0000869392-20-001839.txt : 20200828 0000869392-20-001839.hdr.sgml : 20200828 20200828102557 ACCESSION NUMBER: 0000869392-20-001839 CONFORMED SUBMISSION TYPE: NPORT-P/A PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20200430 FILED AS OF DATE: 20200828 PERIOD START: 20200731 FILER: COMPANY DATA: COMPANY CONFORMED NAME: PUTNAM TAX FREE INCOME TRUST CENTRAL INDEX KEY: 0000771951 IRS NUMBER: 046483374 STATE OF INCORPORATION: MA FISCAL YEAR END: 0731 FILING VALUES: FORM TYPE: NPORT-P/A SEC ACT: 1940 Act SEC FILE NUMBER: 811-04345 FILM NUMBER: 201145552 BUSINESS ADDRESS: STREET 1: 100 FEDERAL STREET CITY: BOSTON STATE: MA ZIP: 02110 BUSINESS PHONE: 6172921000 MAIL ADDRESS: STREET 1: 100 FEDERAL STREET CITY: BOSTON STATE: MA ZIP: 02110 FORMER COMPANY: FORMER CONFORMED NAME: PUTNAM TAX FREE INCOME TRUST /MA/ DATE OF NAME CHANGE: 19920902 FORMER COMPANY: FORMER CONFORMED NAME: PUTNAM TAX FREE INCOME TRUST DATE OF NAME CHANGE: 19920101 0000771951 S000003861 Putnam Tax-Free High Yield Fund C000010821 Class C Shares C000010822 Class A Shares PTHAX C000010823 Class B Shares PTHYX C000060536 CLASS Y C000202841 Class R6 Shares NPORT-P/A 1 primary_doc.xml NPORT-P/A false 0000869392-20-001240 0000771951 XXXXXXXX S000003861 C000202841 C000010822 C000010823 C000010821 C000060536 Putnam Tax Free Income Trust 811-04345 0000771951 54930021N9BODYLQGR89 100 FEDERAL STREET BOSTON 02110 1-800-225-1581 Putnam Tax Free High Yield Fund S000003861 GHIM2ZY9C5VFZ759VN46 2020-07-31 2020-04-30 N 815901866.6980184 39512544.36 776389322.34 0.00 0.00 25868036.38 0.00 0.00 0.00 0.00 0.00 0.00 0.00 6033834.45 0 0.00 22116.53 USD N CENTER FOR MEDICAL SCIENCE INC N/A COMMON STOCK 12601E107 400 NS USD 715188 0.092117186497 Long EC CORP US N 3 N N N SALT VERDE FINANCIAL CORP 549300VEWOZY6TQOIF03 FX.RT. 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549300NSQ1W50I0VU811 MUNI ORIG ISSUE DISC 74172RBP1 300000 PA USD 288666 0.03718057316 Long DBT MUN US N 2 2039-07-01 Fixed 5.125 N N N N N N CLIFTON HIGHER EDUCATION FINANCE CORP N/A MUNI ORIG ISSUE DISC 187145JT5 6000000 PA USD 6122460 0.78858116976 Long DBT MUN US N 2 2048-08-15 Fixed 6.125 N N N N N N MONTGOMERY COUNTY INDUSTRIAL DEVELOPMENT AUTHORITY/PA N/A MUNI ORIG ISSUE DISC 613609G67 1500000 PA USD 1296585 0.167001910342 Long DBT MUN US N 2 2048-01-01 Fixed 5.25 N N N N N N ST LOUIS COUNTY INDUSTRIAL DEVELOPMENT AUTHORITY N/A MUNI ORIG ISSUE DISC 791524CP4 3000000 PA USD 2552010 0.328702356739 Long DBT MUN US N 2 2053-09-01 Fixed 5.25 N N N N N N FINANCE AUTHORITY OF MAINE N/A MUNI PUT BOND ACT 56042CAT2 1000000 PA USD 1039710 0.133916061193 Long DBT MUN US N 2 2035-08-01 Variable 5.125 N N N N N N METROPOLITAN PIER AND EXPOSITION AUTHORITY 254900I3VDCQ58UGBR15 MUNI STEP UP BOND 592250CX0 3000000 PA USD 1456500 0.187599179702 Long DBT MUN US N 2 2042-12-15 Variable 0 N N N N N N BUCKEYE TOBACCO SETTLEMENT FINANCING AUTHORITY N/A MUNI STEP UP BOND 118217AV0 7300000 PA USD 8123440 1.046310113529 Long DBT MUN US N 2 2037-06-01 Variable 6.25 N N N N N N GLEN COVE LOCAL ECONOMIC ASSISTANCE CORP N/A MUNI STEP UP BOND 377450AF8 600000 PA USD 491160 0.063262075594 Long DBT MUN US N 2 2055-01-01 Variable 0 N N N N N N COUNTY OF JEFFERSON AL SEWER REVENUE N/A MUNI STEP UP BOND 472682SA2 8800000 PA USD 8249736 1.062577209992 Long DBT MUN US N 2 2046-10-01 Variable 0 N N N N N N PUERTO RICO SALES TAX FINANCING CORP SALES TAX REVENUE N/A MUNI. ZERO 74529JQH1 1236000 PA USD 216300 0.027859733999 Long DBT MUN PR N 2 2051-07-01 Fixed 0 N N N N N N PUERTO RICO SALES TAX FINANCING CORP SALES TAX REVENUE N/A MUNI. ZERO 74529JQG3 1518000 PA USD 356623.74 0.045933622442 Long DBT MUN PR N 2 2046-07-01 Fixed 0 N N N N N N TOBACCO SECURITIZATION AUTHORITY OF SOUTHERN CALIFORNIA N/A MUNI. ZERO 888804CU3 14660000 PA USD 2232718 0.287577113151 Long DBT MUN US N 2 2054-06-01 Fixed 0 N N N N N N BUCKEYE TOBACCO SETTLEMENT FINANCING AUTHORITY N/A MUNI. ZERO 118217DA3 14000000 PA USD 1481900 0.190870734226 Long DBT MUN US N 2 2057-06-01 Fixed 0 N N N N N N E-470 PUBLIC HIGHWAY AUTHORITY 549300164ZV2301BC703 MUNI. ZERO 26822LEP5 12000000 PA USD 7272840 0.936751677378 Long DBT MUN US N 2 2034-09-01 Fixed 0 N N N N N N METROPOLITAN WASHINGTON AIRPORTS AUTHORITY 7HERAVJJLN8J1DZ6AZ19 MUNI. ZERO 592643BL3 995000 PA USD 406885.35 0.052407386126 Long DBT MUN US N 2 2040-10-01 Fixed 0 N N N N N N NORTHERN TOBACCO SECURITIZATION CORP N/A MUNI. ZERO 66585VAX3 2220000 PA USD 187501.2 0.024150409415 Long DBT MUN US N 2 2046-06-01 Fixed 0 N N N N N N NORTHERN TOBACCO SECURITIZATION CORP N/A MUNI. ZERO 66585VAY1 20860000 PA USD 1646062.6 0.212015100238 Long DBT MUN US N 2 2046-06-01 Fixed 0 N N N N N N E-470 PUBLIC HIGHWAY AUTHORITY 549300164ZV2301BC703 MUNI. ZERO 26822LEN0 5000000 PA USD 3892600 0.501372170893 Long DBT MUN US N 2 2028-09-01 Fixed 0 N N N N N N E-470 PUBLIC HIGHWAY AUTHORITY 549300164ZV2301BC703 MUNI. ZERO 26822LLT9 1000000 PA USD 443970 0.057183939452 Long DBT MUN US N 2 2041-09-01 Fixed 0 N N N N N N SUCCESSOR AGENCY TO THE SAN FRANCISCO CITY AND COUNTY REDEVELOPMENT AGENCY N/A MUNI. ZERO 79772ABU0 8000000 PA USD 2171360 0.279674119352 Long DBT MUN US N 2 2043-08-01 Fixed 0 N N N N N N MASSACHUSETTS DEVELOPMENT FINANCE AGENCY 549300UZSVMFXJK08K70 MUNI. ZERO 57584XVU2 854285 PA USD 111757.56 0.014394525631 Long DBT MUN US N 2 2056-11-15 Fixed 0 N N N N N N PUERTO RICO SALES TAX FINANCING CORP SALES TAX REVENUE N/A MUNI. ZERO 74529JQB4 66000 PA USD 56252.46 0.007245393307 Long DBT MUN PR N 2 2024-07-01 Fixed 0 N N N N N N PUERTO RICO SALES TAX FINANCING CORP SALES TAX REVENUE N/A MUNI. ZERO 74529JQE8 141000 PA USD 86473.89 0.011137954569 Long DBT MUN PR N 2 2031-07-01 Fixed 0 N N N N N N PUERTO RICO SALES TAX FINANCING CORP SALES TAX REVENUE N/A MUNI. ZERO 74529JQC2 112000 PA USD 84499.52 0.010883653029 Long DBT MUN PR N 2 2027-07-01 Fixed 0 N N N N N N TEXAS TRANSPORTATION COMMISSION 5493006JSGNPGVJS7691 MUNI. ZERO 88283NAJ1 1500000 PA USD 614805 0.079187719654 Long DBT MUN US N 2 2039-08-01 Fixed 0 N N N N N N PUERTO RICO SALES TAX FINANCING CORP SALES TAX REVENUE N/A MUNI. ZERO 74529JQF5 159000 PA USD 86503.95 0.011141826338 Long DBT MUN PR N 2 2033-07-01 Fixed 0 N N N N N N PUERTO RICO SALES TAX FINANCING CORP SALES TAX REVENUE N/A MUNI. ZERO 74529JQD0 109000 PA USD 74624.67 0.009611758927 Long DBT MUN PR N 2 2029-07-01 Fixed 0 N N N N N N PUTNAM SHORT TERM INVESTMENT FUND 5493003MK0Q7JP8CPP42 SHORT TERM INV FUND 74676P664 16516722 NS USD 16516722 2.127376243432 Long STIV PF US N 1 N N N CITIBANK N.A. E57ODZWZ7FF32TWEFA76 Spread Swap N/A 2140000 NC USD 181403.52 0.023365019943 N/A DIR CORP US N 2 CITIBANK N.A. E57ODZWZ7FF32TWEFA76 Y 2020-06-02 0 USD 0 USD 2140000 USD -181403.52 N N N MORGAN STANLEY AND CO. INTERNATIONAL 4PQUHN3JPFGFNF3BB653 Spread Swap N/A 2675000 NC USD 215484.62 0.027754711947 N/A DIR CORP US N 2 MORGAN STANLEY AND CO. INTERNATIONAL 4PQUHN3JPFGFNF3BB653 Y 2020-06-04 0 USD 0 USD 2675000 USD -215484.62 N N N CITIBANK N.A. E57ODZWZ7FF32TWEFA76 Spread Swap N/A 1000000 NC USD 58023 0.007473441266 N/A DIR CORP US N 2 CITIBANK N.A. E57ODZWZ7FF32TWEFA76 Y 2020-05-14 0 USD 0 USD 1000000 USD -58023 N N N CITIBANK N.A. E57ODZWZ7FF32TWEFA76 Spread Swap N/A 2900000 NC USD 241967.3 0.031165717126 N/A DIR CORP US N 2 CITIBANK N.A. E57ODZWZ7FF32TWEFA76 Y 2020-06-04 0 USD 0 USD 2900000 USD -241967.3 N N N MORGAN STANLEY AND CO. INTERNATIONAL 4PQUHN3JPFGFNF3BB653 Spread Swap N/A 1815000 NC USD 149100.44 0.019204339332 N/A DIR CORP US N 2 MORGAN STANLEY AND CO. INTERNATIONAL 4PQUHN3JPFGFNF3BB653 Y 2020-05-21 0 USD 0 USD 1815000 USD -149100.44 N N N MORGAN STANLEY AND CO. INTERNATIONAL 4PQUHN3JPFGFNF3BB653 Spread Swap N/A 1815000 NC USD 152730.44 0.019671888266 N/A DIR CORP US N 2 MORGAN STANLEY AND CO. INTERNATIONAL 4PQUHN3JPFGFNF3BB653 Y 2020-05-21 0 USD 0 USD 1815000 USD -152730.44 N N N CITIBANK N.A. E57ODZWZ7FF32TWEFA76 Spread Swap N/A 4275000 NC USD 370022.63 0.047659417686 N/A DIR CORP US N 2 CITIBANK N.A. E57ODZWZ7FF32TWEFA76 Y 2020-06-04 0 USD 0 USD 4275000 USD -370022.63 N N N CITIBANK N.A. E57ODZWZ7FF32TWEFA76 Spread Swap N/A 1450000 NC USD 119116.05 0.015342309145 N/A DIR CORP US N 2 CITIBANK N.A. E57ODZWZ7FF32TWEFA76 Y 2020-05-21 0 USD 0 USD 1450000 USD -119116.05 N N N UNITED STATES OF AMERICA 254900HROIFWPRGM1V77 U.S. T BILLS 912796SZ3 779000 PA USD 778841.71 0.100315870864 Long DBT UST US N 2 2020-07-16 Fixed 0 N N N N N N UNITED STATES OF AMERICA 254900HROIFWPRGM1V77 U.S. T BILLS 912796TJ8 289000 PA USD 288886.08 0.037208919763 Long DBT UST US N 2 2020-09-10 Fixed 0 N N N N N N UNITED STATES OF AMERICA 254900HROIFWPRGM1V77 U.S. T BILLS 912796TT6 165000 PA USD 164998.49 0.021252029781 Long DBT UST US N 2 2020-05-07 Fixed 0 N N N N N N UNITED STATES OF AMERICA 254900HROIFWPRGM1V77 U.S. T BILLS 912796TV1 122000 PA USD 121996.48 0.015713312444 Long DBT UST US N 2 2020-05-14 Fixed 0 N N N N N N UNITED STATES OF AMERICA 254900HROIFWPRGM1V77 U.S. T BILLS 912796TZ2 743000 PA USD 742918.55 0.095688919029 Long DBT UST US N 2 2020-06-11 Fixed 0 N N N N N N UNITED STATES OF AMERICA 254900HROIFWPRGM1V77 U.S. T BILLS 9127962H1 223000 PA USD 222896 0.028709307764 Long DBT UST US N 2 2020-09-24 Fixed 0 N N N N N N UNITED STATES OF AMERICA 254900HROIFWPRGM1V77 U.S. T BILLS 912796WX3 191000 PA USD 190962.57 0.024596238576 Long DBT UST US N 2 2020-07-23 Fixed 0 N N N N N N UNITED STATES OF AMERICA 254900HROIFWPRGM1V77 U.S. T BILLS 912796WZ8 16000 PA USD 15995.37 0.002060225397 Long DBT UST US N 2 2020-08-06 Fixed 0 N N N N N N UNITED STATES OF AMERICA 254900HROIFWPRGM1V77 U.S. T BILLS 912796XF1 19000 PA USD 18993.63 0.00244640536 Long DBT UST US N 2 2020-08-20 Fixed 0 N N N N N N UNITED STATES OF AMERICA 254900HROIFWPRGM1V77 U.S. T BILLS 9127962K4 255000 PA USD 254998.65 0.032844172719 Long DBT UST US N 2 2020-05-05 Fixed 0 N N N N N N UNITED STATES OF AMERICA 254900HROIFWPRGM1V77 U.S. T BILLS 912796WW5 31000 PA USD 30994.65 0.003992153048 Long DBT UST US N 2 2020-07-09 Fixed 0 N N N N N N HEALTH AND EDUCATIONAL FACILITIES AUTHORITY OF THE STATE OF MISSOURI 549300IWTBCMX5JB3277 VAR.RT.MUNI NOTE NT 606901LE4 4900000 PA USD 4900000 0.63112666017 Long DBT MUN US N 2 2030-09-01 Variable .14 N N N N N N CITY OF MURRAY UT N/A VAR.RT.MUNI NOTE NT 626853CF0 4300000 PA USD 4300000 0.553845844639 Long DBT MUN US N 2 2037-05-15 Variable .16 N N N N N N HARRIS COUNTY CULTURAL EDUCATION FACILITIES FINANCE CORP N/A VAR.RT.MUNI NOTE NT 414009AT7 9400000 PA USD 9400000 1.210732776652 Long DBT MUN US N 2 2024-12-01 Variable .16 N N N N N N STATE OF CALIFORNIA N/A VAR.RT.MUNI NOTE NT 13063BCF7 6635000 PA USD 6635000 0.854597018414 Long DBT MUN US N 2 2033-05-01 Variable .09 N N N N N N BAY AREA TOLL AUTHORITY 5493001FUZGUQMIP5D78 VAR.RT.MUNI NOTE NT 072024VZ2 10000000 PA USD 10000000 1.288013592183 Long DBT MUN US N 2 2053-04-01 Variable .12 N N N N N N CITY OF NEW YORK NY 549300ABYZD2SFD5JB29 VAR.RT.MUNI NOTE NT 64966FB45 2000000 PA USD 2000000 0.257602718437 Long DBT MUN US N 2 2036-04-01 Variable .17 N N N N N N STATE OF CALIFORNIA N/A VAR.RT.MUNI NOTE NT 13063BCH3 2965000 PA USD 2965000 0.381896030082 Long DBT MUN US N 2 2033-05-01 Variable .14 N N N N N N VIRGINIA SMALL BUSINESS FINANCING AUTHORITY N/A VARIABLE RATE MUNI BOND 928106AQ6 1000000 PA USD 947360 0.122021255669 Long DBT MUN US N 2 2048-01-01 Variable 5 N N N N N N ILLINOIS FINANCE AUTHORITY 549300ZG6UBPNNNRN315 VARIABLE RATE MUNI BOND 45200F6F1 1155000 PA USD 1147353.9 0.147780741824 Long DBT MUN US N 2 2040-10-15 Variable 6.75 N N N N N N 2020-08-28 Putnam Investments Inc Janet C. Smith NPORT Principal Financial Officer XXXX NPORT-EX 2 b_036nport.htm QUARTERLY PORTFOLIO HOLDINGS

