0001775697-23-000601.txt : 20230727 0001775697-23-000601.hdr.sgml : 20230727 20230727092536 ACCESSION NUMBER: 0001775697-23-000601 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20230531 FILED AS OF DATE: 20230727 DATE AS OF CHANGE: 20230727 PERIOD START: 20240228 FILER: COMPANY DATA: COMPANY CONFORMED NAME: BNY Mellon Municipal Bond Infrastructure Fund, Inc. CENTRAL INDEX KEY: 0001565381 IRS NUMBER: 000000000 STATE OF INCORPORATION: MD FISCAL YEAR END: 0228 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-22784 FILM NUMBER: 231115508 BUSINESS ADDRESS: STREET 1: C/O BNY MELLON INVESTMENT ADVISER, INC. STREET 2: 240 GREENWICH STREET CITY: NEW YORK STATE: NY ZIP: 10289 BUSINESS PHONE: 212-922-6400 MAIL ADDRESS: STREET 1: C/O BNY MELLON INVESTMENT ADVISER, INC. STREET 2: 240 GREENWICH STREET CITY: NEW YORK STATE: NY ZIP: 10289 FORMER COMPANY: FORMER CONFORMED NAME: Dreyfus Municipal Bond Infrastructure Fund, Inc. DATE OF NAME CHANGE: 20130307 FORMER COMPANY: FORMER CONFORMED NAME: Dreyfus Municipal Infrastructure Fund, Inc. 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2044-05-01 Variable 6.300217 N N N N N N ALLENTOWN PA NEIGHBORHOOD IMPT N/A ALLENTOWN NEIGHBORHOOD IMPROVEMENT ZONE DEVELOPMENT AUTHORITY 018444AY5 1000000.00 PA USD 975119.10 0.3350503340021 Long DBT MUN US Y 2 2042-05-01 Fixed 5.00 N N N N N N NEW YORK ST DORM AUTH REVENUES 549300C8XO7EXTX2XU71 NEW YORK STATE DORMITORY AUTHORITY 649907XK3 2000000.00 PA USD 2002298.60 0.6879885900112 Long DBT MUN US N 2 2044-07-01 Fixed 5.00 N N N N N N CALIFORNIA HSG FIN AGY MUNI CT 549300BOPCVLBA552Z14 CALIFORNIA HOUSING FINANCE AGENCY 13033DAE5 1452023.3177 PA USD 1349179.85 0.4635773818516 Long DBT MUN US N 2 2035-11-20 Fixed 3.50 N N N N N N TENDER OPTION BOND TRUST RECEI N/A TENDER OPTION BOND TRUST RECEIPTS/CERTIFICATES 88033UQ85 3750000.00 PA USD 3752140.50 1.2892332103309 Long DBT MUN US Y 2 2038-11-15 Variable 5.645156 N N N N N N INDIANA ST FIN AUTH ENVRNMNTL 549300PS0PAS7NDSSI20 INDIANA FINANCE AUTHORITY 45506DGY5 5000000.00 PA USD 5005336.00 1.719830427476 Long DBT MUN US N 2 2040-07-01 Fixed 5.00 N N N N N N SEMINOLE CNTY FL INDL DEV AUTH N/A SEMINOLE COUNTY INDUSTRIAL DEVELOPMENT AUTHORITY 81669TAD0 500000.00 PA USD 391869.10 0.1346459861571 Long DBT MUN US N 2 2054-11-15 Fixed 5.75 N N N N N N CUYAHOGA CNTY OH HOSP REVENUE 549300GHDK9DGLUNJU89 COUNTY OF CUYAHOGA OH 2322655S3 2500000.00 PA USD 2524195.75 0.8673121356399 Long DBT MUN US N 2 2047-02-15 Fixed 5.25 N N N N N N CHICAGO IL O'HARE INTERNATIONA N/A CHICAGO O'HARE INTERNATIONAL AIRPORT 167593LZ3 3750000.00 PA USD 3754144.50 1.289921783521 Long DBT MUN US N 2 2043-01-01 Fixed 5.75 N N N N N N WESTCHESTER CNTY NY LOCAL DEV 549300KOSU8OC75V9238 WESTCHESTER COUNTY LOCAL DEVELOPMENT CORP 95737TES1 1000000.00 PA USD 822374.10 0.2825672442266 Long DBT MUN US Y 2 2041-07-01 Fixed 5.00 N N N N N N COLORADO ST HLTH FACS AUTH REV 5493002JB6DRFRZPEQ21 COLORADO HEALTH FACILITIES AUTHORITY 19648FVJ0 1255000.00 PA USD 1187788.73 0.4081234904644 Long DBT MUN US N 2 2052-05-15 Fixed 4.00 N N N N N N INDIANA ST FIN AUTH ENVRNMNTL 549300PS0PAS7NDSSI20 INDIANA FINANCE AUTHORITY 45470DAA5 1925000.00 PA USD 1454042.01 0.4996079567138 Long DBT MUN US Y 2 2039-03-01 Fixed 7.00 N N N N N N MISSOURI ST HLTH & EDUCTNL FAC 549300IWTBCMX5JB3277 HEALTH & EDUCATIONAL FACILITIES AUTHORITY OF THE STATE OF MISSOURI 60637ARH7 1000000.00 PA USD 913701.10 0.3139471462851 Long DBT MUN US N 2 2053-06-01 Fixed 4.00 N N N N N N HESS RANCH MET DIST #6 CO N/A HESS RANCH METROPOLITAN DISTRICT NO 6 428112AA4 1500000.00 PA USD 1314583.35 0.4516900453402 Long DBT MUN US N 2 2049-12-01 Fixed 5.00 N N N N N N TENDER OPTION BOND TRUST RECEI N/A TENDER OPTION BOND TRUST RECEIPTS/CERTIFICATES 88035FQ78 1320000.00 PA USD 1185489.97 0.4073336379163 Long DBT MUN US Y 2 2048-10-01 Variable 0.01 N N N N N N PUERTO RICO CMWLTH 549300X44HXPLJU48U63 COMMONWEALTH OF PUERTO RICO 74514L3N5 172269.00 PA USD 144291.52 0.0495784791516 Long DBT MUN PR N 2 2041-07-01 Fixed 4.00 N N N N N N CHRISTIAN CNTY KY HOSP REVENUE N/A COUNTY OF CHRISTIAN KY 170692CP0 1000000.00 PA USD 1016361.00 0.3492210259411 Long DBT MUN US N 2 2044-02-01 Fixed 5.50 N N N N N N MASSACHUSETTS ST EDUCTNL FING 5493007K5OP7V6CL0Y88 MASSACHUSETTS EDUCATIONAL FINANCING AUTHORITY 57563RTB5 1000000.00 PA USD 1071827.40 0.3682792474915 Long DBT MUN US N 2 2030-07-01 Fixed 5.00 N N N N N N WISCONSIN ST HLTH & EDUCTNL FA 549300ISNGXS0VHGVD41 WISCONSIN HEALTH & EDUCATIONAL FACILITIES AUTHORITY 97712JGT4 1000000.00 PA USD 1080928.10 0.3714062425167 Long DBT MUN US N 2 2052-12-01 Fixed 5.50 N N N N N N VIRGINIA ST SMALL BUSINESS FIN N/A VIRGINIA SMALL BUSINESS FINANCING AUTHORITY 928104QL5 1500000.00 PA USD 1508012.10 0.5181520470518 Long DBT MUN US N 2 2057-12-31 Fixed 5.00 N N N N N N MONTGOMERY CNTY PA INDL DEV AU N/A MONTGOMERY COUNTY INDUSTRIAL DEVELOPMENT AUTHORITY/PA 61360PCM0 1000000.00 PA USD 942090.90 0.3237018644239 Long DBT MUN US N 2 2045-11-15 Fixed 5.00 N N N N N N LAMAR TX CONSOL INDEP SCH DIST N/A LAMAR CONSOLIDATED INDEPENDENT SCHOOL DISTRICT 513174H96 1000000.00 PA USD 943068.70 0.3240378359135 Long DBT MUN US N 2 2053-02-15 Fixed 4.00 N N N N N N NEW YORK ST TRANSPRTN DEV CORP N/A NEW YORK TRANSPORTATION DEVELOPMENT CORP 650116FM3 2000000.00 PA USD 2092882.40 0.7191131289985 Long DBT MUN US N 2 2037-12-01 Fixed 5.00 N N N N N N CONNECTICUT ST HLTH & EDUCTNL 549300ZOQJ5U8YBS5Q35 CONNECTICUT STATE HEALTH & EDUCATIONAL FACILITIES AUTHORITY 20775DHW5 1500000.00 PA USD 1314748.05 0.4517466361608 Long DBT MUN US N 2 2055-07-01 Fixed 4.00 N N N N N N PENNSYLVANIA ST ECON DEV FING N/A PENNSYLVANIA ECONOMIC DEVELOPMENT FINANCING AUTHORITY 70868YAY5 2000000.00 PA USD 2214897.20 0.7610373406084 Long DBT MUN US N 2 2061-06-30 Fixed 6.00 N N N N N N DENVER CITY & CNTY CO ARPT REV N/A CITY & COUNTY OF DENVER CO AIRPORT SYSTEM REVENUE 249182HN9 5000000.00 PA USD 5002589.50 1.7188867317343 Long DBT MUN US N 2 2043-11-15 Fixed 5.25 N N N N N N PUERTO RICO CMWLTH 549300X44HXPLJU48U63 COMMONWEALTH OF PUERTO RICO 74514L3E5 91712.00 PA USD 91807.36 0.0315449534645 Long DBT MUN PR N 2 2023-07-01 Fixed 5.25 N N N N N N TRIBOROUGH NY BRIDGE & TUNNEL 54930020ZN4LQF7K3456 TRIBOROUGH BRIDGE & TUNNEL AUTHORITY 89602HAB3 2410000.00 PA USD 2577438.12 0.8856061818252 Long DBT MUN US N 2 2051-05-15 Fixed 5.00 N N N N N N MICHIGAN ST FIN AUTH REVENUE 54930022O46HOX5J1D14 MICHIGAN FINANCE AUTHORITY 59447PH20 2250000.00 PA USD 2270260.58 0.780060164549 Long DBT MUN US N 2 2036-07-01 Fixed 5.00 N N N N N N VIRGINIA ST SMALL BUSINESS FIN N/A VIRGINIA SMALL BUSINESS FINANCING AUTHORITY 928104PX0 1000000.00 PA USD 864363.30 0.2969947079943 Long DBT MUN US N 2 2048-01-01 Fixed 4.00 N N N N N N SAN DIEGO CNTY CA REGL ARPT AU N/A SAN DIEGO COUNTY REGIONAL AIRPORT AUTHORITY 79739GNX0 3500000.00 PA USD 3611999.65 1.2410808988852 Long DBT MUN US N 2 2051-07-01 Fixed 5.00 N N N N N N FEDERAL HOME LOAN MTGE CORP VA N/A FHLMC MULTIFAMILY VRD CERTIFICATES 31350ACG1 1410000.00 PA USD 1273040.07 0.4374157994153 Long DBT MUN US Y 2 2036-01-15 Fixed 3.15 N N N N N N BLACK BELT ENERGY GAS DIST AL 549300I8V0Z68JQCB679 BLACK BELT ENERGY GAS DISTRICT 09182NCB4 1000000.00 PA USD 996126.70 0.3422685326781 Long DBT MUN US N 2 2052-07-01 Variable 4.00 N N N N N N TENDER OPTION BOND TRUST RECEI N/A TENDER OPTION BOND TRUST RECEIPTS/CERTIFICATES 88035D4X0 670000.00 PA USD 707961.56 0.2432551645626 Long DBT MUN US Y 2 2046-07-01 Variable 5.617 N N N N N N NEW JERSEY ST ECON DEV AUTH WT 5493006JS6QWDVU4R678 NEW JERSEY ECONOMIC DEVELOPMENT AUTHORITY 64577XAC0 