OMB APPROVAL |
||
OMB Number: 3235-0570 Expires: August 31, 2011 Estimated average burden hours per response: 18.9 |
||
1555 Peachtree Street, N.E., Atlanta, Georgia
|
30309 | |
(Address of principal executive offices) | (Zip code) |
MUTUAL FUNDS Van Kampen Municipal Trust (VKQ) |
||
Privacy Notice information on the back. | ||
|
On June 1, 2010, Invesco completed its acqui-sition of Van Kampen Investments and Morgan Stanleys retail asset management business. This Trust was included in that acquisition and as of that date, became Invesco Van Kampen Municipal Trust. Please visit www.invesco.com/transition for more infor-mation or call Invescos Client Services team at 800-959-4246. Invesco Distributors, Inc. |
|
NOT FDIC INSURED
|
OFFER NO BANK GUARANTEE | MAY LOSE VALUE | ||||
NOT INSURED BY ANY FEDERAL GOVERNMENT AGENCY
|
NOT A DEPOSIT | |||||
Municipal
Trust |
||||||||||||
Symbol: VKQ | ||||||||||||
Average Annual |
Based on |
Based on |
||||||||||
Total Returns | NAV | Market Price | ||||||||||
Since Inception (9/27/91) | 6.23 | % | 6.32 | % | ||||||||
10-year | 5.83 | 7.10 | ||||||||||
5-year | 2.30 | 5.81 | ||||||||||
1-year | 26.79 | 27.88 | ||||||||||
6-month | 6.65 | 10.88 | ||||||||||
Barclays Capital
Municipal |
|||||||||||||||||||
Based on NAV | Based on Market Price | Bond Index | |||||||||||||||||
6.65 | % | 10.88 | % | 3.68 | % | ||||||||||||||
| Exposure to BBB rated and non-rated bonds was additive to performance. Spreads on these issues tightened during the period, helping them to outperform higher quality issues. |
| Holdings in the health care, industrial development revenue/pollution control revenue (IDR/PCR), and tobacco sectors boosted returns as these sectors outperformed the broad municipal bond market for the period. |
| The portfolios exposure on the long end of the municipal yield curve was also advantageous as longer maturities issues outperformed shorter maturity issues. |
| Exposure to pre-refunded bonds detracted from performance. Pre-refunded bonds are short-maturity securities and therefore underperformed for the period. |
| The portfolios holdings in lease-backed bonds also hindered performance as these issues underperformed essential service bonds. |
Ratings Allocation as of 4/30/10 (Unaudited) | ||||
AAA/Aaa
|
19.7 | % | ||
AA/Aa
|
25.2 | |||
A/A
|
23.9 | |||
BBB/Baa
|
14.9 | |||
BB/Ba
|
1.0 | |||
Non-Rated
|
15.3 | |||
Top Five Sectors as of 4/30/10 (Unaudited) | ||||
Hospital
|
20.6 | % | ||
General Purpose
|
10.1 | |||
Airports
|
6.9 | |||
Bridge, Tunnel & Toll Road
|
6.8 | |||
Life Care
|
5.6 | |||
Summary of Investments by State/Country Classification as of 4/30/10 (Unaudited) | ||||
California
|
13.8 | % | ||
Illinois
|
9.7 | |||
Texas
|
9.6 | |||
Florida
|
8.8 | |||
New York
|
8.4 | |||
Ohio
|
5.4 | |||
New Jersey
|
4.4 | |||
Massachusetts
|
3.0 | |||
Arizona
|
2.9 | |||
Missouri
|
1.9 | |||
Wisconsin
|
1.9 | |||
District of Columbia
|
1.8 | |||
Nevada
|
1.7 | |||
Michigan
|
1.6 | |||
Colorado
|
1.6 | |||
Tennessee
|
1.6 | |||
Indiana
|
1.5 | |||
South Carolina
|
1.5 | |||
Louisiana
|
1.4 | |||
Georgia
|
1.3 | |||
Puerto Rico
|
1.3 | |||
Alabama
|
1.3 | |||
North Carolina
|
1.3 | |||
Kentucky
|
1.3 | |||
Pennsylvania
|
1.1 | |||
Kansas
|
1.1 | |||
Washington
|
1.0 | |||
West Virginia
|
0.9 | |||
Maryland
|
0.9 | |||
Minnesota
|
0.9 | |||
Virginia
|
0.6 | |||
Iowa
|
0.6 | |||
Connecticut
|
0.5 | |||
Alaska
|
0.4 | |||
Oklahoma
|
0.4 | |||
New Hampshire
|
0.4 |
Summary of Investments by State/Country Classification as of 4/30/10 (Unaudited) | ||||
(continued from previous page) | ||||
New Mexico
|
0.4 | |||
North Dakota
|
0.3 | |||
Idaho
|
0.3 | |||
Nebraska
|
0.3 | |||
Wyoming
|
0.3 | |||
Hawaii
|
0.2 | |||
Rhode Island
|
0.2 | |||
Vermont
|
0.1 | |||
Utah
|
0.1 | |||
Guam
|
0.0 | * | ||
Total Investments
|
100.0 | % |
* | Less than 0.01% |
| Thomas Byron, Senior Portfolio Manager, has been responsible for the Trust since 2000. Prior to June 1, 2010, Mr. Byron was associated with Van Kampen Asset Management in an investment management capacity since 1981. |
| Robert J. Stryker, Senior Portfolio Manager, has been responsible for the Trust since 2009. Prior to June 1, 2010, Mr. Stryker was associated with Van Kampen Asset Management in an investment management capacity since 1994. |
| Robert W. Wimmel, Senior Portfolio Manager, has been responsible for the Trust since 2001. Prior to June 1, 2010, Mr. Wimmel was associated with Van Kampen Asset Management in an investment management capacity since 1996. |
Par |
||||||||||||||
Amount |
||||||||||||||
(000) | Description | Coupon | Maturity | Value | ||||||||||
Municipal Bonds 159.2% Alabama 2.1% |
||||||||||||||
$ | 2,150 | Bessemer, AL Governmental Util Svc Corp Wtr Supply Rev Rfdg, Ser A (AGL Insd) (a) | 5.000 | % | 06/01/39 | $ | 2,200,117 | |||||||
3,695 | Gadsden, AL Wts, Ser B (AMBAC Insd) | 5.250 | 08/01/21 | 3,920,764 | ||||||||||
1,300 | Hlthcare Auth for Baptist Hlth AL, Ser A (b) | 6.125 | 11/15/36 | 1,369,914 | ||||||||||
1,725 | Huntsville-Redstone Vlg, AL Spl Care Fac Fin Auth Redstone Vlg Proj | 5.500 | 01/01/43 | 1,309,655 | ||||||||||
1,950 | Selma, AL Indl Dev Brd Rev Gulf Opportunity Zone Intl Paper Co Proj, Ser A | 6.250 | 11/01/33 | 2,011,971 | ||||||||||
10,812,421 | ||||||||||||||
Alaska 0.7% | ||||||||||||||
1,000 | Matanuska-Susitna Boro, AK Ctf Partn Pub Safety Bldg Lease (AGM Insd) | 5.750 | 03/01/16 | 1,003,950 | ||||||||||
3,870 | Northern Tob Sec Corp AK Tob Settlement Rev Asset Bkd, Ser A | 5.000 | 06/01/46 | 2,601,530 | ||||||||||
3,605,480 | ||||||||||||||
Arizona 4.7% | ||||||||||||||
1,425 | Arizona Cap Fac Fin Corp Student Hsg Rev AZ St Univ Proj | 6.250 | 09/01/32 | 1,362,200 | ||||||||||
1,700 | Arizona St Trans Brd Hwy Rev, Ser B | 5.000 | 07/01/25 | 1,876,562 | ||||||||||
2,545 | Arizona St Trans Brd Hwy Rev, Ser B (a) | 5.000 | 07/01/26 | 2,790,414 | ||||||||||
1,650 | Glendale, AZ Indl Dev Auth Rfdg | 5.000 | 12/01/35 | 1,511,978 | ||||||||||
1,750 | Goodyear, AZ McDowell Rd Coml Corridor Impt Dist Impt (AMBAC Insd) | 5.250 | 01/01/32 | 1,751,820 | ||||||||||
2,150 | Maricopa Cnty, AZ Indl Dev Auth Hlth Fac Rev Catholic Hlthcare West, Ser C (b) | 5.000 | 07/01/38 | 2,337,480 | ||||||||||
1,225 | Maricopa Cnty, AZ Pollutn Ctl Corp Pollutn Ctl Rev Rfdg AZ Pub Svc Co, Ser B (b) | 5.500 | 05/01/29 | 1,275,299 | ||||||||||
625 | Navajo Cnty, AZ Pollutn Ctl Corp Rev, Ser C (b) | 5.500 | 06/01/34 | 673,100 | ||||||||||
715 | Navajo Cnty, AZ Pollutn Ctl Corp Rev, Ser E (b) | 5.750 | 06/01/34 | 764,757 | ||||||||||
640 | Phoenix, AZ Indl Dev Auth Ed Rev Career Success Sch Proj | 7.000 | 01/01/39 | 650,694 | ||||||||||
610 | Phoenix, AZ Indl Dev Auth Ed Rev Career Success Sch Proj | 7.125 | 01/01/45 | 622,633 | ||||||||||
2,300 | Pima Cnty, AZ Indl Dev Auth Wtr & Waste Wtr Rev Global Wtr Resh LLC Proj (AMT) | 6.550 | 12/01/37 | 2,262,073 | ||||||||||
2,050 | Salt Riv Proj AZ Agric Impt & Pwr Dist Elec Sys Rev, Ser A (a) | 5.000 | 01/01/28 | 2,219,925 | ||||||||||
4,405 | University of AZ Med Ctr Corp | 5.000 | 07/01/35 | 4,123,476 | ||||||||||
24,222,411 | ||||||||||||||
California 22.4% | ||||||||||||||
4,000 | Anaheim, CA Pub Fin Auth Lease Rev Cap Apprec Sub Pub Impt Proj, Ser C (AGM Insd) | * | 09/01/20 | 2,395,320 | ||||||||||
2,100 | Bay Area Govt Assn CA Rev Tax Alloc CA Redev Pool, Ser A (Syncora Gtd) | 5.250 | 09/01/35 | 1,924,062 |
Par |
||||||||||||||
Amount |
||||||||||||||
(000) | Description | Coupon | Maturity | Value | ||||||||||
California (Continued) | ||||||||||||||
$ | 2,025 | Bay Area Toll Auth CA Toll Brdg Rev San Francisco Bay Area, Ser F-1 | 5.000 | % | 04/01/39 | $ | 2,038,408 | |||||||
2,500 | Bay Area Toll Auth CA Toll Brdg Rev San Francisco Bay Area, Ser F-1 (a) | 5.000 | 04/01/34 | 2,581,625 | ||||||||||
3,975 | Bay Area Toll Auth CA Toll Brdg Rev San Francisco Bay Area, Ser F-1 (a) | 5.000 | 04/01/39 | 4,135,232 | ||||||||||
4,000 | Bay Area Toll Auth CA Toll Brdg Rev San Francisco Bay Area, Ser F-1 (a) | 5.125 | 04/01/39 | 4,163,960 | ||||||||||
800 | Beverly Hills, CA Uni Sch Dist Cap Apprec 2008 Election | * | 08/01/28 | 319,064 | ||||||||||
1,000 | California Hlth Fac Fin Auth Rev Catholic Hlthcare West, Ser A | 6.000 | 07/01/34 | 1,079,620 | ||||||||||
3,000 | California Hsg Fin Agy Rev Home Mtg, Ser G (a) | 4.950 | 08/01/23 | 2,795,070 | ||||||||||
2,000 | California Hsg Fin Agy Rev Home Mtg, Ser G (AMT) (a) | 5.050 | 02/01/29 | 1,851,260 | ||||||||||
6,000 | California Hsg Fin Agy Rev Home Mtg, Ser I (AMT) (a) | 4.800 | 08/01/36 | 4,812,180 | ||||||||||
3,150 | California Hsg Fin Agy Rev Home Mtg, Ser K (AMT) (a) | 5.300 | 08/01/23 | 3,117,240 | ||||||||||
3,700 | California Hsg Fin Agy Rev Home Mtg, Ser K (AMT) (a) | 5.450 | 08/01/28 | 3,591,479 | ||||||||||
1,000 | California Pollutn Ctl Fin Auth Solid Waste Disp Rev Waste Mgmt Inc Proj, Ser B (AMT) | 5.000 | 07/01/27 | 990,840 | ||||||||||
510 | California St (AMBAC Insd) | 5.125 | 10/01/27 | 510,112 | ||||||||||
775 | California St Dept Wtr Res Wtr Rev Cent Vly Proj, Ser AE (a) | 5.000 | 12/01/24 | 854,345 | ||||||||||
975 | California St Dept Wtr Res Wtr Rev Cent Vly Proj, Ser AE (a) | 5.000 | 12/01/25 | 1,071,788 | ||||||||||
975 | California St Dept Wtr Res Wtr Rev Cent Vly Proj, Ser AE (a) | 5.000 | 12/01/26 | 1,063,930 | ||||||||||
575 | California St Dept Wtr Res Wtr Rev Cent Vly Proj, Ser AE (a) | 5.000 | 12/01/27 | 623,674 | ||||||||||
975 | California St Dept Wtr Res Wtr Rev Cent Vly Proj, Ser AE (a) | 5.000 | 12/01/28 | 1,051,898 | ||||||||||
1,900 | California St Econ Recovery Rfdg, Ser A | 5.250 | 07/01/21 | 2,131,059 | ||||||||||
1,995 | California St Pub Wks Brd UCLA Replacement Hosp, Ser A (AGM Insd) | 5.375 | 10/01/20 | 2,068,875 | ||||||||||
5,000 | California St Univ Rev Sys Wide, Ser A (AMBAC Insd) | 5.000 | 11/01/23 | 5,142,200 | ||||||||||
1,150 | California St Var Purp | 5.750 | 04/01/31 | 1,237,975 | ||||||||||
2,615 | California St Vet, Ser CD (AMT) | 4.600 | 12/01/32 | 2,245,213 | ||||||||||
1,000 | California Statewide Cmnty Dev Auth Rev Front Porch Cmnty & Svc, Ser A (c) | 5.125 | 04/01/37 | 883,810 | ||||||||||