Putnam Tax-Free High Yield Fund
The fund's portfolio
4/30/20 (Unaudited)
Key to holding's abbreviations
ABAG — Association Of Bay Area Governments
AGC — Assured Guaranty Corporation
AGM — Assured Guaranty Municipal Corporation
AMBAC — AMBAC Indemnity Corporation
BAM — Build America Mutual
COP — Certificates of Participation
FRN — Floating Rate Notes: the rate shown is the current interest rate or yield at the close of the reporting period. Rates may be subject to a cap or floor. For certain securities, the rate may represent a fixed rate currently in place at the close of the reporting period.
G.O. Bonds — General Obligation Bonds
NATL — National Public Finance Guarantee Corporation
U.S. Govt. Coll. — U.S. Government Collateralized
VRDN — Variable Rate Demand Notes, which are floating-rate securities with long-term maturities that carry coupons that reset and are payable upon demand either daily, weekly or monthly. The rate shown is the current interest rate at the close of the reporting period. Rates are set by remarketing agents and may take into consideration market supply and demand, credit quality and the current SIFMA Municipal Swap Index rate, which was 0.22% as  of the close of the reporting period.










MUNICIPAL BONDS AND NOTES (100.4%)(a)
    Rating(RAT)   Principal amount Value
Alabama (1.5%)
Jefferson Cnty., Swr. Rev. Bonds
Ser. D, 6.50%, 10/1/53 BBB $3,000,000 $3,455,490
zero %, 10/1/46 BBB 8,800,000 8,249,736

11,705,226
Alaska (3.0%)
AK State Indl. Dev. & Export Auth. Rev. Bonds, (Tanana Chiefs Conference), Ser. A, 4.00%, 10/1/49 A+/F 8,500,000 8,858,360
Northern Tobacco Securitization Corp. Rev. Bonds
Ser. A, 5.00%, 6/1/46 B3 13,070,000 12,980,993
Ser. B, zero %, 6/1/46 B/P 2,220,000 187,501
(Tobacco Settlement), Ser. C, zero %, 6/1/46 B/P 20,860,000 1,646,063

23,672,917
Arizona (2.3%)
AZ State Indl. Dev. Auth. Ed. 144A Rev. Bonds, (BASIS Schools, Inc.), Ser. G, 5.00%, 7/1/37 BB 1,500,000 1,412,505
Maricopa Cnty., Indl. Dev. Auth. Ed. Rev. Bonds, (Horizon Cmnty. Learning Ctr.), 5.00%, 7/1/35 BB+ 1,500,000 1,397,115
Phoenix, Indl. Dev. Auth. Ed. Rev. Bonds
(Choice Academies, Inc.), 5.375%, 9/1/32 BB 1,000,000 991,480
(Great Hearts Academies), 5.00%, 7/1/44 BBB- 3,800,000 3,889,794
Phoenix, Indl. Dev. Auth. Ed. 144A Rev. Bonds, (BASIS Schools, Inc.)
Ser. A, 5.00%, 7/1/46 BB 750,000 669,675
5.00%, 7/1/35 BB 1,500,000 1,433,810
Ser. A, 5.00%, 7/1/35 BB 1,750,000 1,672,808
Phoenix, Indl. Dev. Auth. Student Hsg. Rev. Bonds, (Downtown Phoenix Student Hsg., LLC-AZ State U.), Ser. A, 5.00%, 7/1/37 Baa3 750,000 804,428
Salt Verde, Fin. Corp. Gas Rev. Bonds
5.50%, 12/1/29 A3 1,525,000 1,872,715
5.00%, 12/1/32 A3 1,500,000 1,780,860
Yavapai Cnty., Indl. Dev. Ed. Auth. Rev. Bonds, (Agribusiness & Equine Ctr.), 5.00%, 3/1/32 BB+ 1,600,000 1,608,256
Yavapai Cnty., Indl. Dev. Ed. Auth. 144A Rev. Bonds, Ser. A, 5.00%, 9/1/34 BB+ 500,000 481,155

18,014,601
California (8.0%)
ABAG Fin. Auth. for Nonprofit Corps. Rev. Bonds, (Episcopal Sr. Cmntys.), 6.00%, 7/1/31 A-/F 1,295,000 1,323,089
Bay Area Toll Auth. VRDN (San Francisco Bay Area), Ser. C, 0.12%, 4/1/53 VMIG 1 10,000,000 10,000,000
CA School Fin. Auth. Rev. Bonds, (2023 Union, LLC), Ser. A, 6.00%, 7/1/33 BBB 1,000,000 1,055,740
CA State G.O. Bonds, 4.00%, 3/1/38 Aa2 7,500,000 8,489,475
CA State VRDN
Ser. A-2, 0.09%, 5/1/33 VMIG 1 6,635,000 6,635,000
Ser. A-3, 0.09%, 5/1/33 VMIG 1 2,965,000 2,965,000
CA State Muni. Fin. Auth Mobile Home Park Rev. Bonds, (Caritas Affordable Hsg., Inc.), 5.25%, 8/15/39 BBB+ 800,000 857,464
CA State Muni. Fin. Auth. Charter School Rev. Bonds, (Partnerships Uplift Cmnty.), Ser. A
5.25%, 8/1/42 BB 850,000 819,681
5.00%, 8/1/32 BB 665,000 662,540
CA State Poll. Control Fin. Auth. Rev. Bonds, (San Jose Wtr. Co.), 4.75%, 11/1/46 A 1,700,000 1,884,280
CA Statewide Cmnty. Dev. Auth. Rev. Bonds
(Terraces at San Joaquin Gardens), Ser. A, 6.00%, 10/1/47 A-/F 500,000 515,415
(Terraces at San Joaquin Gardens), Ser. A, 6.00%, 10/1/42 A-/F 1,750,000 1,807,995
(Terraces at San Joaquin Gardens), Ser. A, 5.625%, 10/1/32 A-/F 1,105,000 1,138,360
(899 Charleston, LLC), Ser. A, 5.25%, 11/1/44 BB/P 850,000 836,188
(American Baptist Homes of the West), 5.00%, 10/1/43 A-/F 1,000,000 1,024,990
Golden State Tobacco Securitization Corp. Rev. Bonds
Ser. A-2, 5.00%, 6/1/47 BB/P 6,000,000 5,848,560
Ser. A-1, 5.00%, 6/1/26 BBB 1,400,000 1,605,450
La Verne, COP, (Brethren Hillcrest Homes), 5.00%, 5/15/36 BBB-/F 775,000 760,748
Long Beach, Bond Fin. Auth. Rev. Bonds, (Natural Gas Purchase), Ser. A, 5.50%, 11/15/37 A2 2,000,000 2,602,160
Rancho Cordova, Cmnty. Fac. Dist. Special Tax Bonds, (Sunridge Anatolia), Ser. 03-1, 5.00%, 9/1/37 BBB-/P 1,000,000 1,039,590
Riverside Cnty., Trans. Comm. Toll Rev. Bonds, Ser. A, 5.75%, 6/1/44 A 750,000 792,938
San Francisco, City & Cnty. Redev. Agcy. Cmnty. Fac. Dist. Special Tax Bonds, (No. 6 Mission Bay South), Ser. A, 5.15%, 8/1/35 BBB/P 1,000,000 1,004,740
San Francisco, City & Cnty. Redev. Agcy. Cmnty. Successor Special Tax Bonds, (No. 6 Mission Bay Pub. Impts.), Ser. C, zero %, 8/1/43 BBB/P 8,000,000 2,171,360
Sunnyvale, Special Tax Bonds, (Cmnty. Fac. Dist. No. 1), 7.75%, 8/1/32 B+/P 3,780,000 3,789,601
Tobacco Securitization Auth. of Southern CA Rev. Bonds, Ser. B-2, Class 2, zero %, 6/1/54 BB/P 14,660,000 2,232,718