110000.00 PA USD 114601.20 0.039376903126 Long DBT MUN US N 2 2040-06-15 Fixed 5.25 N N N N N N MARICOPA CNTY AZ INDL DEV AUTH N/A MARICOPA COUNTY INDUSTRIAL DEVELOPMENT AUTHORITY 56681NCW5 2000000.00 PA USD 2033957.60 0.6988666032962 Long DBT MUN US Y 2 2052-07-01 Fixed 6.00 N N N N N N CONNECTICUT ST HLTH & EDUCTNL 549300ZOQJ5U8YBS5Q35 CONNECTICUT STATE HEALTH & EDUCATIONAL FACILITIES AUTHORITY 20775DTX0 1250000.00 PA USD 1207005.88 0.4147264916014 Long DBT MUN US N 2 2052-07-01 Fixed 5.375 N N N N N N NIAGARA NY AREA DEV CORP REVEN N/A NIAGARA AREA DEVELOPMENT CORP 653542AC4 2000000.00 PA USD 1738230.60 0.5972549846503 Long DBT MUN US Y 2 2042-11-01 Fixed 4.75 N N N N N N CHICAGO IL BRD OF EDU 54930099NR6T9V7LVB43 CHICAGO BOARD OF EDUCATION 167505VB9 1500000.00 PA USD 1525000.35 0.5239891994946 Long DBT MUN US N 2 2035-12-01 Fixed 5.00 N N N N N N SOUTH CAROLINA ST JOBS-ECON DE 5493006X47I9VG3DL112 SOUTH CAROLINA JOBS-ECONOMIC DEVELOPMENT AUTHORITY 837033KM0 1750000.00 PA USD 1384510.40 0.4757169374997 Long DBT MUN US N 2 2048-05-01 Fixed 5.125 N N N N N N PHOENIX AZ CIVIC IMPT CORP ARP N/A CITY OF PHOENIX CIVIC IMPROVEMENT CORP 71883MNY6 1905000.00 PA USD 1850675.50 0.6358909843983 Long DBT MUN US N 2 2044-07-01 Fixed 4.00 N N N N N N COLORADO ST HLTH FACS AUTH REV 5493002JB6DRFRZPEQ21 COLORADO HEALTH FACILITIES AUTHORITY 19648FRW6 3000000.00 PA USD 2392377.60 0.8220194988892 Long DBT MUN US N 2 2050-12-01 Fixed 4.00 N N N N N N NEW YORK ST TRANSPRTN DEV CORP N/A NEW YORK TRANSPORTATION DEVELOPMENT CORP 650116FQ4 1200000.00 PA USD 1241800.68 0.426681963873 Long DBT MUN US N 2 2040-12-01 Fixed 5.00 N N N N N N GRAND PARKWAY TRANSPRTN CORP T N/A GRAND PARKWAY TRANSPORTATION CORP 38611TCB1 1165000.00 PA USD 1086696.27 0.373388182246 Long DBT MUN US N 2 2045-10-01 Fixed 4.00 N N N N N N COLORADO ST HLTH FACS AUTH REV 5493002JB6DRFRZPEQ21 COLORADO HEALTH FACILITIES AUTHORITY 19648FWU4 1000000.00 PA USD 1040173.50 0.3574029865635 Long DBT MUN US N 2 2052-11-01 Fixed 5.25 N N N N N N ILLINOIS ST FIN AUTH REVENUE 549300ZG6UBPNNNRN315 ILLINOIS FINANCE AUTHORITY 45204FSP1 1000000.00 PA USD 1011493.30 0.3475484871601 Long DBT MUN US N 2 2052-05-15 Fixed 6.625 N N N N N N CHICAGO IL T5UYO5SYLC8K73MJQX30 CITY OF CHICAGO IL 167486ZY8 2500000.00 PA USD 2651254.50 0.9109694454244 Long DBT MUN US N 2 2038-01-01 Fixed 6.00 N N N N N N CLIFTON TX HGR EDU FIN CORP ED N/A CLIFTON HIGHER EDUCATION FINANCE CORP 187145DL8 2500000.00 PA USD 2447613.25 0.840998434879 Long DBT MUN US N 2 2045-08-15 Fixed 5.75 N N N N N N TENDER OPTION BOND TRUST RECEI N/A TENDER OPTION BOND TRUST RECEIPTS/CERTIFICATES 88034UDE5 515000.00 PA USD 538959.24 0.1851860694509 Long DBT MUN US Y 2 2056-01-01 Variable 6.002188 N N N N N N NEW JERSEY ST ECON DEV AUTH WT 5493006JS6QWDVU4R678 NEW JERSEY ECONOMIC DEVELOPMENT AUTHORITY 64578CAG6 685000.00 PA USD 685339.21 0.2354821387615 Long DBT MUN US N 2 2023-09-15 Fixed 5.125 N N N N N N TENDER OPTION BOND TRUST RECEI N/A TENDER OPTION BOND TRUST RECEIPTS/CERTIFICATES 88035AN31 1650000.00 PA USD 1524276.50 0.5237404850716 Long DBT MUN US Y 2 2047-11-15 Variable 2.933 N N N N N N BUCKEYE OH TOBACCO SETTLEMENT N/A BUCKEYE TOBACCO SETTLEMENT FINANCING AUTHORITY 118217CZ9 7700000.00 PA USD 7134104.67 2.4512740571792 Long DBT MUN US N 2 2055-06-01 Fixed 5.00 N N N N N N MASSACHUSETTS ST DEV FIN AGY R 549300UZSVMFXJK08K70 MASSACHUSETTS DEVELOPMENT FINANCE AGENCY 57584X4P3 1000000.00 PA USD 878684.30 0.3019153949476 Long DBT MUN US Y 2 2057-10-01 Fixed 5.00 N N N N N N LEE MEMORIAL HLTH SYS FL HOSP 54930018FIX4OVLGH070 LEE MEMORIAL HEALTH SYSTEM 52385LDQ9 1750000.00 PA USD 1575829.33 0.541454006333 Long DBT MUN US N 2 2049-04-01 Fixed 4.00 N N N N N N MICHIGAN ST TOBACCO SETTLEMENT N/A MICHIGAN TOBACCO SETTLEMENT FINANCE AUTHORITY 594751AM1 41200000.00 PA USD 1600768.32 0.5500230282394 Long DBT MUN US N 2 2058-06-01 Fixed 0.00 N N N N N N UTAH ST CHRT SCH FIN AUTH CHRT N/A UTAH CHARTER SCHOOL FINANCE AUTHORITY 91754TYA5 1400000.00 PA USD 1447639.76 0.4974081474794 Long DBT MUN US N 2 2039-04-15 Fixed 5.00 N N N N N N NORFOLK VA REDEV & HSG AUTH RE N/A NORFOLK REDEVELOPMENT & HOUSING AUTHORITY 655909CM9 1000000.00 PA USD 775114.00 0.2663287024013 Long DBT MUN US N 2 2049-01-01 Fixed 5.00 N N N N N N SAINT LOUIS CNTY MO INDL DEV A N/A ST LOUIS COUNTY INDUSTRIAL DEVELOPMENT AUTHORITY 791524BQ3 1000000.00 PA USD 867127.00 0.2979443136456 Long DBT MUN US N 2 2042-09-01 Fixed 5.00 N N N N N N PUERTO RICO CMWLTH 549300X44HXPLJU48U63 COMMONWEALTH OF PUERTO RICO 74514L3R6 211359.00 PA USD 124168.02 0.0426640567017 Long DBT MUN PR N 2 2033-07-01 Fixed 0.00 N N N N N N NORTH CAROLINA ST MED CARE COM 549300FH6KOXGCHQYG81 NORTH CAROLINA MEDICAL CARE COMMISSION 65821DYG0 2000000.00 PA USD 1374559.20 0.472297711188 Long DBT MUN US N 2 2051-03-01 Fixed 4.00 N N N N N N TULSA CNTY OK INDL AUTH SENIOR 549300WEYXBXLGN1E271 TULSA COUNTY INDUSTRIAL AUTHORITY 899530BA6 1500000.00 PA USD 1472797.65 0.5060523832935 Long DBT MUN US N 2 2045-11-15 Fixed 5.25 N N N N N N KENTUCKY ST PUBLIC ENERGY AUTH N/A KENTUCKY PUBLIC ENERGY AUTHORITY 74440DDS0 1310000.00 PA USD 1275991.88 0.438430039549 Long DBT MUN US N 2 2052-08-01 Variable 4.00 N N N N N N CHICAGO IL T5UYO5SYLC8K73MJQX30 CITY OF CHICAGO IL 167486E21 2000000.00 PA USD 1969599.80 0.6767533020741 Long DBT MUN US N 2 2044-01-01 Fixed 5.00 N N N N N N ORANGE CNTY CA CMNTY FACS DIST N/A ORANGE COUNTY COMMUNITY FACILITIES DISTRICT 68423PZK9 1000000.00 PA USD 1008294.10 0.3464492439717 Long DBT MUN US N 2 2052-08-15 Fixed 5.00 N N N N N N HILLSBOROUGH CNTY FL PORT DIST 549300HV3CIZREMO9Q36 HILLSBOROUGH COUNTY PORT DISTRICT 432325JN9 1250000.00 PA USD 1270733.25 0.4366231774561 Long DBT MUN US N 2 2046-06-01 Fixed 5.00 N N N N N N SOUTH CAROLINA ST PUBLIC SVC A EMBXY64GWKA9MZGFUD26 SOUTH CAROLINA PUBLIC SERVICE AUTHORITY 837151A25 1500000.00 PA USD 1336160.55 0.4591039582324 Long DBT MUN US N 2 2055-12-01 Fixed 4.00 N N N N N N SALT LAKE CITY UT ARPT REVENUE N/A CITY OF SALT LAKE CITY UT AIRPORT REVENUE 795576HL4 1000000.00 PA USD 1019681.00 0.3503617759365 Long DBT MUN US N 2 2048-07-01 Fixed 5.00 N N N N N N ILLINOIS ST 54930048FV8RWPR02D67 STATE OF ILLINOIS 452152Q20 2600000.00 PA USD 2770486.68 0.9519375504823 Long DBT MUN US N 2 2028-11-01 Fixed 5.00 N N N N N N ARIZONA ST INDL DEV AUTH NATIO N/A ARIZONA INDUSTRIAL DEVELOPMENT AUTHORITY 04052FDS1 3425000.00 PA USD 3076967.26 1.0572440927233 Long DBT MUN US N 2 2052-11-01 Fixed 4.25 N N N N N N DETROIT MI 549300BQRJP7MKKHOY28 CITY OF DETROIT MI 2510935F3 1000000.00 PA USD 952253.50 0.3271937276479 Long DBT MUN US N 2 2050-04-01 Fixed 5.00 N N N N N N MICHIGAN ST HSG DEV AUTH MF RE 549300NSWW1HVXE93T03 MICHIGAN STATE HOUSING DEVELOPMENT AUTHORITY 594654ET8 2500000.00 PA USD 2377317.25 0.8168447717223 Long DBT MUN US N 2 2034-12-01 Fixed 3.35 N N N N N N IOWA ST FIN AUTH SOL WST DISPR 549300NQVL49BTHOW391 IOWA FINANCE AUTHORITY 46246SAU9 1250000.00 PA USD 1255629.00 0.4314333662757 Long DBT MUN US N 2 2050-12-01 Fixed 5.00 N N N N N N LOUISIANA ST PUBLIC FACS AUTH 549300RQIPT5S4P4M065 LOUISIANA PUBLIC FACILITIES AUTHORITY 54639UAA7 1000000.00 PA USD 1000978.60 0.3439356425887 Long DBT MUN US Y 2 2036-07-01 Fixed 6.50 N N N N N N MASSACHUSETTS ST DEV FIN AGY R 549300UZSVMFXJK08K70 MASSACHUSETTS DEVELOPMENT FINANCE AGENCY 57584YPX1 900000.00 PA USD 931783.32 0.3201601861594 Long DBT MUN US N 2 2029-07-01 Fixed 5.00 N N N N N N 2023-06-27 BNY Mellon Advantage Funds, Inc. James Windels James Windels Fund Treasurer XXXX NPORT-EX 2 c10997bnymellonmuni-may20231.htm Untitled Document

