0001145549-21-009702.txt : 20210224 0001145549-21-009702.hdr.sgml : 20210224 20210224141547 ACCESSION NUMBER: 0001145549-21-009702 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20201231 FILED AS OF DATE: 20210224 PERIOD START: 20210331 FILER: COMPANY DATA: COMPANY CONFORMED NAME: Federated Hermes Municipal Bond Fund, Inc. CENTRAL INDEX KEY: 0000201801 IRS NUMBER: 251304971 STATE OF INCORPORATION: MD FISCAL YEAR END: 0331 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-02677 FILM NUMBER: 21671425 BUSINESS ADDRESS: STREET 1: 4000 ERICSSON DRIVE CITY: WARRENDALE STATE: PA ZIP: 15086-7561 BUSINESS PHONE: 8003417400 MAIL ADDRESS: STREET 1: 4000 ERICSSON DRIVE CITY: WARRENDALE STATE: PA ZIP: 15086-7561 FORMER COMPANY: FORMER CONFORMED NAME: FEDERATED MUNICIPAL BOND FUND INC DATE OF NAME CHANGE: 20170728 FORMER COMPANY: FORMER CONFORMED NAME: FEDERATED MUNICIPAL SECURITIES FUND INC DATE OF NAME CHANGE: 19960307 FORMER COMPANY: FORMER CONFORMED NAME: LIBERTY MUNICIPAL SECURITIES FUND INC DATE OF NAME CHANGE: 19930517 0000201801 S000009070 Federated Hermes Municipal Bond Fund, Inc. C000024642 Class A Shares LMSFX C000024643 Class B Shares LMSBX C000024644 Class C Shares LMSCX C000051334 Class F Shares LMFFX C000188105 Class T Shares C000191101 Institutional Shares LMBIX NPORT-P 1 primary_doc.xml NPORT-P false 0000201801 XXXXXXXX S000009070 C000024642 C000024643 C000024644 C000051334 C000188105 C000191101 Federated Hermes Municipal Bond Fund, Inc. f/k/a Federated Municipal Bond Fund Inc 811-02677 0000201801 FKXPJ13H04EJB13HM305 Federated Hermes Funds 4000 Ericsson Drive Warrendale 15086-7561 8003417400 Federated Hermes Municipal Bond Fund, Inc. f/k/a Federated Municipal Bond Fund Inc S000009070 FKXPJ13H04EJB13HM305 2021-03-31 2020-12-31 N 329082175.240000000000 862680.660000000000 328219494.580000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 14121.880000000000 USD N MET NASHVILLE TN ARPT AUTH ARP 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DISTRICT OF COLUMBIA 25483VTE4 2500000 PA USD 2918175 0.8890925275 Long DBT MUN US N 2 2048-07-01 Fixed 5 N N N N N N PENNSYLVANIA ST ECON DEV FINGA N/A PENNSYLVANIA ECONOMIC DEVELOPMENT FINANCING AUTHORITY 70869PHV2 2970000 PA USD 3451585.5 1.0516089254 Long DBT MUN US N 2 2034-12-31 Fixed 5 N N N N N N DIST OF COLUMBIA REVENUE 549300HWFOZXPKGOX654 DISTRICT OF COLUMBIA 25483VQX5 1800000 PA USD 2019222 0.6152047740 Long DBT MUN US N 2 2041-06-01 Fixed 5 N N N N N N SALT RIVER AZ PROJ AGRIC IMPT& SHB8HO6GKXJ83RX5OV39 Salt River Project Agricultural Improvement & Power District 79574CCX9 1000000 PA USD 1266000 0.3857174912 Long DBT MUN US N 2 2038-01-01 Fixed 5 N N N N N N CHICAGO IL WTRWKS REVENUE N/A CITY OF CHICAGO IL WATERWORKS REVENUE 167736C70 750000 PA USD 837277.5 0.2550968220 Long DBT MUN US N 2 2044-11-01 Fixed 5 N N N N N N MIAMI-DADE CNTY FL AVIATION RE N/A COUNTY OF MIAMI-DADE FL AVIATION REVENUE 59333PR75 2000000 PA USD 2266700 0.6906049267 Long DBT MUN US N 2 2038-10-01 Fixed 5 N N N N N N GREENVILLE SC HOSP SYS BRD HOS 549300CT091FFAL47464 GREENVILLE HEALTH SYSTEM 396080KG7 615000 PA USD 678837 0.2068240952 Long DBT MUN US N 2 2039-05-01 Fixed 5 N N N N N N TEXAS ST MUNI GAS ACQUISITION 6AZ7FRSNC3ZFPM0Z8L86 TEXAS MUNICIPAL GAS ACQUISITION & SUPPLY CORP I 88256CAT6 2030000 PA USD 2560845 0.7802233086 Long DBT MUN US N 2 2026-12-15 Fixed 5.25 N N N N N N MIAMI-DADE CNTY FL SEAPORT REV N/A COUNTY OF MIAMI-DADE SEAPORT DEPARTMENT 59335KAP2 1000000 PA USD 1130770 0.3445164040 Long DBT MUN US N 2 2030-10-01 Fixed 5.75 N N N N N N OHIO ST UNIV JFC10ZULKO4X2E3HBY86 OHIO STATE UNIVERSITY/THE 677632A92 1000000 PA USD 1102470 0.3358941252 Long DBT MUN US N 2 2038-06-01 Fixed 5 N N N N N N ESCAMBIA CNTY FL SOL WST DISP N/A County of Escambia FL 296163BB3 200000 PA USD 200000 0.0609348327 Long DBT MUN US N 2 2039-04-01 Variable 0.14 N N N N N N MIAMI-DADE CNTY FL EXPRESSWAYA 549300NSQPQSO55VM780 MIAMI-DADE COUNTY EXPRESSWAY AUTHORITY 593338AW6 2000000 PA USD 2384520 0.7265016367 Long DBT MUN US N 2 2032-07-01 Fixed 5 N N N N N N ALLEN CNTY OH HOSP FACS REVENU N/A County of Allen OH Hospital Facilities Revenue 01757LDW3 150000 PA USD 150000 0.0457011245 Long DBT MUN US N 2 2034-06-01 Variable 0.11 N N N N N N JACKSONVILLE FL HLTH CARE FACS 549300XQE0JVN9WV0J40 City of Jacksonville FL 469400EM3 1000000 PA USD 1212540 0.3694296104 Long DBT MUN US N 2 2050-11-01 Fixed 5 N N N N N N WARREN CNTY MS GULF OPPORTUNIT N/A COUNTY OF WARREN MS 935031AC8 940000 PA USD 976537.8 0.2975258375 Long DBT MUN US N 2 2035-12-01 Fixed 5.375 N N N N N N TRANSBAY JT POWERS AUTH CA 549300WC0UP8WU8GYU95 Transbay Joint Powers Authority 89356CAT3 1000000 PA USD 1249450 0.3806751338 Long DBT MUN US N 2 2045-10-01 Fixed 5 N N N N N N VanEck Vectors High Yield Muni ETF 549300UT41BWOPGYSE94 VanEck Vectors High-Yield Municipal Index ETF 92189H409 50209 NS USD 3089861.86 0.9414010779 Long EC RF US N 1 N N N TENDER OPTION BOND TRUST RECEI N/A Tender Option Bond Trust Receipts/Certificates 88034RAC9 1680000 PA USD 2188099.2 0.6666572937 Long DBT MUN US Y 2 2047-01-01 Variable 6.3680017 N N N N N N PHILADELPHIA PA 549300IVFOPB4AG7UL47 City of Philadelphia PA 717813XM6 2000000 PA USD 2526160 0.7696556852 Long DBT MUN US N 2 2037-02-01 Fixed 5 N N N N N N PORT HOUSTON TX AUTH N/A Port Authority of Houston of Harris County Texas 7342605J7 1180000 PA USD 1552939 0.4731403910 Long DBT MUN US N 2 2031-10-01 Fixed 5 N N N N N N INDIANA ST MUNI PWR AGY AX0ZCCVOQ71Z4RXBL233 INDIANA MUNICIPAL POWER AGENCY 454898WB9 1155000 PA USD 1233181.95 0.3757186792 Long DBT MUN US N 2 2028-01-01 Fixed 5 N N N N N N SALT LAKE CITY UT ARPT REVENUE N/A Salt Lake City Corp Airport Revenue 795576HL4 2000000 PA USD 2391240 0.7285490471 Long DBT MUN US N 2 2048-07-01 Fixed 5 N N N N N N TENDER OPTION BOND TRUST RECEI N/A Tender Option Bond Trust Receipts/Certificates 88034RAB1 1875000 PA USD 2446443.75 0.7453682034 Long DBT MUN US Y 2 2046-01-01 Variable 6.3680017 N N N N N N NEW JERSEY ST HLTH CARE FACS F N/A NEW JERSEY HEALTH CARE FACILITIES FINANCING AUTHORITY 64579F6N8 1250000 PA USD 1419500 0.4324849753 Long DBT MUN US N 2 2043-07-01 Fixed 5 N N N N N N INDIANA ST MUNI PWR AGY AX0ZCCVOQ71Z4RXBL233 INDIANA MUNICIPAL POWER AGENCY 454898ST5 1300000 PA USD 1462214 0.4454988275 Long DBT MUN US N 2 2030-01-01 Fixed 5.25 N N N N N N LOS ANGELES CA DEPT OF WTR & P N/A LOS ANGELES DEPARTMENT OF WATER 544525SJ8 2000000 PA USD 2223980 0.6775892464 Long DBT MUN US N 2 2033-07-01 Fixed 5 N N N N N N PENNSYLVANIA ST HGR EDUCTNL FA N/A PENNSYLVANIA HIGHER EDUCATIONAL FACILITIES AUTHORITY 70917SAW3 3000000 PA USD 3180030 0.9688729806 Long DBT MUN US N 2 2042-04-01 Fixed 5 N N N N N N GREENVILLE SC HOSP SYS BRD HOS 549300CT091FFAL47464 GREENVILLE HEALTH SYSTEM 396080KF9 2000000 PA USD 2220320 0.6764741390 Long DBT MUN US N 2 2034-05-01 Fixed 5 N N N N N N NEW JERSEY ST ECON DEV AUTH RE 5493006JS6QWDVU4R678 New Jersey Economic Development Authority 64577XAF3 2725000 PA USD 3105437.25 0.9461464969 Long DBT MUN US N 2 2040-06-15 Fixed 5.25 N N N N N N NEW YORK