AllianceBernstein Income Fund Releases Monthly Portfolio Update
NEW YORK, Dec. 22, 2011 /PRNewswire/ -- AllianceBernstein Income Fund, Inc. (NYSE: ACG) (the "Fund") today released its monthly portfolio update as of November 30, 2011.
AllianceBernstein Income Fund, Inc. |
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Top 10 Fixed Income Holdings |
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Portfolio % |
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1) |
U.S. Treasury Notes 2.625%, 2/29/16 - 11/15/20 |
21.31% |
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2) |
U.S. Treasury Notes 2.75%, 11/30/16 - 2/15/19 |
17.00% |
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3) |
U.S. Treasury STRIPS Zero Coupon, 5/15/17 |
7.74% |
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4) |
U.S. Treasury Notes 1.875%, 10/31/17 |
4.22% |
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5) |
U.S. Treasury STRIPS Zero Coupon, 11/15/21 |
4.19% |
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6) |
U.S. Treasury Notes 3.625%, 2/15/20 |
3.13% |
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7) |
Federal National Mortgage Association 5.375%, 6/12/17 |
2.26% |
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8) |
U.S. Treasury Notes 1.50%, 8/31/18 |
2.22% |
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9) |
U.S. Treasury Bonds 6.625%, 2/15/27 |
2.17% |
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10) |
Residual Funding Corp. Principal Strip 0.01%, |
1.61% |
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7/15/20 |
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Fixed Income Holdings by Security Type |
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Portfolio % |
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Governments - Treasuries |
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Treasuries |
65.30% |
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SUBTOTAL |
65.30% |
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Corporates - Investment Grades |
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Industrial |
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Energy |
1.31% |
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Basic |
0.73% |
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Communications - Telecommunications |
0.55% |
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Transportation - Airlines |
0.38% |
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Capital Goods |
0.35% |
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Communications - Media |
0.29% |
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Transportation - Services |
0.15% |
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Consumer Non-Cyclical |
0.12% |
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Consumer Cyclical - Entertainment |
0.10% |
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Technology |
0.10% |
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Consumer Cyclical - Automotive |
0.07% |
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Other Industrial |
0.07% |
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SUBTOTAL |
4.22% |
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Financial Institutions |
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Banking |
2.18% |
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Insurance |
1.29% |
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REITS |
0.28% |
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Finance |
0.24% |
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Other Finance |
0.14% |
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SUBTOTAL |
4.13% |
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Non Corporate Sectors |
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Agencies - Not Government Guaranteed |
1.31% |
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SUBTOTAL |
1.31% |
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Utility |
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Electric |
0.13% |
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Natural Gas |
0.07% |
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SUBTOTAL |
0.20% |
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SUBTOTAL |
9.86% |
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Corporates - Non-Investment Grades |
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Industrial |
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Capital Goods |
0.85% |
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Communications - Media |
0.59% |
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Energy |
0.51% |
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Consumer Cyclical - Retailers |
0.49% |
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Consumer Non-Cyclical |
0.49% |
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Consumer Cyclical - Automotive |
0.42% |
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Basic |
0.41% |
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Communications - Telecommunications |
0.27% |
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Consumer Cyclical - Other |
0.22% |
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Services |
0.22% |
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Technology |
0.10% |
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Consumer Cyclical - Entertainment |
0.03% |
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Transportation - Airlines |
0.02% |
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SUBTOTAL |
4.62% |
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Utility |
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Electric |
0.69% |
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Natural Gas |
0.07% |
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SUBTOTAL |
0.76% |
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Financial Institutions |
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Banking |
0.16% |
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Finance |
0.16% |
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REITS |
0.10% |
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Other Finance |
0.05% |
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Brokerage |
0.03% |
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SUBTOTAL |
0.50% |
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SUBTOTAL |
5.88% |
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Mortgage Pass-Through's |
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Agency Fixed Rate 30-Year |
3.07% |
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Agency ARMs |
1.39% |
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SUBTOTAL |
4.46% |
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Agencies |
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Agency Debentures |
3.87% |
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SUBTOTAL |
3.87% |
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Commercial Mortgage-Backed Securities |
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Non-Agency Fixed Rate CMBS |
2.40% |
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SUBTOTAL |
2.40% |
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Quasi-Sovereigns |
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Quasi-Sovereign Bonds |
1.70% |
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SUBTOTAL |
1.70% |
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Inflation-Linked Securities |
1.45% |
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Emerging Markets - Corporate Bonds |
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Industrial |
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Basic |
0.36% |
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Communications - Telecommunications |
0.19% |
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Communications - Media |
0.17% |
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Consumer Non-Cyclical |
0.09% |
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Other Industrial |
0.09% |
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Consumer Cyclical - Other |
0.08% |
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SUBTOTAL |
0.98% |
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Financial Institutions |
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Banking |
0.13% |
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Other Finance |
0.13% |
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SUBTOTAL |
0.26% |
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Utility |
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Electric |
0.06% |
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SUBTOTAL |
0.06% |
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SUBTOTAL |
1.30% |
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Bank Loans |
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Industrial |
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Consumer Non-Cyclical |
0.22% |
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Capital Goods |
0.18% |
