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NEW YORK, April 22 /PRNewswire-FirstCall/ -- Alliance New York Municipal Income Fund, Inc. [NYSE: AYN] (the "Fund") today released its monthly portfolio update as of March 31, 2009.
Alliance New York Municipal Income Fund, Inc.
Top 10 Fixed-Income Holdings
Portfolio %
1)New York St Mortgage Agy Sfhr (New York St 9.35%
Mortgage Agy) Series 01-29 5.45%, 4/01/31
2)New York NY GO Series 01B 5.50%, 12/01/31 5.11%
(Prerefunded)
3)New York St Udc Series 02A 5.25%, 3/15/32 5.10%
(Prerefunded)
4)Metropolitan Trnsp Auth NY Series 02A 5.125%, 4.70%
11/15/31
5)New York St Dormitory Itory Auth (Maimonides 4.63%
Med Ctr) MBIA Series 04 5.75%, 8/01/29
6)New York NY Trst for Cult Res (Museum of 4.60%
Modern Art) AMBAC Series 01D 5.125%, 7/01/31
7)New York NY Mun Wtr Auth Series 02A 5.125%, 4.53%
6/15/34
8)Triborough Brdg & Tunl Auth NY Series 01A 4.28%
5.00%, 1/01/32 (Prerefunded)
9)Tobacco Settlement Fin Corp NY (New York St 3.70%
Tobacco Asset Sec) AMBAC Series 03A-1 5.25%,
6/01/21
10)Puerto Rico Hwy & Trnsp Auth Series 02D 3.31%
5.375%, 7/01/36 (Prerefunded)
Sector/Industry Breakdown
Portfolio %
Transportation 15.49%
Hospital/Health Care 15.10%
Housing-Mortgages 10.90%
Community Facility 10.55%
General Obligation 9.70%
Water/SWR 8.45%
Corporate - Utility (Electric) 6.22%
Education 4.23%
Continuing Care Facility 4.00%
Miscellaneous 3.70%
Higher Education 3.03%
Housing-Rental Units 2.84%
Corporate - Utility (Water) 2.11%
Airport Facility 1.55%
Assessment District 0.97%
COP/Lease Rental 0.47%
Port Facility 0.39%
Special Tax 0.30%
Total 100.00%
State Breakdown
Portfolio %
New York 85.93%
Puerto Rico 9.32%
Florida 2.93%
California 0.80%
Illinois 0.31%
Colorado 0.27%
Ohio 0.23%
Pennsylvania 0.21%
Total 100.00%
Credit Quality Breakdown
Portfolio %
AAA 54.90%
AA 25.92%
A 10.53%
BBB 3.77%
BB 2.85%
B 0.75%
A-1+ 1.28%
Total Investments 100.00%
Portfolio Statistics:
AMT Percentage: 16.66%
Average Coupon: 4.97%
Percentage of Leverage:
Bank Loans: 0.00%
Investment Operations: 3.83%
Preferred Stock: 37.08%
Total: 40.91%*
Avg. Maturity: 8.78 Years
Duration: 5.32 Years
Total Net Assets: $105.8 Million
Net Asset Value: $13.47
Number of Holdings: 65
* The total percentage of leverage constitutes 37.08% in issued and outstanding preferred stock and 3.83% in investment operations, which may include the use of certain portfolio management techniques such as tender option bonds, credit default swaps, dollar rolls, negative cash, reverse repurchase agreements and when-issued securities.
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.
DATASOURCE: Alliance New York Municipal Income Fund, Inc.
CONTACT: Shareholder Contact, 1-800-221-5672