61,863,082
Colorado (5.3%)
Aviation Station North Metro. Dist. No. 2 G.O. Bonds, Ser. A, 5.00%, 12/1/48 B+/P 1,000,000 870,890
Broadway Station Metro. Dist. No. 2 Co. G.O. Bonds, Ser. A, 5.125%, 12/1/48 B/P 1,500,000 1,288,980
Broadway Station Metro. Dist. No. 3 G.O. Bonds, 5.00%, 12/1/49 B/P 1,250,000 1,043,800
CO Pub. Hwy. Auth. Rev. Bonds
(E-470), zero %, 9/1/41 A2 1,000,000 443,970
Ser. A, NATL, zero %, 9/1/28 A2 5,000,000 3,892,600
CO State Hlth. Fac. Auth. Rev. Bonds
(Christian Living Cmnty.), 6.375%, 1/1/41 BB/P 810,000 827,318
(Christian Living Cmntys.), 5.25%, 1/1/37 BB/P 750,000 697,170
(Christian Living Cmntys.), 5.125%, 1/1/30 BB/P 1,415,000 1,340,005
CO State Hlth. Fac. Auth. Hosp. Rev. Bonds
(Frasier Meadows Retirement Cmnty.), Ser. A, 5.25%, 5/15/47 BB+/F 250,000 223,233
(Frasier Meadows Retirement Cmnty.), Ser. A, 5.25%, 5/15/37 BB+/F 1,000,000 944,060
(Frasier Meadows Retirement Cmnty.), Ser. B, 5.00%, 5/15/39 BB+/F 2,000,000 1,804,220
(Christian Living Neighborhood), 5.00%, 1/1/31 BB/P 2,000,000 1,864,920
(Christian Living Neighborhoods), 4.00%, 1/1/38 BBB/P 550,000 428,153
(CommonSpirit Health Oblig. Group), Ser. A-1, 4.00%, 8/1/37(T) Baa1 425,000 419,272
(CommonSpirit Health Oblig. Group), Ser. A-1, 4.00%, 8/1/38(T) Baa1 625,000 608,535
(Commonspirit Health Oblig. Group), Ser. A-1, 4.00%, 8/1/39(T) Baa1 625,000 617,273
(CommonSpirit Health Oblig. Group), Ser. A-1, 4.00%, 8/1/39(T) Baa1 2,000,000 1,943,542
(CommonSpirit Health Oblig. Group), Ser. A-2, 4.00%, 8/1/49(T) Baa1 4,000,000 3,855,790
E-470 CO Pub. Hwy. Auth. Rev. Bonds, Ser. A, NATL, zero %, 9/1/34 A2 12,000,000 7,272,840
Eaton, Area Park & Recreation Dist. G.O. Bonds, 5.25%, 12/1/34 BB/P 330,000 331,640
Plaza, Tax Alloc. Bonds, (Metro. Dist. No. 1), 5.00%, 12/1/40 BB-/P 3,000,000 2,877,420
Pub. Auth. for CO Energy Rev. Bonds, (Natural Gas Purchase), 6.50%, 11/15/38 A2 2,000,000 2,824,340
Southlands, Metro. Dist. No. 1 G.O. Bonds, Ser. A-1, 5.00%, 12/1/37 Ba1 500,000 501,900
STC Metro. Dist. No. 2 G.O. Bonds, Ser. A, 5.00%, 12/1/38 B+/P 2,000,000 1,871,200
Trails at Crowfoot Metro. Dist. No. 3 G.O. Bonds, Ser. A, 5.00%, 12/1/49 B+/P 2,000,000 1,717,240
Willow Bend Metro. Dist. G.O. Bonds, Ser. A, 5.00%, 12/1/49 BB-/P 1,000,000 869,730

41,380,041
Connecticut (0.6%)
CT State Hlth. & Edl. Fac. Auth. Rev. Bonds, (Masonicare Issue), Ser. F, 5.00%, 7/1/33 BBB+/F 1,500,000 1,411,680
CT State Hlth. & Edl. Fac. Auth. 144A Rev. Bonds, (Church Home of Hartford, Inc.), Ser. A, 5.00%, 9/1/46 BB/F 1,000,000 888,910
Harbor Point Infrastructure Impt. Dist. 144A Tax Alloc. Bonds, (Harbor Point Ltd.), 5.00%, 4/1/39 BB/P 2,500,000 2,542,225

4,842,815
Delaware (1.1%)
DE State Econ. Dev. Auth. Rev. Bonds
(Indian River Pwr.), 5.375%, 10/1/45 Baa2 3,000,000 2,990,970
(ASPIRA Charter School), Ser. A, 5.00%, 6/1/46 BB 1,820,000 1,616,488
(ASPIRA Charter School), Ser. A, 5.00%, 6/1/36 BB 700,000 660,086
Millsboro Special Oblig. 144A Tax Alloc. Bonds, (Plantation Lakes Special Dev. Dist.), 5.125%, 7/1/38 BB-/P 3,500,000 3,262,875

8,530,419
District of Columbia (1.9%)
DC Rev. Bonds
(Howard U.), Ser. A, 6.50%, 10/1/41 BBB- 3,945,000 3,940,187
(Ingleside at Rock Creek), Ser. A, 5.00%, 7/1/52 BB-/P 2,195,000 1,829,620
(Kipp DC), Ser. B, 5.00%, 7/1/37 BBB+ 3,315,000 3,484,728
(KIPP DC), 4.00%, 7/1/49 BBB+ 1,000,000 872,190
(KIPP DC), 4.00%, 7/1/44 BBB+ 250,000 222,530
Metro. Washington DC, Arpt. Auth. Dulles Toll Rd. Rev. Bonds
(Dulles Metrorail & Cap. Impt. Proj.), 4.00%, 10/1/53(T) Baa2 1,935,000 1,838,283
(Dulles Metrorail & Cap. Impt. Proj.), Ser. B, 4.00%, 10/1/44(T) Baa2 1,940,000 1,886,478
Cap Apprec 2nd Sr Lien, Ser. B, zero %, 10/1/40 A- 995,000 406,885

14,480,901
Florida (4.8%)
Celebration Pointe Cmnty. Dev. Dist. No. 1 144A Special Assessment Bonds, (Alachua Cnty.), 5.00%, 5/1/48 B/P 475,000 449,697
Charlotte Cnty., Indl. Dev. Auth. Util. Syst. 144A Rev. Bonds, (Town & Country Util.), 5.00%, 10/1/49 B/P 500,000 530,100
Escambia Cnty., Hlth. Fac. Auth. Rev. Bonds, (Baptist Hlth. Care), 4.00%, 8/15/45 BBB+ 3,000,000 2,936,790
Fishhawk, CCD IV Special Assmt. Bonds, 7.25%, 5/1/43 B/P 560,000 607,382
Lakeland, Hosp. Syst. Rev. Bonds, (Lakeland Regl. Hlth.), 5.00%, 11/15/45 A2 5,885,000 6,171,776
Lakewood Ranch, Stewardship Dist. Special Assessment Bonds, (Village of Lakewood Ranch South), 5.00%, 5/1/36 B+/P 900,000 923,040
Lakewood Ranch, Stewardship Dist. Special Assmt. Bonds, 4.875%, 5/1/35 BB-/P 920,000 931,537
Lakewood Ranch, Stewardship Dist. 144A Special Assmt. Bonds, (Northeast Sector), 5.30%, 5/1/39 B-/P 1,250,000 1,274,163
Lee Cnty., Indl. Dev. Auth. Rev. Bonds, (Shell Point/Waterside Hlth.)
5.00%, 11/15/49 BBB+ 1,800,000 1,804,032
5.00%, 11/15/39 BBB+ 750,000 763,073
Miami-Dade Cnty., Indl. Dev. Auth. Rev. Bonds, (Pinecrest Academy, Inc.), 5.00%, 9/15/34 BBB 2,195,000 2,278,717
Midtown Miami Cmnty. Dev. Dist. Special Assmt. Bonds, (Garage), Ser. A, 5.00%, 5/1/29 BB-/P 750,000 768,330
Orlando Cmnty. Redev. Agcy. Tax Alloc. Bonds, (Republic Drive/Universal), 5.00%, 4/1/24 A+/F 2,000,000 2,114,820
Palm Beach Cnty., 144A Rev. Bonds, (PBAU Hsg.), Ser. A, 5.00%, 4/1/39 Ba1 500,000 465,810
Palm Beach Cnty., Hlth. Fac. Auth. Rev. Bonds, (Baptist Hlth. South FL), 4.00%, 8/15/49 AA- 3,000,000 3,077,010
Pinellas Cnty., Indl. Dev. Auth. Rev. Bonds, (2017 Foundation for Global Understanding, Inc.), 5.00%, 7/1/39 AAA/P 1,770,000 1,655,924
Sarasota Cnty., Hlth. Fac. Auth. Retirement Fac. Rev. Bonds, (Village of Isle)
5.00%, 1/1/31 BBB-/F 1,285,000 1,241,644
5.00%, 1/1/30 BBB-/F 750,000 729,248
Southeast Overtown Park West Cmnty. Redev. Agcy. 144A Tax Alloc. Bonds, Ser. A-1, 5.00%, 3/1/30 BBB+ 1,440,000 1,575,648
Verandah, West Cmnty. Dev. Dist. Special Assmt. Bonds, (Cap. Impt.), 5.00%, 5/1/33 B+/P 990,000 1,001,227
Village Cmnty. Dev. Dist. No. 10 Special Assmt. Bonds, 5.75%, 5/1/31 BB/P 1,055,000 1,133,365
Village Cmnty. Dev. Dist. No. 11 Special Assmt. Bonds, 4.50%, 5/1/45 BB-/P 2,670,000 2,700,518
Village Cmnty. Dev. Dist. No. 12 144A Special Assessment Bonds, 4.00%, 5/1/33 BB-/P 1,240,000 1,237,508
Village Cmnty. Dev. Dist. No. 8 Special Assmt. Bonds, (Phase II), 6.125%, 5/1/39 BBB-/P 720,000 722,635
Village Cmnty. Dev. Dist. No. 9 Special Assmt. Bonds, 5.00%, 5/1/22 BBB-/P 160,000 162,635

37,256,629
Georgia (1.8%)
Clayton Cnty., Dev. Auth. Special Fac. Rev. Bonds, (Delta Airlines), Ser. A, 8.75%, 6/1/29 Baa3 2,000,000 2,011,560
Cobb Cnty., Dev. Auth. Student Hsg. Rev. Bonds, (Kennesaw State U. Real Estate Oblig. Group), Ser. C, 5.00%, 7/15/38 Baa2 1,250,000 1,304,275
Gainesville & Hall Cnty., Dev. Auth. Edl. Fac. Rev. Bonds, (Riverside Military Academy), 5.00%, 3/1/37 BB/F 2,385,000 2,055,942
Muni. Election Auth. of GA Rev. Bonds
(Plant Voltage Units 3 & 4), Ser. A, 5.50%, 7/1/60 A 3,500,000 3,631,425
(Plant Vogtle Units 3 & 4), Ser. A, 5.00%, 1/1/56 A2 2,000,000 2,113,560
(Plant Vogtle Units 3 & 4), Ser. A, 4.00%, 1/1/59 A2 3,000,000 2,715,570