STATEMENT OF INVESTMENTS
BNY Mellon Municipal Bond Infrastructure Fund, Inc.

May 31, 2023 (Unaudited)

          
 

Description

Coupon
Rate (%)

 

Maturity

Date

 

Principal

Amount ($)

 

Value ($)

 

Long-Term Municipal Investments - 149.0%

     

Alabama - 3.2%

     

Alabama Special Care Facilities Financing Authority, Revenue Bonds (Methodist Home for the Aging Obligated Group)

 

6.00

 

6/1/2050

 

3,820,000

 

3,237,896

 

Black Belt Energy Gas District, Revenue Bonds, Refunding, Ser. D1

 

4.00

 

6/1/2027

 

1,000,000

a 

996,127

 

Jefferson County, Revenue Bonds, Refunding, Ser. F

 

7.90

 

10/1/2050

 

2,500,000

b 

2,588,412

 
 

6,822,435

 

Arizona - 7.6%

     

Arizona Industrial Development Authority, Revenue Bonds (Equitable School Revolving Fund Obligated Group)

 

4.25

 

11/1/2052

 

3,425,000

 

3,076,967

 

Arizona Industrial Development Authority, Revenue Bonds (Legacy Cares Project) Ser. A

 

7.75

 

7/1/2050

 

3,200,000

c,d 

1,760,000

 

Maricopa County Industrial Development Authority, Revenue Bonds (Benjamin Franklin Charter School Obligated Group)

 

6.00

 

7/1/2052

 

2,000,000

c 

2,033,958

 

Maricopa County Industrial Development Authority, Revenue Bonds, Refunding (Legacy Traditional Schools Project)

 

5.00

 

7/1/2049

 

1,025,000

c 

905,388

 

Phoenix Civic Improvement Corp., Revenue Bonds

 

4.00

 

7/1/2044

 

1,905,000

 

1,850,676

 

Salt Verde Financial Corp., Revenue Bonds

 

5.00

 

12/1/2037

 

5,000,000

 

5,084,461

 

The Phoenix Arizona Industrial Development Authority, Revenue Bonds, Refunding (BASIS Schools Projects) Ser. A

 

5.00

 

7/1/2046

 

2,000,000

c 

1,828,599

 
 

16,540,049

 

Arkansas - 1.6%

     

Arkansas Development Finance Authority, Revenue Bonds (Green Bond) (U.S. Steel Corp.)