CITY NY MUNI WTR FIN N/A New York City Water & Sewer System 64972GMJ0 100000 PA USD 100000 0.0304674164 Long DBT MUN US N 2 2049-06-15 Variable 0.11 N N N N N N CENTRL PLAINS ENERGY PROJ NE G SVQOT7V5CPLIGNP5BE29 CENTRAL PLAINS ENERGY PROJECT 154871BY2 2000000 PA USD 2140260 0.6520819255 Long DBT MUN US N 2 2042-09-01 Fixed 5 N N N N N N N TX TOLLWAY -REF PQGZGRE0F2WPMYQQ1B78 NORTH TEXAS TOLLWAY AUTHORITY 66285WJX5 2500000 PA USD 2500000 0.7616854091 Long DBT MUN US N 2 2038-01-01 Fixed 5 N N N N N N MIAMI-DADE CNTY FL AVIATION RE N/A County of Miami-Dade FL Aviation Revenue 59333P5Z7 380000 PA USD 450353.2 0.1372109846 Long DBT MUN US N 2 2041-10-01 Fixed 4 N N N N N N PUERTO RICO SALES TAX FING COR N/A Puerto Rico Sales Tax Financing Corp Sales Tax Revenue 74529JPX7 2000000 PA USD 2228800 0.6790577759 Long DBT MUN US N 2 2058-07-01 Fixed 5 N N N N N N NEW YORK ST TRANSPRTN DEV CORP N/A New York Transportation Development Corp 650116EW2 1800000 PA USD 2103426 0.6408595573 Long DBT MUN US N 2 2041-12-01 Fixed 4 N N N N N N PORT AUTH OF NEW YORK & NEW JE 54930006MR4KZ4W74Z83 Port Authority of New York & New Jersey 73358WZH0 1930000 PA USD 2259335.2 0.6883610624 Long DBT MUN US N 2 2041-10-15 Fixed 5 N N N N N N DALLAS TX AREA RAPID TRANSIT S 75YWM81F2R6UQGJIEW47 DALLAS AREA RAPID TRANSIT 235241RV0 2225000 PA USD 2646904.5 0.8064434148 Long DBT MUN US N 2 2048-12-01 Fixed 5 N N N N N N PHOENIX AZ INDL DEV AUTH EDU R 549300A62PWFBDWB8332 INDUSTRIAL DEVELOPMENT AUTHORITY OF THE CITY OF PHOENIX/THE 71885FDK0 1740000 PA USD 1875459 0.5714039023 Long DBT MUN US N 2 2044-07-01 Fixed 5 N N N N N N NEW YORK ST DORM AUTH ST PERSO 549300C8XO7EXTX2XU71 New York State Dormitory Authority 64990FUQ5 2000000 PA USD 2416320 0.7361902751 Long DBT MUN US N 2 2043-02-15 Fixed 5 N N N N N N S JERSEY NJ TRANSPRTN AUTH TRA 549300W8SZI2CAOKT956 South Jersey Transportation Authority 838536LM0 850000 PA USD 1061871 0.3235246588 Long DBT MUN US N 2 2045-11-01 Fixed 5 N N N N N N DELAWARE RIVER PA JT TOLL BRID 549300N6IGAQMI0JLE23 DELAWARE RIVER JOINT TOLL BRIDGE COMMISSION 246343LJ4 1500000 PA USD 1835025 0.5590847071 Long DBT MUN US N 2 2042-07-01 Fixed 5 N N N N N N SAN FRANCISCO CITY & CNTY CA P N/A CITY OF SAN FRANCISCO CA PUBLIC UTILITIES COMMISSION WATER REVENUE 79765R2R9 2000000 PA USD 2539500 0.7737200386 Long DBT MUN US N 2 2034-11-01 Fixed 5 N N N N N N MASSACHUSETTS ST WTR RESOURCES 549300GBS2G3YGHOYO19 MASSACHUSETTS WATER RESOURCES AUTHORITY 576051SG2 2000000 PA USD 2557560 0.7792224539 Long DBT MUN US N 2 2032-08-01 Fixed 5 N N N N N N MET NASHVILLE TN ARPT AUTH ARP 549300IC0HNF8TDXEE63 Metropolitan Nashville Airport Authority/The 592190NN8 1000000 PA USD 1256180 0.3827255909 Long DBT MUN US N 2 2054-07-01 Fixed 5 N N N N N N NATIONAL FIN AUTH NH REVENUE N/A New Hampshire Business Finance Authority 63607YAJ9 100000 PA USD 101204 0.0308342441 Long DBT MUN US N 2 2045-07-01 Variable 3.75 N N N N N N MIAMI-DADE CNTY FL TRANSIT SAL N/A COUNTY OF MIAMI-DADE FL TRANSIT SYSTEM 59334PEL7 2875000 PA USD 3082287.5 0.9390933661 Long DBT MUN US N 2 2042-07-01 Fixed 5 N N N N N N NEW YORK ST DORM AUTH SALES TA 549300C8XO7EXTX2XU71 NY DORM AUTH-C-REF 5 3/38 64990AKC8 2000000 PA USD 2504940 0.7631904995 Long DBT MUN US N 2 2038-03-15 Fixed 5 N N N N N N BAY AREA CA TOLL AUTH TOLL BRI 5493001FUZGUQMIP5D78 BAY AREA TOLL AUTHORITY 072024ST0 1500000 PA USD 1521675 0.4636150579 Long DBT MUN US N 2 2036-04-01 Variable 1.34 N N N N N N OKLAHOMA ST DEV FIN AUTH HLTHS 549300PXGPHUWC32DJ91 Oklahoma Development Finance Authority 67884XCN5 2000000 PA USD 2386740 0.7271780133 Long DBT MUN US N 2 2057-08-15 Fixed 5.5 N N N N N N SOUTH CAROLINA ST JOBS-ECON DE 5493006X47I9VG3DL112 South Carolina Jobs-Economic Development Authority 83703EMQ5 2000000 PA USD 2319720 0.7067587509 Long DBT MUN US N 2 2044-12-01 Fixed 4 N N N N N N NORTH CAROLINA ST MED CARE COM 549300FH6KOXGCHQYG81 NORTH CAROLINA MEDICAL CARE COMMISSION 65820YPB6 1000000 PA USD 1064720 0.3243926755 Long DBT MUN US N 2 2047-10-01 Fixed 5 N N N N N N CINCINNATI OH N/A CINCINNATI -REF 5 12/32 172217H20 1000000 PA USD 1341310 0.4086625024 Long DBT MUN US N 2 2032-12-01 Fixed 5 N N N N N N NEW YORK NY 549300ABYZD2SFD5JB29 CITY OF NEW YORK NY 64966MBK4 300000 PA USD 365370 0.1113187992 Long DBT MUN US N 2 2032-08-01 Fixed 5 N N N N N N CONNECTICUT ST SPL TAX OBLIG R N/A State of Connecticut Special Tax Revenue 207758YL1 1000000 PA USD 1267700 0.3862354372 Long DBT MUN US N 2 2036-10-01 Fixed 5 N N N N N N MIAMI-DADE CNTY FL HLTH FACS A N/A MIAMI-DADE COUNTY HEALTH FACILITIES AUTHORITY 59334NDX7 1500000 PA USD 1791945 0.5459593442 Long DBT MUN US N 2 2042-08-01 Fixed 5 N N N N N N WEST VIRGINIA ST N/A State of West Virginia 956553H20 2000000 PA USD 2612720 0.7960282808 Long DBT MUN US N 2 2036-12-01 Fixed 5 N N N N N N PUERTO RICO SALES TAX FING COR N/A Puerto Rico Sales Tax Financing Corp Sales Tax Revenue 74529JPW9 1000000 PA USD 1098960 0.3348247189 Long DBT MUN US N 2 2053-07-01 Fixed 4.75 N N N N N N OHIO ST 5493005LEB5E170OMX59 State of Ohio 677522J70 2000000 PA USD 2634480 0.8026579906 Long DBT MUN US N 2 2036-06-15 Fixed 5 N N N N N N DIST OF COLUMBIA REVENUE 549300HWFOZXPKGOX654 District of Columbia 25483VVP6 1200000 PA USD 1391760 0.4240333140 Long DBT MUN US N 2 2049-07-01 Fixed 5 N N N N N N ALLEGHENY CNTY PA SAN AUTH N/A ALLEGHENY COUNTY SANITARY AUTHORITY 017357A79 1000000 PA USD 1175990 0.3582937697 Long DBT MUN US N 2 2040-12-01 Fixed 5 N N N N N N BERKS CNTY PA INDL DEV AUTH HL N/A BERKS COUNTY INDUSTRIAL DEVELOPMENT AUTHORITY 08452RAA4 450000 PA USD 505075.5 0.1538834555 Long DBT MUN US N 2 2032-05-15 Fixed 5 N N N N N N CLARK CNTY NV N/A County of Clark NV 180848F24 2000000 PA USD 2606920 0.7942611707 Long DBT MUN US N 2 2032-06-01 Fixed 5 N N N N N N NEW YORK NY 549300ABYZD2SFD5JB29 CITY OF NEW YORK NY 64966L4R9 3255000 PA USD 3906748.65 1.1902853775 Long DBT MUN US N 2 2033-08-01 Fixed 5 N N N N N N BROWARD CNTY FL ARPT SYS REVEN N/A COUNTY OF BROWARD FL AIRPORT SYSTEM REVENUE 114894RE0 1500000 PA USD 1626285 0.4954870222 Long DBT MUN US N 2 2037-10-01 Fixed 5 N N N N N N COLUMBIA AL INDL DEV BRD POLLC N/A Columbia Industrial Development Board 197210BA4 400000 PA USD 400000 0.1218696655 Long DBT MUN US N 2 2037-12-01 Variable 0.13 N N N N N N NEW JERSEY ST TURNPIKE AUTH 5493005YN67D71KSMI84 NEW JERSEY TURNPIKE AUTHORITY 6461396M2 1000000 PA USD 1242400 0.3785271809 Long DBT MUN US N 2 2029-01-01 Fixed 5 N N N N N N MICHIGAN ST STRATEGIC FUND LTD N/A MICHIGAN ST STRATEGIC 594698QT2 2000000 PA USD 2428140 0.7397915237 Long DBT MUN US N 2 2043-12-31 Fixed 5 N N N N N N 2021-02-24 Federated Hermes Municipal Bond Fund, Inc. f/k/a Federated Municipal Bond Fund Inc Stephen Van Meter Federated Hermes Municipal Bond Fund, Inc. f/k/a Federated Municipal Bond Fund Inc Chief Compliance Officer XXXX NPORT-EX 2 poi_fhmunibondfundinc.htm POI - FEDERATED HERMES MUNICIPAL BOND FUND, INC EDGAR HTML
Federated Hermes Municipal Bond Fund, Inc.
Portfolio of Investments
December 31, 2020 (unaudited)
Principal
Amount or
Shares
 
