor should it be viewed as an indication that Webull either agrees with or confirms the truthfulness or accuracy of the information. It should not be considered as investment advice from Webull or anyone else, nor should it be used as the basis of any investment decision.
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