Alliance New York Municipal Income Fund Releases Monthly Portfolio Update - WMDT 47 News - Delmarva's Choice

Alliance New York Municipal Income Fund Releases Monthly Portfolio Update

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SOURCE Alliance New York Municipal Income Fund, Inc.

NEW YORK, April 23, 2013 /PRNewswire/ -- Alliance New York Municipal Income Fund, Inc. (NYSE: AYN) (the "Fund") today released its monthly portfolio update as of March 31, 2013.

Alliance New York Municipal Income Fund, Inc.


Top 10 Fixed-Income Holdings



Portfolio %

1) Port Authority of NY & NJ     5.00%,  10/01/27      

4.97%

2) New York St Dormitory Auth   NPFGC Series 04      

4.65%

   5.75%,  8/01/14 (Prerefunded/ETM)


3) Erie Cnty NY Fiscal Stability Auth (Erie Cnty     

4.12%

   Ny Sales Tax)  Series 2011C  5.00%,  12/01/25


4) New York St Thruway Auth (New York St Thruway     

4.08%

   Auth Ded Tax)  Series 2011A  5.00%,  4/01/25 


5) Puerto Rico Sales Tax Fin Corp.   Series 2009A     

3.72%

   5.50%,  8/01/28


6) Tobacco Settlement Fin Corp. NY (New York St      

3.50%

   Lease Tobacco Asset Sec) AMBAC Series 03A-1


   5.25%,  6/01/21


7) New York St Envrn Fac Corp.     5.00%,           

3.20%

   8/15/24


8) New York NY Trnsl Fin Auth     5.00%,  5/01/27   

3.07%

9) New York St Thruway Auth (New York St Pers      

3.04%

   Income Tax)  Series 2011A  5.00%,  3/15/26


10) New York NY Trnsl Fin Auth   Series 2002B      

3.03%

   5.00%,  2/01/27



Sector/Industry Breakdown


Portfolio %

Tax Supported


     Special Tax

32.85%

     Local G.O.

12.07%

     Tax-Supported State Lease

5.53%

     State G.O.                

2.32%

     Assessment District            

0.43%

SUBTOTAL                

53.20%

Revenue


     Water & Sewer

8.56%

     Toll Roads/Transit

8.06%

     Health Care - Not-for-Profit

6.02%

     Airport

4.97%

     Higher Education - Private

3.64%

     Electric Utility                   

1.98%

     Senior Living                       

1.69%

     Revenue - Miscellaneous               

1.35%

     Industrial Development - Industry         

0.49%

     Industrial Development - Utility        

0.21%

SUBTOTAL          

36.97%

Prerefunded/ETM                   

6.80%

Asset-Backed


     Housing - Multi-Family      

1.82%

     Housing - Single Family         

1.21%

SUBTOTAL            

3.03%

Total                      

100.00%



State Breakdown



Portfolio %

New York                       

91.76%

Puerto Rico               

6.41%

California                    

0.88%

Colorado                 

0.43%

Illinois                        

0.31%

Ohio                          

0.21%

Total Investments          

100.00%



     Credit Quality Breakdown



Portfolio %

          AAA                 

26.61%

          AA                     

46.20%

          A                      

14.57%

          BBB                           

4.21%

          BB                          

0.49%

          Not Rated                

1.12%

          Pre-refunded Bonds         

6.80%

          Total Investments          

100.00%



Bonds By Maturity



Portfolio %

Less than 1 year                        

1.75%

1 to 5 years                        

5.00%

5 to 10 years                        

11.09%

10 to 20 years                            

75.88%

20 to 30 years                            

6.28%

More than 30 years                    

0.00%

Other                                  

0.00%

Total Investments                   

100.00%



Portfolio Statistics:


     AMT Percentage:   

9.90%

     Average Coupon:     

5.39%

     Percentage of Leverage:


          Bank Borrowing:              

0.00%

          Investment Operations:      

0.52%

          Preferred Stock:                  

36.55%

          Tender Option Bonds:        

3.76%

          Term Asset-Backed Loans Facility (TALF):        

0.00%

          Total Fund Leverage:           

                    40.83%*

     Average Effective Maturity:         

               6.60 Years

     Effective Duration:              

                  5.64 Years

     Total Net Assets:                

           $111.64 Million**

     Common Stock Net Asset Value:        

$14.65

     Number of Holdings:                 

69

     Portfolio Turnover:                  

44%

* The total percentage of leverage constitutes 3.76% through the use of tender option bonds, 36.55% in issued and outstanding preferred stock and 0.52% 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.

** Includes 40,800,000 of preferred stock at liquidation value.

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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