 
Value
 
 
MUNICIPAL BONDS—97.4%
 
 
 
Arizona—3.7%
 
$3,000,000
 
Arizona Board of Regents (Arizona State University), (Series 2016B), 5.000%, 7/1/2047
$3,568,800
500,000
 
Arizona State IDA (Phoenix Children’s Hospital), Hospital Revenue Bonds (Series 2020A), 4.000%, 2/1/2050
584,985
2,000,000
 
Phoenix, AZ Civic Improvement Corp.Airport System, Junior Line Airport Revenue Bonds (Series 2019A),
4.000%, 7/1/2044
2,312,720
1,740,000
 
Phoenix, AZ IDA (GreatHearts Academies), Education Facility Revenue Bonds (Series 2014A), 5.000%, 7/1/2044
1,875,459
2,000,000
 
Salt River Project, AZ Agricultural Improvement & Power District, Electric System Revenue Bonds (Series 2019A),
5.000%, 1/1/2035
2,682,860
1,000,000
 
Salt River Project, AZ Agricultural Improvement & Power District, Electric System Revenue Refunding Bonds
(Series 2017A), 5.000%, 1/1/2038
1,266,000
 
 
TOTAL
12,290,824
 
 
California—6.8%
 
1,500,000
1
Bay Area Toll Authority, CA, San Francisco Bay Area Toll Bridge Revenue Bonds (SIFMA Index Rate Bonds Series 2001A)
FRNs, 1.340% (SIFMA 7-day +1.250%), Mandatory Tender 4/1/2027
1,521,675
2,000,000
 
California Health Facilities Financing Authority (Providence St. Joseph Health), Revenue Bonds (Series 2014B),
5.000%, 10/1/2044
2,296,860
1,000,000
 
California Health Facilities Financing Authority (Stanford Health Care), Revenue Bonds (Series 2015A), 5.000%, 8/15/2054
1,145,220
1,140,000
 
Los Angeles Department of Water & Power (Los Angeles, CA Department of Water & Power (Electric/Power System)),
Power System Revenue Bonds (Series 2020A), 5.000%, 7/1/2029
1,552,019
2,000,000
 
Los Angeles Department of Water & Power (Los Angeles, CA Department of Water & Power (Water Works/System)), Water
System Revenue Bonds (Series 2013B), 5.000%, 7/1/2033
2,223,980
1,000,000
 
Los Angeles, CA Department of Airports (Los Angeles International Airport), Subordinate Revenue Bonds (Series 2018A),
5.000%, 5/15/2044
1,214,780
3,000,000
 