1,800 | California Statewide Cmnty Dev Auth Rev Hlth Fac Adventist Hlth, Ser A | 5.000 | 03/01/30 | 1,764,378 |
Par |
||||||||||||||
Amount |
||||||||||||||
(000) | Description | Coupon | Maturity | Value | ||||||||||
California (Continued) | ||||||||||||||
$ | 1,300 | California Statewide Cmnty Dev Auth Rev Kaiser Permanente, Ser A | 5.000 | % | 04/01/19 | $ | 1,406,613 | |||||||
3,805 | California Statewide Cmnty Dev Auth Rev Sutter Hlth, Ser A | 5.000 | 11/15/43 | 3,559,083 | ||||||||||
440 | Daly City, CA Hsg Dev Fin Agy Mobile Home Pk Rev Third Tier Franciscan Rfdg, Ser C | 6.500 | 12/15/47 | 381,555 | ||||||||||
27,810 | Foothill/Eastern Corridor Agy CA Toll Rd Rev Cap Apprec Rfdg | * | 01/15/33 | 5,778,918 | ||||||||||
18,000 | Foothill/Eastern Corridor Agy CA Toll Rd Rev Cap Apprec Rfdg (NATL Insd) | * | 01/15/25 | 6,703,020 | ||||||||||
1,430 | Golden St Tob Sec Corp CA Tob Settlement Rev Asset Bkd Sr, Ser A-1 | 4.500 | 06/01/27 | 1,314,470 | ||||||||||
7,405 | Golden St Tob Sec Corp CA Tob Settlement Rev Asset Bkd Sr, Ser A-1 | 5.750 | 06/01/47 | 5,707,996 | ||||||||||
4,000 | Golden St Tob Sec Corp CA Tob Settlement Rev Enhanced, Ser A | 5.000 | 06/01/45 | 3,661,480 | ||||||||||
5,000 | Golden St Tob Sec Corp CA Tob Settlement Rev Enhanced, Ser A (FGIC Insd) | 5.000 | 06/01/35 | 4,668,200 | ||||||||||
1,000 | Hesperia, CA Pub Fin Auth Rev Redev & Hsg Proj, Ser A (Syncora Gtd) | 5.000 | 09/01/37 | 831,430 | ||||||||||
1,000 | Los Angeles, CA Hbr Dept Rev Rfdg, Ser C | 5.000 | 08/01/31 | 1,037,430 | ||||||||||
1,200 | Los Angeles, CA Uni Sch Dist, Ser D | 5.000 | 07/01/22 | 1,313,472 | ||||||||||
2,500 | Metropolitan Wtr Dist Southn CA Wtrwks Rev Auth, Ser A | 5.000 | 01/01/34 | 2,637,425 | ||||||||||
145 | Morongo Band of Mission Indians CA Enterprise Rev Indians Enterprise Casino, Ser B (c) | 5.500 | 03/01/18 | 137,298 | ||||||||||
1,125 | Palomar Pomerado Hlthcare Dist CA Ctf Partn | 6.750 | 11/01/39 | 1,178,966 | ||||||||||
1,550 | Quechan Indian Tribe Ft Yuma Indian Reservation CA & Govt Proj | 7.000 | 12/01/27 | 1,271,356 | ||||||||||
1,375 | San Bernadino, CA Jt Pwr Fin Auth Alloc Rev Cent City Merged Proj Rfdg, Ser A (AMBAC Insd) | 5.750 | 07/01/20 | 1,468,198 | ||||||||||
1,200 | San Francisco, CA City & Cnty Arpt Commn Intl Arpt Rfdg 2nd, Ser A-4 (AMT) (b) | 6.500 | 05/01/19 | 1,284,360 | ||||||||||
1,000 | San Joaquin Hills, CA Trans Corridor Agy Toll Rd Rev Cap Apprec Rfdg, Ser A (NATL Insd) | * | 01/15/27 | 267,920 | ||||||||||
1,000 | San Joaquin Hills, CA Trans Corridor Agy Toll Rd Rev Cap Apprec Rfdg, Ser A (NATL Insd) | * | 01/15/28 | 247,620 | ||||||||||
4,290 | Tobacco Sec Auth Northn CA Tob Settlement Rev Asset Bkd, Ser A-1 | 5.375 | 06/01/38 | 3,551,262 | ||||||||||
3,050 | Tobacco Sec Auth Northn CA Tob Settlement Rev Asset Bkd, Ser A-1 | 5.500 | 06/01/45 | 2,265,662 | ||||||||||
3,200 | Tobacco Sec Auth Southn CA Tob Settlement Sr, Ser A-1 | 5.000 | 06/01/37 | 2,507,584 |
Par |
||||||||||||||
Amount |
||||||||||||||
(000) | Description | Coupon | Maturity | Value | ||||||||||
California (Continued) | ||||||||||||||
$ | 6,600 | Tobacco Sec Auth Southn CA Tob Settlement Sr, Ser A-1 | 5.125 | % | 06/01/46 | $ | 4,589,904 | |||||||
2,100 | Vernon, CA Elec Sys Rev, Ser A | 5.125 | 08/01/21 | 2,223,228 | ||||||||||
116,439,067 | ||||||||||||||
Colorado 2.6% | ||||||||||||||
350 | Colorado Hlth Fac Auth Hlth & Residential Care Fac Volunteers of Amer Care, Ser A | 5.250 | 07/01/27 | 313,096 | ||||||||||
425 | Colorado Hlth Fac Auth Hlth & Residential Care Fac Volunteers of Amer Care, Ser A | 5.300 | 07/01/37 | 335,091 | ||||||||||
4,875 | Colorado Hlth Fac Auth Rev Catholic Hlth, Ser C-5 (AGM Insd) (a) | 5.000 | 09/01/36 | 4,913,415 | ||||||||||
1,000 | Colorado Hlth Fac Auth Rev Evangelical Lutheran, Ser A | 5.250 | 06/01/34 | 950,170 | ||||||||||
3,700 | Colorado Hlth Fac Auth Rev Hlth Fac Evangelical Lutheran | 5.000 | 06/01/35 | 3,388,608 | ||||||||||
1,125 | Colorado Hlth Fac Auth Rev Hosp Portercare Adventist Hlth (Prerefunded @ 11/15/11) | 6.500 | 11/15/31 | 1,235,363 | ||||||||||
100 | Jefferson Cnty, CO Residential Mtg Rev (d) | 9.000 | 09/01/12 | 118,255 | ||||||||||
340 | Jefferson Cnty, CO Residential Mtg Rev (d) | 11.500 | 09/01/10 | 352,532 | ||||||||||
220 | Jefferson Cnty, CO Residential Mtg Rev (d) | 11.500 | 09/01/11 | 251,324 | ||||||||||
970 | Montezuma Cnty, CO Hosp Dist Hlth Fac Enterprise Hosp Rfdg (e) | 5.900 | 10/01/37 | 827,109 | ||||||||||
1,000 | Platte Riv Pwr Auth CO Pwr Rev, Ser HH | 5.000 | 06/01/26 | 1,095,870 | ||||||||||
13,780,833 | ||||||||||||||
Connecticut 0.8% | ||||||||||||||
2,840 | Connecticut St Spl Oblig Pkg Rev Bradley Intl Arpt, Ser A (ACA Insd) (AMT) | 6.600 | 07/01/24 | 2,702,146 | ||||||||||
1,450 | Hamden, CT Fac Rev EFPRBS Whitney Ctr Proj, Ser B | 6.125 | 01/01/14 | 1,438,850 | ||||||||||
4,140,996 | ||||||||||||||
District of Columbia 2.9% | ||||||||||||||
2,400 | District Columbia Hosp Rev Sibley Mem Hosp | 6.375 | 10/01/34 | 2,572,704 | ||||||||||
700 | District Columbia Hosp Rev Sibley Mem Hosp | 6.500 | 10/01/29 | 766,514 | ||||||||||
775 | District Columbia Wtr & Swr Auth Pub Util Rev Sub Lien Rfdg, Ser A (AGL Insd) (a) | 5.000 | 10/01/29 | 803,536 | ||||||||||
1,575 | District Columbia Wtr & Swr Auth Pub Util Rev Sub Lien Rfdg, Ser A (AGL Insd) (a) | 5.000 | 10/01/34 | 1,609,682 | ||||||||||
4,000 | District Columbia Wtr & Swr Auth Pub Util Rev Sub Lien, Ser A (AGM Insd) | 5.500 | 10/01/41 | 4,198,320 | ||||||||||
5,000 | Metropolitan Washington DC Arpt Auth Sys, Ser A (NATL Insd) (AMT) | 5.125 | 10/01/26 | 5,026,300 | ||||||||||
14,977,056 | ||||||||||||||
Par |
||||||||||||||
Amount |
||||||||||||||
(000) | Description | Coupon | Maturity | Value | ||||||||||
Florida 13.6% | ||||||||||||||
$ | 1,000 | Alachua Cnty, FL Indl Dev Rev North FL Retirement Vlg | 5.250 | % | 11/15/17 | $ | 954,130 | |||||||
1,000 | Alachua Cnty, FL Indl Dev Rev North FL Retirement Vlg | 5.875 | 11/15/36 | 840,490 | ||||||||||
335 | Beacon Lakes, FL Cmnty Dev FL Spl Assmt, Ser A | 6.000 | 05/01/38 | 294,482 | ||||||||||
250 | Beacon Lakes, FL Cmnty Dev FL Spl Assmt Sub, Ser B | 6.200 | 05/01/38 | 211,670 | ||||||||||
1,320 | Brevard Cnty, FL Hlth Fac Auth Residential Care Fac Rev Buena Vida Estates Inc | 6.750 | 01/01/37 | 1,186,178 | ||||||||||
3,380 | Brevard Cnty, FL Hlth Fac Hlth First Inc Proj (NATL Insd) | 5.125 | 04/01/31 | 3,179,465 | ||||||||||
5,000 | Citizens Ppty Ins Corp FL High Risk Sr Sec, Ser A-1 | 5.000 | 06/01/14 | 5,290,700 | ||||||||||
2,200 | Citizens Ppty Ins Corp FL High Risk Sr Sec, Ser A-1 | 5.250 | 06/01/17 | 2,311,188 | ||||||||||
370 | Escambia Cnty, FL Hlth Fac Auth Rev (AMBAC Insd) | 5.950 | 07/01/20 | 377,604 | ||||||||||
5,000 | Florida St Dept Trans Tpk Rev, Ser A (a) | 5.000 | 07/01/29 | 5,190,950 | ||||||||||
1,895 | Gulf Breeze, FL Rev Loc Govt (FGIC Insd) (b) | 5.625 | 12/01/20 | 1,925,225 | ||||||||||
855 | Highlands, FL Cmnty Dev Dist Spl Assmt | 5.550 | 05/01/36 | 437,580 | ||||||||||
975 | Hillsborough Cnty, FL Aviation Auth Rev, Ser A (AGL Insd) (AMT) (a) | 5.375 | 10/01/33 | 984,487 | ||||||||||
2,175 | Hillsborough Cnty, FL Aviation Auth Rev, Ser A (AGL Insd) (AMT) (a) | 5.500 | 10/01/38 | 2,208,582 | ||||||||||
800 | Hillsborough Cnty, FL Indl Dev Auth Pollutn Ctl Rev Hillsborough Cnty IDA Rfdg (AMBAC Insd) (b) | 5.000 | 12/01/34 | 840,088 | ||||||||||
800 | Hillsborough Cnty, FL Indl Dev Auth Pollutn Ctl Rev Tampa Elec, Ser B (b) | 5.150 | 09/01/25 | 866,088 | ||||||||||
3,000 | Hillsborough Cnty, FL Solid Waste & Res Recovery Rev, Ser A (BHAC Insd) (AMT) | 4.500 | 09/01/34 | 2,715,600 | ||||||||||
5,000 | Lakeland, FL Hosp Sys Rev Lakeland Regl Hlth Sys Rfdg | 5.000 | 11/15/26 | 4,951,600 | ||||||||||
5,000 | Lakeland, FL Hosp Sys Rev Lakeland Regl Hlth Sys Rfdg | 5.000 | 11/15/32 | 4,823,000 | ||||||||||
660 | Main Str Cmnty Dev Dist FL Cap Impt Rev, Ser A (Acquired 2/19/08, Cost $660,000) (f) | 6.800 | 05/01/38 | 562,346 | ||||||||||
425 | Main Str Cmnty Dev Dist FL Cap Impt Rev, Ser B (Acquired 2/19/08, Cost $425,000) (f) | 6.900 | 05/01/17 | 400,082 | ||||||||||
1,515 | Miami Beach, FL Stormwtr Rev (NATL Insd) | 5.250 | 09/01/25 | 1,548,118 | ||||||||||
2,700 | Miami-Dade Cnty, FL Aviation Rev Miami Intl Arpt (AGC Insd) (AMT) | 5.375 | 10/01/32 | 2,708,667 | ||||||||||
2,000 | Miami-Dade Cnty, FL Aviation Rev Miami Intl Arpt (NATL Insd) (AMT) | 5.375 | 10/01/25 | 2,010,480 | ||||||||||
5,000 | Miami-Dade Cnty, FL Aviation, Ser A (AGM Insd) (AMT) | 5.125 | 10/01/35 | 4,926,400 |
Par |
||||||||||||||
Amount |
||||||||||||||
(000) | Description | Coupon | Maturity | Value | ||||||||||
Florida (Continued) | ||||||||||||||
$ | 595 | Midtown Miami, FL Cmnty Dev FL Spl Assmt Rev, Ser A | 6.000 | % | 05/01/24 | $ | 573,735 | |||||||
700 | Orange Cnty, FL Hlth Fac Auth Rev First Mtg Orlando Lutheran Tower | 5.500 | 07/01/32 | 575,771 | ||||||||||
930 | Orange Cnty, FL Hlth Fac Auth Rev Hlthcare Orlando Lutheran Rfdg | 5.375 | 07/01/20 | 851,378 | ||||||||||
570 | Overoaks, FL Cmnty Dev Dist Cap Impt Rev, Ser A (g) (i) | 6.125/0.000 | 05/01/35 | 269,536 | ||||||||||
1,100 | Palm Beach Cnty, FL Hlth Fac Auth Rev Wtrford Proj | 5.875 | 11/15/37 | 977,779 | ||||||||||
2,600 | Palm Beach Cnty, FL Solid Waste Auth Rev Impt (BHAC Insd) (a) | 5.500 | 10/01/23 | 2,953,132 | ||||||||||
1,400 | Port Saint Lucie, FL Spl Assmt Rev Southwest Annexation Dist, Ser 1-B (NATL Insd) | 5.000 | 07/01/33 | 1,286,516 | ||||||||||
3,250 | Putnam Cnty, FL Dev Auth Pollutn Ctl Rev Rfdg Seminole Proj, Ser A (AMBAC Insd) (b) | 5.350 | 03/15/42 | 3,491,280 | ||||||||||
585 | Reunion East Cmnty Dev Dist FL Spl Assmt | 5.800 | 05/01/36 | 332,052 | ||||||||||
400 | Seminole Tribe FL Spl Oblig Rev, Ser A (c) | 5.250 | 10/01/27 | 361,664 | ||||||||||
500 | Seminole Tribe FL Spl Oblig Rev, Ser A (c) | 5.750 | 10/01/22 | 487,855 | ||||||||||
905 | Seven Oaks, FL Cmnty Dev Dist II Spl Assmt Rev, Ser A | 5.875 | 05/01/35 | 563,109 | ||||||||||
1,840 | South Vlg Cmnty Dev Dist FL Cap Impt Rev, Ser A | 5.700 | 05/01/35 | 1,272,599 | ||||||||||
