Seeking Alpha
Seeking Alpha Portfolio App for iPad
Finance
(1)

NEWS PROVIDED BY:
PR Newswire

NEW YORK, Jan. 25, 2012 /PRNewswire/ -- AllianceBernstein Income Fund, Inc. (ACG) (the "Fund") today released its monthly portfolio update as of December 31, 2011.

AllianceBernstein Income Fund, Inc.

Top 10 Fixed Income Holdings 

Portfolio %

 1) U.S. Treasury Notes 2.625%, 8/15/20 - 11/15/20 

17.19%

 2) U.S. Treasury Notes 1.375%, 9/30/18          

11.20%

 3) U.S. Treasury Notes 2.75%, 2/15/19           

9.76%

 4) U.S. Treasury STRIPS   Zero Coupon, 5/15/17     

7.73%

 5) U.S. Treasury Notes 1.875%, 10/31/17           

4.21%

 6) U.S. Treasury STRIPS   Zero Coupon, 11/15/21   

4.21%

 7) U.S. Treasury Notes 1.50%, 8/31/18   

3.76%

 8) U.S. Treasury Notes 3.625%, 2/15/20  

3.14%

 9) Federal National Mortgage Association 5.375%,     

2.24%

      6/12/17

 

10) U.S. Treasury Bonds 6.625%, 2/15/27   

2.20%

 

Fixed Income Holdings by Security Type

 

Portfolio %

Governments - Treasuries 

 

   Treasuries                                  

64.79%

SUBTOTAL                                

64.79%

   Corporates - Investment Grades 

 

     Financial Institutions 

 

      Banking             

2.08%

      Insurance                     

1.33%

      REITS                 

0.28%

      Finance                 

0.24%

      Other Finance           

0.14%

   SUBTOTAL                

4.07%

Industrial  

 

      Basic              

0.77%

      Communications - Telecommunications        

0.67%

      Energy                

0.61%

      Transportation - Airlines     

0.37%

      Capital Goods                

0.35%

      Communications - Media          

0.34%

      Technology            

0.18%

      Transportation - Services           

0.15%

      Consumer Non-Cyclical             

0.12%

      Consumer Cyclical - Entertainment    

0.10%

      Other Industrial              

0.08%

      Consumer Cyclical - Automotive          

0.07%

   SUBTOTAL           

3.81%

Non Corporate Sectors 

 

      Agencies - Not Government Guaranteed    

1.44%

   SUBTOTAL        

1.44%

      Utility  

 

      Electric                 

0.13%

      Natural Gas                 

0.07%

   SUBTOTAL                 

0.20%

SUBTOTAL                           

9.52%

Corporates - Non-Investment Grades 

 

   Industrial 

 

      Capital Goods                      

0.87%

      Consumer Non-Cyclical              

0.69%

      Communications - Media           

0.61%

      Energy                            

0.52%

      Consumer Cyclical - Automotive        

0.49%

      Consumer Cyclical - Retailers           

0.49%

      Basic                 

0.36%

      Communications - Telecommunications    

0.27%

      Consumer Cyclical - Other         

0.22%

      Services                        

0.22%

      Technology                     

0.10%

      Consumer Cyclical - Entertainment           

0.03%

   SUBTOTAL                 

4.87%

Utility 

 

      Electric                       

0.69%

      Natural Gas           

0.07%

   SUBTOTAL               

0.76%

Financial Institutions 

 

      Banking                      

0.19%

      Finance                

0.16%

      REITS                               

0.10%

      Other Finance           

0.05%

      Brokerage                 

0.03%

   SUBTOTAL            

0.53%

SUBTOTAL                              

6.16%

Mortgage Pass-Through's 

 

   Agency Fixed Rate 30-Year             

3.00%

   Agency ARMs            

1.36%

SUBTOTAL                       

4.36%

Agencies 

 

   Agency Debentures                  

3.86%

SUBTOTAL                      

3.86%

Quasi-Sovereigns 

 

   Quasi-Sovereign Bonds             

2.38%

SUBTOTAL                           

2.38%

Commercial Mortgage-Backed Securities  

 

   Non-Agency Fixed Rate CMBS    

2.22%

   Non-Agency Floating Rate CMBS           

0.15%

SUBTOTAL                           

2.37%

Inflation-Linked Securities            

1.44%

Bank Loans 

 

   Industrial 

 