Roseville, CA Natural Gas Financing Authority, Gas Revenue Bonds (Series 2007), (Bank of America Corp. GTD),
5.000%, 2/15/2025
3,534,900
2,000,000
 
San Diego, CA Unified School District, UT GO Bonds (Election 2012 Series-I), 5.000%, 7/1/2047
2,476,000
2,000,000
 
San Francisco, CA City & County Airport Commission, Second Series Revenue Bonds (Series 2019A), 5.000%, 5/1/2035
2,536,580
2,000,000
 
San Francisco, CA Public Utilities Commission (Water Enterprise), Water Revenue Bonds (Series 2017 Sub-Series D),
5.000%, 11/1/2034
2,539,500
1,000,000
 
Transbay Joint Powers Authority, CA, Senior Tax Allocation Bonds Green Bonds (Series 2020A), 5.000%, 10/1/2045
1,249,450
 
 
TOTAL
22,290,964
 
 
Colorado—4.8%
 
1,000,000
 
Colorado State Health Facilities Authority Revenue (CommonSpirit Health), Revenue Bonds (Series 2019A-1),
4.000%, 8/1/2037
1,166,390
1,000,000
 
Colorado State Health Facilities Authority Revenue (CommonSpirit Health), Revenue Bonds (Series 2019A-1),
5.000%, 8/1/2036
1,265,110
1,000,000
 
Denver, CO City & County Department of Aviation (Denver, CO City & County Airport Authority), Airport System Revenue
Bonds (Series 2018A), 5.000%, 12/1/2048
1,196,950
2,000,000
 
Denver, CO Convention Center Hotel Authority, Senior Revenue Refunding Bonds (Series 2016), 5.000%, 12/1/2027
2,375,360
2,800,000
 
E-470 Public Highway Authority, CO, Senior Revenue Bonds (Series 2020A), 5.000%, 9/1/2040
3,192,336
2,500,000
 
Regional Transportation District, CO (Denver Transit Partners Eagle P3 Project), Private Activity Bonds (Series 2020A),
4.000%, 7/15/2035
3,017,775
3,250,000
 
University of Colorado Hospital Authority, Revenue Bonds (Series 2012A), 5.000%, 11/15/2036
3,488,355
 
 
TOTAL
15,702,276
 
 
Connecticut—1.7%
 
3,000,000
 
Connecticut State HEFA (Trinity Healthcare Credit Group), Revenue Bonds (Series 2016CT), 5.000%, 12/1/2045
3,549,810
1,000,000
 
Connecticut State Special Transportation Fund, Special Tax Obligation Bonds Transportation Infrastructure Purpose
(Series 2018B), 5.000%, 10/1/2036
1,267,700
750,000
 
Connecticut State Special Transportation Fund, Special Tax Obligation Bonds Transportation Infrastructure Purposes
(Series 2020A), 4.000%, 5/1/2036
892,680
 
 
TOTAL
5,710,190
1

Principal
Amount or
Shares
 
 
Value
 
 
MUNICIPAL BONDS—continued
 
 
 
District of Columbia—2.3%
 
$2,500,000
 
District of Columbia (KIPP DC), Refunding Revenue Bonds (Series 2017A), 5.000%, 7/1/2048
$2,918,175
1,200,000
 
District of Columbia Revenue (District of Columbia International School), Revenue Bonds (Series 2019), 5.000%, 7/1/2049
1,391,760
1,800,000
 
District of Columbia Revenue (Friendship Public Charter School, Inc.), Revenue Bonds (Series 2016A), 5.000%, 6/1/2041
2,019,222
15,000
 
District of Columbia Revenue (Georgetown University), University Refunding Revenue Bonds (Series 2017), (United States
Treasury PRF 4/1/2027@100), 5.000%, 4/1/2036
19,268
985,000
 
District of Columbia Revenue (Georgetown University), University Refunding Revenue Bonds (Series 2017),
5.000%, 4/1/2036
1,181,616
 
 
TOTAL
7,530,041
 
 
Florida—7.7%
 
1,500,000
 
Broward County, FL Airport System, Airport System Revenue Bonds (Series 2012Q-1), (United States Treasury PRF
10/1/2022@100), 5.000%, 10/1/2037
1,626,285
1,000,000
 
Central Florida Expressway Authority, Senior Lien Revenue Refunding Bonds (Series 2017), 5.000%, 7/1/2038
1,230,120
1,000,000
 
Florida State Mid-Bay Authority, First Senior Lien Revenue Bonds (Series 2015A), 5.000%, 10/1/2035
1,140,810
2,000,000
 
Greater Orlando, FL Aviation Authority, Subordinate Airport Facilities Revenue Bonds (Series 2017A), 5.000%, 10/1/2036
2,423,380
1,000,000
 
Jacksonville, FL (Brooks Rehabilitation), Health Care Facilities Revenue Bonds (Series 2020), 5.000%, 11/1/2050
1,212,540
1,000,000
 
Miami-Dade County, FL (Miami-Dade County, FL Seaport), Seaport Revenue Bonds (Series 2013A), 5.750%, 10/1/2030
1,130,770
1,000,000
 
Miami-Dade County, FL (Miami-Dade County, FL Seaport), Seaport Revenue Bonds (Series 2013A), 5.750%, 10/1/2032
1,130,190
2,000,000
 
Miami-Dade County, FL Aviation, Aviation Revenue Refunding Bonds (Series 2015A), 5.000%, 10/1/2038
2,266,700
380,000
 
Miami-Dade County, FL Aviation, Aviation Revenue Refunding Bonds (Series 2020A), 4.000%, 10/1/2041
450,353
2,000,000
 
Miami-Dade County, FL Expressway Authority, Toll System Refunding Revenue Bonds (Series 2016A), 5.000%, 7/1/2032
2,384,520
1,250,000
 
Miami-Dade County, FL Expressway Authority, Toll System Revenue Bonds (Series 2010), (Original Issue Yield: 5.100%),
5.000%, 7/1/2040
1,253,188
1,500,000
 
Miami-Dade County, FL HFA (Nicklaus Children’s Hospital), Hospital Revenue Refunding Bonds (Series 2017),
5.000%, 8/1/2042
1,791,945
1,000,000
 
Miami-Dade County, FL IDA (Doral Academy), Industrial Development Revenue Bonds (Series 2017), 5.000%, 1/15/2048
1,115,220
2,875,000
 
Miami-Dade County, FL Transit System, Sales Surtax Revenue Bonds (Series 2012), (United States Treasury PRF
7/1/2022@100), 5.000%, 7/1/2042
3,082,287
1,500,000
 
Tallahassee, FL Energy System, Revenue Refunding Bonds (Series 2017), 5.000%, 10/1/2036
1,792,875
1,000,000
 
Tampa, FL (H. Lee Moffitt Cancer Center), Hospital Revenue Bonds (Series 2020B), 4.000%, 7/1/2045
1,153,670
 
 
TOTAL
25,184,853
 
 
Georgia—2.0%
 
3,000,000
 
Atlanta, GA Water & Wastewater, Revenue Refunding Bonds (Series 2015), 5.000%, 11/1/2040
3,554,430
3,000,000
1
Main Street Natural Gas, Inc., GA, Gas Supply Revenue Bonds (Series 2018D) FRNs, (Royal Bank of Canada GTD), 0.934%
(1-month USLIBOR x 0.67 +0.830%), Mandatory Tender 12/1/2023
3,010,710
 
 
TOTAL
6,565,140
 
 
Illinois—4.5%
 
310,000
 
Chicago, IL O’Hare International Airport, General Airport Senior Lien Revenue Refunding Bonds (Series 2016B),
5.000%, 1/1/2041
361,770
1,875,000
 
Chicago, IL O’Hare International Airport, General Airport Third Lien Revenue Bonds (Series 2011C), (United States
Treasury PRF 1/1/2021@100), 6.500%, 1/1/2041
1,875,000
2,000,000
 