800 | Sterling Hill Cmnty Dev Dist FL Cap Impt Rev, Ser A | 6.200 | 05/01/35 | 741,768 | ||||||||||
1,060 | Tallahassee, FL Lease Rev FL St Univ Proj, Ser A (NATL Insd) | 5.500 | 08/01/18 | 1,081,857 | ||||||||||
200 | Tolomato Cmnty, FL Dev Dist Spl Assmt | 6.550 | 05/01/27 | 169,372 | ||||||||||
2,075 | Tolomato Cmnty, FL Dev Dist Spl Assmt | 6.650 | 05/01/40 | 1,662,407 | ||||||||||
1,000 | Volusia Cnty, FL Ed Fac Auth Rev Ed Fac Embry Riddle Aero, Ser A | 5.750 | 10/15/29 | 1,004,620 | ||||||||||
500 | World Comm Cmnty Dev Dist FL Spl Assmt (g) (i) | 5.500/0.000 | 05/01/38 | 194,520 | ||||||||||
70,596,150 | ||||||||||||||
Georgia 2.2% | ||||||||||||||
3,500 | Atlanta, GA Arpt Passenger Fac Charge Rev Gen Sub Lien, Ser C (AGM Insd) (a) | 5.000 | 01/01/33 | 3,539,130 | ||||||||||
1,045 | Atlanta, GA Tax Alloc Beltline Proj, Ser B | 6.750 | 01/01/20 | 1,065,451 | ||||||||||
205 | Atlanta, GA Tax Alloc Beltline Proj, Ser B | 7.375 | 01/01/31 | 207,517 | ||||||||||
1,200 | Atlanta, GA Wtr & Wastewtr Rev, Ser A | 6.000 | 11/01/27 | 1,300,272 | ||||||||||
1,300 | Atlanta, GA Wtr & Wastewtr Rev, Ser A | 6.000 | 11/01/28 | 1,402,479 | ||||||||||
1,200 | Atlanta, GA Wtr & Wastewtr Rev, Ser A | 6.000 | 11/01/29 | 1,288,956 | ||||||||||
1,000 | Augusta, GA Gen Arpt Rev Passenger, Ser B (AMT) | 5.350 | 01/01/28 | 908,030 | ||||||||||
1,500 | Putnam Cnty, GA Dev Auth Pollutn Ctl Rev GA Pwr Co, Ser 1 | 5.100 | 06/01/23 | 1,535,385 | ||||||||||
11,247,220 | ||||||||||||||
Hawaii 0.4% | ||||||||||||||
2,050 | Hawaii St Arpt Sys Rev, Ser A | 5.000 | 07/01/39 | 2,050,676 | ||||||||||
Par |
||||||||||||||
Amount |
||||||||||||||
(000) | Description | Coupon | Maturity | Value | ||||||||||
Idaho 0.5% | ||||||||||||||
$ | 750 | Idaho Hlth Fac Auth Rev Saint Lukes Hlth Sys Proj, Ser A | 6.500 | % | 11/01/23 | $ | 845,970 | |||||||
1,000 | Idaho Hlth Fac Auth Rev Saint Lukes Hlth Sys Proj, Ser A | 6.750 | 11/01/37 | 1,105,430 | ||||||||||
845 | Idaho Hlth Fac Auth Rev Vly Vista Care Corp Rfdg (e) | 6.125 | 11/15/27 | 740,220 | ||||||||||
2,691,620 | ||||||||||||||
Illinois 15.5% | ||||||||||||||
1,000 | Bartlett, IL Tax Increment Rev Sr Lien Quarry Redev Proj Rfdg | 5.600 | 01/01/23 | 844,770 | ||||||||||
2,000 | Bolingbrook, IL Sales Tax Rev Bolingbrook | 6.250 | 01/01/24 | 1,258,640 | ||||||||||
5,775 | Chicago, IL Brd Ed Rfdg, Ser C (AGM Insd) | 5.000 | 12/01/27 | 6,030,492 | ||||||||||
2,000 | Chicago, IL Brd Ed Rfdg, Ser C (AGM Insd) (a) | 5.000 | 12/01/27 | 2,057,880 | ||||||||||
740 | Chicago, IL Increment Alloc Rev Diversey Narragansett Proj | 7.460 | 02/15/26 | 740,829 | ||||||||||
4,000 | Chicago, IL Neighborhoods Alive 21 Pgm, Ser A (FGIC Insd) (Prerefunded @ 7/01/10) | 5.750 | 01/01/40 | 4,076,840 | ||||||||||
5,000 | Chicago, IL OHare Intl Arpt Rev Gen Arpt Third Lien Rfdg, Ser A (NATL Insd) (AMT) | 5.375 | 01/01/32 | 4,952,250 | ||||||||||
3,500 | Chicago, IL OHare Intl Arpt Rev Gen Arpt Third Lien, Ser A (AGC Insd) (a) | 5.250 | 01/01/24 | 3,694,355 | ||||||||||
11,500 | Chicago, IL OHare Intl Arpt Rev Gen Arpt Third Lien, Ser A (AGC Insd) (a) | 5.250 | 01/01/25 | 12,085,120 | ||||||||||
4,000 | Chicago, IL OHare Intl Arpt Rev, Ser A (AGM Insd) (a) | 5.000 | 01/01/33 | 4,091,800 | ||||||||||
465 | Chicago, IL Proj Rfdg, Ser C (NATL Insd) | 5.500 | 01/01/40 | 471,752 | ||||||||||
3,100 | Chicago, IL, Ser A (AGL Insd) (a) | 5.250 | 01/01/25 | 3,374,970 | ||||||||||
80 | Cook Cnty, IL Sch Dist No 107 (d) | 7.000 | 12/01/10 | 83,168 | ||||||||||
545 | Cook Cnty, IL Sch Dist No 107 | 7.000 | 12/01/10 | 565,835 | ||||||||||
982 | Cortland, IL Spl Tax Rev Sheaffer Sys Proj (Acquired 5/02/06, Cost $972,180) (f) | 5.500 | 03/01/17 | 599,226 | ||||||||||
1,000 | Deerfield, IL Ed Fac Chicagoland Jewish High Sch Proj (e) | 6.000 | 05/01/41 | 499,820 | ||||||||||
1,000 | Gilberts, IL Spl Svc Area No 19 Spl Tax The Conservancy Proj, Ser 1 (e) (g) (i) | 5.375/0.000 | 03/01/16 | 550,100 | ||||||||||
900 | Granite City, Madison Cnty IL Disp Rev Waste Mgmt Inc Proj (AMT) (b) | 3.500 | 05/01/27 | 900,342 | ||||||||||
2,725 | Illinois Dev Fin Auth Rev Cmnty Rehab Providers Fac, Ser A | 7.375 | 07/01/25 | 2,755,929 | ||||||||||
1,565 | Illinois Ed Fac Auth Rev DePaul Univ (AMBAC Insd) (Prerefunded @ 10/01/10) | 5.625 | 10/01/15 | 1,615,299 | ||||||||||
1,125 | Illinois Fin Auth Hosp Rev Rfdg Kish Hlth Sys Oblig Group | 5.500 | 10/01/22 | 1,148,490 | ||||||||||
350 | Illinois Fin Auth Rev Christian Homes Inc Rfdg, Ser A | 5.750 | 05/15/31 | 271,026 | ||||||||||
1,000 | Illinois Fin Auth Rev IL Fin Auth Roosevelt Univ | 5.500 | 04/01/37 | 952,790 |
Par |
||||||||||||||
Amount |
||||||||||||||
(000) | Description | Coupon | Maturity | Value | ||||||||||
Illinois (Continued) | ||||||||||||||
$ | 2,825 | Illinois Fin Auth Rev Kewanee Hosp Proj | 5.100 | % | 08/15/31 | $ | 2,235,112 | |||||||
1,000 | Illinois Fin Auth Rev Landing at Plymouth Pl Proj, Ser A | 6.000 | 05/15/25 | 883,280 | ||||||||||
1,350 | Illinois Fin Auth Rev Landing at Plymouth Pl Proj, Ser A | 6.000 | 05/15/37 | 1,102,234 | ||||||||||
2,200 | Illinois Fin Auth Rev Northwestn Mem Hosp, Ser A (a) | 5.375 | 08/15/24 | 2,365,484 | ||||||||||
1,400 | Illinois Fin Auth Rev Northwestn Mem Hosp, Ser A (a) | 5.750 | 08/15/30 | 1,518,314 | ||||||||||
3,500 | Illinois Fin Auth Rev Osf Hlthcare Sys, Ser A | 5.750 | 11/15/37 | 3,512,635 | ||||||||||
1,250 | Illinois Fin Auth Rev Riverside Hlth Sys | 6.250 | 11/15/35 | 1,315,050 | ||||||||||
1,905 | Illinois Fin Auth Rev Rush Univ Med Ctr Oblig Grp, Ser A | 7.250 | 11/01/38 | 2,148,307 | ||||||||||
3,500 | Illinois Fin Auth Rev Sherman Hlth Sys 2007, Ser A | 5.500 | 08/01/37 | 3,179,295 | ||||||||||
725 | Illinois Hlth Fac Auth Rev Evangelical Hosp Rfdg, Ser C (AGM Insd) | 6.750 | 04/15/12 | 781,224 | ||||||||||
250 | Lake Cnty, IL Cmnty Unit Sch Dist No 116 Round Lake (Radian Insd) (d) | 7.600 | 02/01/14 | 306,115 | ||||||||||
2,675 | Metropolitan Pier & Expo Auth IL Dedicated St Tax Rev McCormick Pl Expn, Ser A (NATL Insd) | 5.250 | 06/15/42 | 2,711,728 | ||||||||||
141 | Pingree Grove Vlg, IL Spl Svc Area No 1 Spl Tax Cambridge Lakes Proj, Ser 05 | 5.250 | 03/01/15 | 130,139 | ||||||||||
848 | Volo Vlg, IL Spl Svc Area No 3 Spl Tax Symphony Meadows Proj, Ser 1 | 6.000 | 03/01/36 | 665,349 | ||||||||||
675 | Will Cnty, IL Cmnty Sch Dist No 161 Summit Hill Cap Apprec (FGIC Insd) (d) | * | 01/01/16 | 579,784 | ||||||||||
425 | Will Cnty, IL Cmnty Sch Dist No 161 Summit Hill Cap Apprec (FGIC Insd) (d) | * | 01/01/19 | 314,861 | ||||||||||
1,335 | Will Cnty, IL Cmnty Sch Dist No 161 Summit Hill Cap Apprec (NATL Insd) | * | 01/01/16 | 1,067,693 | ||||||||||
990 | Will Cnty, IL Cmnty Sch Dist No 161 Summit Hill Cap Apprec (NATL Insd) | * | 01/01/19 | 654,548 | ||||||||||
525 | Will-Kankakee Regl Dev Auth IL Multi-Family Hsg Rev Sr Estates Supportive Living (AMT) | 7.000 | 12/01/42 | 466,610 | ||||||||||
991 | Yorkville, IL Utd City Spl Svc Area Spl Tax No 2004-107 Raintree Vlg IL Proj | 6.250 | 03/01/35 | 547,894 | ||||||||||
961 | Yorkville, IL Utd City Spl Svc Area Tax No 2005-108 Autumn Creek IL Proj | 6.000 | 03/01/36 | 728,774 | ||||||||||
80,836,153 | ||||||||||||||
Indiana 2.4% | ||||||||||||||
1,000 | Allen Cnty, IN Juvenile Just Ctr First Mtg (AMBAC Insd) | 5.500 | 01/01/18 | 1,071,460 | ||||||||||
700 | Crown Point, IN Econ Dev Rev Temp Wittenberg Vlg Proj, Ser C-1 | 7.250 | 11/15/14 | 701,491 |
Par |
||||||||||||||
Amount |
||||||||||||||
(000) | Description | Coupon | Maturity | Value | ||||||||||
Indiana (Continued) | ||||||||||||||
$ | 1,440 | Indiana Fin Auth Hosp Rev Deaconess Hosp Oblig, Ser A | 6.750 | % | 03/01/39 | $ | 1,556,136 | |||||||
5,600 | Indiana Hlth & Ed Fac Fin Auth Rev Ascension Hlth Sr Cr B6 (a) | 5.000 | 11/15/36 | 5,684,112 | ||||||||||
1,600 | Indiana St Fin Auth Environmental Fac Rev IN Pwr & LT Co Proj Rfdg, Ser A | 4.900 | 01/01/16 | 1,719,328 | ||||||||||
1,500 | Petersburg, IN Pollutn Ctl Rev IN Pwr & Lt (AMT) | 5.950 | 12/01/29 | 1,509,900 | ||||||||||
500 | Vigo Cnty, IN Hosp Auth Rev Un Hosp Inc (c) | 5.750 | 09/01/42 | 431,625 | ||||||||||
12,674,052 | ||||||||||||||
Iowa 1.0% | ||||||||||||||
600 | Jefferson Cnty, IA Hosp Rev Jefferson Cnty Hosp Proj, Ser C | 5.950 | 08/01/37 | 497,370 | ||||||||||
1,300 | Pottawattamie Cnty, IA Rev Christian Homes Inc Rfdg, Ser E | 5.750 | 05/15/26 | 1,039,194 | ||||||||||
1,375 | Tobacco Settlement Auth IA Tob Settlement Rev Asset Bkd, Ser C | 5.375 | 06/01/38 | 1,021,900 | ||||||||||
1,500 | Tobacco Settlement Auth IA Tob Settlement Rev Asset Bkd, Ser C | 5.500 | 06/01/42 | 1,107,885 | ||||||||||
1,850 | Tobacco Settlement Auth IA Tob Settlement Rev Asset Bkd, Ser C | 5.625 | 06/01/46 | 1,383,948 | ||||||||||
5,050,297 | ||||||||||||||
Kansas 1.7% | ||||||||||||||
1,400 | Burlington, KS Environmental Impt Rev KC Pwr Lt Rfdg, Ser B (Syncora Gtd) (b) | 5.000 | 12/01/23 | 1,445,150 | ||||||||||
70 | Cowley Cnty, KS Uni Sch Dist No 465 Winfield Impt & Rfdg (NATL Insd) | 5.250 | 10/01/22 | 76,417 | ||||||||||
3,500 | Kansas St Dev Fin Auth Hosp Rev Adventist Hlth | 5.750 | 11/15/38 | 3,754,835 | ||||||||||
2,000 | Manhattan, KS Hlthcare Fac Rev Meadowlark Hills Retirement, Ser A | 5.000 | 05/15/24 | 1,789,180 | ||||||||||
1,200 | Manhattan, KS Hlthcare Fac Rev Meadowlark Hills Retirement, Ser A | 5.000 | 05/15/36 | 934,368 | ||||||||||
700 | Olathe, KS Sr Living Fac Rev Catholic Care Campus Inc, Ser A | 6.000 | 11/15/38 | 621,838 | ||||||||||
400 | Overland Pk, KS Dev Corp Rev First Tier Overland Pk, Ser A (Prerefunded @ 1/01/11) | 7.375 | 01/01/32 | 422,436 | ||||||||||
9,044,224 | ||||||||||||||
Kentucky 2.0% | ||||||||||||||
1,600 | Kentucky Econ Dev Fin Auth Hosp Fac Rev Owensboro Med Hlth Sys, Ser A | 6.500 | 03/01/45 | 1,658,544 | ||||||||||
1,500 | Kentucky Econ Dev Fin Auth Louisville Arena Proj Rev Louisville Arena Sub, Ser A-1 (AGL Insd) | 5.750 | 12/01/28 | 1,630,095 | ||||||||||
1,610 |
Kentucky St Ppty & Bldg Commn Rev Rfdg Proj No 93 (AGL Insd) |
5.250 | 02/01/24 | 1,773,286 |
Par |
||||||||||||||
Amount |
