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Share Name | Share Symbol | Market | Type |
---|---|---|---|
Neuberger Berman New York Municipal Fund Inc | AMEX:NBO | AMEX | Common Stock |
Price Change | % Change | Share Price | High Price | Low Price | Open Price | Shares Traded | Last Trade | |
---|---|---|---|---|---|---|---|---|
0.00 | 0.00% | 8.48 | 0 | 00:00:00 |
Principal Amount
|
Value
|
|
Municipal Notes 156.3%
|
||
American Samoa 0.9%
|
||
$500,000
|
American Samoa Economic Development Authority General Revenue Refunding, Series 2015-A,
6.25%, due 9/1/2029
|
$520,343
|
California 5.7%
|
||
250,000
|
California State Pollution Control Financing Authority Solid Waste Disposal Revenue (Aemerage Redak
Services Southern California LLC Project), Series 2016, 7.00%, due 12/1/2027
|
25,000
(a)(b)
|
345,000
|
California State Pollution Control Financing Authority Solid Waste Disposal Revenue (Green
Bond-Rialto Bioenergy Facility LLC Project), Series 2019, 7.50%, due 12/1/2040
|
206,997
(a)(b)
|
3,115,000
|
Corona-Norca Unified School District General Obligation Capital Appreciation (Election 2006),
Series 2009-C, (AGM Insured), 0.00%, due 8/1/2024
|
3,007,253
|
|
|
3,239,250
|
Guam 4.3%
|
||
500,000
|
Antonio B Won Pat International Airport Authority Revenue Refunding, Series 2023-A, 5.38%, due
10/1/2043
|
492,245
|
200,000
|
Guam Government Business Privilege Tax Revenue Refunding, Series 2021-F, 4.00%, due 1/1/2036
|
191,344
|
650,000
|
Guam Government Hotel Occupancy Tax Revenue, Series 2021-A, 5.00%, due 11/1/2035
|
677,326
|
1,035,000
|
Guam Power Authority Revenue, Series 2022-A, 5.00%, due 10/1/2036
|
1,094,825
|
|
|
2,455,740
|
Kansas 0.9%
|
||
|
Goddard Kansas Sales Tax Special Obligation Revenue (Olympic Park Star Bond Project)
|
|
165,000
|
Series 2019, 3.60%, due 6/1/2030
|
156,250
|
420,000
|
Series 2021, 3.50%, due 6/1/2034
|
371,341
|
|
|
527,591
|
Louisiana 0.9%
|
||
500,000
|
Louisiana State Public Facilities Authority Revenue (Southwest Louisiana Charter Academy Foundation
Project), Series 2013-A, 7.63%, due 12/15/2028
|
501,675
|
New York 129.4%
|
||
|
Albany Capital Resource Corp. Refunding Revenue (Albany College of Pharmacy & Health Sciences)
|
|
380,000
|
Series 2014-A, 5.00%, due 12/1/2027
|
383,630
|
375,000
|
Series 2014-A, 5.00%, due 12/1/2028
|
378,722
|
270,000
|
Series 2014-A, 5.00%, due 12/1/2029
|
272,742
|
750,000
|
Broome County Local Development Corp. Revenue (Good Shepherd Village at Endwell, Inc. Project),
Series 2021, 4.00%, due 1/1/2047
|
550,116
|
500,000
|
Buffalo & Erie County Industrial Land Development Corp. Revenue (Tapestry Charter School Project),
Series 2017, 5.00%, due 8/1/2047
|
456,971
|
1,325,000
|
Buffalo & Erie County Industrial Land Development Corp. Revenue Refunding (Charter School for
Applied Technologies Project), Series 2017-A, 5.00%, due 6/1/2035
|
1,354,616
|
|
Buffalo & Erie County Industrial Land Development Corp. Revenue Refunding (Orchard Park)
|
|
500,000
|
Series 2015, 5.00%, due 11/15/2027
|
506,533
|
500,000
|
Series 2015, 5.00%, due 11/15/2028
|
505,340
|
|
Build NYC Resource Corp. Refunding Revenue (City University - Queens College)
|
|
270,000
|
Series 2014-A, 5.00%, due 6/1/2026
|
272,910
|
225,000
|
Series 2014-A, 5.00%, due 6/1/2029