 

5.70

 

5/1/2053

 

3,500,000

 

3,517,494

 

California - 10.6%

     

California County Tobacco Securitization Agency, Revenue Bonds, Refunding, Ser. A

 

4.00

 

6/1/2049

 

1,000,000

 

918,080

 


STATEMENT OF INVESTMENTS (Unaudited) (continued)

          
 

Description

Coupon
Rate (%)

 

Maturity

Date

 

Principal

Amount ($)

 

Value ($)

 

Long-Term Municipal Investments - 149.0% (continued)

     

California - 10.6% (continued)

     

California Housing Finance Agency, Revenue Bonds, Ser. 2021-1

 

3.50

 

11/20/2035

 

1,452,023

 

1,349,180

 

California Municipal Finance Authority, Revenue Bonds, Refunding (HumanGood California Obligated Group) Ser. A

 

5.00

 

10/1/2044

 

1,000,000

 

1,016,323

 

California Statewide Communities Development Authority, Revenue Bonds (California Baptist University) Ser. A

 

6.38

 

11/1/2043

 

2,035,000

c 

2,048,793

 

California Statewide Communities Development Authority, Revenue Bonds, Refunding (California Baptist University) Ser. A

 

5.00

 

11/1/2041

 

1,875,000

c 

1,850,493

 

Golden State Tobacco Securitization Corp., Revenue Bonds, Refunding, Ser. B

 

5.00

 

6/1/2051

 

1,000,000

 

1,042,126

 

Long Beach Bond Finance Authority, Revenue Bonds, Ser. A

 

5.50

 

11/15/2037

 

5,000,000

 

5,397,592

 

Orange County Community Facilities District, Special Tax Bonds, Ser. A

 

5.00

 

8/15/2052

 

1,000,000

 

1,008,294

 

San Diego County Regional Airport Authority, Revenue Bonds, Ser. B

 

5.00

 

7/1/2051

 

3,500,000

 

3,612,000

 

Tender Option Bond Trust Receipts (Series 2022-XF3024), (San Francisco City & County, Revenue Bonds, Refunding, Ser. A) Recourse, Underlying Coupon Rate (%) 5.00

 

6.30

 

5/1/2044

 

4,500,000

c,e,f 

4,655,063

 
 

22,897,944

 

Colorado - 9.2%

     

Colorado Health Facilities Authority, Revenue Bonds (CommonSpirit Health Obligated Group)

 

5.25

 

11/1/2052

 

1,000,000

 

1,040,174

 

Colorado Health Facilities Authority, Revenue Bonds, Refunding (Covenant Living Communities & Services Obligated Group) Ser. A

 

4.00

 

12/1/2050

 

3,000,000

 

2,392,378

 

Colorado Health Facilities Authority, Revenue Bonds, Refunding (Intermountain Healthcare Obligated Group) Ser. A

 

4.00

 

5/15/2052

 

1,255,000

 

1,187,789

 

Colorado Health Facilities Authority, Revenue Bonds, Ser. A

 

5.00

 

1/1/2024

 

2,500,000

g 

2,524,575

 

Denver County Airport System, Revenue Bonds, Refunding, Ser. A

 

5.50

 

11/15/2053

 

1,000,000

 

1,083,585

 

Denver County Airport System, Revenue Bonds, Ser. A

 

5.25

 

11/15/2043

 

5,000,000

 

5,002,589

 


          
 

Description

Coupon
Rate (%)

 

Maturity

Date

 

Principal

Amount ($)

 

Value ($)

 

Long-Term Municipal Investments - 149.0% (continued)

     

Colorado - 9.2% (continued)

     

Dominion Water & Sanitation District, Revenue Bonds, Refunding

 

5.88

 

12/1/2052

 

2,000,000

 

1,945,960

 

Hess Ranch Metropolitan District No. 6, GO, Ser. A1

 

5.00

 

12/1/2049

 

1,500,000

 

1,314,583

 

Rampart Range Metropolitan District No. 5, Revenue Bonds

 

4.00

 

12/1/2051

 

1,000,000

 

695,240

 

Tender Option Bond Trust Receipts (Series 2020-XM0829), (Colorado Health Facilities Authority, Revenue Bonds, Refunding (CommonSpirit Health Obligated Group, Ser. A1)) Recourse, Underlying Coupon Rate (%) 4.00

 

5.23

 

8/1/2044

 

2,455,000

c,e,f 

2,737,279

 
 

19,924,152

 

Connecticut - 1.7%

     

Connecticut, Revenue Bonds, Ser. A

 

5.00

 

5/1/2041

 

1,000,000

 

1,108,443

 

Connecticut Health & Educational Facilities Authority, Revenue Bonds (The Hartford University) Ser. P

 

5.38

 

7/1/2052

 

1,250,000

 

1,207,006

 

Connecticut Health & Educational Facilities Authority, Revenue Bonds, Refunding (Fairfield University) Ser. T

 

4.00

 

7/1/2055

 

1,500,000

 

1,314,748

 
 

3,630,197

 

District of Columbia - .8%

     

District of Columbia, Revenue Bonds, Refunding

 

6.00

 

7/1/2023

 

1,700,000

g 

1,703,201

 

Florida - 4.7%

     

Florida Higher Educational Facilities Financial Authority, Revenue Bonds (Ringling College Project)

 

5.00

 

3/1/2049

 

2,000,000

 

1,960,208

 

Hillsborough County Port District, Revenue Bonds (Tampa Port Authority Project) Ser. B

 

5.00

 

6/1/2046

 

1,250,000

 

1,270,733

 

Lee Memorial Health System, Revenue Bonds, Refunding, Ser. A1

 

4.00

 

4/1/2049

 

1,750,000

 

1,575,829

 

Pinellas County Industrial Development Authority, Revenue Bonds (Foundation for Global Understanding)

 

5.00

 

7/1/2039

 

1,000,000

 

1,004,119

 

Seminole County Industrial Development Authority, Revenue Bonds, Refunding (Legacy Pointe at UCF Project)

 

5.75

 

11/15/2054

 

500,000

 

391,869

 


STATEMENT OF INVESTMENTS (Unaudited) (continued)

          
 

Description

Coupon
Rate (%)

 

Maturity

Date

 

Principal

Amount ($)

 

Value ($)

 

Long-Term Municipal Investments - 149.0% (continued)

     

Florida - 4.7% (continued)

     

Tender Option Bond Trust Receipts (Series 2020-XF2877), (Greater Orlando Aviation Authority, Revenue Bonds, Ser. A) Recourse, Underlying Coupon Rate (%) 4.00

 

2.26

 

10/1/2049

 

2,480,000

c,e,f 

2,264,362

 

Tender Option Bond Trust Receipts (Series 2022-XF1385), (Fort Myers FL Utility, Revenue Bonds, Refunding, Ser. A) Non-recourse, Underlying Coupon Rate (%) 4.00

 

2.49

 

10/1/2044

 

1,640,000

c,e,f 

1,603,403

 
 

10,070,523

 

Georgia - 4.5%

     

Fulton County Development Authority, Revenue Bonds, Ser. A

 

5.00

 

4/1/2042

 

1,250,000

 

1,282,327

 

Georgia Municipal Electric Authority, Revenue Bonds (Plant Vogtle Units 3&4 Project) Ser. A