||||||||||||||
(000) | Description | Coupon | Maturity | Value | ||||||||||
Kentucky (Continued) | ||||||||||||||
$ | 1,815 |
Kentucky St Ppty & Bldg Commn Rev Rfdg Proj No 93 (AGL Insd) |
5.250 | % | 02/01/25 | $ | 1,995,102 | |||||||
3,545 | Louisville & Jefferson Cnty, KY Metro Govt Hlth Sys Rev Norton Hlthcare Inc | 5.250 | 10/01/36 | 3,504,871 | ||||||||||
10,561,898 | ||||||||||||||
Louisiana 2.3% | ||||||||||||||
989 | Lakeshore Vlg Master Cmnty Dev Dist LA Spl Assmt | 5.250 | 07/01/17 | 597,623 | ||||||||||
1,675 | Louisiana Loc Govt Environmental Fac Pkg Fac Corp Garage Proj, Ser A (AMBAC Insd) | 5.200 | 10/01/19 | 1,681,784 | ||||||||||
2,000 | Louisiana St Ctzn Ppty Ins Corp Assmt Rev, Ser C-2 (AGL Insd) | 6.750 | 06/01/26 | 2,297,420 | ||||||||||
5,480 | Louisiana St Univ & Agric & Mechanical College Univ Rev Master Agreement (Acquired 11/30/98, Cost $5,480,484) (e) (f) | 5.750 | 10/30/18 | 5,184,483 | ||||||||||
2,000 | Rapides Fin Auth LA Rev Cleco Pwr Proj (AMT) (b) | 5.250 | 11/01/37 | 2,114,680 | ||||||||||
11,875,990 | ||||||||||||||
Maryland 1.4% | ||||||||||||||
750 | Gaithersburg, MD Econ Dev Rev Asbury MD Oblig Group A | 5.125 | 01/01/36 | 645,308 | ||||||||||
1,080 | Maryland St Econ Dev Corp Econ Dev Rev Term Proj, Ser B | 5.750 | 06/01/35 | 1,107,356 | ||||||||||
765 | Maryland St Econ Dev Corp Econ Dev Rev Trans Fac Proj, Ser A | 5.375 | 06/01/25 | 777,768 | ||||||||||
1,000 | Maryland St Econ Dev Corp Rev Sr Lien Chesapeake Bay Rfdg, Ser A | 5.000 | 12/01/31 | 727,200 | ||||||||||
500 | Maryland St Hlth & Higher Ed Fac Auth Rev King Farm Presbyterian Cmnty, Ser A | 5.250 | 01/01/27 | 413,365 | ||||||||||
1,640 | Maryland St Hlth & Higher Ed Fac Auth Rev Mercy Med Ctr, Ser A | 5.500 | 07/01/42 | 1,582,387 | ||||||||||
1,700 | Maryland St Trans Auth Arpt Baltimore/WA Intl Arpt, Ser B (AMBAC Insd) (AMT) | 5.125 | 03/01/24 | 1,690,718 | ||||||||||
425 | Prince Georges Cnty, MD Spl Oblig Natl Harbor Proj | 5.200 | 07/01/34 | 366,762 | ||||||||||
7,310,864 | ||||||||||||||
Massachusetts 4.9% | ||||||||||||||
2,300 | Massachusetts Dev Fin Agy Sr Living Fac Rev, Ser B2 | 6.250 | 06/01/14 | 2,302,921 | ||||||||||
2,765 | Massachusetts St Dev Fin Agy Proj, Ser R-2 (NATL Insd) | 5.125 | 02/01/34 | 2,736,686 | ||||||||||
580 | Massachusetts St Dev Fin Agy Rev Boston Architectural Ctr (ACA Insd) | 6.100 | 09/01/18 | 564,462 | ||||||||||
1,000 | Massachusetts St Dev Fin Agy Rev Boston Architectural Ctr (ACA Insd) | 6.250 | 09/01/28 | 889,140 | ||||||||||
500 | Massachusetts St Dev Fin Agy Rev Linden Ponds Inc Fac, Ser A | 5.750 | 11/15/35 | 369,350 |
Par |
||||||||||||||
Amount |
||||||||||||||
(000) | Description | Coupon | Maturity | Value | ||||||||||
Massachusetts (Continued) | ||||||||||||||
$ | 500 | Massachusetts St Dev Fin Agy Rev Linden Ponds Inc Fac, Ser A | 5.750 | % | 11/15/42 | $ | 358,950 | |||||||
500 | Massachusetts St Hlth & Ed Fac Auth Rev Bal Structured Ylg, Ser G (NATL Insd) (b) | 5.000 | 07/01/13 | 500,675 | ||||||||||
1,800 | Massachusetts St Hlth & Ed Fac Auth Rev Berklee College Music, Ser A | 5.000 | 10/01/32 | 1,826,676 | ||||||||||
4,500 | Massachusetts St Hlth & Ed Fac Auth Rev Harvard Univ, Ser B (a) | 5.000 | 10/01/38 | 4,775,940 | ||||||||||
750 | Massachusetts St Hlth & Ed Fac Auth Rev MA Inst Tech, Ser A | 5.000 | 07/01/38 | 794,625 | ||||||||||
465 | Massachusetts St Hlth & Ed Fac Auth Rev Partn Hlthcare Sys, Ser C (Prerefunded @ 7/01/11) | 5.750 | 07/01/32 | 498,020 | ||||||||||
1,000 | Massachusetts St Hlth & Ed Fac Auth Rev Univ MA Mem Issue, Ser D | 5.000 | 07/01/33 | 926,240 | ||||||||||
4,670 | Massachusetts St Sch Bldg Auth Dedicated Sales Tax Rev, Ser A (AMBAC Insd) (a) | 4.500 | 08/15/35 | 4,663,555 | ||||||||||
2,650 | Massachusetts St Sch Bldg Auth Dedicated Sales Tax Rev, Ser A (AGM Insd) (a) | 5.000 | 08/15/30 | 2,778,340 | ||||||||||
1,200 | Massachusetts St Wtr Res Auth, Ser B | 5.000 | 08/01/22 | 1,355,640 | ||||||||||
25,341,220 | ||||||||||||||
Michigan 2.7% | ||||||||||||||
2,715 | Detroit, MI Sew Disp Rev Rfdg Sr Lien, Ser C-1 (AGM Insd) | 7.000 | 07/01/27 | 3,173,401 | ||||||||||
1,430 | Detroit, MI Wtr Supply Sys Rfdg Second Lien, Ser C (AGM Insd) | 5.000 | 07/01/26 | 1,448,075 | ||||||||||
875 | Kent Hosp Fin Auth MI Rev Spectrum Hlth, Ser A (b) | 5.250 | 01/15/47 | 959,744 | ||||||||||
400 | Kent Hosp Fin Auth MI Rev Spectrum Hlth, Ser A (b) | 5.500 | 01/15/47 | 446,080 | ||||||||||
105 | Michigan St Hsg Dev Rent Hsg Rev, Ser A (NATL Insd) (AMT) | 5.300 | 10/01/37 | 105,172 | ||||||||||
1,500 | Michigan St Strategic Fd Ltd Oblig Rev Detroit Edison Co Proj Rfdg, Ser C (Syncora Gtd) (AMT) | 5.450 | 12/15/32 | 1,434,195 | ||||||||||
8,130 | Michigan Tob Settlement Fin Auth Tob Settlement Asset Sr, Ser A | 6.000 | 06/01/48 | 6,237,580 | ||||||||||
13,804,247 | ||||||||||||||
Minnesota 1.4% | ||||||||||||||
475 | Chisago, MN Hlthcare Fac Rev CDL Homes LLC Proj | 6.000 | 08/01/42 | 460,474 | ||||||||||
1,000 | Inver Grove Heights, MN Presbyterian Homes Care Rfdg | 5.500 | 10/01/41 | 867,900 | ||||||||||
1,850 | Minneapolis, MN Hlthcare Sys Rev Fairview Hlth Svc, Ser A | 6.375 | 11/15/23 | 2,102,137 | ||||||||||
1,200 | Minneapolis, MN Hlthcare Sys Rev Fairview Hlth Svc, Ser A | 6.625 | 11/15/28 | 1,345,704 |
Par |
||||||||||||||
Amount |
||||||||||||||
(000) | Description | Coupon | Maturity | Value | ||||||||||
Minnesota (Continued) | ||||||||||||||
$ | 200 | North Oaks, MN Sr Hsg Rev Presbyterian Homes North Oaks | 6.000 | % | 10/01/27 | $ | 200,106 | |||||||
500 | North Oaks, MN Sr Hsg Rev Presbyterian Homes North Oaks | 6.000 | 10/01/33 | 488,305 | ||||||||||
1,850 | Saint Paul, MN Hsg & Redev Auth Hlthcare Fac Rev Hlth Partners Oblig Grp Proj | 5.250 | 05/15/36 | 1,728,196 | ||||||||||
7,192,822 | ||||||||||||||
Missouri 3.1% | ||||||||||||||
160 | Cape Girardeau Cnty, MO Indl Dev Auth Hlthcare Fac Rev Southeast MO Hosp Assoc | 5.625 | 06/01/27 | 154,461 | ||||||||||
1,000 | Carthage, MO Hosp Rev | 5.875 | 04/01/30 | 862,290 | ||||||||||
2,250 | Carthage, MO Hosp Rev | 6.000 | 04/01/38 | 1,841,805 | ||||||||||
1,300 | Cass Cnty, MO Hosp Rev | 5.625 | 05/01/38 | 1,166,451 | ||||||||||
1,400 | Ellisville, MO Indl Dev Auth Rev Gambrill Gardens Proj Impt & Rfdg (e) | 6.100 | 06/01/20 | 1,278,620 | ||||||||||
1,000 | Ellisville, MO Indl Dev Auth Rev Gambrill Gardens Proj Impt & Rfdg (e) | 6.200 | 06/01/29 | 896,940 | ||||||||||
385 | Fenton, MO Tax Increment Rev & Impt Gravois Bluffs Proj Rfdg (Prerefunded @ 10/01/11) | 7.000 | 10/01/21 | 421,355 | ||||||||||
1,000 | Joplin, MO Indl Dev Auth Indl Rev Christian Homes Inc Rfdg, Ser F | 5.750 | 05/15/31 | 774,360 | ||||||||||
1,000 | Kearney, MO (AMBAC Insd) | 5.500 | 03/01/16 | 1,036,600 | ||||||||||
1,700 | Kirkwood, MO Indl Dev Auth Retirement Cmnty Rev Temp 75 Aberdeen Hts, Ser C-1 | 7.500 | 11/15/16 | 1,706,511 | ||||||||||
815 | Maryland Heights, MO Tax Increment Rev South Heights Redev Proj Rfdg, Ser A | 5.500 | 09/01/18 | 775,171 | ||||||||||
1,200 | Missouri St Hlth & Ed Fac Auth Rev Sr Living Fac Lutheran Rfdg, Ser B | 5.125 | 02/01/27 | 1,112,616 | ||||||||||
675 | Saint Louis Cnty, MO Indl Dev Auth Sr Living Fac Rev Saint Andrews Res for Srs, Ser A | 6.375 | 12/01/30 | 589,572 | ||||||||||
1,500 | Saint Louis Cnty, MO Indl Dev Auth Sr Living Fac Rev Saint Andrews Res for Srs, Ser A | 6.375 | 12/01/41 | 1,282,110 | ||||||||||
625 | Saint Louis, MO Indl Dev Auth Tax Increment & Cmnty Impt Dist Loughborough Com Redev Rfdg | 5.750 | 11/01/27 | 577,956 | ||||||||||
1,990 | Springfield, MO Pub Bldg Corp Leasehold Rev Springfield Branson Arpt, Ser B (AMBAC Insd) (AMT) | 4.550 | 07/01/29 | 1,911,594 | ||||||||||
16,388,412 | ||||||||||||||
Nebraska 0.5% | ||||||||||||||
2,620 | Omaha Pub Pwr Dist NE Elec Rev Sys, Ser A (a) | 5.000 | 02/01/34 | 2,679,133 | ||||||||||
Nevada 2.8% | ||||||||||||||
4,000 | Clark Cnty, NV Indl Dev Rev Southwest Gas Corp Proj, Ser A (AMBAC Insd) (AMT) | 5.250 | 07/01/34 | 3,667,080 | ||||||||||
75 | Clark Cnty, NV Indl Dev Rev Southwest Gas Corp Proj, Ser A (BHAC Insd) (AMT) | 4.750 | 09/01/36 | 66,836 |
Par |
||||||||||||||
Amount |
||||||||||||||
(000) | Description | Coupon | Maturity | Value | ||||||||||
Nevada (Continued) | ||||||||||||||
$ | 5 | Nevada Hsg Div Single Family Mtg Mezz, Ser D2 (AMT) | 6.300 | % | 04/01/21 | $ | 5,078 | |||||||
2,860 | Nevada St Cap Impt & Cultural Affairs, Ser C (a) | 5.000 | 06/01/22 | 3,075,901 | ||||||||||
2,220 | Nevada St Cap Impt & Cultural Affairs, Ser C (a) | 5.000 | 06/01/23 | 2,375,511 | ||||||||||
930 | Reno, NV Cap Impt Rev (NATL Insd) | 5.125 | 06/01/26 | 904,639 | ||||||||||
1,570 |
Reno, NV Cap Impt Rev (NATL Insd) (Prerefunded @ 6/01/12) |
5.125 | 06/01/26 | 1,709,667 | ||||||||||
3,100 | Reno, NV Hosp Rev Renown Regl Med Ctr Proj, Ser A | 5.250 | 06/01/37 | 2,892,331 | ||||||||||
14,697,043 | ||||||||||||||
New Hampshire 0.6% | ||||||||||||||
1,525 | New Hampshire Hlth & Ed Fac Auth Rev Derryfield Sch (Prerefunded @ 7/01/10) | 6.750 | 07/01/20 | 1,570,536 | ||||||||||
250 | New Hampshire Hlth & Ed Fac Hlthcare Sys Covenant Hlth | 5.500 | 07/01/34 | 250,533 | ||||||||||
700 | New Hampshire St Business Fin Auth Pollutn Ctl Rev Utd Illum Co Proj (AMT) (b) | 7.125 | 07/01/27 | 740,600 | ||||||||||
500 | New Hampshire St Business Fin Auth Pollutn Ctl Rev Utd Illum Rfdg, Ser A (AMT) (b) | 6.875 | 12/01/29 | 533,405 | ||||||||||
3,095,074 | ||||||||||||||
New Jersey 7.1% | ||||||||||||||
375 | Burlington Cnty, NJ Brdg Cmnty Econ Dev Rev The Evergreens Proj | 5.625 | 01/01/38 | 324,506 | ||||||||||
1,000 | New Jersey Econ Dev Auth Econ Dev Rev Kapkowski Rd Landfill Proj Rfdg | 5.750 | 04/01/31 | 983,230 | ||||||||||
25,000 | New Jersey Econ Dev Auth St Contract Econ Recovery (NATL Insd) | 5.900 | 03/15/21 | 29,306,250 | ||||||||||
2,600 | New Jersey Hlthcare Fac Fin Auth Rev Holy Name Hosp | 5.000 | 07/01/36 | 2,264,860 | ||||||||||
1,450 | New Jersey Hlthcare Fac Fin Auth Rev Saint Peters Univ Hosp Oblig | 5.750 | 07/01/37 | 1,445,911 | ||||||||||
580 | New Jersey St Tpk Auth Tpk Rev, Ser C (AGM Insd) | 6.500 | 01/01/16 | 703,610 | ||||||||||