Chicago, IL O’Hare International Airport, Passenger Facility Charge Revenue Refunding Bonds (Series 2012A),
5.000%, 1/1/2031
2,084,800
1,500,000
 
Chicago, IL Sales Tax, Revenue Bonds (Series 2011A), (United States Treasury PRF 1/1/2022@100), 5.250%, 1/1/2038
1,575,720
750,000
 
Chicago, IL Water Revenue, Second Lien Water Revenue Bonds (Series 2014), 5.000%, 11/1/2044
837,277
3,000,000
 
Illinois Finance Authority (Northwestern Memorial Healthcare), Revenue Bonds (Series 2017A), 5.000%, 7/15/2042
3,682,110
1,000,000
 
Illinois State Toll Highway Authority, Toll Highway Senior Revenue Bonds (Series 2019 A), 4.000%, 1/1/2039
1,171,650
890,000
 
Illinois State, GO Bonds (Series 2017D), 5.000%, 11/1/2028
1,006,074
1,110,000
 
Illinois State, UT GO Bonds (Series 2017D), 5.000%, 11/1/2026
1,254,955
1,000,000
 
Illinois State, UT GO Bonds (Series June 2013), (Original Issue Yield: 5.280%), 5.250%, 7/1/2028
1,071,020
 
 
TOTAL
14,920,376
 
 
Indiana—0.8%
 
1,155,000
 
Indiana Municipal Power Agency, Power Supply System Refunding Revenue Bonds (Series 2012A), 5.000%, 1/1/2028
1,233,182
2

Principal
Amount or
Shares
 
 
Value
 
 
MUNICIPAL BONDS—continued
 
 
 
Indiana—continued
 
$1,300,000
 
Indiana Municipal Power Agency, Power Supply System Revenue Bonds (Series 2013A), (United States Treasury PRF
7/1/2023@100), 5.250%, 1/1/2030
$1,462,214
 
 
TOTAL
2,695,396
 
 
Massachusetts—3.8%
 
3,000,000
 
Commonwealth of Massachusetts, UT GO Bonds (Series 2018C), 5.250%, 9/1/2043
3,866,370
3,000,000
 
Massachusetts Port Authority, Revenue Bonds (Series 2015A), 5.000%, 7/1/2045
3,485,760
2,000,000
 
Massachusetts School Building Authority, Subordinated Dedicated Sales Tax Revenue Bonds (Series 2018A),
5.250%, 2/15/2048
2,520,920
2,000,000
 
Massachusetts Water Resources Authority, General Revenue Refunding Bonds (Series 2017C), 5.000%, 8/1/2032
2,557,560
 
 
TOTAL
12,430,610
 
 
Michigan—2.0%
 
1,000,000
 
Detroit, MI, UT GO Bonds (Series 2020), 5.500%, 4/1/2045
1,158,500
2,000,000
 
Michigan Strategic Fund (I-75 Improvement Project), Limited Obligation Revenue Bonds (Series 2018),
5.000%, 12/31/2043
2,428,140
1,570,000
 
Michigan Tobacco Settlement Finance Authority, Tobacco Settlement Asset-Backed Senior Current Interest Bonds
(Series 2020A Class 1), 4.000%, 6/1/2049
1,782,311
1,000,000
 
Royal Oak, MI Hospital Finance Authority (Beaumont Health Credit Group), Refunding Revenue Bonds (Series 2014D),
5.000%, 9/1/2039
1,123,040
 
 
TOTAL
6,491,991
 
 
Mississippi—0.3%
 
940,000
 
Warren County, MS Gulf Opportunity Zone (International Paper Co.), Gulf Opportunity Zone Bonds (Series 2011A),
5.375%, 12/1/2035
976,538
 
 
Nebraska—0.7%
 
2,000,000
 
Central Plains Energy Project, NE, Gas Project Revenue Bonds (Project No. 3) (Series 2012), (Original Issue Yield: 5.050%),
(Goldman Sachs Group, Inc. GTD), 5.000%, 9/1/2042
2,140,260
 
 
Nevada—0.9%
 
2,000,000
 
Clark County, NV, Limited Tax GO Detention Center Bonds (Series 2019), 5.000%, 6/1/2032
2,606,920
305,000
2
Director of the State of Nevada Department of Business and Industry (Doral Academy of Nevada CS), Charter School
Revenue Bonds (Series 2017A), 5.000%, 7/15/2047
328,769
 
 
TOTAL
2,935,689
 
 
New Hampshire—0.0%
 
100,000
 
National Finance Authority, NH (Covanta Energy Corp.), Resource Recovery Revenue Refunding Bonds (Series 2020B)
TOBs, 3.750%, Mandatory Tender 7/2/2040
101,204
 
 
New Jersey—6.9%
 
155,000
 
New Jersey EDA (New Jersey State), School Facilities Construction Bonds (Series 2015 WW), (United States Treasury PRF
6/15/2025@100), 5.250%, 6/15/2040
189,232
2,725,000
 
New Jersey EDA (New Jersey State), School Facilities Construction Bonds (Series 2015 WW), 5.250%, 6/15/2040
3,105,437
665,000
 
New Jersey EDA (Port Newark Container Terminal LLC), Special Facilities Revenue and Refunding Bonds (Series 2017),
5.000%, 10/1/2047
757,315
1,250,000
 
New Jersey Health Care Facilities Financing Authority (RWJ Barnabas Health Obligated Group), Revenue Bonds
(Series 2014A), 5.000%, 7/1/2043
1,419,500
3,000,000
 
New Jersey State Transportation Trust Fund Authority (New Jersey State), Transportation System Bonds (Series 2011A),
(United States Treasury PRF 6/15/2021@100), 5.500%, 6/15/2041
3,070,590
1,500,000
 
New Jersey State Transportation Trust Fund Authority (New Jersey State), Transportation System Bonds (Series 2018A),
5.000%, 12/15/2035
1,824,570
2,000,000
 
New Jersey Turnpike Authority, Turnpike Revenue Bonds (Series 2015E), 5.000%, 1/1/2034
2,301,060
1,000,000
 
New Jersey Turnpike Authority, Turnpike Revenue Bonds (Series 2017A), 5.000%, 1/1/2029
1,242,400
2,000,000
 
Rutgers, The State University of New Jersey, GO Refunding Bonds (Series 2013J), (United States Treasury PRF
5/1/2023@100), 5.000%, 5/1/2030
2,223,780
850,000
 
South Jersey Transportation Authority, Transportation System Revenue Bonds (Series 2020A), 5.000%, 11/1/2045
1,061,871
4,700,000
 
Tobacco Settlement Financing Corp., NJ, Tobacco Settlement Asset-Backed Subordinate Refunding Bonds (Series 2018B),
5.000%, 6/1/2046
5,486,310
 
 
TOTAL
22,682,065
3

Principal
Amount or
Shares
 
 
Value
 
 
MUNICIPAL BONDS—continued
 
 
 
New Mexico—0.8%
 
$2,175,000
 
New Mexico State Hospital Equipment Loan Council (Presbyterian Healthcare Services), Hospital System Revenue Bonds
(Series 2017A), 5.000%, 8/1/2046
$2,631,750
 
 
New York—10.5%
 
1,000,000
 
Hudson Yards Infrastructure Corp., NY, Second Indenture Revenue Bonds (Series 2017A), 5.000%, 2/15/2045
1,193,040
2,000,000
 
Long Island Power Authority, NY, Electric System General Revenue Bonds (Series 2014A), 5.000%, 9/1/2044
2,272,020
480,000
 
Long Island Power Authority, NY, Electric System General Revenue Bonds (Series 2020A), 4.000%, 9/1/2039
585,226
2,000,000
 
Metropolitan Transportation Authority, NY (MTA Transportation Revenue), Transportation Revenue Green Bonds
(Series 2020C-1), 5.250%, 11/15/2055
2,435,940
1,000,000
 
Metropolitan Transportation Authority, NY (MTA Transportation Revenue), Transportation Revenue Refunding Bonds
(Series 2017B), 5.000%, 11/15/2024
1,109,760
3,000,000
 