 

5.00

 

7/1/2052

 

2,500,000

 

2,557,415

 

Tender Option Bond Trust Receipts (Series 2019-XF2847), (Municipal Electric Authority of Georgia, Revenue Bonds (Plant Vogtle Unis 3&4 Project, Ser. A)) Recourse, Underlying Coupon Rate (%) 5.00

 

6.00

 

1/1/2056

 

2,060,000

c,e,f 

2,083,959

 

Tender Option Bond Trust Receipts (Series 2020-XM0825), (Brookhaven Development Authority, Revenue Bonds (Children's Healthcare of Atlanta, Ser. A)) Recourse, Underlying Coupon Rate (%) 4.00

 

3.68

 

7/1/2044

 

3,600,000

c,e,f 

3,782,046

 
 

9,705,747

 

Hawaii - .6%

     

Hawaii Airports System, Revenue Bonds, Ser. A

 

5.00

 

7/1/2047

 

1,250,000

 

1,301,956

 

Illinois - 15.1%

     

Chicago Board of Education, GO, Refunding, Ser. A

 

5.00

 

12/1/2035

 

1,500,000

 

1,525,000

 

Chicago II, GO, Refunding, Ser. A

 

6.00

 

1/1/2038

 

2,500,000

 

2,651,254

 

Chicago II, GO, Ser. A

 

5.00

 

1/1/2044

 

2,000,000

 

1,969,600

 

Chicago O'Hare International Airport, Revenue Bonds (Customer Facility Charge)

 

5.75

 

1/1/2043

 

3,750,000

 

3,754,144

 

Chicago Transit Authority, Revenue Bonds, Refunding, Ser. A

 

5.00

 

12/1/2057

 

2,000,000

 

2,057,324

 

Chicago Transit Authority, Revenue Bonds, Refunding, Ser. A

 

5.00

 

12/1/2045

 

1,000,000

 

1,042,860

 

Illinois, GO, Ser. D

 

5.00

 

11/1/2027

 

3,500,000

 

3,734,831

 

Illinois, GO, Ser. D

 

5.00

 

11/1/2028

 

2,600,000

 

2,770,487

 


          
 

Description

Coupon
Rate (%)

 

Maturity

Date

 

Principal

Amount ($)

 

Value ($)

 

Long-Term Municipal Investments - 149.0% (continued)

     

Illinois - 15.1% (continued)

     

Illinois, Revenue Bonds (Auxiliary Facilities System) Ser. A

 

5.00

 

4/1/2044

 

2,500,000

 

2,502,214

 

Illinois Finance Authority, Revenue Bonds (Plymouth Place Obligated Group) Ser. A

 

6.63

 

5/15/2052

 

1,000,000

 

1,011,493

 

Metropolitan Pier & Exposition Authority, Revenue Bonds (McCormick Place Project) (Insured; National Public Finance Guarantee Corp.) Ser. A

 

0.00

 

12/15/2036

 

1,400,000

h 

769,777

 

Metropolitan Pier & Exposition Authority, Revenue Bonds, Refunding (McCormick Place Expansion Project)

 

5.00

 

6/15/2050

 

1,750,000

 

1,759,266

 

Tender Option Bond Trust Receipts (Series 2017-XM0492), (Illinois Finance Authority, Revenue Bonds, Refunding (The University of Chicago)) Non-recourse, Underlying Coupon Rate (%) 5.00

 

5.33

 

10/1/2040

 

7,000,000

c,e,f 

7,148,746

 
 

32,696,996

 

Indiana - 4.6%

     

Indiana Finance Authority, Revenue Bonds (BHI Senior Living Obligated Group) Ser. A

 

6.00

 

11/15/2023

 

3,500,000

g 

3,534,035

 

Indiana Finance Authority, Revenue Bonds (Green Bond)

 

7.00

 

3/1/2039

 

1,925,000

c 

1,454,042

 

Indiana Finance Authority, Revenue Bonds (Ohio River Bridges East End Crossing Project) Ser. A

 

5.00

 

7/1/2023

 

5,000,000

g 

5,005,336

 
 

9,993,413

 

Iowa - .6%

     

Iowa Finance Authority, Revenue Bonds, Refunding (Iowa Fertilizer Co. Project)

 

5.00

 

12/1/2050

 

1,250,000

 

1,255,629

 

Kansas - .1%

     

Kansas Development Finance Authority, Revenue Bonds, Ser. B

 

4.00

 

11/15/2025

 

150,000

 

141,006

 

Kentucky - 1.3%

     

Christian County, Revenue Bonds, Refunding (Jennie Stuart Medical Center Obligated Group)

 

5.50

 

2/1/2044

 

1,000,000

 

1,016,361

 

Henderson, Revenue Bonds (Pratt Paper Project) Ser. A

 

4.70

 

1/1/2052

 

600,000

c 

558,112

 

Kentucky Public Energy Authority, Revenue Bonds, Ser. A1

 

4.00

 

8/1/2030

 

1,310,000

a 

1,275,992

 
 

2,850,465

 


STATEMENT OF INVESTMENTS (Unaudited) (continued)

          
 

Description

Coupon
Rate (%)

 

Maturity

Date

 

Principal

Amount ($)

 

Value ($)

 

Long-Term Municipal Investments - 149.0% (continued)

     

Louisiana - .9%

     

Louisiana Public Facilities Authority, Revenue Bonds (Impala Warehousing Project)

 

6.50

 

7/1/2036

 

1,000,000

c 

1,000,979

 

Louisiana Public Facilities Authority, Revenue Bonds, Refunding (Tulane University) Ser. A

 

4.00

 

4/1/2050

 

885,000

 

844,799

 

Louisiana Public Facilities Authority, Revenue Bonds, Refunding (Tulane University) Ser. A

 

4.00

 

4/1/2030

 

115,000

g 

122,891

 
 

1,968,669

 

Maryland - .6%

     

Maryland Economic Development Corp., Revenue Bonds (Green Bond) (Purple Line Transit Partners) Ser. B

 

5.25

 

6/30/2052

 

1,200,000

 

1,221,098

 

Massachusetts - 2.7%

     

Massachusetts Development Finance Agency, Revenue Bonds, Refunding (NewBridge Charles Obligated Group)

 

5.00

 

10/1/2057

 

1,000,000

c 

878,684

 

Massachusetts Development Finance Agency, Revenue Bonds, Refunding (Suffolk University Project)

 

5.00

 

7/1/2034

 

1,550,000

 

1,626,021

 

Massachusetts Development Finance Agency, Revenue Bonds, Refunding, Ser. A

 

5.00

 

7/1/2029

 

900,000

 

931,783

 

Massachusetts Educational Financing Authority, Revenue Bonds, Ser. B

 

5.00

 

7/1/2030

 

1,000,000

 

1,071,827

 

Massachusetts Port Authority, Revenue Bonds, Refunding (Bosfuel Project) Ser. A

 

4.00

 

7/1/2044

 

1,500,000

 

1,397,527

 
 

5,905,842

 

Michigan - 5.0%

     

Detroit, GO, Ser. A

 

5.00

 

4/1/2050

 

1,000,000

 

952,254

 

Michigan Building Authority, Revenue Bonds, Refunding

 

4.00

 

10/15/2049

 

2,500,000

 

2,437,270

 

Michigan Finance Authority, Revenue Bonds, Refunding (Insured; National Public Finance Guarantee Corp.) Ser. D6

 

5.00

 

7/1/2036

 

2,250,000

 

2,270,261

 

Michigan Housing Development Authority, Revenue Bonds, Ser. A

 

3.35

 

12/1/2034

 

2,500,000

 

2,377,317

 

Michigan Tobacco Settlement Finance Authority, Revenue Bonds, Refunding, Ser. C

 

0.00

 

6/1/2058

 

41,200,000

h 

1,600,768

 


          
 

Description

Coupon
Rate (%)

 

Maturity

Date

 

Principal

Amount ($)

 

Value ($)

 

Long-Term Municipal Investments - 149.0% (continued)

     

Michigan - 5.0% (continued)

     

Wayne County Airport Authority, Revenue Bonds (Detroit Metropolitan Wayne County Airport) (Insured; Build America Mutual) Ser. B

 

5.00

 

12/1/2039

 

1,250,000

 

1,265,340

 
 

10,903,210

 

Minnesota - .9%

     

Duluth Economic Development Authority, Revenue Bonds, Refunding (Essentia Health Obligated Group) Ser. A

 

5.00

 

2/15/2058

 