1,000 | New Jersey St Trans Tr Fd Auth Trans Sys, Ser A | 5.750 | 06/15/18 | 1,158,340 | ||||||||||
760 | Tobacco Settlement Fin Corp NJ, Ser 1A | 5.000 | 06/01/41 | 528,223 | ||||||||||
36,714,930 | ||||||||||||||
New Mexico 0.6% | ||||||||||||||
1,500 | Jicarilla, NM Apache Nation Rev Adj, Ser A (Acquired 1/23/03, Cost $1,514,910) (f) | 5.000 | 09/01/18 | 1,571,610 | ||||||||||
1,350 | New Mexico St Hosp Equip Ln Council Hosp Rev Presbyterian Hlthcare Svc, Ser A (a) | 6.375 | 08/01/32 | 1,503,090 | ||||||||||
3,074,700 | ||||||||||||||
New York 13.6% | ||||||||||||||
1,370 | Brooklyn Arena Loc Dev Corp NY Barclays Ctr Proj | 6.250 | 07/15/40 | 1,411,032 | ||||||||||
570 | Brooklyn Arena Loc Dev Corp NY Barclays Ctr Proj | 6.375 | 07/15/43 | 586,336 |
Par |
||||||||||||||
Amount |
||||||||||||||
(000) | Description | Coupon | Maturity | Value | ||||||||||
New York (Continued) | ||||||||||||||
$ | 1,000 | Metropolitan Trans Auth NY Dedicated Tax Fd, Ser B | 5.250 | % | 11/15/28 | $ | 1,081,010 | |||||||
3,000 | Metropolitan Trans Auth NY Rev Rfdg, Ser A (NATL Insd) | 5.250 | 11/15/31 | 3,066,420 | ||||||||||
1,500 | Metropolitan Transn Auth NY Dedicated Tax Fd, Ser B | 5.250 | 11/15/30 | 1,605,690 | ||||||||||
1,600 | New York City Hsg Dev Corp Multi-Family Hsg Rev, Ser E1 (AMT) | 5.350 | 11/01/37 | 1,625,680 | ||||||||||
400 | New York City Indl Dev Agy Rev Liberty 7 World Trade Ctr Proj, Ser A | 6.250 | 03/01/15 | 403,352 | ||||||||||
2,000 | New York City Indl Dev Agy Rev Liberty 7 World Trade Ctr Proj, Ser B | 6.750 | 03/01/15 | 2,036,080 | ||||||||||
1,000 | New York City Liberty Dev Corp Rev Natl Sports Museum Proj, Ser A (Acquired 8/07/06, Cost $1,000,000) (e) (f) (g) (i) | 6.125/0.000 | 02/15/19 | 10 | ||||||||||
2,500 | New York City Muni Wtr Fin Auth Wtr & Swr Rev, Ser AA (a) | 5.000 | 06/15/22 | 2,783,850 | ||||||||||
8,800 | New York City Muni Wtr Fin Auth Wtr & Swr Sys Rev, Ser D (a) | 5.000 | 06/15/38 | 9,084,328 | ||||||||||
2,500 | New York City Muni Wtr Fin Auth Wtr & Swr Sys Rev, Ser D (a) | 5.000 | 06/15/39 | 2,580,775 | ||||||||||
85 | New York City, Ser A-1 | 5.750 | 08/01/12 | 85,347 | ||||||||||
3,000 | New York City, Ser G | 5.000 | 12/01/27 | 3,150,120 | ||||||||||
4,775 | New York City, Ser I-1 (a) | 5.000 | 02/01/26 | 5,096,883 | ||||||||||
3,400 | New York City Transitional Fin Auth Bldg Aid Rev Fiscal 2009, Ser S-3 | 5.250 | 01/15/39 | 3,617,090 | ||||||||||
6,800 | New York St Dorm Auth Rev City Univ Sys Cons, Ser A | 5.625 | 07/01/16 | 7,655,848 | ||||||||||
3,000 | New York St Dorm Auth Rev Non St Supported Sch Dist Fin Prog, Ser C (AGL Insd) | 5.000 | 10/01/23 | 3,286,470 | ||||||||||
1,000 |
New York St Mtg Agy Homeowner Mtg Rev 145 (AMT) |
5.125 | 10/01/37 | 1,003,710 | ||||||||||
1,800 | New York St Twy Auth St Pers Income Tax Rev Trans, Ser A (a) | 5.000 | 03/15/26 | 1,979,874 | ||||||||||
2,000 | New York St Twy Auth St Pers Income Tax Rev Trans, Ser A (a) | 5.000 | 03/15/27 | 2,187,180 | ||||||||||
1,584 | Plainedge, NY Uni Free Sch Dist No. 2063 (Acquired 7/25/97, Cost $1,584,219) (f) | 6.000 | 06/01/12 | 1,601,883 | ||||||||||
9,900 | Port Auth NY & NJ Cons 144th (a) | 5.000 | 10/01/35 | 10,313,028 | ||||||||||
600 | Seneca Nation Indians Cap Impt Auth NY Spl Oblig, Ser A (c) | 5.000 | 12/01/23 | 500,340 | ||||||||||
3,000 | Triborough Brdg & Tunl Auth Gen Purp, Ser A | 5.000 | 01/01/27 | 3,054,150 | ||||||||||
1,000 | Westchester Tob Asset Sec Corp NY | 5.000 | 06/01/26 | 944,980 | ||||||||||
70,741,466 | ||||||||||||||
Par |
||||||||||||||
Amount |
||||||||||||||
(000) | Description | Coupon | Maturity | Value | ||||||||||
North Carolina 1.9% | ||||||||||||||
$ | 900 | North Carolina Med Care Commn Retirement Fac Rev First Mtg Southminster Proj, Ser A | 5.750 | % | 10/01/37 | $ | 796,347 | |||||||
8,300 | North Carolina Muni Pwr Agy No 1 Catawba Elec Rev Rfdg (NATL Insd) | 6.000 | 01/01/12 | 8,949,143 | ||||||||||
9,745,490 | ||||||||||||||
North Dakota 0.6% | ||||||||||||||
1,500 | Grand Forks, ND Sr Hsg Rev 4000 Vly Square Proj Rfdg | 5.300 | 12/01/34 | 1,159,440 | ||||||||||
2,000 | Ward Cnty, ND Hlthcare Fac Rev Trinity Obligated Group Rfdg | 5.125 | 07/01/29 | 1,791,580 | ||||||||||
2,951,020 | ||||||||||||||
Ohio 8.8% | ||||||||||||||
300 | Adams Cnty Hosp Fac Impt Rev Adams Cnty Hosp Proj (e) | 6.250 | 09/01/20 | 248,700 | ||||||||||
3,190 | Buckeye, OH Tob Settlement Fin Auth Asset Bkd Sr Turbo, Ser A-2 | 5.750 | 06/01/34 | 2,509,924 | ||||||||||
3,630 | Buckeye, OH Tob Settlement Fin Auth Asset Bkd Sr Turbo, Ser A-2 | 5.875 | 06/01/30 | 3,073,848 | ||||||||||
1,825 | Cleveland, OH Rfdg (AGM Insd) | 5.500 | 10/01/19 | 2,155,033 | ||||||||||
400 | Cuyahoga Cnty, OH Hlthcare & Indpt Living Fac Rev Eliza Jennings Sr Care, Ser A | 5.750 | 05/15/27 | 342,336 | ||||||||||
1,475 | Lorain Cnty, OH Hosp Rev Fac Catholic Rfdg, Ser C-1 (AGM Insd) | 5.000 | 04/01/24 | 1,536,286 | ||||||||||
2,270 | Montgomery Cnty, OH Hosp Rev Kettering Med Ctr Impt & Rfdg (NATL Insd) | 6.250 | 04/01/20 | 2,695,784 | ||||||||||
1,625 | Montgomery Cnty, OH Rev Catholic Hlth, Ser C-1 (AGM Insd) (a) | 5.000 | 10/01/41 | 1,629,225 | ||||||||||
1,550 | Montgomery Cnty, OH Rev Miami Vly Hosp, Ser A | 6.000 | 11/15/28 | 1,638,644 | ||||||||||
1,000 | Montgomery Cnty, OH Rev Miami Vly Hosp, Ser A | 6.250 | 11/15/39 | 1,053,520 | ||||||||||
8,000 | Ohio St Air Quality Dev Auth Rev Dayton Pwr (BHAC Insd) (AMT) (a) | 4.800 | 09/01/36 | 8,038,160 | ||||||||||
2,700 | Ohio St Air Quality Dev Auth Rev Pollutn Ctl First Energy Rfdg, Ser C | 5.625 | 06/01/18 | 2,873,745 | ||||||||||
1,250 | Ohio St Bldg Auth St Fac Admin Bldg Fd Proj, Ser A (AGM Insd) | 5.000 | 04/01/22 | 1,314,563 | ||||||||||
1,175 | Ohio St Higher Ed Fac Commn Rev Summa Hlth Sys 2010 Proj (h) | 5.750 | 11/15/35 | 1,163,250 | ||||||||||
2,000 | Ohio St Higher Ed Fac Commn Rev Univ Hosp Hlth Sys, Ser 2009A | 6.750 | 01/15/39 | 2,138,120 | ||||||||||
4,000 | Ohio St Hosp Fac Rev Cleveland Clinic Hlth, Ser B (a) | 5.125 | 01/01/28 | 4,177,600 | ||||||||||
1,000 | Ohio St Hosp Fac Rev Cleveland Clinic Hlth, Ser B | 5.500 | 01/01/34 | 1,057,820 | ||||||||||
2,565 | Ohio St Hsg Fin Agy Residential Mtg Rev Mtg Bkd Sec Pgm, Ser D (GNMA Collateralized) (AMT) (a) | 5.300 | 09/01/28 | 2,646,080 | ||||||||||
1,968 | Ohio St Hsg Fin Agy Residential Mtg Rev Mtg Bkd Sec Pgm, Ser D (GNMA Collateralized) (AMT) (a) | 5.400 | 03/01/33 | 2,023,261 |
Par |
||||||||||||||
Amount |
||||||||||||||
(000) | Description | Coupon | Maturity | Value | ||||||||||
Ohio (Continued) | ||||||||||||||
$ | 2,101 | Ohio St Hsg Fin Agy Residential Mtg Rev Mtg Bkd Sec Pgm, Ser F (GNMA Collateralized) (a) | 5.500 | % | 09/01/39 | $ | 2,191,784 | |||||||
1,000 | Ohio St Wtr Dev Auth Pollutn Ctl Fac Rev Rfdg First Energy, Ser A (b) | 5.875 | 06/01/33 | 1,093,190 | ||||||||||
45,600,873 | ||||||||||||||
Oklahoma 0.6% | ||||||||||||||
1,470 | Chickasaw Nation, OK Hlth Sys (c) | 6.250 | 12/01/32 | 1,480,569 | ||||||||||
1,240 | Kay Cnty, OK Home Fin Auth Rev Single Family Mtg Rfdg, Ser A (AMBAC Insd) (d) | 7.000 | 11/01/11 | 1,356,672 | ||||||||||
410 | Oklahoma Hsg Fin Agy Single Family Rev Mtg (GNMA Collateralized) (AMT) | 7.997 | 08/01/18 | 428,458 | ||||||||||
3,265,699 | ||||||||||||||
Pennsylvania 1.5% | ||||||||||||||
875 | Allegheny Cnty, PA Hosp Dev Auth Rev Hlth Sys West PA, Ser A | 5.000 | 11/15/28 | 742,665 | ||||||||||
385 | Allegheny Cnty, PA San Auth Swr Rev (NATL Insd) | 5.500 | 12/01/30 | 390,556 | ||||||||||
240 | Lehigh Cnty, PA Gen Purp Auth Rev First Mtg Bible Fellowship Proj Rfdg, Ser A (e) | 5.400 | 12/15/10 | 239,462 | ||||||||||
875 | Montgomery Cnty, PA Indl Dev Auth Rev Mtg Whitemarsh Continuing Care | 6.250 | 02/01/35 | 652,776 | ||||||||||
400 | Montgomery Cnty, PA Indl Dev Auth Rev Mtg Whitemarsh Continuing Care Proj | 6.125 | 02/01/28 | 323,024 | ||||||||||
1,825 | Pennsylvania St Tpk Com Tpk Rev Sub, Ser A (AGL Insd) | 5.000 | 06/01/39 | 1,874,549 | ||||||||||
1,000 | Philadelphia, PA Auth Indl Dev PA Arpt Sys Proj, Ser A (NATL Insd) (AMT) | 5.125 | 07/01/19 | 1,010,450 | ||||||||||
2,675 | Pittsburgh, PA, Ser A (AMBAC Insd) | 5.500 | 09/01/17 | 2,738,183 | ||||||||||
7,971,665 | ||||||||||||||
Rhode Island 0.2% | ||||||||||||||
1,375 | Tobacco Settlement Fin Corp, Ser A | 6.250 | 06/01/42 | 1,319,890 | ||||||||||
South Carolina 2.4% | ||||||||||||||
1,000 | Charleston Ed Excellence Fin Corp SC Rev Charleston Cnty Sch Dist (a) | 5.250 | 12/01/25 | 1,050,740 | ||||||||||
3,000 | Charleston Ed Excellence Fin Corp SC Rev Charleston Cnty Sch Dist (a) | 5.250 | 12/01/26 | 3,140,070 | ||||||||||
900 | South Carolina Jobs Econ Dev Auth Hlth Fac Rev First Mtg Wesley Commons Rfdg | 5.125 | 10/01/26 | 749,475 | ||||||||||
1,000 | South Carolina Jobs Econ Dev Auth Hlth Fac Rev First Mtg Wesley Commons Rfdg | 5.300 | 10/01/36 | 788,330 | ||||||||||
1,960 | South Carolina Jobs Econ Dev Auth Hosp Fac Rev Palmetto Hlth Alliance Rfdg, Ser A | 6.250 | 08/01/31 | 2,008,883 | ||||||||||
1,000 | South Carolina Jobs Econ Dev Auth Hosp Rev & Impt Palmetto Hlth Rfdg | 5.750 | 08/01/39 | 997,090 | ||||||||||
2,500 | South Carolina Jobs Econ Dev Auth Indl Rev Elec & Gas Co Proj, Ser A (AMBAC Insd) | 5.200 | 11/01/27 | 2,604,825 |
Par |
||||||||||||||
Amount |
||||||||||||||
(000) | Description | Coupon | Maturity | Value | ||||||||||
South Carolina (Continued) | ||||||||||||||
$ | 725 | South Carolina Jobs Econ Dev Auth Rev Woodlands at Furman Proj, Ser A | 6.000 | % | 11/15/27 | $ | 577,390 | |||||||
340 | Tobacco Settlement Rev Mgmt Auth SC Tob Settlement Rev Rfdg | 5.000 | 06/01/18 | 340,350 | ||||||||||
12,257,153 | ||||||||||||||
Tennessee 2.4% | ||||||||||||||
400 | Elizabethton, TN Hlth & Ed Fac Brd Rev Hosp First Mtg Impt & Rfdg, Ser B (Prerefunded @ 7/01/12) | 8.000 | 07/01/33 | 451,968 | ||||||||||
4,000 | Johnson City, TN Hlth & Ed Fac Brd Hosp Rev First Mtg Mtn St Hlth Rfdg, Ser A (NATL Insd) (Prerefunded @ 7/01/12) | 7.500 | 07/01/25 | 4,479,880 | ||||||||||
3,000 | Johnson City, TN Hlth & Ed Fac Brd Hosp Rev First Mtg Mtn St Hlth, Ser A | 5.500 | 07/01/36 | 2,875,440 | ||||||||||