|
227,223
|
500,000
|
Build NYC Resource Corp. Refunding Revenue (Methodist Hospital Project), Series 2014, 5.00%, due
7/1/2029 Pre-Refunded 7/1/2024
|
507,247
|
1,250,000
|
Build NYC Resource Corp. Refunding Revenue (New York Law School Project), Series 2016, 4.00%,
due 7/1/2045
|
1,040,505
|
|
Build NYC Resource Corp. Refunding Revenue (Packer Collegiate Institute Project)
|
|
155,000
|
Series 2015, 5.00%, due 6/1/2026
|
158,766
|
Principal Amount
|
Value
|
|
New York – cont'd
|
||
$125,000
|
Series 2015, 5.00%, due 6/1/2027
|
$127,836
|
195,000
|
Series 2015, 5.00%, due 6/1/2028
|
199,043
|
220,000
|
Series 2015, 5.00%, due 6/1/2029
|
224,093
|
325,000
|
Series 2015, 5.00%, due 6/1/2030
|
330,528
|
565,000
|
Build NYC Resource Corp. Revenue, Series 2014, 5.00%, due 11/1/2024
|
553,302
|
750,000
|
Build NYC Resource Corp. Revenue (Metropolitan Lighthouse Charter School Project), Series 2017-A,
5.00%, due 6/1/2047
|
683,788
(a)
|
575,000
|
Build NYC Resource Corp. Revenue (New Dawn Charter School Project), Series 2019, 5.75%, due
2/1/2049
|
531,704
(a)
|
450,000
|
Build NYC Resource Corp. Revenue (New World Preparatory Charter School Project), Series 2021-A,
4.00%, due 6/15/2056
|
319,976
(a)
|
750,000
|
Build NYC Resource Corp. Revenue (Shefa School Project), Series 2021-A, 5.00%, due 6/15/2051
|
640,042
(a)
|
100,000
|
Build NYC Resource Corp. Solid Waste Disposal Refunding Revenue (Pratt Paper, Inc. Project),
Series 2014, 4.50%, due 1/1/2025
|
100,459
(a)
|
|
Dutchess County Local Development Corp. Revenue (Culinary Institute of America Project)
|
|
200,000
|
Series 2016-A-1, 5.00%, due 7/1/2041
|
201,110
|
275,000
|
Series 2016-A-1, 5.00%, due 7/1/2046
|
275,508
|
|
Hempstead Town Local Development Corp. Revenue (Molloy College Project)
|
|
405,000
|
Series 2018, 5.00%, due 7/1/2031
|
422,517
|
425,000
|
Series 2018, 5.00%, due 7/1/2032
|
442,515
|
450,000
|
Series 2018, 5.00%, due 7/1/2033
|
467,759
|
|
Metropolitan Transportation Authority Revenue (Green Bond)
|
|
1,500,000
|
Series 2020-C-1, 5.00%, due 11/15/2050
|
1,553,099
|
2,000,000
|
Series 2020-D-3, 4.00%, due 11/15/2049
|
1,851,950
|
300,000
|
Monroe County Industrial Development Corp. Revenue (Monroe Community College), Series 2014,
(AGM Insured), 5.00%, due 1/15/2029
|
302,775
|
|
Monroe County Industrial Development Corp. Revenue (Nazareth College of Rochester Project)
|
|
500,000
|
Series 2013-A, 5.00%, due 10/1/2024
|
500,701
|
500,000
|
Series 2013-A, 5.00%, due 10/1/2025
|
500,731
|
250,000
|
Series 2013-A, 4.00%, due 10/1/2026
|
248,110
|
210,000
|
Monroe County Industrial Development Corp. Revenue (Saint John Fisher College), Series 2012-A,
5.00%, due 6/1/2025
|
210,202
|
1,000,000
|
Nassau County Local Economic Assistance Corp. Revenue (Catholic Health Services of Long Island
Obligated Group Project), Series 2014, 5.00%, due 7/1/2027
|
1,013,350
|
4,175,000
|
Nassau County Tobacco Settlement Corp. Asset Backed, Series 2006-A-3, 5.13%, due 6/1/2046
|
3,860,211
|
1,375,000
|
New York City Industrial Development Agency Revenue (Queens Ballpark Co. LLC), Series 2021-A,
(AGM Insured), 3.00%, due 1/1/2046
|
1,047,863
|
2,000,000
|
New York City Industrial Development Agency Revenue (Yankee Stadium Project), Series 2020-A,