2,000,000

 

2,019,130

 

Missouri - 2.5%

     

St. Louis County Industrial Development Authority, Revenue Bonds (Friendship Village St. Louis Obligated Group) Ser. A

 

5.13

 

9/1/2049

 

1,000,000

 

845,500

 

St. Louis County Industrial Development Authority, Revenue Bonds, Refunding (Friendship Village St. Louis Obligated Group)

 

5.00

 

9/1/2042

 

1,000,000

 

867,127

 

Tender Option Bond Trust Receipts (Series 2023-XM1116), (Jackson County Missouri Special Obligation, Revenue Bonds, Refunding, Ser. A) Non-recourse, Underlying Coupon Rate (%) 4.25

 

0.01

 

12/1/2053

 

3,000,000

c,e,f 

2,849,336

 

The Missouri Health & Educational Facilities Authority, Revenue Bonds (Mercy Health)

 

4.00

 

6/1/2053

 

1,000,000

 

913,701

 
 

5,475,664

 

Multi-State - .6%

     

Federal Home Loan Mortgage Corp. Multifamily Variable Rate Certificates, Revenue Bonds, Ser. M048

 

3.15

 

1/15/2036

 

1,410,000

c 

1,273,040

 

Nevada - 1.4%

     

Clark County School District, GO (Insured; Assured Guaranty Municipal Corp.) Ser. A

 

4.25

 

6/15/2041

 

2,155,000

 

2,179,492

 

Reno, Revenue Bonds, Refunding (Insured; Assured Guaranty Municipal Corp.)

 

4.00

 

6/1/2058

 

1,000,000

 

868,971

 
 

3,048,463

 

New Hampshire - 1.0%

     

New Hampshire Business Finance Authority, Revenue Bonds, Refunding (Springpoint Senior Living Obligated Group)

 

4.00

 

1/1/2051

 

3,000,000

 

2,257,869

 


STATEMENT OF INVESTMENTS (Unaudited) (continued)

          
 

Description

Coupon
Rate (%)

 

Maturity

Date

 

Principal

Amount ($)

 

Value ($)

 

Long-Term Municipal Investments - 149.0% (continued)

     

New Jersey - 5.6%

     

New Jersey Economic Development Authority, Revenue Bonds (Continental Airlines Project)

 

5.13

 

9/15/2023

 

685,000

 

685,339

 

New Jersey Economic Development Authority, Revenue Bonds (The Goethals)

 

5.38

 

1/1/2043

 

2,500,000

 

2,507,430

 

New Jersey Economic Development Authority, Revenue Bonds, Refunding, Ser. XX

 

5.25

 

6/15/2027

 

1,155,000

 

1,188,457

 

New Jersey Economic Development Authority, Revenue Bonds, Ser. WW

 

5.25

 

6/15/2025

 

110,000

g 

114,601

 

New Jersey Economic Development Authority, Revenue Bonds, Ser. WW

 

5.25

 

6/15/2025

 

1,890,000

g 

1,969,057

 

New Jersey Health Care Facilities Financing Authority, Revenue Bonds (RWJ Barnabas Health Obligated Group)

 

4.00

 

7/1/2051

 

1,250,000

 

1,173,206

 

New Jersey Transportation Trust Fund Authority, Revenue Bonds

 

5.00

 

6/15/2046

 

1,000,000

 

1,032,432

 

New Jersey Transportation Trust Fund Authority, Revenue Bonds

 

5.50

 

6/15/2050

 

1,600,000

 

1,745,446

 

New Jersey Turnpike Authority, Revenue Bonds, Ser. A

 

4.00

 

1/1/2048

 

1,800,000

 

1,737,982

 
 

12,153,950

 

New York - 15.1%

     

New York Liberty Development Corp., Revenue Bonds, Refunding (Class 1-3 World Trade Center Project)

 

5.00

 

11/15/2044

 

3,500,000

c 

3,436,667

 

New York State Dormitory Authority, Revenue Bonds (St. John's University) Ser. A

 

5.00

 

7/1/2044

 

2,000,000

 

2,002,299

 

New York Transportation Development Corp., Revenue Bonds (JFK International Air Terminal)

 

5.00

 

12/1/2040

 

1,200,000

 

1,241,801

 

New York Transportation Development Corp., Revenue Bonds (JFK International Air Terminal)

 

5.00

 

12/1/2037

 

2,000,000

 

2,092,882

 

Niagara Area Development Corp., Revenue Bonds, Refunding (Covanta Project) Ser. A

 

4.75

 

11/1/2042

 

2,000,000

c 

1,738,231

 


          
 

Description

Coupon
Rate (%)

 

Maturity

Date

 

Principal

Amount ($)

 

Value ($)

 

Long-Term Municipal Investments - 149.0% (continued)

     

New York - 15.1% (continued)

     

Tender Option Bond Trust Receipts (Series 2017-XF2419), (Metropolitan Transportation Authority, Revenue Bonds) Non-recourse, Underlying Coupon Rate (%) 5.00

 

5.65

 

11/15/2038

 

15,000,000

c,e,f 

15,002,140

 

Tender Option Bond Trust Receipts (Series 2022-XM1004), (Metropolitan Transportation Authority, Revenue Bonds, Refunding (Green Bond) (Insured; Assured Guaranty Municipal Corp., Ser. C)) Non-recourse, Underlying Coupon Rate (%) 4.00

 

2.93

 

11/15/2047

 

3,300,000

c,e,f 

3,174,277

 

Triborough Bridge & Tunnel Authority, Revenue Bonds, Refunding, Ser. A1

 

5.00

 

5/15/2051

 

2,410,000

 

2,577,438

 

TSASC, Revenue Bonds, Refunding, Ser. B

 

5.00

 

6/1/2045

 

585,000

 

549,359

 

Westchester County Local Development Corp., Revenue Bonds, Refunding (Senior Learning Community)

 

5.00

 

7/1/2041

 

1,000,000

c 

822,374

 
 

32,637,468

 

North Carolina - 1.1%

     

North Carolina Medical Care Commission, Revenue Bonds, Refunding (Lutheran Services for the Aging Obligated Group)

 

4.00

 

3/1/2051

 

2,000,000

 

1,374,559

 

North Carolina Turnpike Authority, Revenue Bonds (Insured; Assured Guaranty Municipal Corp.)

 

4.00

 

1/1/2055

 

1,000,000

 

919,055

 
 

2,293,614

 

Ohio - 7.4%

     

Buckeye Tobacco Settlement Financing Authority, Revenue Bonds, Refunding, Ser. B2

 

5.00

 

6/1/2055

 

7,700,000

 

7,134,105

 

Cuyahoga County, Revenue Bonds, Refunding (The MetroHealth System)

 

5.25

 

2/15/2047

 

2,500,000

 

2,524,196

 

Muskingum County, Revenue Bonds (Genesis HealthCare System Project)

 

5.00

 

2/15/2044

 

7,000,000

 

6,263,445

 
 

15,921,746

 

Oklahoma - .7%

     

Tulsa County Industrial Authority, Revenue Bonds, Refunding (Montereau Project)

 

5.25

 

11/15/2045

 

1,500,000

 

1,472,798

 


STATEMENT OF INVESTMENTS (Unaudited) (continued)

          
 

Description

Coupon
Rate (%)

 

Maturity

Date

 

Principal

Amount ($)

 

Value ($)

 

Long-Term Municipal Investments - 149.0% (continued)

     

Pennsylvania - 8.0%

     

Allentown Neighborhood Improvement Zone Development Authority, Revenue Bonds (City Center Project)

 

5.00

 

5/1/2042

 

1,000,000

c 

975,119

 

Allentown School District, GO, Refunding (Insured; Build America Mutual) Ser. B

 

5.00

 

2/1/2032

 

1,455,000

 

1,597,175

 

Clairton Municipal Authority, Revenue Bonds, Refunding, Ser. B

 

5.00

 

12/1/2042

 

1,500,000

 

1,500,760

 

Clairton Municipal Authority, Revenue Bonds, Refunding, Ser. B

 

5.00

 

12/1/2037

 

4,000,000

 

4,002,462

 

Montgomery County Industrial Development Authority, Revenue Bonds (ACTS Retirement-Life Communities Obligated Group) Ser. C

 

5.00

 

11/15/2045

 

1,000,000

 

942,091

 

Pennsylvania Economic Development Financing Authority, Revenue Bonds (The Penndot Major Bridges)

 

6.00

 

6/30/2061

 

2,000,000

 

2,214,897

 