New York City, NY, Transitional Finance Authority, Building Aid Revenue Bonds (Series 2015S-2), 5.000%, 7/15/2041
3,540,180
3,255,000
 
New York City, NY, UT GO Bonds (Fiscal 2016 Series C), 5.000%, 8/1/2033
3,906,749
300,000
 
New York City, NY, UT GO Bonds (Fiscal 2016 Series E), 5.000%, 8/1/2032
365,370
2,470,000
 
New York Liberty Development Corporation (7 World Trade Center LLC), Revenue Refunding Bonds (Series 2012 Class 2),
5.000%, 9/15/2043
2,587,300
400,000
 
New York Liberty Development Corporation (7 World Trade Center LLC), Revenue Refunding Bonds (Series 2012 Class 3),
5.000%, 3/15/2044
418,572
2,000,000
 
New York State Dormitory Authority (New York State Personal Income Tax Revenue Bond Fund), General Purpose Revenue
Bonds (Series 2016A), 5.000%, 2/15/2043
2,416,320
2,000,000
 
New York State Dormitory Authority (New York State Sales Tax Revenue Bond Fund), Revenue Bonds (Series 2018C),
5.000%, 3/15/2038
2,504,940
3,000,000
 
New York State Power Authority, Revenue Bonds (Series 2020A), 4.000%, 11/15/2050
3,542,910
2,000,000
 
New York State Thruway Authority, General Revenue Junior Indebtedness Obligations (Series 2019B), 4.000%, 1/1/2045
2,338,360
825,000
 
New York Transportation Development Corporation (JFK International Air Terminal LLC), Special Facilities Revenue Bonds
(Series 2020A), 4.000%, 12/1/2039
957,041
1,800,000
 
New York Transportation Development Corporation (JFK International Air Terminal LLC), Special Facilities Revenue Bonds
(Series 2020C), 4.000%, 12/1/2041
2,103,426
1,930,000
 
Port Authority of New York and New Jersey, Revenue Bonds (194th Series ), 5.000%, 10/15/2041
2,259,335
 
 
TOTAL
34,536,489
 
 
North Carolina—0.7%
 
1,000,000
 
North Carolina Medical Care Commission (United Methodist Retirement Homes), Revenue Refunding Bonds
(Series 2017A), 5.000%, 10/1/2037
1,072,920
1,000,000
 
North Carolina Medical Care Commission (United Methodist Retirement Homes), Revenue Refunding Bonds
(Series 2017A), 5.000%, 10/1/2047
1,064,720
 
 
TOTAL
2,137,640
 
 
Ohio—5.5%
 
2,000,000
 
Buckeye Tobacco Settlement Financing Authority, OH, Tobacco Settlement Asset-Backed Refunding Bonds
(Series 2020B-2 Class 2), 5.000%, 6/1/2055
2,262,580
1,000,000
 
Cincinnati, OH, UT GO Various Purpose Improvement Bonds (Series 2019), 5.000%, 12/1/2032
1,341,310
2,180,000
 
Cuyahoga County, OH Hospital Authority (MetroHealth System), Hospital Revenue Bonds (Series 2017), (Original Issue
Yield: 5.030%), 5.000%, 2/15/2057
2,473,210
1,500,000
 
Ohio Air Quality Development Authority (Pratt Paper, LLC), Exempt Facilities Revenue Bonds (Series 2017),
4.500%, 1/15/2048
1,667,715
2,000,000
 
Ohio State Higher Educational Facility Commission (Cleveland Clinic), Revenue Bonds (Series 2012), (United States
Treasury PRF 1/1/2022@100), 5.000%, 1/1/2038
2,095,000
1,000,000
 
Ohio State Hospital Revenue (University Hospitals Health System, Inc.), Revenue Bonds (Series 2020A), 4.000%, 1/15/2050
1,126,910
3,000,000
 
Ohio State Treasurer Private Activity (Portsmouth Gateway Group LLC), Revenue Bonds (Series 2015), 5.000%, 12/31/2039
3,401,010
1,000,000
 
Ohio State University, Special Purpose General Receipts Bonds (Series 2013A), 5.000%, 6/1/2038
1,102,470
2,000,000
 
Ohio State, Common Schools UT GO Bonds (Series 2019A), 5.000%, 6/15/2036
2,634,480
 
 
TOTAL
18,104,685
 
 
Oklahoma—1.8%
 
2,000,000
 
Oklahoma Development Finance Authority (OU Medicine), Hospital Revenue Bonds (Series 2018B), 5.500%, 8/15/2057
2,386,740
2,795,000
 
Oklahoma State Turnpike Authority, Second Senior Revenue Bonds (Series 2017C), 5.000%, 1/1/2047
3,376,360
 
 
TOTAL
5,763,100
4

Principal
Amount or
Shares
 
 
Value
 
 
MUNICIPAL BONDS—continued
 
 
 
Oregon—0.4%
 
$1,000,000
 
Medford, OR Hospital Facilities Authority (Asante Health System), Revenue and Refunding Bonds (Series 2020A),
5.000%, 8/15/2050
$1,273,410
 
 
Pennsylvania—8.0%
 
1,000,000
 
Allegheny County, PA Sanitation Authority, Sewer Revenue Bonds (Series 2015), 5.000%, 12/1/2040
1,175,990
450,000
 
Berks County, PA IDA (Highlands at Wyomissing), Healthcare Facilities Revenue Bonds (Series 2017A), 5.000%, 5/15/2032
505,076
500,000
 
Berks County, PA IDA (Highlands at Wyomissing), Healthcare Facilities Revenue Bonds (Series 2017A), 5.000%, 5/15/2042
545,995
1,500,000
 
Delaware River Joint Toll Bridge Commission, Revenue Bonds (Series 2017), 5.000%, 7/1/2042
1,835,025
2,000,000
 
Delaware River Port Authority, Revenue Bonds (Series 2013), 5.000%, 1/1/2030
2,242,540
2,000,000
 
Geisinger Authority, PA Health System (Geisinger Health System), Revenue Refunding Bonds (Series 2017A-1),
5.000%, 2/15/2045
2,396,380
2,000,000
 
Northampton County, PA General Purpose Authority (St. Luke’s University Health Network), Hospital Revenue Bonds
(Series 2018A), (Original Issue Yield: 4.090%), 4.000%, 8/15/2048
2,214,100
2,970,000
 
Pennsylvania Economic Development Financing Authority (Pennsylvania Rapid Bridge Replacement), Tax-Exempt Private
Activity Revenue Bonds (Series 2015), 5.000%, 12/31/2034
3,451,585
3,000,000
 
Pennsylvania State Higher Education Facilities Authority (Temple University), Revenue Bonds (First Series of 2012), (United
States Treasury PRF 4/1/2022@100), 5.000%, 4/1/2042
3,180,030
2,000,000
 
Pennsylvania State Higher Education Facilities Authority (University of Pennsylvania Health System), 4.000%, 8/15/2042
2,307,640
1,000,000
 
Pennsylvania State Higher Education Facilities Authority (University of Pennsylvania), Revenue Bonds (Series 2018A),
5.000%, 2/15/2048
1,227,630
2,000,000
 
Pennsylvania State University, Revenue Bonds (Series 2020A), 5.000%, 9/1/2045
2,598,160
2,000,000
 
Philadelphia, PA, GO Bonds (Series 2019B), 5.000%, 2/1/2037
2,526,160
 
 
TOTAL
26,206,311
 
 
Puerto Rico—1.0%
 
2,000,000
 
Puerto Rico Sales Tax Financing Corp., Restructured Sales Tax Bonds (Series 2019A), (Original Issue Yield: 5.154%),
5.000%, 7/1/2058
2,228,800
1,000,000
 
Puerto Rico Sales Tax Financing Corp., Restructured Sales Tax Bonds (Series 2019A-1), 4.750%, 7/1/2053
1,098,960
 