2,650 | Shelby Cnty, TN Hlth Ed & Hsg Fac Brd Rev Methodist, Ser B (AGM Insd) (a) | 5.250 | 09/01/27 | 2,769,727 | ||||||||||
1,500 | Shelby Cnty, TN Hlth Ed & Hsg Fac Brd Rev Trezevant Manor Proj, Ser A | 5.625 | 09/01/26 | 1,445,130 | ||||||||||
365 |
Tennessee Hsg Dev Agy Home Ownership Pgm 2-A (AMT) |
5.700 | 07/01/31 | 365,365 | ||||||||||
12,387,510 | ||||||||||||||
Texas 14.2% | ||||||||||||||
1,575 | Alliance Arpt Auth Inc TX Spl Fac Rev FedEx Corp Proj Rfdg (AMT) | 4.850 | 04/01/21 | 1,563,077 | ||||||||||
1,250 | Austin, TX Convention Enterprises Inc Convention Ctr Second Tier Rfdg, Ser B (c) | 5.750 | 01/01/24 | 1,158,762 | ||||||||||
1,000 | Brazos Riv TX Hbr Nav Dist Brazoria Cnty Rev Rfdg Dow Chemical Co | 5.250 | 10/01/11 | 1,007,450 | ||||||||||
670 | Dallas Cnty, TX Flood Ctl Dist Rfdg | 6.750 | 04/01/16 | 713,228 | ||||||||||
1,225 | Dallas, TX Civic Ctr Rfdg & Impt (AGL Insd) | 5.000 | 08/15/18 | 1,343,531 | ||||||||||
1,440 | Dallas, TX Civic Ctr Rfdg & Impt (AGL Insd) | 5.000 | 08/15/19 | 1,574,482 | ||||||||||
1,000 | Dallas-Fort Worth, TX Intl Arpt Rev Impt & Rfdg, Ser A (BHAC Insd) (AMT) | 5.500 | 11/01/31 | 1,005,710 | ||||||||||
700 | Dallas-Fort Worth, TX Intl Arpt Rev Jt, Ser C (NATL Insd) (AMT) | 5.750 | 11/01/18 | 702,170 | ||||||||||
1,325 | Dallas-Fort Worth, TX Intl Arpt Rev Jt, Ser C (NATL Insd) (AMT) | 6.000 | 11/01/23 | 1,329,545 | ||||||||||
5,250 | El Paso Cnty, TX Hosp Dist, Ser A (AGL Insd) (a) | 5.000 | 08/15/37 | 5,418,630 | ||||||||||
730 | Fort Worth, TX Wtr & Swr Rev Impt & Rfdg | 5.750 | 02/15/16 | 740,731 | ||||||||||
770 | Fort Worth, TX Wtr & Swr Rev Impt & Rfdg (Prerefunded @ 8/15/10) | 5.750 | 02/15/16 | 782,351 | ||||||||||
1,000 | Gulf Coast Waste Disp Auth TX Waste Mgmt, Ser D (AMT) | 4.550 | 04/01/12 | 1,030,000 | ||||||||||
825 | Harris Cnty, TX Hlth Fac Dev Corp Hosp Rev Rfdg Mem Hermann Hlthcare Sys, Ser B | 7.250 | 12/01/35 | 932,951 | ||||||||||
1,000 | Harris Cnty, TX Indl Dev Corp Solid Waste Disp Rev Deer Pk Refng Proj | 5.000 | 02/01/23 | 1,016,560 |
Par |
||||||||||||||
Amount |
||||||||||||||
(000) | Description | Coupon | Maturity | Value | ||||||||||
Texas (Continued) | ||||||||||||||
$ | 1,000 | Houston, TX Arpt Sys Rev Sub Lien, Ser A (AGM Insd) (AMT) | 5.625 | % | 07/01/30 | $ | 1,000,500 | |||||||
130 | Houston, TX Pub Impt & Rfdg (AGM Insd) | 5.750 | 03/01/15 | 132,292 | ||||||||||
2,750 | Houston, TX Util Sys Rev Comb First Lien Rfdg, Ser A (AGM Insd) | 5.000 | 11/15/36 | 2,864,730 | ||||||||||
3,320 | Judson, TX Indpt Sch Dist Sch Bldg (AGL Insd) (a) | 5.000 | 02/01/37 | 3,405,789 | ||||||||||
1,100 | Lufkin, TX Hlth Fac Dev Corp Hlth Sys Rev Mem Hlth Sys East TX | 5.500 | 02/15/32 | 1,033,505 | ||||||||||
1,250 | Lufkin, TX Hlth Fac Dev Corp Hlth Sys Rev Mem Hlth Sys East TX | 5.500 | 02/15/37 | 1,160,812 | ||||||||||
1,250 | Matagorda Cnty, TX Navig Dist No 1 Rev Coll Centerpoint Energy Proj Rfdg (b) | 5.600 | 03/01/27 | 1,243,162 | ||||||||||
1,200 | McLennan Cnty, TX Pub Fac Corp Proj Rev | 6.625 | 06/01/35 | 1,313,064 | ||||||||||
1,800 | Metropolitan Hlth Fac Dev Corp TX Wilson N Jones Mem Hosp Proj (Prerefunded @ 1/01/2011) | 7.250 | 01/01/31 | 1,874,646 | ||||||||||
1,500 | Mission, TX Econ Dev Corp Solid Waste Disp Rev Waste Mgmt Inc Proj (AMT) (b) | 6.000 | 08/01/20 | 1,634,400 | ||||||||||
2,400 | North Central, TX Hlth Fac Dev Hosp Childrens Med Ctr Dallas (AMBAC Insd) | 5.250 | 08/15/32 | 2,447,712 | ||||||||||
1,000 | North TX Twy Auth Rev Rfdg Sys First Tier, Ser B | 5.625 | 01/01/28 | 1,060,240 | ||||||||||
1,000 | North TX Twy Auth Rev Rfdg Sys First Tier, Ser B | 6.000 | 01/01/26 | 1,084,170 | ||||||||||
1,250 | North TX Twy Auth Rev Rfdg Sys First Tier, Ser B | 6.000 | 01/01/27 | 1,355,213 | ||||||||||
1,550 | North TX Twy Auth Rev Sys First Tier Rfdg, Ser L-2 (b) | 6.000 | 01/01/38 | 1,709,480 | ||||||||||
2,850 | North TX Twy Auth Rev Toll Second Tier Rfdg, Ser F | 5.750 | 01/01/33 | 3,012,450 | ||||||||||
1,000 | Tarrant Cnty, TX Cultural Ed Fac Fin Corp Retirement Fac Buckingham Sr Living Cmnty Inc | 5.625 | 11/15/27 | 920,950 | ||||||||||
2,700 | Tarrant Cnty, TX Cultural Ed Fac Fin Corp Retirement Fac Buckingham Sr Living Cmnty Inc | 5.750 | 11/15/37 | 2,410,020 | ||||||||||
5,500 | Tarrant Cnty, TX Cultural Ed Fac Fin Corp Retirement Fac Buckner Retirement Svc Inc Proj | 5.250 | 11/15/37 | 5,260,915 | ||||||||||
450 | Tarrant Cnty, TX Cultural Ed Fac Fin Corp Retirement Fac CC Young Mem Home Proj | 5.750 | 02/15/25 | 376,745 | ||||||||||
1,200 | Tarrant Cnty, TX Cultural Ed Fac Fin Corp Retirement Fac CC Young Mem Home, Ser B-2 | 6.500 | 02/15/14 | 1,203,432 | ||||||||||
3,300 | Tarrant Cnty, TX Cultural Ed Fac Fin Corp Rev Christus Hlth Rfdg, Ser A (AGL Insd) | 6.250 | 07/01/28 | 3,655,575 | ||||||||||
2,500 | Texas A & M Univ Rev Fin Sys, Ser A | 5.000 | 05/15/27 | 2,734,725 | ||||||||||
80 | Texas Muni Pwr Agy Rev (NATL Insd) (d) | * | 09/01/15 | 70,758 | ||||||||||
1,550 | Texas Private Activity Surface Trans Corp Sr Lien Nt Mobility | 6.875 | 12/31/39 | 1,626,198 | ||||||||||
140 | Texas St Pub Ppty Fin Corp Rev Mental Hlth & Retardation Rfdg (AGM Insd) | 5.500 | 09/01/13 | 141,684 |
Par |
||||||||||||||
Amount |
||||||||||||||
(000) | Description | Coupon | Maturity | Value | ||||||||||
Texas (Continued) | ||||||||||||||
$ | 5,750 | Texas St Trans Commn Mobility Fd (a) | 5.000 | % | 04/01/28 | $ | 6,199,535 | |||||||
3,000 | Tyler, TX Hlth Fac Dev Corp Hosp Rev & Impt East TX Med Ctr Rfdg, Ser A | 5.375 | 11/01/37 | 2,767,890 | ||||||||||
74,019,770 | ||||||||||||||
Utah 0.1% | ||||||||||||||
800 | Utah St Charter Sch Fin Auth Charter Sch Rev Summit Academy, Ser A | 5.800 | 06/15/38 | 724,224 | ||||||||||
Vermont 0.2% | ||||||||||||||
1,000 | Vermont Econ Dev Auth Mtg Rev Wake Robin Corp Proj, Ser A | 5.375 | 05/01/36 | 838,950 | ||||||||||
Virginia 1.1% | ||||||||||||||
750 | Peninsula Town Ctr Cmnty Dev Auth VA Spl Oblig | 6.350 | 09/01/28 | 741,128 | ||||||||||
2,590 | Tobacco Settlement Fin Corp VA | 5.500 | 06/01/26 | 2,900,256 | ||||||||||
1,868 | White Oak Vlg Shops VA Cmnty Dev Auth Spl Assmt Rev | 5.300 | 03/01/17 | 1,864,675 | ||||||||||
5,506,059 | ||||||||||||||
Washington 1.7% | ||||||||||||||
5,000 | Bellevue, WA Convention Ctr Auth Spl Oblig Rev Rfdg (NATL Insd) | * | 02/01/24 | 2,725,550 | ||||||||||
1,350 | Kalispel Tribe Indians Priority Dist WA Rev | 6.625 | 01/01/28 | 1,165,536 | ||||||||||
2,000 | Port Seattle, WA Rev, Ser B (NATL Insd) (AMT) | 5.625 | 02/01/24 | 2,018,200 | ||||||||||
1,345 | Tacoma, WA Elec Sys Rev Rfdg, Ser A (AGM Insd) | 5.750 | 01/01/15 | 1,402,445 | ||||||||||
1,545 | Washington St Hsg Fin Commn Nonprofit Rev Custodial Rcpt Wesley Homes, Ser 2007A-2027 (Acquired 5/07/08, Cost $1,545,000) (f) | 6.000 | 01/01/27 | 1,408,345 | ||||||||||
8,720,076 | ||||||||||||||
West Virginia 1.4% | ||||||||||||||
3,500 | Harrison Cnty, WV Cnty Cmnty Solid Waste Disp Rev Allegheny Energy Rfdg, Ser D (AMT) | 5.500 | 10/15/37 | 3,379,810 | ||||||||||
1,060 | West Virginia St Hosp Fin Auth Hosp Rev Rfdg & Impt Utd Hlth Sys, Ser C | 5.500 | 06/01/34 | 1,062,194 | ||||||||||
1,020 | West Virginia St Hosp Fin Auth Hosp Rev Rfdg & Impt Utd Hlth Sys, Ser C | 5.500 | 06/01/39 | 1,027,191 | ||||||||||
1,000 | West Virginia St Hosp Fin Auth Hosp Rev Thomas Hlth Sys | 6.000 | 10/01/20 | 993,680 | ||||||||||
1,100 | West Virginia St Hosp Fin Auth Hosp Rev Thomas Hlth Sys | 6.250 | 10/01/23 | 1,096,964 | ||||||||||
7,559,839 | ||||||||||||||
Wisconsin 3.0% | ||||||||||||||
450 | Superior, WI Collateralized Util Rev Superior Wtr Lt & Pwr Proj Rfdg, Ser A (AMT) | 5.375 | 11/01/21 | 457,916 | ||||||||||
410 | Superior, WI Collateralized Util Rev Superior Wtr Lt & Pwr Proj, Ser B (AMT) | 5.750 | 11/01/37 | 412,476 |
Par |
||||||||||||||
Amount |
||||||||||||||
(000) | Description | Coupon | Maturity | Value | ||||||||||
Wisconsin (Continued) | ||||||||||||||
$ | 2,545 | Wisconsin Hsg & Econ Dev Auth Home Ownership Rev, Ser A (AMT) (a) | 5.300 | % | 09/01/23 | $ | 2,653,086 | |||||||
3,200 | Wisconsin Hsg & Econ Dev Auth Home Ownership Rev, Ser A (AMT) (a) | 5.500 | 09/01/28 | 3,314,912 | ||||||||||
1,010 | Wisconsin St Gen Rev Appropriation Rev, Ser A | 5.375 | 05/01/25 | 1,113,323 | ||||||||||
5,000 | Wisconsin St Hlth & Ed Fac Auth Mercy Hlth Sys Corp (AMBAC Insd) | 5.500 | 08/15/25 | 5,019,800 | ||||||||||
1,000 | Wisconsin St Hlth & Ed Fac Auth Rev Aurora Hlthcare Inc, Ser B (b) | 5.125 | 08/15/27 | 1,061,860 | ||||||||||
400 | Wisconsin St Hlth & Ed Fac Auth Rev Beaver Dam Cmnty Hosp Inc, Ser A | 6.000 | 08/15/19 | 403,864 | ||||||||||
1,305 | Wisconsin St Hlth & Ed Fac Auth Rev Prohealth Care Inc Oblig Grp | 6.625 | 02/15/39 | 1,417,491 | ||||||||||
15,854,728 | ||||||||||||||
Wyoming 0.4% | ||||||||||||||
1,200 | Sweetwater Cnty, WY Pollutn Ctl Rev ID Pwr Co Proj Rfdg | 5.250 | 07/15/26 | 1,273,368 | ||||||||||
1,000 | Sweetwater Cnty, WY Solid Waste Disp Rev FMC Corp Proj Rfdg (AMT) | 5.600 | 12/01/35 | 968,270 | ||||||||||
2,241,638 | ||||||||||||||
Guam 0.1% | ||||||||||||||
550 | Guam Pwr Auth Rev, Ser A (AMBAC Insd) | 5.250 | 10/01/34 | 513,441 | ||||||||||
Puerto Rico 2.1% | ||||||||||||||
2,100 | Puerto Rico Elec Pwr Auth Pwr Rev, Ser XX | 5.250 | 07/01/40 | 2,131,269 | ||||||||||
1,500 | Puerto Rico Elec Pwr Auth Rev, Ser WW | 5.250 | 07/01/33 | 1,517,760 | ||||||||||
65 | Puerto Rico Pub Bldgs Auth Rev Govt Fac, Ser I (Comwth Gtd) (Prerefunded @ 7/01/14) | 5.250 | 07/01/33 | 74,404 | ||||||||||
2,825 | Puerto Rico Sales Tax Fin Corp Sales Tax Rev First Sub, Ser A (b) | 5.000 | 08/01/39 | 2,950,090 | ||||||||||
2,000 | Puerto Rico Sales Tax Fin Corp Sales Tax Rev First Sub, Ser A | 5.375 | 08/01/39 | 2,069,659 | ||||||||||
2,300 | Puerto Rico Sales Tax Fin Corp Sales Tax Rev First Sub, Ser A | 5.500 | 08/01/42 | 2,402,165 | ||||||||||
11,145,347 | ||||||||||||||
Total Long-Term Investments 159.2%
(Cost $832,869,733) |
828,269,827 | |||||||||||||
Total Short-Term Investments 2.7%
(Cost $13,855,000) |
13,855,000 | |||||||||||||
Total Investments 161.9%