13,832,332
Guam (0.1%)
Territory of GU, Dept. of Ed. COP, (John F. Kennedy High School), Ser. A, 6.875%, 12/1/40 B+ 500,000 507,140

507,140
Idaho (0.1%)
ID State Hlth. Fac. Auth. Rev. Bonds, (St. Luke's Hlth. Sys. Oblig. Group), Ser. A, 5.00%, 3/1/37 A3 500,000 565,875

565,875
Illinois (15.1%)
Chicago, G.O. Bonds
Ser. A, 6.00%, 1/1/38 BBB+ 7,040,000 7,328,851
Ser. A, 5.50%, 1/1/49 BBB+ 2,000,000 1,984,520
Ser. D-05, 5.50%, 1/1/37 BBB+ 3,250,000 3,288,025
Ser. G-07, 5.50%, 1/1/35 BBB+ 1,200,000 1,218,660
Ser. A, 5.00%, 1/1/44 BBB+ 2,000,000 1,874,780
Ser. A, 5.00%, 1/1/31 BBB+ 1,400,000 1,412,488
Ser. A, 5.00%, 1/1/29 BBB+ 2,600,000 2,644,486
Chicago, Special Assmt. Bonds, (Lake Shore East), 6.75%, 12/1/32 BB/P 4,858,000 4,860,818
Chicago, Board of Ed. G.O. Bonds
Ser. C, 5.25%, 12/1/39 BB- 4,000,000 3,856,000
Ser. H, 5.00%, 12/1/36 BB- 4,600,000 4,466,048
Chicago, Board of Ed. 144A G.O. Bonds, Ser. A, 7.00%, 12/1/46 BB- 1,500,000 1,648,185
Chicago, Motor Fuel Tax Rev. Bonds
AGM, 5.00%, 1/1/30 AA 200,000 217,880
5.00%, 1/1/28 Ba1 1,000,000 986,990
Chicago, Waste Wtr. Transmission Rev. Bonds, Ser. C
5.00%, 1/1/34 A 1,950,000 2,140,086
5.00%, 1/1/33 A 1,000,000 1,100,230
Chicago, Wtr. Wks Rev. Bonds
5.00%, 11/1/42 A 650,000 665,867
5.00%, 11/1/39 A 1,075,000 1,110,077
5.00%, 11/1/30 A 1,400,000 1,502,242
5.00%, 11/1/28 A 1,500,000 1,624,830
Cook Cnty., G.O. Bonds, 5.00%, 11/15/34 A+ 1,000,000 1,015,160
Du Page Cnty., Special Svc. Area No. 31 Special Tax Bonds, (Monarch Landing), 5.625%, 3/1/36 B/P 772,000 718,740
IL Fin. Auth. Rev. Bonds, (Navistar Intl. Recvy. Zone), 6.75%, 10/15/40 BB- 1,155,000 1,147,354
IL State G.O. Bonds
Ser. A, 5.25%, 12/1/30 Baa3 5,000,000 4,822,900
5.25%, 2/1/30 Baa3 3,000,000 2,899,860
5.00%, 11/1/41 Baa3 1,900,000 1,758,526
5.00%, 1/1/41 Baa3 1,000,000 927,020
5.00%, 2/1/39 Baa3 500,000 465,415
Ser. A, 5.00%, 5/1/38 Baa3 2,500,000 2,331,300
5.00%, 11/1/34 Baa3 2,250,000 2,127,870
Ser. A, 5.00%, 10/1/33 Baa3 1,025,000 972,120
5.00%, 1/1/33 Baa3 1,000,000 950,390
Ser. A, 5.00%, 12/1/31 Baa3 7,200,000 6,894,432
Ser. B, 5.00%, 10/1/31 Baa3 1,600,000 1,532,784
Ser. C, 5.00%, 11/1/29 Baa3 4,875,000 4,696,575
5.00%, 2/1/29 Baa3 5,775,000 5,576,225
Ser. A, 5.00%, 12/1/28 Baa3 2,700,000 2,608,578
Ser. D, 5.00%, 11/1/28 Baa3 3,230,000 3,121,569
Ser. A, 5.00%, 10/1/27 Baa3 2,000,000 1,940,700
Ser. D, 5.00%, 11/1/26 Baa3 1,425,000 1,390,800
IL State Fin. Auth. Rev. Bonds
(Three Crowns Park), 5.25%, 2/15/47 BB-/P 1,000,000 788,490
(Plymouth Place), 5.25%, 5/15/45 BB+/F 850,000 753,891
(Three Crowns Park), 5.25%, 2/15/37 BB-/P 500,000 425,305
(Rosalind Franklin U. of Medicine & Science), Ser. A, 5.00%, 8/1/47 BBB+ 850,000 850,051
(Rosalind Franklin U. of Medicine & Science), Ser. A, 5.00%, 8/1/42 BBB+ 500,000 503,095
(Southern IL Healthcare Enterprises, Inc.), 5.00%, 3/1/33 A+ 200,000 222,984
(Southern IL Healthcare Enterprises, Inc.), 5.00%, 3/1/30 A+ 400,000 457,076
(Riverside Hlth.Syst.), 4.00%, 11/15/32 A+ 600,000 636,378
IL State Fin. Auth. Student Hsg. & Academic Fac. Rev. Bonds, (U. of IL Chicago), 5.00%, 2/15/50 Baa3 4,000,000 3,968,560
Metro. Pier & Exposition Auth. Rev. Bonds, (McCormick Place Expansion)
Ser. A, 5.00%, 6/15/50 BBB 7,000,000 6,398,280
Ser. B, stepped-coupon zero % (4.850%, 6/15/31) , 12/15/42(STP) BBB 3,000,000 1,456,500
Northern IL U. Rev. Bonds, Ser. B, BAM
5.00%, 4/1/34 AA 650,000 738,628
5.00%, 4/1/32 AA 600,000 689,112
5.00%, 4/1/30 AA 450,000 526,446
5.00%, 4/1/29 AA 400,000 466,944
4.00%, 4/1/41 AA 625,000 625,538
4.00%, 4/1/38 AA 600,000 605,760
4.00%, 4/1/37 AA 600,000 607,878
4.00%, 4/1/36 AA 600,000 610,248
4.00%, 4/1/35 AA 525,000 536,608
Sales Tax Securitization Corp. Rev. Bonds, Ser. C, 5.50%, 1/1/36 AA- 3,000,000 3,404,820

117,101,973
Kansas (0.3%)
Wichita, Hlth. Care Fac. Rev. Bonds, (Presbyterian Manors), Ser. I, 5.00%, 5/15/38 BB-/P 1,000,000 861,060
Wyandotte, Cnty./Kansas City, Unified Govt. 144A Rev. Bonds, (Legends Apt. Garage & West Lawn), 4.50%, 6/1/40 BB+/P 1,365,000 1,191,249

2,052,309
Kentucky (0.8%)
KY Econ. Dev. Fin. Auth. Rev. Bonds, (Masonic Home Indpt. Living), 5.00%, 5/15/36 BB/P 2,000,000 1,729,040
KY Pub. Trans. Infrastructure Auth. Rev. Bonds, (1st Tier Downtown Crossing), Ser. A, 6.00%, 7/1/53 Baa3 2,000,000 2,047,060
KY State Econ. Dev. Fin. Auth. Rev. Bonds, (Owensboro Hlth.), Ser. A, 5.25%, 6/1/41 Baa3 375,000 402,548
KY State Econ. Dev. Fin. Auth. Hlth. Care Rev. Bonds, (Masonic Homes of KY), 5.375%, 11/15/42 BB-/P 1,400,000 1,265,460
KY State Property & Bldg. Comm. Rev. Bonds, (No. 122), Ser. A, 4.00%, 11/1/35 A1 1,000,000 1,051,760

6,495,868
Louisiana (0.8%)
LA State Pub. Fac. Auth. Rev. Bonds, (LA State U. Greenhouse Phase III), Ser. A
5.00%, 7/1/59 A3 1,000,000 1,056,280
4.00%, 7/1/54 A3 2,640,000 2,641,373
4.00%, 7/1/49 A3 1,000,000 1,023,050
4.00%, 7/1/44 A3 1,000,000 1,049,200
LA State Pub. Fac. Solid Waste Disp. Auth. Rev. Bonds, (LA Pellets, Inc.), Ser. A, 8.375%, 7/1/39 (In default)(NON) D/P 1,000,000 10
St. Tammany, Public Trust Fin. Auth. Rev. Bonds, (Christwood), 5.25%, 11/15/37 BB/P 765,000 741,974

6,511,887
Maine (0.5%)
ME Hlth. & Higher Edl. Fac. Auth. Rev. Bonds, (ME Gen. Med. Ctr.), 7.50%, 7/1/32 Ba3 3,000,000 3,136,290
ME State Fin. Auth. Solid Waste Disp. 144A Mandatory Put Bonds (8/1/25), (Casella Waste Syst.), 5.125%, 8/1/35 B2 1,000,000 1,039,710

4,176,000
Maryland (1.0%)
Brunswick, Special Tax, 5.00%, 7/1/36 B+/P 1,000,000 972,920
Frederick Cnty., Edl. Fac. 144A Rev. Bonds, (Mount St. Mary's U.), Ser. A, 5.00%, 9/1/37 BB+ 500,000 469,055
MD Econ. Dev. Corp. Student Hsg. Rev. Bonds, (Bowie State U.), 4.00%, 7/1/50 BBB- 1,000,000 900,700
Prince Georges Cnty., Special Oblig. 144A Tax Alloc. Bonds, (Westphalia Town Ctr.)
5.25%, 7/1/48 B/P 2,000,000 1,906,240
5.125%, 7/1/39 B/P 300,000 288,666
Westminster, Rev. Bonds
(Lutheran Village at Miller's Grant, Inc. (The)), Ser. A, 6.00%, 7/1/34 B-/P 750,000 760,928
(Carroll Lutheran Village, Inc.), 5.125%, 7/1/34 BB/P 3,000,000 2,892,960

8,191,469
Massachusetts (1.5%)
MA State Dev. Fin. Agcy. Rev. Bonds
(Loomis Communities), Ser. A, 6.00%, 1/1/33 BBB/P 250,000 262,410
(Loomis Communities), Ser. A, U.S. Govt. Coll., 6.00%, 1/1/33 (Prerefunded 1/1/23) AAA/P 250,000 289,440
(Milford Regl. Med. Ctr. Oblig. Group), Ser. F, 5.75%, 7/15/43 BB+ 1,000,000 1,020,700
(Suffolk U.), 5.125%, 7/1/40 Baa2 2,000,000 2,011,880
(Atrius Hlth. Oblig. Group), Ser. A, 4.00%, 6/1/49 BBB 5,000,000 4,816,300
(Linden Ponds, Inc.), Ser. B, zero %, 11/15/56 B-/P 854,285 111,758
MA State Dev. Fin. Agcy. 144A Rev. Bonds, (Linden Ponds, Inc. Fac.), 5.125%, 11/15/46 BB/F 2,000,000 1,694,360
MA State Dev. Fin. Agcy. Hlth. Care Fac. 144A Rev. Bonds, (Adventcare), Ser. A, 6.65%, 10/15/28 (In default)(NON) D/P 2,035,000 1,526,250

11,733,098
Michigan (3.2%)
Detroit, G.O. Bonds
5.00%, 4/1/37 Ba3 350,000 340,676
5.00%, 4/1/36 Ba3 1,400,000 1,371,174
Flint, Hosp. Bldg. Auth. Rev. Bonds
(Hurley Med. Ctr.), 7.50%, 7/1/39 Ba1 700,000 707,336
Ser. A, 5.25%, 7/1/39 Ba1 500,000 519,415
MI State Fin. Auth. Rev. Bonds, (Local Govt. Loan Program), Ser. F1, 4.50%, 10/1/29 BB+ 650,000 665,483
MI State Fin. Auth. Ltd. Oblig. Rev. Bonds, (Lawrence Technological U.)
5.00%, 2/1/47 BB+ 3,100,000 2,764,828
5.00%, 2/1/37 BB+ 1,080,000 1,019,056
MI State Hosp. Fin. Auth. Rev. Bonds, (Trinity Health Corp. Oblig. Group)
Ser. A, U.S. Govt. Coll, 5.00%, 12/1/47(T) Aa3 11,000,000 12,141,789
Ser. A, 4.00%, 12/1/49(T) Aa3 3,875,000 3,979,959
MI State Strategic Fund Ltd. Oblig. Rev. Bonds, (Holland Home Oblig. Group)
5.00%, 11/15/43 BBB-/F 500,000 470,985
5.00%, 11/15/34 BBB-/F 1,000,000 991,830

