AllianceBernstein National Municipal Income Fund, Inc. RELEASES MONTHLY PORTFOLIO UPDATE
      
        
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                Top 10  |  | Portfolio % | 
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              1) Melissa Independent School District Series 2024-2 4.25%,  |  | 2.12 % | 
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              2) Commonwealth of Massachusetts Series 2024-A 5.00%,  |  | 2.01 % | 
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              3) Oklahoma Turnpike Authority Series 2023 4.50%,  |  | 1.96 % | 
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              4) Dallas Independent School District Series 2024-2 4.00%,  |  | 1.91 % | 
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              5)  |  | 1.88 % | 
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              6) Metropolitan Washington Airports Authority Aviation Revenue Series 2025-2 5.50%,  |  | 1.86 % | 
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              7) State of Hawaii Airports System Revenue Series 2025-A 5.50%,  |  | 1.86 % | 
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              8) Worthington City School District Series 2023 5.50%,  |  | 1.86 % | 
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              9)  |  | 1.85 % | 
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              10) County of Miami-Dade FL Aviation Revenue Series 2025-A 5.50%,  |  | 1.85 % | 
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| Sector/Industry Breakdown |  | Portfolio % | 
| Revenue |  |  | 
| Health Care - Not-for-Profit |  | 13.55 % | 
| Airport |  | 10.30 % | 
| Revenue - Miscellaneous |  | 8.66 % | 
| Toll Roads/Transit |  | 5.49 % | 
| Prepay Energy |  | 4.68 % | 
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                 |  | 4.08 % | 
| Higher Education - Private |  | 3.47 % | 
| Primary/Secondary Ed. - Public |  | 3.21 % | 
| Port |  | 2.61 % | 
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                 |  | 2.18 % | 
| Higher Education - Public |  | 1.78 % | 
| Senior Living |  | 1.30 % | 
| Electric Utility |  | 1.23 % | 
| Water & Sewer |  | 0.80 % | 
| Tobacco Securitization |  | 0.29 % | 
| Primary/Secondary Ed. - Private |  | 0.18 % | 
| SUBTOTAL |  | 63.81 % | 
| Tax Supported |  |  | 
| Local G.O. |  | 10.98 % | 
| State G.O. |  | 6.41 % | 
| Special Tax |  | 3.51 % | 
| Local Lease |  | 1.48 % | 
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                 |  | 0.18 % | 
| SUBTOTAL |  | 22.56 % | 
| Guaranteed |  | 11.77 % | 
| Asset-Backed |  |  | 
| Housing - Multi-Family |  | 1.48 % | 
| SUBTOTAL |  | 1.48 % | 
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| Non-Agency Fixed Rate CMBS |  | 0.36 % | 
| SUBTOTAL |  | 0.36 % | 
| Prerefunded/ETM |  | 0.02 % | 
| Total |  | 100.00 % | 
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| State Breakdown |  | Portfolio % | 
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                 |  | 14.43 % | 
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                 |  | 9.11 % | 
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                 |  | 8.51 % | 
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                 |  | 7.60 % | 
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                 |  | 7.20 % | 
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                 |  | 6.50 % | 
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                 |  | 5.85 % | 
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                 |  | 4.34 % | 
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                 |  | 4.18 % | 
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                 |  | 3.06 % | 
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                 |  | 2.95 % | 
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                 |  | 2.73 % | 
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                 |  | 2.60 % | 
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                 |  | 2.35 % | 
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                 |  | 2.04 % | 
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                 |  | 1.96 % | 
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                 |  | 1.94 % | 
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                 |  | 1.86 % | 
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                 |  | 1.72 % | 
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                 |  | 1.31 % | 
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                 |  | 0.97 % | 
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                 |  | 0.94 % | 
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                 |  | 0.85 % | 
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                 |  | 0.76 % | 
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                 |  | 0.69 % | 
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                 |  | 0.59 % | 
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                 |  | 0.50 % | 
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                 |  | 0.48 % | 
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                 |  | 0.37 % | 
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                 |  | 0.36 % | 
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                 |  | 0.35 % | 
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                 |  | 0.35 % | 
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                 |  | 0.23 % | 
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                 |  | 0.19 % | 
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                 |  | 0.13 % | 
| Total Investments |  | 100.00 % | 
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| Credit Quality Breakdown |  | Portfolio % | 
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                 |  | 12.33 % | 
| AA |  | 38.27 % | 
| A |  | 21.75 % | 
| BBB |  | 16.17 % | 
| BB |  | 7.20 % | 
| B |  | 0.53 % | 
| Not Rated |  | 3.73 % | 
| Pre-refunded Bonds |  | 0.02 % | 
| Total |  | 100.00 % | 
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| Bonds by Maturity |  | Portfolio % | 
| Less than 1 Year |  | 0.19 % | 
| 1 to 5 Years |  | 0.18 % | 
| 5 to 10 Years |  | 2.42 % | 
| 10 to 20 Years |  | 12.15 % | 
| 20 to 30 Years |  | 60.94 % | 
| More than 30 Years |  | 24.12 % | 
| Other |  | 0.00 % | 
| Total Net Assets |  | 100.00 % | 
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| Portfolio Statistics: |  |  | 
| AMT Percent: |  | 20.83 % | 
| Average Coupon: |  | 4.63 % | 
| Percentage of Leverage: |  |  | 
| Bank Borrowing: |  | 0.00 % | 
| Investment Operations: |  | 0.17 % | 
| Auction Preferred Shares (APS): |  | 0.00 % | 
| Tender Option Bonds: |  | 7.45 % | 
| VMTP Shares: |  | 14.95 % | 
| VRDP Shares: |  | 16.94 % | 
| Total Fund Leverage: |  | 39.51%* | 
| Average Maturity: |  | 14.31 Years | 
| Effective Duration: |  | 12.82 Years | 
| Total Net Assets: |  | 
              
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| Common Stock Net Asset Value: |  | 
              
                 | 
| Total Number of Holdings: |  | 169 | 
| Portfolio Turnover: |  | 32.00 % | 
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| * The total percentage of leverage constitutes 7.45% through the use of tender option bonds, 14.95% |  |  | 
| in issued and outstanding VMTPs, 16.94% in issued and outstanding VRDPs and 0.17% 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. | ||
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              ** The Fund also had outstanding  |  |  | 
| in Total Net Assets because it is treated as a liability for financial reporting purposes. | ||
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              ** The Fund also had outstanding  |  |  | 
| in Total Net Assets because it is treated as a liability for financial reporting purposes. | ||
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| The foregoing portfolio characteristics are as of the date indicated and can be expected to change. The | ||
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              Fund is a closed-end  | ||
       View original content:https://www.prnewswire.com/news-releases/alliancebernstein-national-municipal-income-fund-inc-releases-monthly-portfolio-update-302595655.html
 View original content:https://www.prnewswire.com/news-releases/alliancebernstein-national-municipal-income-fund-inc-releases-monthly-portfolio-update-302595655.html
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