(Cost $846,724,733) |
842,124,827 |
Description | Value | |||||||||||||
Liability for Floating Rate Note Obligations Related to
Securities Held (22.2%)
(Cost $115,555,000) |
||||||||||||||
$ | (115,555 | ) | Notes with interest rate ranging from 0.30% to 0.75% at April 30, 2010 and contractual maturities of collateral ranging from 2022 to 2041 (j) | $ | (115,555,000 | ) | ||||||||
Total Net Investment 139.7%
(Cost $731,169,733) |
726,569,827 | |||||||||||||
Other Assets in Excess of Liabilities 0.9%
|
4,890,951 | |||||||||||||
Preferred Shares (including accrued
distributions) (40.6%)
|
(211,266,013 | ) | ||||||||||||
Net Assets Applicable to Common Shares 100.0%
|
$ | 520,194,765 | ||||||||||||
* | Zero coupon bond | |
(a) | Underlying security related to Inverse Floaters entered into by the Trust. See Note 1(G) in the Notes to Financial Statements for further information. | |
(b) | Variable Rate Coupon | |
(c) | 144A-Private Placement security which is exempt from registration under Rule 144A of the Securities Act of 1933, as amended. This security may only be resold in transactions exempt from registration which are normally those transactions with qualified institutional buyers. | |
(d) | Escrowed to Maturity | |
(e) | Security has been deemed illiquid. | |
(f) | Security is restricted and may be resold only in transactions exempt from registration which are normally those transactions with qualified institutional buyers. Restricted securities comprise 2.2% of net assets applicable to common shares. | |
(g) | Non-income producing security. | |
(h) | Security purchased on a when-issued or delayed delivery basis. | |
(i) | Interest is accruing at less than the stated coupon. Coupon is shown as stated coupon/actual coupon. | |
(j) | Floating rate notes. The interest rates shown reflect the rate in effect at April 30, 2010. |
Level 1 | Level 2 | Level 3 | ||||||||||||||
Significant |
||||||||||||||||
Other
Significant |
Unobservable |
|||||||||||||||
Investments | Quoted Prices | Observable Inputs | Inputs | Total | ||||||||||||
Investments in an Asset Position:
|
||||||||||||||||
Municipal Bonds
|
||||||||||||||||
Issued by States of the United States and Political Subdivisions
of the United States
|
$ | | $ | 842,124,827 | $ | | $ | 842,124,827 | ||||||||
Assets:
|
||||||
Total Investments (Cost $846,724,733)
|
$ | 842,124,827 | ||||
Cash
|
214,188 | |||||
Receivables:
|
||||||
Interest
|
13,101,274 | |||||
Investments Sold
|
342,401 | |||||
Other
|
2,165 | |||||
Total Assets
|
855,784,855 | |||||
Liabilities:
|
||||||
Payables:
|
||||||
Floating Rate Note Obligations
|
115,555,000 | |||||
Investments Purchased
|
7,368,450 | |||||
Investment Advisory Fee
|
310,222 | |||||
Other Affiliates
|
45,374 | |||||
Trustees Deferred Compensation and Retirement Plans
|
858,786 | |||||
Accrued Expenses
|
186,245 | |||||
Total Liabilities
|
124,324,077 | |||||
Preferred Shares (including accrued distributions)
|
211,266,013 | |||||
Net Assets Applicable to Common Shares
|
$ | 520,194,765 | ||||
Net Asset Value Per Common Share ($520,194,765 divided by
38,946,875 shares outstanding)
|
$ | 13.36 | ||||
Net Assets Consist of:
|
||||||
Common Shares ($0.01 par value with an unlimited number of
shares authorized, 38,946,875 shares issued and outstanding)
|
$ | 389,469 | ||||
Paid in Surplus
|
582,052,401 | |||||
Accumulated Undistributed Net Investment Income
|
12,953,294 | |||||
Net Unrealized Depreciation
|
(4,599,906 | ) | ||||
Accumulated Net Realized Loss
|
(70,600,493 | ) | ||||
Net Assets Applicable to Common Shares
|
$ | 520,194,765 | ||||
Preferred Shares ($0.01 par value, authorized
100,000,000 shares, 8,450 issued with liquidation
preference of $25,000 per share)
|
$ | 211,250,000 | ||||
Net Assets Including Preferred Shares
|
$ | 731,444,765 | ||||
Investment Income:
|
||||||
Interest
|
$ | 22,710,708 | ||||
Expenses:
|
||||||
Investment Advisory Fee
|
2,279,279 | |||||
Interest and Residual Trust Expenses
|
459,352 | |||||
Preferred Share Maintenance
|
186,665 | |||||
Trustees Fees and Related Expenses
|
108,753 | |||||
Accounting and Administrative Expenses
|
96,086 | |||||
Professional Fees
|
91,424 | |||||
Transfer Agent Fees
|
42,799 | |||||
Reports to Shareholders
|
28,778 | |||||
Custody
|
22,778 | |||||
Registration Fees
|
16,582 | |||||
Credit Line
|
7,698 | |||||
Other
|
16,484 | |||||
Total Expenses
|
3,356,678 | |||||
Investment Advisory Fee Reduction
|
414,414 | |||||
Net Expenses
|
2,942,264 | |||||
Net Investment Income
|
$ | 19,768,444 | ||||
Realized and Unrealized Gain/Loss:
|
||||||
Net Realized Loss
|
$ | (3,495,059 | ) | |||
Unrealized Appreciation/Depreciation:
|
||||||
Beginning of the Period
|
(21,282,710 | ) | ||||
End of the Period:
|
(4,599,906 | ) | ||||
Net Unrealized Appreciation During the Period
|
16,682,804 | |||||
Net Realized and Unrealized Gain
|
$ | 13,187,745 | ||||
Distributions to Preferred Shareholders
|
$ | (203,944 | ) | |||
Net Increase in Net Assets Applicable to Common Shares from
Operations
|
$ | 32,752,245 | ||||
For The |
For The |
|||||||
Six Months
Ended |
Year Ended |
|||||||
April 30, 2010 | October 31, 2009 | |||||||
From Investment Activities:
|
||||||||
Operations:
|
||||||||
Net Investment Income
|
$ | 19,768,444 | $ | 41,429,184 | ||||
Net Realized Loss
|
(3,495,059 | ) | (23,831,365 | ) | ||||
Net Unrealized Appreciation During the Period
|
16,682,804 | 110,148,937 | ||||||
Distributions to Preferred Shareholders:
|
||||||||
Net Investment Income
|
(203,944 | ) | (1,376,673 | ) | ||||
Change in Net Assets Applicable to Common Shares from Operations
|
32,752,245 | 126,370,083 | ||||||
Distributions to Common Shareholders:
|
||||||||
Net Investment Income
|
(18,602,818 | ) | (33,586,984 | ) | ||||
Net Change in Net Assets Applicable to Common Shares from
Investment Activities
|
14,149,427 | 92,783,099 | ||||||
From Capital Transactions:
|
||||||||
Value of Common Shares Issued Through Dividend Reinvestment
|
590,297 | 631,170 | ||||||
Repurchase of Shares
|
0 | (80,721 | ) | |||||
Net Change in Net Assets Applicable to Common Shares from
Capital Transactions
|
590,297 | 550,449 | ||||||
Total Increase in Net Assets Applicable to Common Shares
|
14,739,724 | 93,333,548 | ||||||
Net Assets Applicable to Common Shares:
|
||||||||
Beginning of the Period
|
505,455,041 | 412,121,493 | ||||||
End of the Period (Including accumulated undistributed net
investment income of $12,953,294 and $11,991,612,
respectively)
|
$ | 520,194,765 | $ | 505,455,041 | ||||
Change in Net Assets from Operations (including Preferred
Share Distributions)
|
$ | 32,752,245 | ||||
Adjustments to Reconcile the Change in Net Assets from
Operations to Net Cash Provided by Operating Activities:
|
||||||
Purchases of Investments
|
(38,536,550 | ) | ||||
Proceeds from Sales of Investments
|
70,860,036 | |||||
Net Purchases of Short-Term Investments
|
(8,499,994 | ) | ||||
Amortization of Premium
|
525,260 | |||||
Accretion of Discount
|
(850,535 | ) | ||||
Net Realized Loss on Investments
|
3,495,059 | |||||
Net Change in Unrealized Appreciation on Investments
|
(16,682,804 | ) | ||||
Decrease in Interest Receivables
|
366,430 | |||||
Decrease in Other Assets
|
10,883 | |||||
Decrease in Investment Advisory Fee Payable
|
(13,169 | ) | ||||
Decrease in Accrued Expenses
|
(47,681 | ) | ||||
Decrease in Other Affiliates Payable
|
(1,531 | ) | ||||
Increase in Trustees Deferred Compensation and Retirement
Plans
|
105,590 | |||||
Total Adjustments
|
10,730,994 | |||||
Net Cash Provided by Operating Activities
|
43,483,239 | |||||
Cash Flows from Financing Activities:
|
||||||
Dividends Paid (net of reinvested dividends $590,297)
|
(18,116,584 | ) | ||||
Proceeds from and Repayments of Floating Rate Note Obligations
|
(900,000 | ) | ||||
Retirement of Preferred Shares
|
(25,000,000 | ) | ||||
Net Cash Used for Financing Activities
|
(44,016,584 | ) | ||||
Net Decrease in Cash
|
(533,345 | ) | ||||
Cash at the Beginning of the Period
|
747,533 | |||||
Cash at the End of the Period
|
$ | 214,188 | ||||
Supplemental Disclosures of Cash Flow Information
|
||||||
Cash Paid During the Six Months for Interest
|
$ | 459,352 | ||||
Six Months |
||||||||||||||||||||||||
Ended |
||||||||||||||||||||||||
April 30, |
Year Ended October 31, | |||||||||||||||||||||||
2010 | 2009 | 2008 | 2007 | 2006 | 2005 | |||||||||||||||||||
Net Asset Value, Beginning of the Period
|
$ | 12.99 | $ | 10.61 | $ | 15.35 | $ | 16.33 | $ | 16.15 | $ | 16.60 | ||||||||||||
Net Investment Income
|
0.51 | (a) | 1.07 | (a) | 1.17 | (a) | 1.09 | (a) | 1.02 | (a) | 1.02 | |||||||||||||
Net Realized and Unrealized Gain/Loss
|
0.35 | 2.21 | (4.84 | ) | (0.97 | ) | 0.48 | (0.41 | ) | |||||||||||||||
Common Share Equivalent of Distributions Paid to Preferred
Shareholders:
|
||||||||||||||||||||||||
Net Investment Income
|
(0.01 | ) | (0.04 | ) | (0.25 | ) | (0.31 | ) | (0.24 | ) | (0.18 | ) | ||||||||||||
Net Realized Gain
|
-0- | -0- | -0- | -0- | (0.05 | ) | -0- | |||||||||||||||||
Total from Investment Operations
|
0.85 | 3.24 | (3.92 | ) | (0.19 | ) | 1.21 | 0.43 | ||||||||||||||||
Distributions Paid to Common Shareholders:
|
||||||||||||||||||||||||
Net Investment Income
|
(0.48 | ) | (0.86 | ) | (0.82 | ) | (0.79 | ) | (0.79 | ) | (0.88 | ) | ||||||||||||
Net Realized Gain
|
-0- | -0- | -0- | -0- | (0.24 | ) | -0- | |||||||||||||||||
Net Asset Value, End of the Period
|
$ | 13.36 | $ | 12.99 | $ | 10.61 | $ | 15.35 | $ | 16.33 | $ | 16.15 | ||||||||||||
Common Share Market Price at End of the Period
|
$ | 13.57 | $ | 12.69 | $ | 10.15 | $ | 13.85 | $ | 14.86 | $ | 14.02 | ||||||||||||
Total Return* (b)
|
10.88% | ** | 34.85% | 22.15% | 1.88% | 13.84% | 0.01% | |||||||||||||||||
Net Assets Applicable to Common Shares at End of the Period (In
millions)
|
$ | 520.2 | $ | 505.5 | $ | 412.1 | $ | 599.7 | $ | 643.1 | $ | 635.9 | ||||||||||||
Ratio of Expenses to Average Net Assets Applicable to Common
Shares* (c)
|
1.16% | 1.34% | 2.05% | 2.14% | 1.23% | 1.06% | ||||||||||||||||||
Ratio of Net Investment Income to Average Net Assets Applicable