(AGM Insured), 3.00%, due 3/1/2049
|
1,493,372
|
825,000
|
New York City Municipal Water Finance Authority Water & Sewer System Refunding Revenue (Second
General Resolution Revenue Bonds), Series 2022-DD, 4.18%, due 6/15/2033
|
825,000
(c)
|
2,400,000
|
New York City Municipal Water Finance Authority Water & Sewer System Revenue (Second General
Resolution Revenue Bonds), (LOC: Barclays Bank PLC), Subseries 2014-BB-4, 4.48%, due 6/15/2050
|
2,400,000
(c)
|
750,000
|
New York City Trust for Cultural Resource Refunding Revenue (Lincoln Center for the Performing Arts,
Inc.), Series 2020-A, 4.00%, due 12/1/2035
|
784,124
|
|
New York General Obligation
|
|
400,000
|
(LOC: Barclays Bank PLC), Series 2017-B-5, 4.48%, due 10/1/2046
|
400,000
(c)
|
800,000
|
(LOC: State Street Bank & Trust Co.), Series 2022-D-3, 4.55%, due 5/1/2052
|
800,000
(c)
|
1,000,000
|
Series 2012-3, 4.18%, due 4/1/2042
|
1,000,000
(c)
|
500,000
|
New York Liberty Development Corp. Refunding Revenue (3 World Trade Center Project), Series 2014,
5.38%, due 11/15/2040
|
500,663
(a)
|
2,000,000
|
New York Liberty Development Corp. Revenue (Goldman Sachs Headquarters), Series 2005, 5.25%,
due 10/1/2035
|
2,286,126
|
Principal Amount
|
Value
|
|
New York – cont'd
|
||
$750,000
|
New York Liberty Development Corp. Revenue Refunding (Bank of America Tower at One Bryant Park
Project), Series 2019, Class 3, 2.80%, due 9/15/2069
|
$680,165
|
1,450,000
|
New York State Dormitory Authority Revenue, Series 2018-A, 5.00%, due 7/1/2048
|
1,525,438
|
780,000
|
New York State Dormitory Authority Revenue Non State Supported Debt (Culinary Institute of
America), Series 2013, 4.63%, due 7/1/2025
|
780,284
|
|
New York State Dormitory Authority Revenue Non State Supported Debt (Touro College & University
System Obligated Group)
|
|
460,000
|
Series 2014-A, 4.00%, due 1/1/2026 Pre-Refunded 7/1/2024
|
463,184
|
470,000
|
Series 2014-A, 4.00%, due 1/1/2027 Pre-Refunded 7/1/2024
|
473,253
|
200,000
|
Series 2014-A, 4.00%, due 1/1/2028 Pre-Refunded 7/1/2024
|
201,384
|
275,000
|
Series 2014-A, 4.13%, due 1/1/2029 Pre-Refunded 7/1/2024
|
277,210
|
615,000
|
New York State Dormitory Authority Revenue Non State Supported Debt (Vaughn College of
Aeronautics & Technology), Series 2016, 5.00%, due 12/1/2026
|
610,218
(a)
|
400,000
|
New York State Dormitory Authority Revenue Refunding Non State Supported Debt (Garnet Health
Medical Center), Series 2017, 5.00%, due 12/1/2035
|
400,447
(a)
|
1,500,000
|
New York State Dormitory Authority Revenue Refunding Non State Supported Debt (Montefiore
Obligation Group), Series 2018-A, 5.00%, due 8/1/2035
|
1,508,653
|
|
New York State Dormitory Authority Revenue Refunding Non State Supported Debt (Orange Regional
Medical Center)
|
|
200,000
|
Series 2017, 5.00%, due 12/1/2036
|
200,099
(a)
|
400,000
|
Series 2017, 5.00%, due 12/1/2037
|
395,297
(a)
|
|
New York State Environmental Facilities Corp. Solid Waste Disposal Revenue (Casella Waste System,
Inc. Project)
|
|
500,000
|
Series 2014, 2.88%, due 12/1/2044 Putable 12/3/2029
|
442,384
(a)
|
500,000
|
Series 2020-R-1, 2.75%, due 9/1/2050 Putable 9/2/2025
|
480,666
|
660,000
|
New York State Housing Finance Agency Revenue (Affordable Housing), Series 2012-F, (SONYMA
Insured), 3.05%, due 11/1/2027