      Consumer Non-Cyclical            

0.21%

      Capital Goods                 

0.18%

      Communications - Media          

0.16%

      Services                     

0.14%

      Energy                 

0.13%

      Basic                    

0.12%

      Technology                

0.10%

      Communications - Telecommunications       

0.04%

      Consumer Cyclical - Other              

0.04%

      Consumer Cyclical - Retailers          

0.04%

      Consumer Cyclical - Entertainment        

0.03%

      Other Industrial            

0.01%

      Transportation - Services          

0.01%

   SUBTOTAL              

1.21%

   Utility 

 

      Electric                      

0.09%

   SUBTOTAL                    

0.09%

   Financial Institutions 

 

      Finance                       

0.04%

      Other Finance          

0.02%

   SUBTOTAL               

0.06%

SUBTOTAL                       

1.36%

Emerging Markets - Corporate Bonds 

 

   Industrial 

 

      Basic                        

0.38%

      Communications - Telecommunications       

0.19%

      Communications - Media             

0.18%

      Other Industrial              

0.10%

      Consumer Cyclical - Other         

0.08%

   SUBTOTAL            

0.93%

   Utility 

 

      Other Utility                  

0.12%

      Electric                           

0.05%

   SUBTOTAL                         

0.17%

   Financial Institutions 

 

      Banking                    

0.13%

      Other Finance             

0.01%

   SUBTOTAL                     

0.14%

SUBTOTAL                   

1.24%

Emerging Markets - Sovereigns           

1.10%

Local Governments - Municipal Bonds             

0.35%

Governments - Sovereign Bonds                

0.28%

Emerging Markets - Treasuries        

0.08%

Preferred Stocks  

 

      Financial Institutions                 

0.06%

      Non Corporate Sectors              

0.01%

SUBTOTAL                                 

0.07%

Asset-Backed Securities

 

      Autos - Floating Rate                

0.06%

SUBTOTAL                             

0.06%

Common Stocks                        

0.03%

Collateralized Mortgage Obligations

 

      Non-Agency Fixed Rate            

0.01%

SUBTOTAL                           

0.01%

Options Purchased - Puts

 

      Options on Forward Contracts           

0.01%

SUBTOTAL                            

0.01%

Warrants                              

0.01%

Short-Term Investments

 

      Investment Companies           

0.52%

Total Fixed Income                

100.00%

 

Country Breakdown

Portfolio %

United States                   

89.71%

Russia                       

2.68%

Brazil                     

1.12%

Indonesia                 

0.81%

Kazakhstan              

0.80%

United Kingdom             

0.64%

Australia                  

0.50%

Canada                       

0.39%

Argentina                   

0.32%

South Africa                 

0.32%

India                          

0.25%

Luxembourg                       

0.25%

United Arab Emirates            

0.24%

El Salvador                

0.20%

Peru                      

0.19%

Netherlands          

0.18%

Lithuania                 

0.17%

Hong Kong           

0.16%

Colombia        

0.16%

Barbados           

0.13%

Croatia               

0.12%

Ukraine              

0.12%

New Zealand           

0.10%

China                     

0.09%

Switzerland             

0.09%

Turkey              

0.08%

Germany           

0.07%

Japan                

0.05%

South Korea           

0.03%

France                       

0.03%

Total Investments       

100.00%

 

 

Net Currency Exposure Breakdown

 

 

Portfolio %

United States Dollar            

97.99%

Australian Dollar                     

1.53%

Chinese Yuan Renminbi             

1.30%

Norwegian Krone                  

1.01%

Russian Rubles                   

0.40%

New Turkish Lira                

0.12%

South African Rand                  

0.01%

Great British Pound             

-0.04%

Japanese Yen                  

-0.40%

Euro Dollar                    

-1.92%

Total Investments               

100.00%

 

Credit Quality Breakdown

 

 

Portfolio %

AAA                           

75.78%

AA                       

1.01%

A                          

3.49%

BBB                   

10.49%

BB                    

5.75%

B                      

2.57%

CCC                  

0.33%

CC                 

0.01%

D                          

0.03%

Not Rated                       

0.02%

Short Term Investments        

0.52%

Total Investments             

100.00%

 

Portfolio Statistics:

 

Average Coupon:                          

5.13

Percentage of Leverage:

 

   Bank Borrowing:             

0.00%

   Investment Operations:           

46.04%*

   Preferred Stock:              

0.00%

   Tender Option Bonds:        

0.00%

   Term Asset-Backed Loans Facility (TALF):         

0.00%

   Total Fund Leverage:               

46.04%

Average Maturity:                

 11.00 Years

Effective Duration:               

 7.02 Years

Total Net Assets:           

  $2,168.21 Million

Net Asset Value:           

$8.93

Number of Holdings:              

339

* 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, Inc.