to Common Shares* (c)
|
7.81% | 9.31% | 8.31% | 6.84% | 6.40% | 6.21% | ||||||||||||||||||
Portfolio Turnover
|
5% | ** | 19% | 67% | 25% | 28% | 33% | |||||||||||||||||
* If certain expenses had not been voluntarily
assumed by Van Kampen, total return would have been lower
and the ratios would have been as follows:
|
||||||||||||||||||||||||
Ratio of Expenses to Average Net Assets Applicable to Common
Shares (c)
|
1.33% | 1.51% | 2.21% | 2.28% | N/A | N/A | ||||||||||||||||||
Ratio of Net Investment Income to Average Net Assets Applicable
to Common Shares (c)
|
7.64% | 9.13% | 8.15% | 6.70% | N/A | N/A | ||||||||||||||||||
Supplemental Ratios: | ||||||||||||||||||||||||
Ratio of Expenses (Excluding Interest and Residual Trust
Expenses) to Average Net Assets Applicable to Common
Shares (c)
|
0.98% | 1.05% | 0.96% | 0.95% | 1.11% | 1.06% | ||||||||||||||||||
Ratio of Net Investment Income to Average Net Assets Applicable
to Common Shares (d)
|
7.73% | 9.00% | 6.55% | 4.92% | 4.91% | 5.12% | ||||||||||||||||||
Senior Securities: | ||||||||||||||||||||||||
Total Preferred Shares Outstanding
|
8,450 | 9,450 | 10,400 | 13,000 | 13,000 | 13,000 | ||||||||||||||||||
Asset Coverage Per Preferred Share (e)
|
$ | 86,563 | $ | 78,488 | $ | 64,637 | $ | 71,143 | $ | 74,490 | $ | 73,933 | ||||||||||||
Involuntary Liquidating Preference Per Preferred Share
|
$ | 25,000 | $ | 25,000 | $ | 25,000 | $ | 25,000 | $ | 25,000 | $ | 25,000 | ||||||||||||
Average Market Value Per Preferred Share
|
$ | 25,000 | $ | 25,000 | $ | 25,000 | $ | 25,000 | $ | 25,000 | $ | 25,000 |
** | Non-Annualized | |
(a) | Based on average shares outstanding. | |
(b) | Total return assumes an investment at the common share market price at the beginning of the period indicated, reinvestment of all distributions for the period in accordance with the Trusts dividend reinvestment plan, and sale of all shares at the closing common share market price at the end of the period indicated. | |
(c) | Ratios do not reflect the effect of dividend payments to preferred shareholders. | |
(d) | Ratios reflect the effect of dividend payments to preferred shareholders. | |
(e) | Calculated by subtracting the Trusts total liabilities (not including the preferred shares) from the Trusts total assets and dividing this by the number of preferred shares outstanding. |
Level 1 | quoted prices in active markets for identical investments |
Level 2 | other significant observable inputs (including quoted prices for similar investments, interest rates, prepayment speeds, credit risk, etc.) |
Level 3 | significant unobservable inputs (including the Trusts own assumptions in determining the fair value of investments) |
Amount | Expiration | |||||||
$ | 929,222 | October 31, 2010 | ||||||
2,903,782 | October 31, 2012 | |||||||
593,665 | October 31, 2014 | |||||||
6,620,583 | October 31, 2015 | |||||||
34,152,213 | October 31, 2016 | |||||||
22,386,378 | October 31, 2017 |
Cost of investments for tax purposes
|
$ | 722,287,330 | ||||
Gross tax unrealized appreciation
|
$ | 37,938,438 | ||||
Gross tax unrealized depreciation
|
(33,643,958 | ) | ||||
Net tax unrealized appreciation on investments
|
$ | 4,294,480 | ||||
Distributions paid from:
|
||||
Ordinary income
|
$ | 62,715 | ||
Tax exempt income
|
35,004,747 | |||
$ | 35,067,462 | |||
Undistributed ordinary income
|
$ | 145,140 | ||
Undistributed tax-exempt income
|
12,223,144 |
Six Months
Ended |
Year Ended |
|||||||
April 30, 2010 | October 31, 2009 | |||||||
Beginning Shares
|
38,902,185 | 38,856,411 | ||||||
Shares Issued Through Dividend Reinvestment
|
44,690 | 54,374 | ||||||
Shares Repurchased *
|
0 | (8,600 | ) | |||||
Ending Shares
|
38,946,875 | 38,902,185 | ||||||
* | The Trust has a share repurchase program for purposes of enhancing stockholder value and reducing the discount at which the Trusts shares trade from its net asset value. For the six months ended April 30, 2010 and the year ended October 31, 2009, the Trust repurchased 0 and 8,600, respectively of its shares at an average discount of 0% and 11.28%, respectively from net asset value per share. The Trust expects to continue to repurchase its outstanding shares at such time and in such amounts as it believes such activity will further the accomplishment of the foregoing objectives, subject to review of the Trustees. |
Series A | Series B | Series C | Series D | Series E | ||||||||||||||||||||||||||||||||||||||
Shares | Value | Shares | Value | Shares | Value | Shares | Value | Shares | Value | |||||||||||||||||||||||||||||||||
Outstanding at October 31, 2009
|
2,100 | 52,500,000 | 2,250 | 56,250,000 | 2,100 | 52,500,000 | 2,250 | 56,250,000 | 750 | 18,750,000 | ||||||||||||||||||||||||||||||||
Amount Retired
|
(150 | ) | (3,750,000 | ) | (300 | ) | (7,500,000 | ) | (150 | ) | (3,750,000 | ) | (300 | ) | (7,500,000 | ) | (100 | ) | (2,500,000 | ) | ||||||||||||||||||||||
Outstanding at April 30, 2010
|
1,950 | 48,750,000 | 1,950 | 48,750,000 | 1,950 | 48,750,000 | 1,950 | 48,750,000 | 650 | 16,250,000 | ||||||||||||||||||||||||||||||||
Trustees David C. Arch Jerry D. Choate Rod Dammeyer Linda Hutton Heagy R. Craig Kennedy Howard J Kerr Colin Meadows Jack E. Nelson Hugo F. Sonnenschein Wayne W. Whalen, Chairman Suzanne H. Woolsey Officers Colin Meadows President and Principal Executive Officer John M. Zerr Senior Vice President, Chief Legal Officer and Secretary Lisa O. Brinkley Vice President Kevin M. Carome Vice President Karen Dunn Kelly Vice President Sheri Morris Vice President, Principal Financial Officer and Treasurer Lance A. Rejsek Anti-Money Laundering Compliance Officer Todd L. Spillane Chief Compliance Officer |
Transfer
Agent Computershare Trust Company, N.A. c/o Computershare Investor Services P.O. Box 43078 Providence, RI 02940-3078 Independent Registered Public Accounting Firm PricewaterhouseCoopers LLP 1201 Louisiana Street, Suite 2900 Houston, TX 77002-5678 Legal Counsel Skadden, Arps, Slate, Meagher & Flom LLP 155 West Wacker Drive Chicago, Illinois 60606 Investment Adviser Invesco Advisers, Inc. 1555 Peachtree Street, N.E. Atlanta, GA 30309 |
Votes |
Withheld/ |
|||||||||||
Matter | Votes For | Against | Abstentions | |||||||||
(1) Approve a new advisory agreement between the
Trust and Invesco Advisors, Inc.
|
20,072,061 | 989,563 | 1,098,583 | |||||||||
(2) Approve a new sub-advisory agreement between
Invesco Advisors, Inc. and each of Invesco TriMark Ltd.; Invesco
Asset Management Deutschland, GmbH; Invesco Asset Management
Limited; Invesco Asset Management (Japan) Limited; Invesco
Australia Limited; Invesco Hong Kong Limited; Invesco
Institutional (N.A.), Inc.; and Invesco Senior Secured
Management, Inc.
|
20,005,708 | 1,033,752 | 1,120,745 |
ITEM 2. | CODE OF ETHICS. |
ITEM 3. | AUDIT COMMITTEE FINANCIAL EXPERT. |
Not applicable. |
ITEM 4. | PRINCIPAL ACCOUNTANT FEES AND SERVICES. |
Not applicable. |
ITEM 5. | AUDIT COMMITTEE OF LISTED REGISTRANTS. |
Not applicable. |
ITEM 6. | SCHEDULE OF INVESTMENTS. |
Investments in securities of unaffiliated issuers is included as part of the reports to stockholders filed under Item 1 of this Form. |
ITEM 7. | DISCLOSURE OF PROXY VOTING POLICIES AND PROCEDURES FOR CLOSED-END MANAGEMENT INVESTMENT COMPANIES. |
Not applicable. |
ITEM 8. | PORTFOLIO MANAGERS OF CLOSED-END MANAGEMENT INVESTMENT COMPANIES. |
Not applicable. |
ITEM 9. | PURCHASES OF EQUITY SECURITIES BY CLOSED-END MANAGEMENT INVESTMENT COMPANY AND AFFILIATED PURCHASERS. |
Not applicable. |
ITEM 10. | SUBMISSION OF MATTERS TO A VOTE OF SECURITY HOLDERS. |
None. |
ITEM 11. | CONTROLS AND PROCEDURES. |
(a) | As of June 25, 2010, an evaluation was performed under the supervision and with the participation of the officers of the Registrant, including the Principal Executive Officer (PEO) and Principal Financial Officer (PFO), to assess the effectiveness of the Registrants disclosure controls and procedures, as that term is defined in Rule 30a-3(c) under the Investment Company Act of 1940 (the Act), as amended. Based on that evaluation, the Registrants officers, including the PEO and PFO, concluded that, as of June 25, 2010, the Registrants disclosure controls and procedures were reasonably designed to ensure: (1) that information required to be disclosed by the Registrant on Form N-CSR is recorded, |
processed, summarized and reported within the time periods specified by the rules and forms of the Securities and Exchange Commission; and (2) that material information relating to the Registrant is made known to the PEO and PFO as appropriate to allow timely decisions regarding required disclosure. | ||
(b) | There have been no changes in the Registrants internal control over financial reporting (as defined in Rule 30a-3(d) under the Act) that occurred during the second fiscal quarter of the period covered by the report that has materially affected, or is reasonably likely to materially affect, the Registrants internal control over financial reporting. |
ITEM 12. | EXHIBITS. |
12(a) (1)
|
Not applicable. | |
12(a) (2)
|
Certifications of principal executive officer and principal financial officer as required by Rule 30a-2(a) under the Investment Company Act of 1940. | |
12(a) (3)
|
Not applicable. | |
12(b)
|
Certifications of principal executive officer and principal financial officer as required by Rule 30a-2(b) under the Investment Company Act of 1940. |
By: | /s/ Colin Meadows | |||
Colin Meadows | ||||
Principal Executive Officer |
By: | /s/ Colin Meadows | |||
Colin Meadows | ||||
Principal Executive Officer | ||||
Date: July 8, 2010 | ||||
By: | /s/ Sheri Morris | |||
Sheri Morris | ||||
Principal Financial Officer | ||||
Date: July 8, 2010 | ||||
12(a) (1)
|
Not applicable. | |
12(a) (2)
|
Certifications of principal executive officer and principal financial officer as required by Rule 30a-2(a) under the Investment Company Act of 1940. | |
12(a) (3)
|
Not applicable | |
12(b)
|
Certifications of principal executive officer and principal financial officer as required by Rule 30a-2(b) under the Investment Company Act of 1940. |