24,972,531
Minnesota (0.8%)
Baytown Twp., Lease Rev. Bonds, Ser. A, 4.00%, 8/1/36 BB+ 400,000 363,744
Duluth, COP, (Indpt. School Dist. No. 709), Ser. A
4.20%, 3/1/34 Ba2 725,000 650,122
4.00%, 3/1/28 Ba2 760,000 716,536
4.00%, 3/1/27 Ba2 730,000 691,967
3.00%, 3/1/21 Ba2 395,000 390,331
Forest Lake, Charter School Lease Rev. Bonds, (LILA Bldg. Co.), Ser. A, 5.25%, 8/1/43 BB+ 615,000 605,215
Ham Lake, Charter School Lease Rev. Bonds
(DaVinci Academy of Arts & Science), Ser. A, 5.00%, 7/1/47 BB-/P 1,000,000 887,450
(Parnassus Preparatory School), Ser. A, 5.00%, 11/1/36 BB 1,500,000 1,473,555
St. Paul, Hsg. & Redev. Auth. Charter School Lease Rev. Bonds, (Nova Classical Academy), Ser. A, 6.375%, 9/1/31 BBB- 500,000 521,700

6,300,620
Mississippi (0.6%)
MS State Bus. Fin. Corp. Rev. Bonds, (System Energy Resources, Inc.), 2.50%, 4/1/22 BBB+ 4,350,000 4,363,920

4,363,920
Missouri (1.3%)
MO State Hlth. & Edl. Fac. Auth. VRDN, (WA U. (The)), Ser. D, 0.14%, 9/1/30 VMIG 1 4,900,000 4,900,000
Saint Louis, Indl. Dev. Auth. Fin. Rev. Bonds, (Ballpark Village Dev.), Ser. A, 4.75%, 11/15/47 BB-/P 1,625,000 1,409,753
St. Louis Cnty., Indl. Dev. Auth. Sr. Living Fac. Rev. Bonds, (Friendship Village)
5.25%, 9/1/53 BB+/F 3,000,000 2,552,010
5.00%, 9/1/48 BB+/F 1,750,000 1,459,063

10,320,826
Nevada (0.6%)
Clark Cnty., Impt. Dist. No. 159 Special Assessment Bonds, (Summerlin Village 16A), 5.00%, 8/1/35 B+/P 660,000 663,313
Las Vegas, Special Assmt. Bonds
5.00%, 6/1/30 B+/P 500,000 507,305
(Dist. No. 607 Local Impt.), 5.00%, 6/1/22 BBB-/P 340,000 349,302
Las Vegas, Impt. Dist. No. 812 Special Assessment Bonds, (Summerlin Village 24), 5.00%, 12/1/35 B/P 745,000 750,818
North Las Vegas, G.O. Bonds, AGM, 4.00%, 6/1/34 AA 1,075,000 1,173,459
North Las Vegas, Local Impt. Special Assmt. Bonds, (Valley Vista Special Impt. Dist. No. 64), 4.50%, 6/1/39 B/P 700,000 646,709
NV State Dept. of Bus. & Indl. 144A Rev. Bonds, (Somerset Academy of Las Vegas), Ser. A, 5.00%, 12/15/38 BB 1,000,000 935,510

5,026,416
New Hampshire (0.5%)
National Fin. Auth. 144A Rev. Bonds, (Covanta Holding Corp.), Ser. C, 4.875%, 11/1/42 B1 2,100,000 1,931,790
NH State Hlth. & Ed. Fac. Auth. Rev. Bonds, (Kendel at Hanover), 5.00%, 10/1/46 BBB+/F 625,000 626,575
NH State Hlth. & Ed. Fac. Auth. 144A Rev. Bonds, (Hillside Village), Ser. A
6.25%, 7/1/42 B-/P 250,000 198,405
6.125%, 7/1/37 B-/P 1,000,000 819,270

3,576,040
New Jersey (7.6%)
NJ State Econ. Dev. Auth. Rev. Bonds
(Paterson Charter School Science & Tech.), Ser. A, 6.10%, 7/1/44 BB- 655,000 660,980
(Paterson Charter School Science & Tech.), Ser. A, 6.00%, 7/1/32 BB- 300,000 305,736
(Continental Airlines, Inc.), 5.50%, 6/1/33 Ba3 2,000,000 1,976,060
(Paterson Charter School), Ser. C, 5.30%, 7/1/44 BB- 2,250,000 1,962,428
Ser. EEE, 5.00%, 6/15/48 Baa1 4,000,000 3,910,200
(North Star Academy Charter School of Newark, Inc.), 5.00%, 7/15/47 BBB- 500,000 508,505
Ser. EEE, 5.00%, 6/15/43 Baa1 3,910,000 3,880,597
Ser. DDD, 5.00%, 6/15/42 Baa1 1,500,000 1,494,720
Ser. EEE, 5.00%, 6/15/38 Baa1 2,500,000 2,517,200
(Provident Group-Montclair State U. Student Hsg. & Properties), 5.00%, 6/1/37 AA 1,000,000 1,143,990
(North Star Academy Charter School of Newark, Inc.), 5.00%, 7/15/32 BBB- 1,000,000 1,055,390
(NJ Transit Trans.), Ser. A, 4.00%, 11/1/39 Baa1 2,000,000 1,837,640
(NJ Transit Trans.), Ser. A, 4.00%, 11/1/38 Baa1 3,000,000 2,768,640
NJ State Econ. Dev. Auth. Energy Fac. Rev. Bonds, (UMM Energy Partners, LLC), Ser. A
5.00%, 6/15/37 Baa2 1,000,000 1,045,070
4.75%, 6/15/32 Baa2 170,000 177,591
NJ State Econ. Dev. Auth. Fac. Rev. Bonds, (Continental Airlines, Inc.), 5.625%, 11/15/30 Ba3 1,000,000 1,002,640
NJ State Hlth. Care Fac. Fin. Auth. Rev. Bonds, (St. Peter's U. Hosp.), 6.25%, 7/1/35 Ba1 2,500,000 2,570,450
NJ State Trans. Trust Fund Auth. Rev. Bonds
(Trans. Program), Ser. AA, 5.25%, 6/15/32 Baa1 1,000,000 1,019,450
Ser. A, 5.00%, 12/15/39 Baa1 550,000 552,459
Ser. A, 5.00%, 12/15/34 Baa1 9,150,000 9,237,291
Ser. A, 5.00%, 12/15/33 Baa1 3,000,000 3,027,570
Ser. A, 4.00%, 12/15/39 Baa1 1,750,000 1,606,640
Tobacco Settlement Fin. Corp. Rev. Bonds
Ser. B, 5.00%, 6/1/46 BB+ 7,200,000 7,247,952
Ser. A, 5.00%, 6/1/33 A- 6,750,000 7,722,810

59,232,009
New Mexico (1.3%)
NM State Hosp. Equip. Loan Council First Mtge. Rev. Bonds, (La Vida Expansion), Ser. A, 5.00%, 7/1/49 BBB-/F 5,755,000 5,215,296
NM State Hosp. Equip. Loan Council Hosp. Rev. Bonds, Ser. A, 4.00%, 8/1/48 AA 3,500,000 3,744,230
Sante Fe, Retirement Fac. Rev. Bonds, (El Castillo Retirement Residences), Ser. A, 5.00%, 5/15/49 BB+/F 1,200,000 1,035,924

9,995,450
New York (3.5%)
Glen Cove, Local Econ. Assistance Corp. Rev. Bonds, (Garvies Point Pub. Impt.), Ser. C, stepped-coupon zero% (5.625%, 1/1/24), 1/1/55(STP) B/P 600,000 491,160
NY City, VRDN, Ser. I-8, 0.12%, 4/1/36 VMIG 1 2,000,000 2,000,000
NY City, Indl. Dev. Agcy. Rev. Bonds, (Yankee Stadium), AGC, 7.00%, 3/1/49 AA 1,000,000 1,009,760
NY City, Transitional Fin. Auth. Rev. Bonds, Ser. B-1, 4.00%, 11/1/41(T) Aa1 10,000,000 10,822,700
NY Counties, Tobacco Trust VI Rev. Bonds, (Tobacco Settlement Pass Through), Ser. A-2B, 5.00%, 6/1/51 BBB 2,500,000 2,342,925
NY State Dorm. Auth. Non-State Supported Debt 144A Rev. Bonds, (Orange Regl. Med. Ctr.)
5.00%, 12/1/36 Baa3 1,100,000 1,197,306
5.00%, 12/1/35 Baa3 1,300,000 1,423,695
NY State Liberty Dev. Corp. 144A Rev. Bonds
(World Trade Ctr.), Class 2, 5.375%, 11/15/40 BB-/P 1,250,000 1,233,913
(3 World Trade Ctr., LLC), Class 1-3, 5.00%, 11/15/44 BB-/P 6,750,000 6,473,723

26,995,182
North Carolina (0.9%)
NC State Med. Care Comm. Retirement Fac. Rev. Bonds
(Twin Lakes Cmnty.), Ser. A, 5.00%, 1/1/49 BBB/F 2,970,000 2,894,740
(Aldersgate United Methodist Retirement Cmnty., Inc.), Ser. A, 5.00%, 7/1/47 BB/P 750,000 608,948
(Aldersgate United Methodist Church), 5.00%, 7/1/45 BB/P 1,500,000 1,230,945
(Southminister, Inc.), 5.00%, 10/1/37 BB/P 1,625,000 1,543,360
(United Church Homes & Svcs. Oblig. Group), Ser. A, 5.00%, 9/1/37 BB/P 1,000,000 939,210

7,217,203
Ohio (4.7%)
Buckeye, Tobacco Settlement Fin. Auth. Rev. Bonds
Ser. A-3, 6.25%, 6/1/37 (Prerefunded 6/1/22) Caa3 7,300,000 8,123,440
Ser. B-2, Class 2, 5.00%, 6/1/55 BB/P 15,675,000 13,994,013
Ser. B-3, Class 2, zero %, 6/1/57 B+/P 14,000,000 1,481,900
Centerville, Hlth. Care Rev. Bonds, (Graceworks Lutheran Svcs.), 5.25%, 11/1/47 BB+/P 2,000,000 1,834,340
Cleveland-Cuyahoga Cnty., Port Auth. Cultural Fac. Rev. Bonds, (Playhouse Sq. Foundation), 5.25%, 12/1/38 BB+ 1,065,000 992,005
Franklin Cnty., Hlth. Care Fac. Rev. Bonds, (Ohio Living)
6.00%, 7/1/35 BBB/P 2,825,000 2,923,960
6.00%, 7/1/35 (Prerefunded 7/1/22) AAA/P 175,000 194,192
Hickory Chase, Cmnty. Auth. Infrastructure Impt. 144A Rev. Bonds, (Hickory Chase), Ser. A, 5.00%, 12/1/40 B+/P 1,485,000 1,320,403
Lake Cnty., Hosp. Fac. Rev. Bonds, (Lake Hosp. Syst., Inc.), Ser. C, 6.00%, 8/15/43 Baa1 250,000 250,458
OH State Air Quality Dev. Auth. Exempt Fac. 144A Rev. Bonds, (Pratt Paper, LLC), 4.50%, 1/15/48 BB+/P 2,000,000 1,944,960
OH State Higher Edl. Fac. Comm. Rev. Bonds, 5.25%, 12/1/48 BB 750,000 668,850
Southeastern OH Port Auth. Hosp. Fac. Rev. Bonds
5.75%, 12/1/32 BB-/F 2,225,000 2,347,464
(Memorial Hlth. Syst. Oblig. Group), 5.50%, 12/1/43 BB-/F 235,000 241,951

36,317,936
Oregon (0.2%)
Warm Springs, Reservation Confederated Tribes 144A Rev. Bonds, (Pelton-Round Butte), Ser. B
5.00%, 11/1/39 A3 700,000 800,884
5.00%, 11/1/32 A3 360,000 426,726

