Dreyfus Strategic Municipals, Inc. (LEO) Releases Fund Statistics
October 25 2006 - 11:19AM
Business Wire
The following information for Dreyfus Strategic Municipals, Inc.
(NYSE: LEO) is as of Sept. 30, 2006 (except as otherwise noted),
and is subject to change at any time. All percentages are based on
total net assets (except as otherwise noted). Dreyfus Strategic
Municipals, Inc. Symbol : �LEO� � As of Sept. 30, 2006 � Portfolio
Overview Sector Distribution (Top Five) Subject to AMT 24% Health
Care 11% Number of Issues 174� Transportation 10% Average maturity
20 years General Obligation 9% Effective maturity 6.04 years
Education 8% Duration 4.649� Other Revenue 8% Average rating* A
Average coupon 6.153� State Distribution (Top Five) Average dollar
price $107.015� Illinois 9% Pre-refunded securities 16.82% Texas 9%
Leverage 33% California 6% Wisconsin 5% Market Summary Michigan 5%
Market price range (52 weeks) $8.26-$9.24� NAV range (52 weeks)
$9.17-$9.48� Call Schedule (Through 2010) Market price $9.13� 2006�
11% NAV $9.46� 2007� 2% Premium/(discount) (2.96) 2008� 4% Average
daily volume (52 weeks) 72,323� 2009� 9% Shares outstanding
60.59mm� 2010� 5% Net assets $858,391,428� Market Yield and
Dividend Rate** Portfolio Quality* Current market yield 5.52% AAA
33% Current dividend rate $.042� AA 10% A 15% BBB 27% Below
investment grade 15% � * The percentages of these ratings are
calculated based on the higher of Standard & Poor's or Moody's
for individual issues and on a Dreyfus rating for non-rated issues.
**The market yield is calculated by multiplying the current market
distribution by 12 and dividing by the market price per share of
$9.13 as of Sept. 30, 2006. Past Performance is no guarantee of
future performance and price and yield will vary. The following
information for Dreyfus Strategic Municipals, Inc. (NYSE: LEO) is
as of Sept. 30, 2006 (except as otherwise noted), and is subject to
change at any time. All percentages are based on total net assets
(except as otherwise noted). -0- *T Dreyfus Strategic Municipals,
Inc. Symbol : "LEO" As of Sept. 30, 2006 Portfolio Overview Sector
Distribution (Top Five) --------------------
-------------------------------- Subject to AMT 24% Health Care 11%
Number of Issues 174 Transportation 10% Average maturity 20 years
General Obligation 9% Effective maturity 6.04 years Education 8%
Duration 4.649 Other Revenue 8% Average rating* A Average coupon
State Distribution 6.153 (Top Five) ------------------ Average
dollar price $107.015 Illinois 9% Pre-refunded securities 16.82%
Texas 9% Leverage 33% California 6% Wisconsin 5% Market Summary
Michigan 5% -------------------- Market price range (52 weeks)
$8.26-$9.24 NAV range (52 weeks) $9.17-$9.48 Call Schedule (Through
2010) -------------------------------- Market price $9.13 2006 11%
NAV $9.46 2007 2% Premium/(discount) (2.96) 2008 4% Average daily
volume (52 weeks) 72,323 2009 9% Shares outstanding 60.59mm 2010 5%
Net assets $858,391,428 Market Yield and Dividend Rate**
-------------------------------- Current market Portfolio Quality*
yield 5.52% -------------------- AAA Current dividend 33% rate
$.042 AA 10% A 15% BBB 27% Below investment grade 15% * The
percentages of these ratings **The market yield is calculated are
calculated based on the higher by multiplying the current of
Standard & Poor's or Moody's market distribution by 12 and for
individual issues and on a dividing by the market price Dreyfus
rating for non-rated per share of $9.13 as of Sept. issues. 30,
2006. Past Performance is no guarantee of future performance and
price and yield will vary. *T
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