Pennsylvania Higher Educational Facilities Authority, Revenue Bonds, Refunding (Thomas Jefferson University Obligated Group) Ser. A

 

5.00

 

9/1/2045

 

3,000,000

 

3,025,812

 

Pennsylvania Turnpike Commission, Revenue Bonds, Ser. A

 

4.00

 

12/1/2050

 

1,000,000

 

930,115

 

Tender Option Bond Trust Receipts (Series 2022-XF1525), (Pennsylvania Economic Development Financing Authority UPMC, Revenue Bonds, Ser. A) Recourse, Underlying Coupon Rate (%) 4.00

 

1.56

 

5/15/2053

 

2,300,000

c,e,f 

2,117,020

 
 

17,305,451

 

Rhode Island - 3.7%

     

Providence Public Building Authority, Revenue Bonds (Insured; Assured Guaranty Municipal Corp.) Ser. A

 

5.00

 

9/15/2037

 

4,000,000

 

4,244,612

 

Tender Option Bond Trust Receipts (Series 2023-XM1117), (Rhode Island Infrastructure Bank State Revolving Fund, Revenue Bonds) Ser. A) Non-recourse, Underlying Coupon Rate (%) 4.13

 

0.01

 

10/1/2048

 

4,000,000

c,e,f 

3,865,490

 
 

8,110,102

 


          
 

Description

Coupon
Rate (%)

 

Maturity

Date

 

Principal

Amount ($)

 

Value ($)

 

Long-Term Municipal Investments - 149.0% (continued)

     

South Carolina - 4.2%

     

South Carolina Jobs-Economic Development Authority, Revenue Bonds, Refunding (Bon Secours Mercy Health)

 

4.00

 

12/1/2044

 

1,500,000

 

1,428,147

 

South Carolina Jobs-Economic Development Authority, Revenue Bonds, Refunding (Lutheran Homes of South Carolina Obligated Group)

 

5.13

 

5/1/2048

 

1,750,000

 

1,384,510

 

South Carolina Public Service Authority, Revenue Bonds (Santee Cooper) Ser. A

 

4.00

 

12/1/2055

 

1,500,000

 

1,336,161

 

South Carolina Public Service Authority, Revenue Bonds, Refunding (Santee Cooper)

 

5.13

 

12/1/2043

 

5,000,000

 

5,008,598

 
 

9,157,416

 

South Dakota - 1.3%

     

Tender Option Bond Trust Receipts (Series 2022-XF1409), (South Dakota Heath & Educational Facilities Authority, Revenue Bonds, Refunding (Avera Health Obligated Group)) Non-recourse, Underlying Coupon Rate (%) 5.00

 

5.62

 

7/1/2046

 

2,680,000

c,e,f 

2,717,962

 

Texas - 7.9%

     

Clifton Higher Education Finance Corp., Revenue Bonds (IDEA Public Schools)

 

6.00

 

8/15/2043

 

1,500,000

 

1,505,448

 

Clifton Higher Education Finance Corp., Revenue Bonds (International Leadership of Texas) Ser. A

 

5.75

 

8/15/2045

 

2,500,000

 

2,447,613

 

Clifton Higher Education Finance Corp., Revenue Bonds (International Leadership of Texas) Ser. D

 

6.13

 

8/15/2048

 

3,500,000

 

3,512,093

 

Dallas Fort Worth International Airport, Revenue Bonds, Refunding, Ser. B

 

5.00

 

11/1/2040

 

1,500,000

 

1,654,492

 

Grand Parkway Transportation Corp., Revenue Bonds, Refunding

 

4.00

 

10/1/2045

 

1,165,000

 

1,086,696

 

Lamar Consolidated Independent School District, GO

 

4.00

 

2/15/2053

 

1,000,000

 

943,069

 

Mission Economic Development Corp., Revenue Bonds, Refunding (Natgasoline Project)

 

4.63

 

10/1/2031

 

2,500,000

c 

2,423,353

 


STATEMENT OF INVESTMENTS (Unaudited) (continued)

          
 

Description

Coupon
Rate (%)

 

Maturity

Date

 

Principal

Amount ($)

 

Value ($)

 

Long-Term Municipal Investments - 149.0% (continued)

     

Texas - 7.9% (continued)

     

Texas Private Activity Bond Surface Transportation Corp., Revenue Bonds (Segment 3C Project)

 

5.00

 

6/30/2058

 

3,500,000

 

3,459,877

 
 

17,032,641

 

U.S. Related - 1.8%

     

Puerto Rico, GO, Ser. A

 

0.00

 

7/1/2024

 

54,647

h 

52,098

 

Puerto Rico, GO, Ser. A

 

0.00

 

7/1/2033

 

211,359

h 

124,168

 

Puerto Rico, GO, Ser. A1

 

4.00

 

7/1/2037

 

126,704

 

110,272

 

Puerto Rico, GO, Ser. A1

 

4.00

 

7/1/2035

 

147,628

 

132,247

 

Puerto Rico, GO, Ser. A1

 

4.00

 

7/1/2046

 

179,157

 

144,860

 

Puerto Rico, GO, Ser. A1

 

4.00

 

7/1/2041

 

172,269

 

144,292

 

Puerto Rico, GO, Ser. A1

 

4.00

 

7/1/2033

 

164,238

 

151,106

 

Puerto Rico, GO, Ser. A1

 

5.25

 

7/1/2023

 

91,712

 

91,807

 

Puerto Rico, GO, Ser. A1

 

5.38

 

7/1/2025

 

182,915

 

186,891

 

Puerto Rico, GO, Ser. A1

 

5.63

 

7/1/2029

 

2,178,318

 

2,310,897

 

Puerto Rico, GO, Ser. A1

 

5.63

 

7/1/2027

 

181,259

 

189,670

 

Puerto Rico, GO, Ser. A1

 

5.75

 

7/1/2031

 

173,199

 

186,871

 
 

3,825,179

 

Utah - 1.7%

     

Salt Lake City, Revenue Bonds, Ser. A

 

5.00

 

7/1/2048

 

1,000,000

 

1,019,681

 

Salt Lake City, Revenue Bonds, Ser. A

 

5.00

 

7/1/2042

 

1,205,000

 

1,229,012

 

Utah Charter School Finance Authority, Revenue Bonds, Refunding (Summit Academy) Ser. A

 

5.00

 

4/15/2039

 

1,400,000

 

1,447,640

 
 

3,696,333

 

Virginia - 1.9%

     

Norfolk Redevelopment & Housing Authority, Revenue Bonds (Fort Norfolk Retirement Community Obligated Group) Ser. A

 

5.00

 

1/1/2049

 

1,000,000

 

775,114

 

Virginia Small Business Financing Authority, Revenue Bonds (Transform 66 P3 Project)

 

5.00

 

12/31/2049

 

1,000,000

 

995,007

 

Virginia Small Business Financing Authority, Revenue Bonds, Refunding

 

5.00

 

12/31/2057

 

1,500,000

 

1,508,012

 

Virginia Small Business Financing Authority, Revenue Bonds, Refunding (95 Express Lanes)

 

4.00

 

1/1/2048

 

1,000,000

 

864,363

 
 

4,142,496

 

Washington - 2.3%

     

Washington Health Care Facilities Authority, Revenue Bonds, Refunding (Providence Health & Services) Ser. A

 

5.00

 

10/1/2042

 

5,000,000

 

4,957,172

 


          
 

Description

Coupon
Rate (%)

 

Maturity

Date

 

Principal

Amount ($)

 

Value ($)

 

Long-Term Municipal Investments - 149.0% (continued)

     

Wisconsin - 4.5%

     

Public Finance Authority, Revenue Bonds (EMU Campus Living) (Insured; Build America Mutual) Ser. A1

 

5.50

 

7/1/2052

 

1,200,000

 

1,304,818

 

Public Finance Authority, Revenue Bonds (EMU Campus Living) (Insured; Build America Mutual) Ser. A1

 

5.63

 

7/1/2055

 

1,315,000

 

1,431,505

 

Public Finance Authority, Revenue Bonds, Refunding, Ser. B

 

5.00

 

7/1/2042

 

5,000,000

 

4,945,588

 

Public Finance Authority, Revenue Bonds, Ser. A

 

5.00

 

10/1/2052

 

1,000,000

 

1,034,147

 

Wisconsin Health & Educational Facilities Authority, Revenue Bonds (Bellin Memorial Hospital Obligated Group)

 

5.50

 

12/1/2052

 

1,000,000

 

1,080,928

 
 