1,227,610
Pennsylvania (3.5%)
Allegheny Cnty., Higher Ed. Bldg. Auth. Rev. Bonds
(Robert Morris U.), Ser. A, 5.75%, 10/15/40 Baa3 765,000 769,590
(Robert Morris U.-UPMC Events Ctr.), 5.00%, 10/15/47 Baa3 2,200,000 2,087,426
(Robert Morris U.-UPMC Events Ctr.), 5.00%, 10/15/37 Baa3 1,000,000 990,510
(Chatham U.), Ser. A, 5.00%, 9/1/30 BBB- 1,500,000 1,530,945
Chester Cnty., Indl. Dev. Auth. Rev. Bonds
(Collegium Charter School), Ser. A, 5.125%, 10/15/37 BB 1,200,000 1,109,292
(Renaissance Academy Charter School), 5.00%, 10/1/34 BBB- 625,000 642,394
Cumberland Cnty., Muni. Auth. Rev. Bonds, (Asbury PA Obligated Group), 5.00%, 1/1/45 BB+/P 1,000,000 843,770
Dallas, Area Muni. Auth. U. Rev. Bonds, (Misericordia U.), 5.00%, 5/1/48 Baa3 1,000,000 949,630
East Hempfield Twp., Indl. Dev. Auth. Rev. Bonds, (Millersville U. Student Hsg. & Svcs., Inc.), 5.00%, 7/1/34 Baa3 800,000 825,264
Lackawanna Cnty., Indl. Dev. Auth. Rev. Bonds, (Scranton U.), 4.00%, 11/1/40 A- 1,230,000 1,097,923
Lancaster Cnty., Hosp. Auth. Rev. Bonds, (Brethren Village), 5.125%, 7/1/37 BB+/F 700,000 627,963
Lancaster Cnty., Hosp. Auth. Hlth. Care Fac. Rev. Bonds, (Moravian Manors, Inc.), Ser. A, 5.00%, 6/15/49 BB+/F 4,705,000 4,301,593
Lancaster, Indl. Dev. Auth. Rev. Bonds, (Willow Valley Communities)
5.00%, 12/1/49 A/F 2,300,000 2,483,655
5.00%, 12/1/44 A/F 1,850,000 2,004,549
4.00%, 12/1/44 A/F 1,150,000 1,157,452
Montgomery Cnty., Indl. Auth. Rev. Bonds, (Whitemarsh Continuing Care Retirement Cmnty.), Ser. A, 5.25%, 1/1/48 BB-/P 1,500,000 1,296,585
Moon, Indl. Dev. Auth. Rev. Bonds, (Baptist Homes Society Oblig. Group), 5.75%, 7/1/35 B+/P 2,000,000 1,885,940
Northeastern PA Hosp. & Ed. Auth. Rev. Bonds, (Wilkes U.), Ser. A, 5.25%, 3/1/42 BBB 1,000,000 952,800
PA State Higher Edl. Fac. Auth. Student Hsg. Rev. Bonds, (U. Properties, Inc.-East Stroudsburg), Ser. A, 5.00%, 7/1/31 Baa3 1,000,000 1,042,530
Susquehanna, Area Regl. Arpt. Auth. Syst. Rev. Bonds, 5.00%, 1/1/35 Baa3 800,000 761,976

27,361,787
Puerto Rico (0.4%)
Cmnwlth. of PR, Sales Tax Fin. Corp. Rev. Bonds
Ser. A-1, 5.00%, 7/1/58 B/P 1,097,000 1,030,708
Ser. A-2, 4.784%, 7/1/58 B/P 240,000 217,118
Ser. A-1, 4.75%, 7/1/53 B/P 433,000 392,839
Ser. A-1, 4.55%, 7/1/40 B/P 59,000 54,458
Ser. A-2, 4.536%, 7/1/53 B/P 17,000 14,791
Ser. A-1, 4.50%, 7/1/34 B/P 116,000 113,279
Ser. A-2, 4.329%, 7/1/40 B/P 600,000 537,312
Ser. A-1, zero %, 7/1/51 B/P 1,236,000 216,300
Ser. A-1, zero %, 7/1/46 B/P 1,518,000 356,624
Ser. A-1, zero %, 7/1/33 B/P 159,000 86,504
Ser. A-1, zero %, 7/1/31 B/P 141,000 86,474
Ser. A-1, zero %, 7/1/29 B/P 109,000 74,625
Ser. A-1, zero %, 7/1/27 B/P 112,000 84,500
Ser. A-1, zero %, 7/1/24 B/P 66,000 56,252

3,321,784
Rhode Island (0.4%)
Tobacco Settlement Fin. Corp. Rev. Bonds, Ser. B, 5.00%, 6/1/50 BBB-/P 3,000,000 3,068,250

3,068,250
South Carolina (3.2%)
Berkeley Cnty., Assmt. Rev. Bonds, (Nexton Impt. Dist.), 4.25%, 11/1/40 BB-/P 1,000,000 790,190
SC State Jobs Econ. Dev. Auth. Edl. Fac. 144A Rev. Bonds, (High Point Academy), Ser. A, 5.75%, 6/15/39 Ba1 2,000,000 2,037,260
SC State Jobs-Econ. Dev. Auth. Rev. Bonds
(Woodlands at Furman), Ser. A, 5.00%, 11/15/54 BB/P 1,000,000 848,590
(Woodlands at Furman), Ser. A, 5.00%, 11/15/42 BB/P 585,000 521,159
(Bon Secours Mercy Hlth.), 4.00%, 12/1/44 A1 7,205,000 7,557,901
SC State Pub. Svcs. Auth. Rev. Bonds
Ser. A, 5.50%, 12/1/54 A2 6,220,000 6,599,420
Ser. E, 5.25%, 12/1/55 A2 2,500,000 2,652,025
Ser. E, 5.00%, 12/1/48 A2 2,000,000 2,068,540
Ser. C, 5.00%, 12/1/46 A2 1,000,000 1,044,060
(Oblig.), Ser. B, 5.00%, 12/1/37 A2 500,000 538,590

24,657,735
Tennessee (1.0%)
Chattanooga, Hlth. Edl. & Hsg. Fac. Rev. Bonds, (CommonSpirit Health Oblig. Group)
Ser. A-1, 4.00%, 8/1/37(T) Baa1 425,000 427,580
Ser. A-1, 4.00%, 8/1/38(T) Baa1 425,000 419,688
Ser. A-2, 5.00%, 8/1/44(T) Baa1 425,000 449,454
Ser. A-1, 4.00%, 8/1/44(T) Baa1 850,000 843,387
Ser. A-2, 5.00%, 8/1/49(T) Baa1 725,000 766,864
Metro. Govt. Nashville & Davidson Cnty., Hlth. & Edl. Fac. Board Rev. Bonds, (Trevecca Nazarene U.)
5.00%, 10/1/48 BBB-/F 1,800,000 1,809,594
5.00%, 10/1/39 BBB-/F 800,000 816,520
5.00%, 10/1/34 BBB-/F 400,000 416,144
5.00%, 10/1/29 BBB-/F 600,000 643,560
Nashville, Metro. Dev. & Hsg. Agcy. 144A Tax Alloc. Bonds, (Fifth & Broadway Dev. Dist.), 5.125%, 6/1/36 B+/P 1,250,000 1,225,150

7,817,940
Texas (7.6%)
Arlington, Higher Ed. Fin. Corp. Rev. Bonds, (Uplift Ed.), Ser. A, 5.00%, 12/1/36 BBB- 815,000 841,056
Clifton, Higher Ed. Fin. Corp. Rev. Bonds
(Intl. Leadership), Ser. D, 6.125%, 8/15/48 BB-/P 6,000,000 6,122,460
(Idea Pub. Schools), 5.00%, 8/15/32 A- 2,100,000 2,197,041
(IDEA Pub. Schools), Ser. B, 5.00%, 8/15/27 A- 375,000 426,278
Dallas-Fort Worth, Intl. Arpt. Rev. Bonds, Ser. B, 4.50%, 11/1/45 A+ 2,265,000 2,339,858
Harris Cnty., Cultural Ed. Fac. Fin. Corp. Rev. Bonds, (Brazos Presbyterian Homes, Inc.), 5.00%, 1/1/37 BBB-/F 1,000,000 942,710
Harris Cnty., Cultural Ed. Fac. Fin. Corp. VRDN, (The Methodist Hosp.), Ser. C-1, 0.16%, 12/1/24 A-1+ 9,400,000 9,400,000
Houston, Arpt. Syst. Rev. Bonds
(Continental Airlines, Inc. Term. Project), 6.50%, 7/15/30 Ba3 3,200,000 3,252,576
Ser. B-1, 5.00%, 7/15/35 BB- 200,000 196,676
Ser. B-1, 5.00%, 7/15/30 BB- 2,650,000 2,628,933
Houston, Higher Ed. Fin. Co. Rev. Bonds, (Cosmos Foundation), Ser. A
5.00%, 2/15/42 BBB 2,250,000 2,305,058
5.00%, 2/15/32 BBB 2,250,000 2,326,838
Matagorda Cnty., Poll. Control Rev. Bonds, (Dist. No. 1), Ser. A, AMBAC, 4.40%, 5/1/30 A- 3,000,000 3,302,370
New Hope, Cultural Ed. Fac. Fin. Corp. Rev. Bonds
(MRC Sr. Living-Langford (The)), Ser. A, 5.50%, 11/15/52 B-/P 250,000 174,750
(MRC Senior Living-Langford (The)), 5.50%, 11/15/46 B-/P 700,000 503,209
(Wesleyan Homes, Inc.), 5.50%, 1/1/43 BB-/P 1,050,000 911,768
(MRC Senior Living-Langford (The)), 5.375%, 11/15/36 B-/P 500,000 389,580
(Collegiate Student Hsg. Island Campus, LLC), Ser. A, 5.00%, 4/1/42 Ba1 3,500,000 2,948,505
(Collegiate Hsg.-Tarleton St.), 5.00%, 4/1/39 Baa3 500,000 507,930
(Woman's U.-Collegiate Hsg. Denton, LLC), Ser. A-1, AGM, 5.00%, 7/1/38 AA 500,000 552,035
(MRC Crestview), 5.00%, 11/15/36 BB+/F 350,000 329,340
(Woman's U.-Collegiate Hsg. Denton, LLC), Ser. A-1, AGM, 5.00%, 7/1/32 AA 700,000 789,614
(Woman's U.-Collegiate Hsg. Denton, LLC), Ser. A-1, AGM, 5.00%, 7/1/30 AA 400,000 457,948
(Woman's U.-Collegiate Hsg. Denton, LLC), Ser. A-1, AGM, 4.00%, 7/1/43 AA 1,600,000 1,602,240
Newark, Higher Ed. Fin. Corp. Rev. Bonds, (Austin Achieve Pub. Schools, Inc.)
5.00%, 6/15/48 BB-/P 750,000 726,098
5.00%, 6/15/38 BB-/P 245,000 245,230
Tarrant Cnty., Cultural Ed. Fac. Fin. Corp. Retirement Fac. Rev. Bonds, (Buckner Retirement Svcs., Inc.), 5.00%, 11/15/37 A/F 1,620,000 1,767,744
Temple, Tax Increment 144A Tax Alloc. Bonds, (Reinvestment Zone No. 1), Ser. A, 5.00%, 8/1/38 BB+ 3,500,000 3,717,315
TX Private Activity Surface Trans. Corp. Rev. Bonds, (Segment 3C), 5.00%, 6/30/58 Baa3 4,500,000 4,708,305
TX State Private Activity Bond Surface Trans. Corp. Rev. Bonds, (Blueridge Trans. Group, LLC (SH 288 Toll Lane)), 5.00%, 12/31/50 Baa3 1,750,000 1,683,553
TX State Trans. Comm. Rev. Bonds, (State Hwy. 249 Sys.), Ser. A, zero %, 8/1/39 Baa3 1,500,000 614,805

58,911,823
Utah (0.8%)
Infrastructure Agcy. Telecomm. Rev. Bonds
4.00%, 10/15/42 BBB-/F 1,500,000 1,204,380
4.00%, 10/15/36 BBB-/F 1,000,000 855,730
Murray City, Hosp. VRDN, (IHC Hlth. Svcs., Inc.), Ser. A, 0.16%, 5/15/37 VMIG 1 4,300,000 4,300,000