|
641,823
|
830,000
|
New York State Housing Finance Agency Revenue Refunding (Affordable Housing), Series 2020-H,
2.45%, due 11/1/2044
|
564,210
|
1,045,000
|
New York State Mortgage Agency Homeowner Mortgage Refunding Revenue, Series 2014-189,
3.45%, due 4/1/2027
|
1,031,795
|
2,000,000
|
New York State Transportation Development Corp. Facility Revenue (Empire State Thruway Service
Areas Project), Series 2021, 4.00%, due 4/30/2053
|
1,694,568
|
1,500,000
|
New York State Transportation Development Corp. Special Facility Refunding Revenue (American
Airlines, Inc.-John F Kennedy International Airport Project), Series 2016, 5.00%, due 8/1/2031
|
1,501,605
|
2,000,000
|
New York State Transportation Development Corp. Special Facility Revenue (Delta Airlines,
Inc.-LaGuardia Airport Terminal C&D Redevelopment), Series 2018-A, 5.00%, due 1/1/2033
|
2,068,338
|
1,145,000
|
New York State Transportation Development Corp. Special Facility Revenue (LaGuardia Airport Terminal
B Redevelopment Project), Series 2016-A, 4.00%, due 7/1/2041
|
1,054,895
|
|
New York State Transportation Development Corp. Special Facility Revenue Refunding (JFK
International Airport Terminal 4 Project)
|
|
100,000
|
Series 2020-A, 4.00%, due 12/1/2042
|
93,719
|
400,000
|
Series 2020-C, 4.00%, due 12/1/2042
|
383,875
|
1,000,000
|
Niagara Area Development Corp. Solid Waste Disposal Facility Revenue Refunding (Covanta Project),
Series 2018-A, 4.75%, due 11/1/2042
|
878,060
(a)
|
|
Niagara Frontier Transportation Authority Revenue Refunding (Buffalo Niagara International Airport)
|
|
375,000
|
Series 2019-A, 5.00%, due 4/1/2037
|
391,544
|
350,000
|
Series 2019-A, 5.00%, due 4/1/2038
|
364,049
|
350,000
|
Series 2019-A, 5.00%, due 4/1/2039
|
362,242
|
|
Oneida County Local Development Corp. Revenue Refunding (Mohawk Valley Health Systems Project)
|
|
1,250,000
|
Series 2019-A, (AGM Insured), 3.00%, due 12/1/2044
|
967,114
|
2,000,000
|
Series 2019-A, (AGM Insured), 4.00%, due 12/1/2049
|
1,797,558
|
Principal Amount
|
Value
|
|
New York – cont'd
|
||
$500,000
|
Port Authority New York & New Jersey Consolidated Bonds Revenue Refunding (Two Hundred),
Series 2017, 5.00%, due 4/15/2057
|
$517,014
|
1,980,000
|
Suffolk County Judicial Facilities Agency Lease Revenue (H. Lee Dennison Building), Series 2013,
5.00%, due 11/1/2025
|
1,985,134
|
1,640,000
|
Suffolk Tobacco Asset Securitization Corp. Refunding (Tobacco Settle Asset Backed Subordinated
Bonds), Series 2021-B1, 4.00%, due 6/1/2050
|
1,600,909
|
35,000
|
Triborough Bridge & Tunnel Authority Special Obligation, Series 1998-A, (National Public Finance
Guarantee Corp. Insured), 4.75%, due 1/1/2024
|
35,185
|
|
TSASC, Inc. Revenue Refunding
|
|
580,000
|
Series 2017-A, 5.00%, due 6/1/2028
|
607,088
|
3,000,000
|
Series 2017-A, 5.00%, due 6/1/2041
|
3,053,112
|
3,000,000
|
Utility Debt Securitization Authority Revenue, Series 2013-TE, 5.00%, due 12/15/2028
|
3,018,648
|
|
Westchester County Local Development Corp. Refunding Revenue (Westchester Medical Center)
|
|
825,000
|
Series 2016, 5.00%, due 11/1/2030
|
830,952
|
1,000,000
|
Series 2016, 3.75%, due 11/1/2037
|
838,962
|
1,000,000
|
Westchester County Local Development Corp. Revenue (Purchase Senior Learning Community, Inc.