9,796,986

 

Total Investments (cost $332,754,033)

 

149.0%

322,345,506

 

Liabilities, Less Cash and Receivables

 

(14.3%)

(31,071,201)

 

RVMTPS, at liquidation value

 

(34.7%)

(75,000,000)

 

Net Assets Applicable to Common Stockholders

 

100.0%

216,274,305

 

GO—General Obligation

a These securities have a put feature; the date shown represents the put date and the bond holder can take a specific action to retain the bond after the put date.

b Zero coupon until a specified date at which time the stated coupon rate becomes effective until maturity.

c Security exempt from registration pursuant to Rule 144A under the Securities Act of 1933. These securities may be resold in transactions exempt from registration, normally to qualified institutional buyers. At May 31, 2023, these securities were valued at $78,988,915 or 36.52% of net assets.

d Non-income producing—security in default.

e The Variable Rate is determined by the Remarketing Agent in its sole discretion based on prevailing market conditions and may, but need not, be established by reference to one or more financial indices.

f Collateral for floating rate borrowings. The coupon rate given represents the current interest rate for the inverse floating rate security.

g These securities are prerefunded; the date shown represents the prerefunded date. Bonds which are prerefunded are collateralized by U.S. Government securities which are held in escrow and are used to pay principal and interest on the municipal issue and to retire the bonds in full at the earliest refunding date.

h Security issued with a zero coupon. Income is recognized through the accretion of discount.


STATEMENT OF INVESTMENTS
BNY Mellon Municipal Bond Infrastructure Fund, Inc.

May 31, 2023 (Unaudited)

The following is a summary of the inputs used as of May 31, 2023 in valuing the fund’s investments:

       
 

Level 1-Unadjusted Quoted Prices

Level 2- Other Significant Observable Inputs

 

Level 3-Significant Unobservable Inputs

Total

 

Assets ($) 

  

Investments in Securities:

  

Municipal Securities

-

322,345,506

 

-

322,345,506

 

Liabilities ($)

  

Other Financial Instruments:

  

Inverse Floater Notes††

-

(38,405,000)

 

-

(38,405,000)

 

RVMTPS††

-

(75,000,000)

 

-

(75,000,000)

 

 See Statement of Investments for additional detailed categorizations, if any.

†† Certain of the fund’s liabilities are held at carrying amount, which approximates fair value for financial reporting purposes.


The Financial Accounting Standards Board (“FASB”) Accounting Standards Codification (“ASC”) is the exclusive reference of authoritative U.S. generally accepted accounting principles (“GAAP”) recognized by the FASB to be applied by nongovernmental entities. Rules and interpretive releases of the Securities and Exchange Commission ("SEC") under authority of federal laws are also sources of authoritative GAAP for SEC registrants. The fund is an investment company and applies the accounting and reporting guidance of the FASB ASC Topic 946 Financial Services-Investment Companies. The fund’s financial statements are prepared in accordance with GAAP, which may require the use of management estimates and assumptions. Actual results could differ from those estimates.

The fair value of a financial instrument is the amount that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants at the measurement date (i.e., the exit price). GAAP establishes a fair value hierarchy that prioritizes the inputs of valuation techniques used to measure fair value. This hierarchy gives the highest priority to unadjusted quoted prices in active markets for identical assets or liabilities (Level 1 measurements) and the lowest priority to unobservable inputs (Level 3 measurements).

Additionally, GAAP provides guidance on determining whether the volume and activity in a market has decreased significantly and whether such a decrease in activity results in transactions that are not orderly. GAAP requires enhanced disclosures around valuation inputs and techniques used during annual and interim periods.

Various inputs are used in determining the value of the fund’s investments relating to fair value measurements. These inputs are summarized in the three broad levels listed below:

Level 1—unadjusted quoted prices in active markets for identical investments.

Level 2—other significant observable inputs (including quoted prices for similar investments, interest rates, prepayment speeds, credit risk, etc.).

Level 3—significant unobservable inputs (including the fund’s own assumptions in determining the fair value of investments).

The inputs or methodology used for valuing securities are not necessarily an indication of the risk associated with investing in those securities.

Changes in valuation techniques may result in transfers in or out of an assigned level within the disclosure hierarchy. Valuation techniques used to value the fund’s investments are as follows:

The Company's Board of Directors (the "Board") has designated the Adviser as the fund’s valuation designee, effective September 8, 2022, to make all fair value determinations with respect to the fund’s portfolio investments, subject to the Board’s oversight and pursuant to Rule 2a-5 under the Act.


Investments in municipal securities are valued each business day by an independent pricing service (the “Service”) approved by the Board. Investments for which quoted bid prices are readily available and are representative of the bid side of the market in the judgment of the Service are valued at the mean between the quoted bid prices (as obtained by the Service from dealers in such securities) and asked prices (as calculated by the Service based upon its evaluation of the market for such securities). Municipal investments (which constitute a majority of the portfolio securities) are carried at fair value as determined by the Service, based on methods which include consideration of the following: yields or prices of municipal securities of comparable quality, coupon, maturity and type; indications as to values from dealers; and general market conditions. The Service is engaged under the general oversight of the Board. All of the preceding securities are generally categorized within Level 2 of the fair value hierarchy.

When market quotations or official closing prices are not readily available, or are determined not to accurately reflect fair value, such as when the value of a security has been significantly affected by events after the close of the exchange or market on which the security is principally traded, but before the fund calculates its net asset value, the fund may value these investments at fair value as determined in accordance with the procedures approved by the Board. Certain factors may be considered when fair valuing investments such as: fundamental analytical data, the nature and duration of restrictions on disposition, an evaluation of the forces that influence the market in which the securities are purchased and sold, and public trading in similar securities of the issuer or comparable issuers. These securities are either categorized within Level 2 or 3 of the fair value hierarchy depending on the relevant inputs used.

For securities where observable inputs are limited, assumptions about market activity and risk are used and such securities are generally categorized within Level 3 of the fair value hierarchy.

Inverse Floater Securities: The fund participates in secondary inverse floater structures in which fixed-rate, tax-exempt municipal bonds are transferred to a trust (the “Inverse Floater Trust”). The Inverse Floater Trust typically issues two variable rate securities that are collateralized by the cash flows of the fixed-rate, tax-exempt municipal bonds. One of these variable rate securities pays interest based on a short-term floating rate set by a remarketing agent at predetermined intervals (“Trust Certificates”). A residual interest tax-exempt security is also created by the Inverse Floater Trust, which is transferred to the fund, and is paid interest based on the remaining cash flows of the Inverse Floater Trust, after payment of interest on the other securities and various expenses of the Inverse Floater Trust. An Inverse Floater Trust may be collapsed without the consent of the fund due to certain termination events such as bankruptcy, default or other credit event.

The fund accounts for the transfer of bonds to the Inverse Floater Trust as secured borrowings, with the securities transferred remaining in the fund’s investments, and the Trust Certificates reflected as fund liabilities in the Statement of Assets and Liabilities.


The fund may invest in inverse floater securities on either a non-recourse or recourse basis. These securities are typically supported by a liquidity facility provided by a bank or other financial institution (the “Liquidity Provider”) that allows the holders of the Trust Certificates to tender their certificates in exchange for payment from the Liquidity Provider of par plus accrued interest on any business day prior to a termination event. When the fund invests in inverse floater securities on a non-recourse basis, the Liquidity Provider is required to make a payment under the liquidity facility due to a termination event to the holders of the Trust Certificates. When this occurs, the Liquidity Provider typically liquidates all or a portion of the municipal securities held in the Inverse Floater Trust. A liquidation shortfall occurs if the Trust Certificates exceed the proceeds of the sale of the bonds in the Inverse Floater Trust (“Liquidation Shortfall”). When a fund invests in inverse floater securities on a recourse basis, the fund typically enters into a reimbursement agreement with the Liquidity Provider where the fund is required to repay the Liquidity Provider the amount of any Liquidation Shortfall. As a result, a fund investing in a recourse inverse floater security bears the risk of loss with respect to any Liquidation Shortfall.

At May 31, 2023, accumulated net unrealized depreciation on investments was $10,408,527, consisting of $4,945,805 gross unrealized appreciation and $15,354,332 gross unrealized depreciation.

At May 31, 2023, the cost of investments  for federal income tax purposes was substantially the same as the cost for financial reporting purposes (see the Statement of Investments).

Additional investment related disclosures are hereby incorporated by reference to the annual and semi-annual reports previously filed with the SEC on Form N-CSR.