6,360,110
Virginia (1.8%)
Cherry Hill Cmnty., Dev. Auth. 144A Special Assmt. Bonds, (Potomac Shores), 5.15%, 3/1/35 B/P 500,000 472,685
Fairfax Cnty., Econ. Dev. Auth. Res. Care Fac. Rev. Bonds, (Goodwin House, Inc.), Ser. A, 5.00%, 10/1/42 BBB+/F 350,000 352,846
Lexington, Indl. Dev. Auth. Res. Care Fac. Rev. Bonds, (Kendal at Lexington), Ser. A, 5.00%, 1/1/42 BBB-/F 690,000 647,807
Lower Magnolia Green Cmnty., Dev. Auth. 144A Special Assmt. Bonds, 5.00%, 3/1/35 B/P 835,000 756,744
Small Bus. Fin. Auth. Private Activity Rev. Bonds, (Transform 66 P3), 5.00%, 12/31/56 Baa3 3,000,000 3,012,330
Suffolk, Econ. Dev. Auth. Retirement Fac. Rev. Bonds, (United Church Homes & Svcs. Oblig. Group), 5.00%, 9/1/31 BB/P 1,500,000 1,459,440
VA State Small Bus. Fin. Auth. Rev. Bonds
(Elizabeth River Crossings OPCO, LLC), 6.00%, 1/1/37 BBB- 1,725,000 1,749,875
(95 Express Lanes, LLC), 5.00%, 1/1/40 BBB- 4,500,000 4,482,945
VA State Small Bus. Fin. Auth. Solid Waste Disp. Fac. 144A, FRN Mandatory Put Bonds (7/1/38), (Covanta Holding Corp.), 5.00%, 1/1/48 B- 1,000,000 947,360

13,882,032
Washington (2.9%)
Kalispel Tribe of Indians Priority Dist. Rev. Bonds, Ser. A, 5.00%, 1/1/32 BB+/P 1,000,000 1,040,570
Port Seattle, Port Indl. Dev. Corp. Rev. Bonds, (Delta Airlines, Inc.), 5.00%, 4/1/30 BB 5,700,000 5,742,750
Skagit Cnty., Pub. Hosp. Dist. No. 1 Rev. Bonds, (Skagit Regl. Hlth. Impt.), 5.00%, 12/1/37 Baa2 2,000,000 2,172,620
WA State G.O. Bonds, Ser. 21A
5.00%, 6/1/41(WIS) Aaa 1,935,000 2,324,032
5.00%, 6/1/37(WIS) Aaa 2,000,000 2,438,680
5.00%, 6/1/29(WIS) Aaa 1,150,000 1,443,446
WA State Hlth. Care Fac. Auth. Rev. Bonds, (Overlake Hosp. Med. Ctr.), Ser. A, 4.00%, 7/1/37 A2 3,125,000 3,186,906
WA State Hsg. Fin. Comm. Rev. Bonds, (Wesley Homes Lea Hill), 5.00%, 7/1/36 B/P 575,000 515,988
WA State Hsg. Fin. Comm. 144A Rev. Bonds, (Presbyterian Retirement Cmnty. Northwest), Ser. A, 5.00%, 1/1/46 BB/F 4,000,000 3,423,520

22,288,512
Wisconsin (3.1%)
Pub. Fin. Auth. 144A Rev. Bonds, (Roseman U. of Hlth. Sciences), 5.00%, 4/1/50 BB 1,800,000 1,598,598
Pub. Fin. Auth. Arpt. Fac. Rev. Bonds
(Sr. Oblig. Group), 5.25%, 7/1/28 BBB+ 800,000 808,608
(Trans. Infrastructure Properties), 5.00%, 7/1/42 BBB+ 3,500,000 3,501,365
Pub. Fin. Auth. Ed. 144A Rev. Bonds, (North Carolina Leadership Academy)
5.00%, 6/15/54 BB+/P 455,000 392,742
5.00%, 6/15/49 BB+/P 1,040,000 918,341
5.00%, 6/15/39 BB+/P 410,000 378,619
Pub. Fin. Auth. Edl. Fac. Rev. Bonds, (Piedmont Cmnty. Charter School), 5.00%, 6/15/53 Baa3 1,000,000 1,045,200
Pub. Fin. Auth. Exempt Fac. Rev. Bonds, (Celanese U.S. Holdings, LLC), Ser. C, 4.30%, 11/1/30 Baa3 700,000 639,982
Pub. Fin. Auth. Higher Ed. Fac. Rev. Bonds, (Gannon U.)
5.00%, 5/1/47 BBB+ 850,000 869,771
5.00%, 5/1/42 BBB+ 500,000 513,865
Pub. Fin. Auth. Ltd. Oblig. Pilot 144A Rev. Bonds, (American Dream at Meadowlands), 7.00%, 12/1/50 BB/P 720,000 675,367
Pub. Fin. Auth. Retirement Communities Rev. Bonds, (Evergreens Oblig. Group), Ser. A, 5.00%, 11/15/49 BBB/F 2,000,000 1,899,480
Pub. Fin. Auth. Retirement Fac. Rev. Bonds, (Southminster, Inc.), 5.00%, 10/1/43 BB/F 1,500,000 1,379,655
Pub. Fin. Auth. Student Hsg. Fac. Rev. Bonds, (Appalachian State U.), Ser. A, AGM
4.00%, 7/1/59 AA 1,350,000 1,384,857
4.00%, 7/1/55 AA 1,000,000 1,025,820
WI State Hlth. & Edl. Fac. Auth. Rev. Bonds
(St. John's Cmnty., Inc.), Ser. B, 5.00%, 9/15/45 BBB-/F 750,000 679,035
(Prohealth Care, Inc.), 5.00%, 8/15/39 A1 750,000 808,808
(Thedacare, Inc.), 4.00%, 12/15/49 A1 1,395,000 1,443,323
WI State Pub. Fin. Auth Sr. Living Rev. Bonds, (Rose Villa, Inc.), Ser. A
6.00%, 11/15/49 BB-/P 1,000,000 982,330
5.75%, 11/15/44 BB-/P 500,000 479,095
5.50%, 11/15/34 BB-/P 1,685,000 1,640,617
WI State Pub. Fin. Auth. 144A Rev. Bonds, (Church Home of Hartford, Inc.), Ser. A, 5.00%, 9/1/38 BB/F 1,500,000 1,402,470

24,467,948

Total municipal bonds and notes (cost $807,363,113) $780,598,247










UNITIZED TRUST (0.1%)(a)
    Shares Value
CMS Liquidating Trust 144A(F) 400 $715,188

Total unitized trust (cost $1,206,477) $715,188










SHORT-TERM INVESTMENTS (2.5%)(a)
        Principal amount/
shares
Value
Putnam Short Term Investment Fund 0.64%(AFF) Shares 16,516,722 $16,516,722
U.S. Treasury Bills 1.551%, 5/14/20(SEGSF) $122,000 121,996
U.S. Treasury Bills 1.574%, 5/7/20(SEGSF) 165,000 164,998
U.S. Treasury Bills 0.011%, 8/6/20(SEGSF) 16,000 15,995
U.S. Treasury Bills 1.546%, 7/16/20(SEGSF) 779,000 778,842
U.S. Treasury Bills 1.462%, 6/11/20(SEGSF) 743,000 742,919
U.S. Treasury Bills 0.056%, 7/9/20(SEGSF) 31,000 30,995
U.S. Treasury Bills 0.310%, 7/23/20(SEGSF) 191,000 190,963
U.S. Treasury Bills 0.502%, 5/5/20(SEGSF) 255,000 254,999
U.S. Treasury Bills zero%, 8/20/20(SEGSF) 19,000 18,994
U.S. Treasury Bills 0.018%, 9/10/20(SEGSF) 289,000 288,886
U.S. Treasury Bills 0.014%, 9/24/20 223,000 222,896

Total short-term investments (cost $19,345,738) $19,349,205
TOTAL INVESTMENTS

Total investments (cost $827,915,328) $800,662,640












OTC INTEREST RATE SWAP CONTRACTS OUTSTANDING at 4/30/20 (Unaudited)
  Swap counterparty/
notional amount
Value   Upfront premium received (paid)   Termi-
nation
date
Payments made
by fund
  Payments received
by fund
Unrealized
appreciation/
(depreciation)
Citibank, N.A.
$19,440,000 $1,303,083 (E) $— 10/18/31 1.404% — Quarterly SIFMA Municipal Swap index — Quarterly $(1,303,082)
36,000,000 1,227,636 (E) 10/18/26 SIFMA Municipal Swap index — Quarterly 1.182% — Quarterly 1,227,636
34,240,000 1,126,975 (E) 10/20/26 SIFMA Municipal Swap index — Quarterly 1.159% — Quarterly 1,126,975
10,077,000 1,295,096 (E) 10/21/41 1.559% — Quarterly SIFMA Municipal Swap index — Quarterly (1,295,096)


Upfront premium received Unrealized appreciation 2,354,611


Upfront premium (paid) Unrealized (depreciation) (2,598,178)


Total $— Total $(243,567)
(E) Extended effective date.










OTC TOTAL RETURN SWAP CONTRACTS OUTSTANDING at 4/30/20 (Unaudited)
  Swap counterparty/
notional amount
Value   Upfront premium received (paid)   Termi-
nation
date
Payments received
(paid) by fund
  Total return received by or paid by fund Unrealized
appreciation/
(depreciation)
Citibank, N.A.
$1,450,000 $119,116 $— 5/21/20 1.86% minus Municipal Market Data Index AAA municipal yields 30 Year rate — At maturity $(119,116)
2,900,000 241,967 6/4/20 1.86% minus Municipal Market Data Index AAA municipal yields 30 Year rate — At maturity (241,967)
1,000,000 58,023 5/14/20 1.98% minus Municipal Market Data Index AAA municipal yields 30 Year rate — At maturity (58,023)
2,140,000 181,404 6/2/20 2.7% minus Municipal Market Data Index AAA municipal yields 30 Year rate — At maturity (181,404)
4,275,000 370,023 6/4/20 2.71% minus Municipal Market Data Index AAA municipal yields 30 Year rate — At maturity (370,023)
Morgan Stanley & Co. International PLC
1,815,000 152,730 5/21/20 1.85% minus Municipal Market Data Index AAA municipal yields 30 Year rate — At maturity (152,730)
1,815,000 149,100 5/21/20 1.86% minus Municipal Market Data Index AAA municipal yields 30 Year rate — At maturity (149,100)
2,675,000 215,485 6/4/20 2.68% minus Municipal Market Data Index AAA municipal yields 30 Year rate — At maturity (215,485)


Upfront premium received Unrealized appreciation


Upfront premium (paid) Unrealized (depreciation) (1,487,848)


Total $— Total $(1,487,848)
(E) Extended effective date.












