Alliance California Municipal Income Fund Releases Monthly Portfolio Update
December 20 2018 - 3:06PM
PR Newswire (US)
NEW YORK, Dec. 20, 2018 /PRNewswire/ -- Alliance
California Municipal Income Fund, Inc. (NYSE: AKP) (the "Fund")
today released its monthly portfolio update as of November 30, 2018.
Alliance California
Municipal Income Fund, Inc.
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Top 10
Fixed-Income Holdings
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Portfolio
%
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1) Los Angeles
Department of Water Series 2013B 5.00%,
7/01/32
|
3.43%
|
2) Los Angeles County
Metropolitan Transportation Authority (Los Angeles County
Metropolitan Transportation Authority Sales Tax) Series
2009 5.00%, 7/01/25
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3.40%
|
3) San Diego Unified
School District/CA Series 2013C 5.00%,
7/01/32
|
2.84%
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4) San Diego Public
Facilities Financing Authority 5.00%,
5/15/36
|
2.84%
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5) Port of Los
Angeles Series 2009C 5.00%,
8/01/26
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2.82%
|
6) Bay Area Toll
Authority Series 2013S 5.00%, 4/01/33
(Prerefunded/ETM)
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2.82%
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7) City of San
Francisco CA Public Utilities Commission Wastewater Revenue
(San Francisco City & County Public Utilities Commission
Wastewater Revenue) Series 2013B 5.00%,
10/01/32
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2.60%
|
8) San Diego County
Water Authority Financing Corp. Series 2013
5.00%, 5/01/31
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2.38%
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9) University of
California Series 2012G 5.00%,
5/15/31
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2.37%
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10) California
Statewide Communities Development Authority(Buck Institute for
Research on Aging) AGM Series 2014 5.00%,
11/15/44
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2.18%
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Sector/Industry
Breakdown
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Portfolio
%
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Revenue
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Health Care -
Not-for-Profit
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10.59%
|
Revenue -
Miscellaneous
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10.01%
|
Water &
Sewer
|
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8.41%
|
Primary/Secondary Ed.
- Public
|
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4.96%
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Electric
Utility
|
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4.37%
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Toll
Roads/Transit
|
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3.74%
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Port
|
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3.69%
|
Tobacco
Securitization
|
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2.41%
|
Higher Education -
Public
|
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2.37%
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Airport
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2.13%
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Senior
Living
|
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1.66%
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Higher Education -
Private
|
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1.60%
|
Primary/Secondary Ed.
- Private
|
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1.39%
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SUBTOTAL
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57.33%
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Tax
Supported
|
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Local G.O.
|
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9.90%
|
Special
Tax
|
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9.06%
|
Tax-Supported Local
Lease
|
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7.85%
|
Assessment
District
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3.29%
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State G.O.
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1.11%
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SUBTOTAL
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31.21%
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Prerefunded/ETM
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9.95%
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Asset-Backed
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Housing -
Multi-Family
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1.27%
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SUBTOTAL
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1.27%
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Cash
Equivalents
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Investment
Companies
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0.24%
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SUBTOTAL
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0.24%
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Total
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100.00%
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State
Breakdown
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Portfolio
%
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California
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91.75%
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New York
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1.68%
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Guam
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1.45%
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Florida
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1.43%
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New Jersey
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1.25%
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Minnesota
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0.61%
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Illinois
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0.54%
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Missouri
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0.53%
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Pennsylvania
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0.52%
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Other
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0.24%
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Total
Investments
|
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100.00%
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Credit Quality
Breakdown
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Portfolio
%
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AAA
|
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10.30%
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AA
|
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44.39%
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A
|
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13.97%
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BBB
|
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15.37%
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BB
|
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1.88%
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B
|
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1.27%
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Not Rated
|
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2.63%
|
Pre-refunded
Bonds
|
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9.95%
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Short-Term
Investments
|
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0.24%
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Total
Investments
|
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100.00%
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Bonds By
Maturity
|
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Portfolio
%
|
Less than 1
year
|
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0.24%
|
1 to 5
years
|
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0.00%
|
5 to 10
years
|
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13.24%
|
10 to 20
years
|
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59.69%
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20 to 30
years
|
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24.62%
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More Than 30
years
|
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2.21%
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Other
|
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0.00%
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Total
Investments
|
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100.00%
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Portfolio
Statistics:
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AMT
Percent:
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3.27%
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Average
Coupon:
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5.18%
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Percentage of
Leverage:
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Bank
Borrowing:
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0.00%
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Investment
Operations:
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0.55%
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Auction Preferred
Shares (APS):
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15.59%
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Tender Option
Bonds:
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4.17%
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Variable Rate
MuniFund Term Preferred Shares (VMTPs):
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20.93%
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Total Fund
Leverage:
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41.24%*
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Average Effective
Maturity:
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5.19
Years
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Effective
Duration:
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4.49
Years
|
Total Net
Assets:
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$153.90
Million**
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Common Stock Net
Asset Value:
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$14.50
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Number of
Holdings:
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88
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Portfolio
Turnover:
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18%
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* The total
percentage of leverage constitutes 4.17% through the use of tender
option bonds, 15.59% in issued and outstanding APS,20.93% in
issued and outstanding VMTPs and 0.550% 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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** Includes
$29,875,000 of APS at liquidation value. The Fund also had
outstanding $40,125,000 of VMTPs at liquidation value, which is not
included 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 Fund is a closed-end U.S.-registered
management investment company advised by AllianceBernstein L.
P.
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content:http://www.prnewswire.com/news-releases/alliance-california-municipal-income-fund-releases-monthly-portfolio-update-300769861.html
SOURCE Alliance California Municipal Income Fund, Inc.
Copyright 2018 PR Newswire
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