 
TOTAL
3,327,760
 
 
South Carolina—2.5%
 
2,000,000
 
Greenville, SC Health System, Hospital Revenue Bonds (Series 2014B), 5.000%, 5/1/2034
2,220,320
615,000
 
Greenville, SC Health System, Hospital Revenue Bonds (Series 2014B), 5.000%, 5/1/2039
678,837
2,000,000
 
South Carolina Jobs-EDA (Bon Secours Mercy Health), Hospital Facilities Revenue Refunding Bonds (Series 2020A),
4.000%, 12/1/2044
2,319,720
1,500,000
 
South Carolina Jobs-EDA (Prisma Health Obligated Group), Hospital Revenue Bonds (Series 2018A), 5.000%, 5/1/2048
1,783,215
1,000,000
 
South Carolina Public Service Company (Santee Cooper), Revenue Refunding and Improvement Bonds (Series 2020A),
4.000%, 12/1/2042
1,179,420
 
 
TOTAL
8,181,512
 
 
Tennessee—1.5%
 
1,335,000
 
Metropolitan Government of Nashville & Davidson County, TN Health & Educational Facilities Board (Vanderbilt University
Medical Center), Revenue Bonds (Series 2016A), 5.000%, 7/1/2046
1,557,144
1,000,000
 
Metropolitan Nashville Tennessee Airport Authority, Subordinate Airport Revenue Bonds (Series 2019A), 5.000%, 7/1/2054
1,256,180
2,000,000
 
Metropolitan Nashville Tennessee Airport Authority, Subordinate Airport Revenue Bonds (Series 2019B), 4.000%, 7/1/2054
2,264,740
 
 
TOTAL
5,078,064
 
 
Texas—8.6%
 
2,225,000
 
Dallas, TX Area Rapid Transit, Senior Lien Sales Tax Revenue Refunding Bonds (Series 2016A), 5.000%, 12/1/2048
2,646,905
1,250,000
 
Dallas-Fort Worth, TX International Airport, Joint Revenue Refunding Bonds (Series 2020A), 4.000%, 11/1/2035
1,521,225
2,000,000
 
Harris County, TX Cultural Education Facilities Finance Corp. (Memorial Hermann Health System), Hospital Revenue Bonds
(Series 2014A), (United States Treasury PRF 12/1/2024@100), 5.000%, 12/1/2029
2,367,280
2,000,000
 
Houston, TX Combined Utility System, First Lien Revenue & Refunding Bonds (Series 2016B), 4.000%, 11/15/2037
2,335,080
1,000,000
 
Lower Colorado River Authority, TX (LCRA Transmission Services Corp.), Transmission Contract Refunding Revenue Bonds
(Series 2020A), 5.000%, 5/15/2045
1,280,200
2,500,000
 
North Texas Tollway Authority, First Tier Revenue Refunding Bonds (Series 2011B), (Original Issue Yield: 5.120%), (United
States Treasury PRF 1/1/2021@100), 5.000%, 1/1/2038
2,500,000
1,180,000
 
Port of Houston Authority, TX, UT GO Refunding Bonds (Series 2018A), 5.000%, 10/1/2031
1,552,939
5

Principal
Amount or
Shares
 
 
Value
 
 
MUNICIPAL BONDS—continued
 
 
 
Texas—continued
 
$1,500,000
 
San Antonio, TX Electric & Gas System, Revenue Refunding Bonds (New Series 2015), 5.000%, 2/1/2032
$1,822,005
2,000,000
 
San Antonio, TX Electric & Gas System, Revenue Refunding Bonds (Series 2016), 4.000%, 2/1/2034
2,316,980
2,030,000
 
Texas Municipal Gas Acquisition & Supply Corp. I, Gas Supply Senior Lien Revenue Bonds (Series 2006A), (Bank of
America Corp. GTD), 5.250%, 12/15/2026
2,560,845
3,000,000
 
Texas Private Activity Bonds Surface Transportation Corporation (LBJ Infrastructure Group LLC), Senior Lien Revenue
Refunding Bonds I-635 Managed Lanes Project (Series 2020A), 4.000%, 12/31/2039
3,515,460
3,000,000
 
Trinity River Authority Texas Regional Wastewater System, Revenue Refunding Bonds (Series 2016), 5.000%, 8/1/2026
3,766,680
 
 
TOTAL
28,185,599
 
 
Utah—0.7%
 
2,000,000
 
Salt Lake City, UT Airport Revenue, Airport Revenue Bonds (Series 2018A), 5.000%, 7/1/2048
2,391,240
 
 
Virginia—1.0%
 
1,200,000
 
Chesapeake Bay Bridge & Tunnel District, VA, First Tier General Resolution Revenue Bonds (Series 2016),
5.000%, 7/1/2051
1,374,192
1,500,000
 
Hampton Roads, VA Sanitation District, Subordinate Wastewater Revenue Bonds (Series 2016A), (United States Treasury
PRF 8/1/2026@100), 5.000%, 8/1/2043
1,893,075
 
 
TOTAL
3,267,267
 
 
Washington—3.7%
 
2,000,000
 
Port of Seattle, WA Revenue, Intermediate Lien Revenue Bonds (Series 2018A), 5.000%, 5/1/2043
2,356,180
1,875,000
1,2
Seattle, WA Municipal Light & Power, Trust Receipts/Certificates (Series 2019-FG0226A) MUNINVs, 7.469%, 1/1/2046
2,446,444
1,680,000
1,2
Seattle, WA Municipal Light & Power, Trust Receipts/Certificates (Series 2019-FG0226B) MUNINVs, 7.469%, 1/1/2047
2,188,099
1,250,000
 
Washington State Health Care Facilities Authority (Providence St. Joseph Health), Health Care Facilities Revenue Bonds
(Series 2014C), 5.000%, 10/1/2044
1,431,062
3,000,000
 
Washington State, UT GO Bonds (Series 2015A-1), 5.000%, 8/1/2040
3,549,690
 
 
TOTAL
11,971,475
 
 
West Virginia—0.8%
 
2,000,000
 
West Virginia State, GO State Road Bonds (Series 2019A), 5.000%, 12/1/2036
2,612,720
 
 
Wisconsin—1.0%
 
800,000
 
Wisconsin State HEFA (ProHealth Care, Inc.), Revenue Refunding Bonds (Series 2015), 5.000%, 8/15/2039
903,600
2,000,000
 
Wisconsin State, UT GO Bonds (Series 2018A), 4.000%, 5/1/2034
2,322,320
 
 
TOTAL
3,225,920
 
 
TOTAL MUNICIPAL BONDS
(IDENTIFIED COST $296,259,922)
319,543,359
 
1
SHORT-TERM MUNICIPALS—0.7%
 
 
 
Alabama—0.1%
 
400,000
 
Columbia, AL IDB PCRB (Alabama Power Co.), (Series C) Daily VRDNs, 0.130%, 1/4/2021
400,000
 
 
Florida—0.3%
 
700,000
 
Dade County, FL IDA (Florida Power & Light Co.), PCR (Series 1995) Daily VRDNs, 0.120%, 1/4/2021
700,000
200,000
 
Escambia County, FL Solid Waste Disposal (Gulf Power Co.) Daily VRDNs, 0.130%, 1/4/2021
200,000
 
 
TOTAL
900,000
 
 
Georgia—0.2%
 
450,000
 
Monroe County, GA Development Authority (Gulf Power Co.), (Series 2019) Daily VRDNs, 0.170%, 1/4/2021
450,000
 
 
New York—0.0%
 
100,000
 
New York City, NY Municipal Water Finance Authority Daily VRDNs, (State Street Bank and Trust Co. LIQ),
0.110%, 1/4/2021
100,000
 
 
Ohio—0.1%
 
150,000
 
Allen County, OH (Bon Secours Mercy Health), (Series 2010C) Daily VRDNs, (BMO Harris Bank, N.A. LOC),
0.110%, 1/4/2021
150,000
200,000
 
Ohio State Higher Educational Facility Commission (Cleveland Clinic), (Series 2013B-2) Daily VRDNs, (Bank of New York
Mellon, N.A. LIQ), 0.100%, 1/4/2021
200,000
 