Notes to the fund's portfolio
Unless noted otherwise, the notes to the fund's portfolio are for the close of the fund's reporting period, which ran from August 1, 2019 through April 30, 2020 (the reporting period). Within the following notes to the portfolio, references to "Putnam Management" represent Putnam Investment Management, LLC, the fund's manager, an indirect wholly-owned subsidiary of Putnam Investments, LLC, references to "ASC 820" represent Accounting Standards Codification 820 Fair Value Measurements and Disclosures and references to "OTC", if any, represent over-the-counter.
(a) Percentages indicated are based on net assets of $777,486,725.
(RAT) The Moody's, Standard & Poor's or Fitch ratings indicated are believed to be the most recent ratings available at the close of the reporting period for the securities listed. Ratings are generally ascribed to securities at the time of issuance. While the agencies may from time to time revise such ratings, they undertake no obligation to do so, and the ratings do not necessarily represent what the agencies would ascribe to these securities at the close of the reporting period. Securities rated by Fitch are indicated by "/F." Securities rated by Putnam are indicated by "/P." The Putnam rating categories are comparable to the Standard & Poor's classifications. If a security is insured, it will usually be rated by the ratings organizations based on the financial strength of the insurer. For further details regarding security ratings, please see the Statement of Additional Information.
(NON) This security is non-income-producing.
(STP) The interest rate and date shown parenthetically represent the new interest rate to be paid and the date the fund will begin accruing interest at this rate.
(AFF) Affiliated company. For investments in Putnam Short Term Investment Fund, the rate quoted in the security description is the annualized 7-day yield of the fund at the close of the reporting period. Transactions during the period with any company which is under common ownership or control were as follows:
Name of affiliate Fair value
as of
7/31/19
Purchase
cost
Sale
proceeds
Investment
income
Shares outstanding
and fair
value as of
4/30/20
Short-term investments
Putnam Short Term Investment Fund* $— $194,536,150 $178,019,428 $82,712 $16,516,722





Total Short-term investments $— $194,536,150 $178,019,428 $82,712 $16,516,722
* Management fees charged to Putnam Short Term Investment Fund have been waived by Putnam Management. There were no realized or unrealized gains or losses during the period.
(SEGSF) This security, in part or in entirety, was pledged and segregated with the custodian for collateral on certain derivative contracts at the close of the reporting period. Collateral at period end totaled $1,740,707.
(WIS) When-issued security.
(F) This security is valued by Putnam Management at fair value following procedures approved by the Trustees. Securities are classified as Level 3 for ASC 820 based on the securities' valuation inputs.
(T) Underlying security in a tender option bond transaction. This security has been segregated as collateral for financing transactions.
At the close of the reporting period, the fund maintained liquid assets totaling $53,222,922 to cover certain derivative contracts, tender option bonds and the settlement of certain securities.
Unless otherwise noted, the rates quoted in Short-term investments security descriptions represent the weighted average yield to maturity.
144A after the name of an issuer represents securities exempt from registration under Rule 144A of the Securities Act of 1933, as amended. These securities may be resold in transactions exempt from registration, normally to qualified institutional buyers.
On Mandatory Put Bonds, the rates shown are the current interest rates at the close of the reporting period and the dates shown represent the next mandatory put dates. Rates are set by remarketing agents and may take into consideration market supply and demand, credit quality and the current SIFMA Municipal Swap Index, 1 Month US LIBOR or 3 Month US LIBOR rates, which were 0.22%, 0.33% and 0.56%, respectively, as  of the close of the reporting period.
The dates shown on debt obligations are the original maturity dates.
The fund had the following sector concentrations greater than 10% at the close of the reporting period (as a percentage of net assets):
Healthcare 25.80%
Education 15.6
State debt 14.3
Security valuation: Portfolio securities and other investments are valued using policies and procedures adopted by the Board of Trustees. The Trustees have formed a Pricing Committee to oversee the implementation of these procedures and have delegated responsibility for valuing the fund’s assets in accordance with these procedures to Putnam Management. Putnam Management has established an internal Valuation Committee that is responsible for making fair value determinations, evaluating the effectiveness of the pricing policies of the fund and reporting to the Pricing Committee.
Tax-exempt bonds and notes are generally valued on the basis of valuations provided by an independent pricing service approved by the Trustees. Such services use information with respect to transactions in bonds, quotations from bond dealers, market transactions in comparable securities and various relationships between securities in determining value. These securities will generally be categorized as Level 2.
Market quotations are not considered to be readily available for certain debt obligations (including short-term investments with remaining maturities of 60 days or less) and other investments; such investments are valued on the basis of valuations furnished by an independent pricing service approved by the Trustees or dealers selected by Putnam Management. Such services or dealers determine valuations for normal institutional-size trading units of such securities using methods based on market transactions for comparable securities and various relationships, generally recognized by institutional traders, between securities (which consider such factors as security prices, yields, maturities and ratings). These securities will generally be categorized as Level 2. Securities quoted in foreign currencies, if any, are translated into U.S. dollars at the current exchange rate.
Investments in open-end investment companies (excluding exchange-traded funds), if any, which can be classified as Level 1 or Level 2 securities, are valued based on their net asset value. The net asset value of such investment companies equals the total value of their assets less their liabilities and divided by the number of their outstanding shares.
To the extent a pricing service or dealer is unable to value a security or provides a valuation that Putnam Management does not believe accurately reflects the security's fair value, the security will be valued at fair value by Putnam Management in accordance with policies and procedures approved by the Trustees. Certain investments, including certain restricted and illiquid securities and derivatives, are also valued at fair value following procedures approved by the Trustees. These valuations consider such factors as significant market or specific security events such as interest rate or credit quality changes, various relationships with other securities, discount rates, U.S. Treasury, U.S. swap and credit yields, index levels, convexity exposures, recovery rates, sales and other multiples and resale restrictions. These securities are classified as Level 2 or as Level 3 depending on the priority of the significant inputs.
To assess the continuing appropriateness of fair valuations, the Valuation Committee reviews and affirms the reasonableness of such valuations on a regular basis after considering all relevant information that is reasonably available. Such valuations and procedures are reviewed periodically by the Trustees. The fair value of securities is generally determined as the amount that the fund could reasonably expect to realize from an orderly disposition of such securities over a reasonable period of time. By its nature, a fair value price is a good faith estimate of the value of a security in a current sale and does not reflect an actual market price, which may be different by a material amount.
Interest rate swap contracts: The fund entered into OTC and/or centrally cleared interest rate swap contracts, which are arrangements between two parties to exchange cash flows based on a notional principal amount, for yield curve positioning.
An OTC and centrally cleared interest rate swap can be purchased or sold with an upfront premium. For OTC interest rate swap contracts, an upfront payment received by the fund is recorded as a liability on the fund's books. An upfront payment made by the fund is recorded as an asset on the fund's books. OTC and centrally cleared interest rate swap contracts are marked to market daily based upon quotations from an independent pricing service or market makers. Any change is recorded as an unrealized gain or loss on OTC interest rate swaps. Daily fluctuations in the value of centrally cleared interest rate swaps are settled through a central clearing agent and are recorded as unrealized gain or loss. Payments, including upfront premiums, received or made are recorded as realized gains or losses at the reset date or the closing of the contract. Certain OTC and centrally cleared interest rate swap contracts may include extended effective dates. Payments related to these swap contracts are accrued based on the terms of the contract.
The fund could be exposed to credit or market risk due to unfavorable changes in the fluctuation of interest rates or if the counterparty defaults, in the case of OTC interest rate contracts, or the central clearing agency or a clearing member defaults, in the case of centrally cleared interest rate swap contracts, on its respective obligation to perform under the contract. The fund’s maximum risk of loss from counterparty risk or central clearing risk is the fair value of the contract. This risk may be mitigated for OTC interest rate swap contracts by having a master netting arrangement between the fund and the counterparty and for centrally cleared interest rate swap contracts through the daily exchange of variation margin. There is minimal counterparty risk with respect to centrally cleared interest rate swap contracts due to the clearinghouse guarantee fund and other resources that are available in the event of a clearing member default.
For the fund's average notional amount on interest rate swap contracts, see the appropriate table at the end of these footnotes.
Total return swap contracts: The fund entered into OTC and/or centrally cleared total return swap contracts, which are arrangements to exchange a market-linked return for a periodic payment, both based on a notional principal amount,to hedge sector exposure, for gaining exposure to specific sectors, and for hedging inflation.
To the extent that the total return of the security, index or other financial measure underlying the transaction exceeds or falls short of the offsetting interest rate obligation, the fund will receive a payment from or make a payment to the counterparty. OTC and/or centrally cleared total return swap contracts are marked to market daily based upon quotations from an independent pricing service or market maker. Any change is recorded as an unrealized gain or loss on OTC total return swaps. Daily fluctuations in the value of centrally cleared total return swaps are settled through a central clearing agent and are recorded as unrealized gain or loss. Payments received or made are recorded as realized gains or losses. Certain OTC and/or centrally cleared total return swap contracts may include extended effective dates. Payments related to these swap contracts are accrued based on the terms of the contract. The fund could be exposed to credit or market risk due to unfavorable changes in the fluctuation of interest rates or in the price of the underlying security or index, the possibility that there is no liquid market for these agreements or that the counterparty may default on its obligation to perform. The fund’s maximum risk of loss from counterparty risk or central clearing risk is the fair value of the contract. This risk may be mitigated for OTC total return swap contracts by having a master netting arrangement between the fund and the counterparty and for centrally cleared total return swap contracts through the daily exchange of variation margin. There is minimal counterparty risk with respect to centrally cleared total return swap contracts due to the clearinghouse guarantee fund and other resources that are available in the event of a clearing member default.
For the fund's average notional amount on total return swap contracts, see the appropriate table at the end of these footnotes.
Master agreements: The fund is a party to ISDA (International Swaps and Derivatives Association, Inc.) Master Agreements (Master Agreements) with certain counterparties that govern OTC derivative and foreign exchange contracts entered into from time to time. The Master Agreements may contain provisions regarding, among other things, the parties’ general obligations, representations, agreements, collateral requirements, events of default and early termination. With respect to certain counterparties, in accordance with the terms of the Master Agreements, collateral posted to the fund is held in a segregated account by the fund’s custodian and, with respect to those amounts which can be sold or repledged, is presented in the fund’s portfolio.
Collateral pledged by the fund is segregated by the fund’s custodian and identified in the fund’s portfolio. Collateral can be in the form of cash or debt securities issued by the U.S. Government or related agencies or other securities as agreed to by the fund and the applicable counterparty. Collateral requirements are determined based on the fund’s net position with each counterparty.
Termination events applicable to the fund may occur upon a decline in the fund’s net assets below a specified threshold over a certain period of time. Termination events applicable to counterparties may occur upon a decline in the counterparty’s long-term and short-term credit ratings below a specified level. In each case, upon occurrence, the other party may elect to terminate early and cause settlement of all derivative and foreign exchange contracts outstanding, including the payment of any losses and costs resulting from such early termination, as reasonably determined by the terminating party. Any decision by one or more of the fund’s counterparties to elect early termination could impact the fund’s future derivative activity.
At the close of the reporting period, the fund had a net liability position of $4,086,026 on open derivative contracts subject to the Master Agreements. Collateral posted by the fund at period end for these agreements totaled $1,731,415 and may include amounts related to unsettled agreements.
Tender option bond transactions: The fund may participate in transactions whereby a fixed-rate bond is transferred to a tender option bond trust (TOB trust) sponsored by a broker. The TOB trust funds the purchase of the fixed rate bonds by issuing floating-rate bonds issued to third parties and allowing the fund to retain the residual interest in the TOB trust’s assets and cash flows, which are in the form of inverse floating rate bonds. The inverse floating rate bonds held by the fund give the fund the right to (1) cause the holders of the floating rate bonds to tender their notes at par, and (2) to have the fixed-rate bond held by the TOB trust transferred to the fund, causing the TOB trust to collapse. The fund accounts for the transfer of the fixed-rate bond to the TOB trust as a secured borrowing by including the fixed-rate bond in The fund’s portfolio and including the floating rate bond as a liability in the Statement of assets and liabilities. [cont.]
At the close of the reporting period, the fund’s investments with a value of $41,020,594 were held by the TOB trust and served as collateral for $25,868,035 in floating-rate bonds outstanding. During the reporting period, the fund incurred interest expense of $199,609 for these investments based on an average interest rate of 1.40%.










ASC 820 establishes a three-level hierarchy for disclosure of fair value measurements. The valuation hierarchy is based upon the transparency of inputs to the valuation of the fund's investments. The three levels are defined as follows:
Level 1: Valuations based on quoted prices for identical securities in active markets.
Level 2: Valuations based on quoted prices in markets that are not active or for which all significant inputs are observable, either directly or indirectly.
Level 3: Valuations based on inputs that are unobservable and significant to the fair value measurement.
The following is a summary of the inputs used to value the fund's net assets as  of the close of the reporting period:
 
Valuation inputs
Investments in securities: Level 1 Level 2 Level 3
Municipal bonds and notes $— $780,598,247 $—
Unitized trust 715,188
Municipal bonds and notes 16,516,722 2,832,483



Totals by level $16,516,722 $783,430,730 $715,188
 
Valuation inputs
Other financial instruments: Level 1 Level 2 Level 3
Interest rate swap contracts (243,567)
Total return swap contracts (1,487,848)



Totals by level $— $(1,731,415) $—
At the start and close of the reporting period, Level 3 investments in securities represented less than 1% of the fund's net assets and were not considered a significant portion of the fund's portfolio.
The volume of activity for the reporting period for any derivative type that was held at the close of the period is listed below and was based on an average of the holdings of that derivative at the end of each fiscal quarter in the reporting period:
OTC interest rate swap contracts (notional) $121,800,000
OTC total return swap contracts (notional) $31,600,000

For additional information regarding the fund please see the fund's most recent annual or semiannual shareholder report filed on the Securities and Exchange Commission's Web site, www.sec.gov, or visit Putnam's Individual Investor Web site at www.putnaminvestments.com