Project), Series 2021-A, 5.00%, due 7/1/2056
|
780,621
(a)
|
1,000,000
|
Westchester County Local Development Corp. Revenue Refunding (Kendal on Hudson Project),
Series 2022-B, 5.00%, due 1/1/2051
|
938,994
|
1,000,000
|
Westchester County Local Development Corp. Revenue Refunding (Wartburg Senior Housing Project),
Series 2015-A, 5.00%, due 6/1/2030
|
914,093
(a)
|
665,000
|
Yonkers Economic Development Corp. Education Revenue (Charter School of Education Excellence
Project), Series 2019-A, 5.00%, due 10/15/2049
|
593,723
|
2,000,000
|
Yonkers Industrial Development Agency School Facilities Revenue (New Community School Project),
Series 2022, 5.00%, due 5/1/2047
|
2,154,754
|
|
|
73,817,044
|
Ohio 0.3%
|
||
230,000
|
Southern Ohio Port Exempt Facility Authority Revenue, (PureCycle Project), Series 2020-A, 7.00%, due
12/1/2042
|
171,575
(a)
|
Puerto Rico 9.7%
|
||
750,000
|
Puerto Rico Commonwealth General Obligation (Restructured), Series 2021-A1, 4.00%, due 7/1/2046
|
624,111
|
5,017,000
|
Puerto Rico Sales Tax Financing Corp. Sales Tax Revenue, Series 2018-A-1, 5.00%, due 7/1/2058
|
4,882,863
|
|
|
5,506,974
|
South Carolina 0.4%
|
||
300,000
|
South Carolina Jobs Economic Development Authority Solid Waste Disposal Revenue (AMT-Green
Bond-Last Step Recycling LLC Project), Series 2021-A, 6.50%, due 6/1/2051
|
224,289
(a)
|
Texas 0.6%
|
||
393,043
|
Mission Economic Development Corp. Water Supply Revenue (Green Bond-Environmental Water
Minerals Project), Series 2015, 7.75%, due 1/1/2045
|
7,861
(a)(b)
|
325,000
|
New Hope Cultural Education Facilities Finance Corp. Senior Living Revenue (Bridgemoor Plano
Project), Series 2018-A, 7.25%, due 12/1/2053
|
339,625
(b)
|
|
|
347,486
|
Virgin Islands 1.7%
|
||
1,000,000
|
Matching Fund Special Purpose Securitization Corp. Refunding, Series 2022-A, 5.00%, due 10/1/2039
|
996,639
|
Wisconsin 1.5%
|
||
300,000
|
Public Finance Authority Retirement Facility Revenue Refunding (Friends Homes), Series 2019, 5.00%,
due 9/1/2054
|
253,879
(a)
|
Principal Amount
|
Value
|
|
Wisconsin – cont'd
|
||
$800,000
|
Saint Croix Chippewa Indians of Wisconsin Refunding, Series 2021, 5.00%, due 9/30/2041
|
$600,760
(a)
|
|
|
854,639
|
Total Investments 156.3% (Cost $95,791,643)
|
89,163,245
|
|
Other Assets Less Liabilities 7.7%
|
4,369,894
|
|
Liquidation Preference of Variable Rate Municipal Term Preferred Shares (64.0%)
|
(36,500,000
)
|
|
Net Assets Applicable to Common Stockholders 100.0%
|
$57,033,139
|
(a)
|
Securities were purchased under Rule 144A of the Securities Act of 1933, as amended, or are otherwise
restricted and, unless registered under the Securities Act of 1933 or exempted from registration, may only
be sold to qualified institutional investors or may have other restrictions on resale. At July 31, 2023, these
securities amounted to $8,888,212, which represents 15.6% of net assets applicable to common
stockholders of the Fund.
|
(b)
|
Defaulted security.
|
(c)
|
Variable rate demand obligation where the stated interest rate is not based on a published reference rate
and spread. Rather, the interest rate generally resets daily or weekly and is determined by the remarketing
agent. The rate shown represents the rate in effect at July 31, 2023.
|
Asset Valuation Inputs
|
Level 1
|
Level 2
|
Level 3
|
Total
|
Investments:
|
|
|
|
|
Municipal Notes#
|
$—
|
$89,163,245
|
$—
|
$89,163,245
|
Total Investments
|
$—
|
$89,163,245
|
$—
|
$89,163,245
|
#
|
The Schedule of Investments provides a categorization by state/territory.
|
Other Abbreviations:
|
|
Management
|
= Neuberger Berman Investment Advisers LLC
|
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