 
TOTAL
350,000
6

Principal
Amount or
Shares
 
 
Value
 
1
SHORT-TERM MUNICIPALS—continued
 
 
 
Pennsylvania—0.0%
 
$100,000
 
Philadelphia, PA Hospitals & Higher Education Facilities Authority (Children’s Hospital of Philadelphia), (Series 2002-B)
Daily VRDNs, (Wells Fargo Bank, N.A. LIQ), 0.090%, 1/4/2021
$100,000
 
 
TOTAL SHORT-TERM MUNICIPALS
(IDENTIFIED COST $2,300,000)
2,300,000
 
 
EXCHANGE-TRADED FUND—0.9%
 
50,209
 
VanEck Vectors High-Yield Municipal Index ETF
(IDENTIFIED COST $3,012,580)
3,089,862
 
 
TOTAL INVESTMENT IN SECURITIES99.0%
(IDENTIFIED COST $301,572,502)
324,933,221
 
 
OTHER ASSETS AND LIABILITIES - NET1.0%3
3,266,447
 
 
TOTAL NET ASSETS100%
$328,199,668
Securities that are subject to the federal alternative minimum tax (AMT) represent 9.2% of the Fund’s portfolio as calculated based upon total market value.
1
Current rate and current maturity or next reset date shown for floating rate notes and variable rate notes/demand instruments. Certain variable rate securities are not based on a published reference rate and spread but are determined by the issuer or agent and are based on current market conditions. These securities do not indicate a reference rate and spread in their description above.
2
Denotes a restricted security that either: (a) cannot be offered for public sale without first being registered, or availing of an exemption from registration, under the Securities Act of 1933; or (b) is subject to a contractual restriction on public sales. At December 31, 2020, these restricted securities amounted to $4,963,312, which represented 1.5% of total net assets.
Additional information on restricted securities held at December 31, 2020 is as follows:
Security
Acquisition
Date
Acquisition
Cost
Value
Director of the State of Nevada Department of Business and Industry (Doral Academy of Nevada CS), Charter
School Revenue Bonds (Series 2017A), 5.000%, 7/15/2047
8/31/2017
$ 309,620
$ 328,769
Seattle, WA Municipal Light & Power, Trust Receipts/Certificates (Series 2019-FG0226A) MUNINVs,
7.439%, 1/1/2046
2/1/2019
$ 1,963,534
$ 2,446,444
Seattle, WA Municipal Light & Power, Trust Receipts/Certificates (Series 2019-FG0226B) MUNINVs,
7.439%, 1/1/2047
2/1/2019
$ 1,757,315
$2,188,099
3
Assets, other than investments in securities, less liabilities.
Note: The categories of investments are shown as a percentage of total net assets at December 31, 2020.
Investment Valuation
In calculating its net asset value (NAV), the Fund generally values investments as follows:
Fixed-income securities are fair valued using price evaluations provided by a pricing service approved by the Fund’s Board of Directors (the “Directors”).
Shares of other mutual funds or non-exchange-traded investment companies are valued based upon their reported NAVs.
Derivative contracts listed on exchanges are valued at their reported settlement or closing price, except that options are valued at the mean of closing bid and asked quotations.
Over-the-counter (OTC) derivative contracts are fair valued using price evaluations provided by a pricing service approved by the Directors.
For securities that are fair valued in accordance with procedures established by and under the general supervision of the Directors, certain factors may be considered such as: the last traded or purchase price of the security, information obtained by contacting the issuer or dealers, analysis of the issuer’s financial statements or other available documents, fundamental analytical data, the nature and duration of restrictions on disposition, the movement of the market in which the security is normally traded, public trading in similar securities or derivative contracts of the issuer or comparable issuers, movement of a relevant index, or other factors including but not limited to industry changes and relevant government actions.
If any price, quotation, price evaluation or other pricing source is not readily available when the NAV is calculated, if the Fund cannot obtain price evaluations from a pricing service or from more than one dealer for an investment within a reasonable period of time as set forth in the Fund’s valuation policies and procedures, or if information furnished by a pricing service, in the opinion of the valuation committee (“Valuation Committee”), is deemed not representative of the fair value of such security, the Fund uses the fair value of the investment determined in accordance with the procedures described below. There can be no assurance that the Fund could obtain the fair value assigned to an investment if it sold the investment at approximately the time at which the Fund determines its NAV per share, and the actual value obtained could be materially different.
7

Fair Valuation Procedures
The Directors have ultimate responsibility for determining the fair value of investments for which market quotations are not readily available. The Directors have appointed a Valuation Committee comprised of officers of the Fund, Federated Investment Management Company (the “Adviser”) and certain of the Adviser’s affiliated companies to assist in determining fair value and in overseeing the calculation of the NAV. The Directors have also authorized the use of pricing services recommended by the Valuation Committee to provide fair value evaluations of the current value of certain investments for purposes of calculating the NAV. The Valuation Committee employs various methods for reviewing third-party pricing-service evaluations including periodic reviews of third-party pricing services’ policies, procedures and valuation methods (including key inputs, methods, models and assumptions), transactional back-testing, comparisons of evaluations of different pricing services and review of price challenges by the Adviser based on recent market activity. In the event that market quotations and price evaluations are not available for an investment, the Valuation Committee determines the fair value of the investment in accordance with procedures adopted by the Directors. The Directors periodically review and approve the fair valuations made by the Valuation Committee and any changes made to the procedures.
Factors considered by pricing services in evaluating an investment include the yields or prices of investments of comparable quality, coupon, maturity, call rights and other potential prepayments, terms and type, reported transactions, indications as to values from dealers and general market conditions. Some pricing services provide a single price evaluation reflecting the bid-side of the market for an investment (a “bid” evaluation). Other pricing services offer both bid evaluations and price evaluations indicative of a price between the prices bid and asked for the investment (a “mid” evaluation). The Fund normally uses bid evaluations for any U.S. Treasury and Agency securities, mortgage-backed securities and municipal securities. The Fund normally uses mid evaluations for any other types of fixed-income securities and any OTC derivative contracts. In the event that market quotations and price evaluations are not available for an investment, the fair value of the investment is determined in accordance with procedures adopted by the Directors.
Note: The categories of investments are shown as a percentage of total net assets at December 31, 2020.
Various inputs are used in determining the value of the Fund’s investments. These inputs are summarized in the three broad levels listed below:
Level 1quoted prices in active markets for identical securities.
Level 2other significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.). Also includes securities valued at amortized cost.
Level 3significant 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 an indication of the risk associated with investing in those securities.
The following is a summary of the inputs used, as of December 31, 2020, in valuing the Fund’s assets carried at fair value:
Valuation Inputs
 
Level 1
Quoted
Prices
Level 2
Other
Significant
Observable
Inputs
Level 3
Significant
Unobservable
Inputs
Total
Debt Securities:
 
 
 
 
Municipal Bonds
$
$319,543,359
$
$319,543,359
Short-Term Municipals
2,300,000
2,300,000
Exchange-Traded Fund
3,089,862
3,089,862
TOTAL SECURITIES
$3,089,862
$321,843,359
$
$324,933,221
8

The following acronym(s) are used throughout this portfolio:
EDA
Economic Development Authority
ETF
Exchange-Traded Fund
FRNs
Floating Rate Notes
GO
General Obligation
GTD
Guaranteed
HEFA
Health and Education Facilities Authority
HFA
Housing Finance Authority
IDA
Industrial Development Authority
IDB
Industrial Development Bond
LIBOR
London Interbank Offered Rate
LIQ
Liquidity Agreement
LOC
Letter of Credit
MUNINVs
Municipal Inverse Floater
PCR
Pollution Control Revenue
PCRBs
Pollution Control Revenue Bonds
PRF
Pre-refunded
SIFMA
Securities Industry and Financial Markets Association
TOBs
Tender Option Bonds
UT
Unlimited Tax
VRDNs
Variable Rate Demand Notes
9