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Communications - Media |
0.16% |
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Services |
0.14% |
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Basic |
0.12% |
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Technology |
0.10% |
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Communications - Telecommunications |
0.04% |
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Consumer Cyclical - Other |
0.04% |
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Consumer Cyclical - Retailers |
0.04% |
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Consumer Cyclical - Entertainment |
0.03% |
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Energy |
0.02% |
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Other Industrial |
0.01% |
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Transportation - Services |
0.01% |
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SUBTOTAL |
1.11% |
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Utility |
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Electric |
0.10% |
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SUBTOTAL |
0.10% |
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Financial Institutions |
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Finance |
0.04% |
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Other Finance |
0.02% |
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SUBTOTAL |
0.06% |
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SUBTOTAL |
1.27% |
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Emerging Markets - Sovereigns |
1.11% |
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Local Governments - Municipal Bonds |
0.35% |
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Governments - Sovereign Bonds |
0.28% |
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Emerging Markets - Treasuries |
0.08% |
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Preferred Stocks |
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Financial Institutions |
0.06% |
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Non Corporate Sectors |
0.01% |
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SUBTOTAL |
0.07% |
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Asset-Backed Securities |
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Autos - Floating Rate |
0.06% |
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SUBTOTAL |
0.06% |
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Common Stocks |
0.03% |
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Collateralized Mortgage Obligations |
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Non-Agency Fixed Rate |
0.01% |
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SUBTOTAL |
0.01% |
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Options Purchased - Puts |
0.01% |
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Warrants |
0.01% |
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Short-Term Investments |
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Investment Companies |
0.50% |
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Total Fixed Income |
100.00% |
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Country Breakdown |
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Portfolio % |
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United States |
89.77% |
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Russia |
3.45% |
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Brazil |
1.13% |
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Indonesia |
0.81% |
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United Kingdom |
0.59% |
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Australia |
0.51% |
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Canada |
0.37% |
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Argentina |
0.33% |
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South Africa |
0.32% |
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Luxembourg |
0.25% |
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India |
0.22% |
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El Salvador |
0.21% |
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Peru |
0.19% |
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United Arab Emirates |
0.17% |
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Lithuania |
0.17% |
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Colombia |
0.17% |
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Netherlands |
0.16% |
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Hong Kong |
0.16% |
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Barbados |
0.13% |
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Kazakhstan |
0.12% |
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Ukraine |
0.12% |
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Croatia |
0.11% |
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China |
0.10% |
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Switzerland |
0.09% |
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New Zealand |
0.09% |
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Turkey |
0.08% |
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Germany |
0.07% |
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Japan |
0.05% |
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South Korea |
0.03% |
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France |
0.03% |
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Total Investments |
100.00% |
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Net Currency Exposure Breakdown |
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Portfolio % |
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United States Dollar |
98.18% |
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Australian Dollar |
1.53% |
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Chinese Yuan Renminbi |
1.30% |
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Norwegian Krone |
0.94% |
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Russian Rubles |
0.42% |
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New Turkish Lira |
0.12% |
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South African Rand |
0.01% |
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Brazilian Real |
-0.02% |
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Great British Pound |
-0.04% |
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Japanese Yen |
-0.40% |
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Euro Dollar |
-2.04% |
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Total Investments |
100.00% |
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Credit Quality Breakdown |
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Portfolio % |
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AAA |
76.20% |
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AA |
1.00% |
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A |
3.53% |
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BBB |
9.40% |
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BB |
6.45% |
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B |
2.37% |
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CCC |
0.31% |
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CC |
0.01% |
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D |
0.03% |
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Short Term Investments |
0.50% |
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Not Rated |
0.20% |
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Total Investments |
100.00% |
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Portfolio Statistics: |
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Average Coupon: |
5.41 |
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Average Bond Price: |
107.46 |
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Percentage of Leverage: |
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Bank Borrowing: |
0.00% |
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Investment Operations: |
47.11%* |
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Preferred Stock: |
0.00% |
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Tender Option Bonds: |
0.00% |
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Term Asset-Backed Loans Facility (TALF): |
0.00% |
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Total Fund Leverage: |
47.11% |
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Average Maturity: |
10.53 Years |
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Effective Duration: |
6.56 Years |
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Total Net Assets: |
$2,167.49 Million |
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Net Asset Value: |
$8.92 |
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Number of Holdings: |
338 |
* Investment Operations 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.
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.
SOURCE AllianceBernstein Income Fund
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