0000869392-22-002814.txt : 20221221 0000869392-22-002814.hdr.sgml : 20221221 20221221130845 ACCESSION NUMBER: 0000869392-22-002814 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20221031 FILED AS OF DATE: 20221221 DATE AS OF CHANGE: 20221221 PERIOD START: 20230731 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 SEC ACT: 1940 Act SEC FILE NUMBER: 811-04345 FILM NUMBER: 221477565 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 S000003860 Putnam Strategic Intermediate Municipal Fund C000010817 Class C Shares C000010819 Class A Shares PPNAX C000010820 Class B Shares PTFIX C000060535 CLASS Y C000202840 Class R6 Shares NPORT-P 1 primary_doc.xml NPORT-P false 0000771951 XXXXXXXX S000003860 C000060535 C000202840 C000010820 C000010817 C000010819 Putnam Tax Free Income Trust 811-04345 0000771951 54930021N9BODYLQGR89 100 FEDERAL STREET BOSTON 02110 1-800-225-1581 Putnam Strategic Intermediate Municipal Fund S000003860 Y2I12W6B1UC892MB6S50 2023-07-31 2022-10-31 N 591731537.06000000001 14877613.69 576853923.37 0.00 0.00 3661837.89 0.00 0.00 0.00 0.00 0.00 0.00 0.00 4754285 0 0.00 0 USD N Bloomberg Municipal Bond Index IDX01566 CITY OF KEIZER OR N/A FX.RT. 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MUNI BOND 592647LB5 4410000 PA USD 4544810.61 0.787861610345 Long DBT MUN US N 2 2030-10-01 Fixed 5 N N N N N N CITY OF ST LOUIS MO AIRPORT REVENUE N/A FX.RT. MUNI BOND 791638N39 1430000 PA USD 1464253.36 0.253834341881 Long DBT MUN US N 2 2030-07-01 Fixed 5 N N N N N N CITY OF LAWRENCE MA N/A FX.RT. MUNI BOND 520229BU8 1165000 PA USD 1096873.6 0.190147549590 Long DBT MUN US N 2 2035-06-01 Fixed 4 N N N N N N INDIO FINANCE AUTHORITY N/A FX.RT. MUNI BOND 45571LDE4 310000 PA USD 332970.44 0.057721795157 Long DBT MUN US N 2 2029-11-01 Fixed 5 N N N N N N INDIO FINANCE AUTHORITY N/A FX.RT. MUNI BOND 45571LDD6 275000 PA USD 293056.45 0.050802540839 Long DBT MUN US N 2 2028-11-01 Fixed 5 N N N N N N INDIO FINANCE AUTHORITY N/A FX.RT. MUNI BOND 45571LDF1 400000 PA USD 431430.4 0.074790234151 Long DBT MUN US N 2 2030-11-01 Fixed 5 N N N N N N INDIO FINANCE AUTHORITY N/A FX.RT. MUNI BOND 45571LDG9 375000 PA USD 402770.89 0.069821990227 Long DBT MUN US N 2 2031-11-01 Fixed 5 N N N N N N INDIO FINANCE AUTHORITY N/A FX.RT. MUNI BOND 45571LDJ3 425000 PA USD 452283.64 0.078405229067 Long DBT MUN US N 2 2033-11-01 Fixed 5 N N N N N N AUSTIN COMMUNITY COLLEGE DISTRICT N/A FX.RT. MUNI BOND 052403HY1 1350000 PA USD 1106152.34 0.191756057329 Long DBT MUN US N 2 2035-08-01 Fixed 3 N N N N N N CLARK COUNTY SCHOOL DISTRICT N/A FX.RT. MUNI BOND 1810592N5 5000000 PA USD 5278651 0.915075859962 Long DBT MUN US N 2 2037-06-15 Fixed 5 N N N N N N INDIO FINANCE AUTHORITY N/A FX.RT. MUNI BOND 45571LDH7 350000 PA USD 375708.9 0.065130682965 Long DBT MUN US N 2 2032-11-01 Fixed 5 N N N N N N CITY AND COUNTY OF DENVER CO AIRPORT SYSTEM REVENUE N/A FX.RT. MUNI BOND 249182RR9 1125000 PA USD 1168644.71 0.202589366676 Long DBT MUN US N 2 2042-11-15 Fixed 5 N N N N N N BUILD NYC RESOURCE CORP 549300GROJFKMNLWEK84 FX.RT. MUNI BOND 12008ESW7 300000 PA USD 286349.64 0.049639887743 Long DBT MUN US N 2 2027-07-01 Fixed 3.4 N N N N N N MASSACHUSETTS DEVELOPMENT FINANCE AGENCY 549300UZSVMFXJK08K70 FX.RT. MUNI BOND 57584Y3L1 1000000 PA USD 1075668.4 0.186471540961 Long DBT MUN US N 2 2034-10-01 Fixed 5 N N N N N N MASSACHUSETTS DEVELOPMENT FINANCE AGENCY 549300UZSVMFXJK08K70 FX.RT. MUNI BOND 57584Y3M9 1000000 PA USD 1068469.1 0.185223512698 Long DBT MUN US N 2 2035-10-01 Fixed 5 N N N N N N MONTANA STATE BOARD OF REGENTS N/A FX.RT. MUNI BOND 61212LTN9 2475000 PA USD 2608377.75 0.452173010242 Long DBT MUN US N 2 2052-11-15 Fixed 5.25 N N N N N N NEW YORK STATE THRUWAY AUTHORITY N/A FX.RT. MUNI BOND 650028ZQ9 10000000 PA USD 10199263 1.768084186793 Long DBT MUN US N 2 2055-03-15 Fixed 5 N N N N N N PORT OF SEATTLE WA 549300T9UCDUJ3GZL429 FX.RT. 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2.63 N N N N N N 2022-12-21 Putnam Investments Inc Janet C. Smith NPORT Principal Financial Officer XXXX NPORT-EX 2 b_035nport103122.htm QUARTERLY PORTFOLIO HOLDINGS
Putnam Strategic Intermediate Municipal Fund
The fund's portfolio
10/31/22 (Unaudited)
Key to holding's abbreviations
AGM — Assured Guaranty Municipal Corporation
BAM — Build America Mutual
COP — Certificates of Participation
FHLMC Coll. — Federal Home Loan Mortgage Corporation Collateralized
FNMA Coll. — Federal National Mortgage Association Collateralized
G.O. Bonds — General Obligation Bonds
GNMA Coll. — Government National Mortgage Association Collateralized
NATL — National Public Finance Guarantee Corporation
PSFG — Permanent School Fund Guaranteed
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 2.24% as of the close of the reporting period.









MUNICIPAL BONDS AND NOTES (98.3%)(a)
    Rating(RAT)   Principal amount Value
Alabama (1.1%)
Black Belt Energy Gas Dist., Gas Supply Mandatory Put Bonds (6/1/27), Ser. D-1, 4.00%, 7/1/52 Mandatory Put Bonds (3/1/27), 6/1/27 Aa1 $1,000,000 $968,854
Jefferson, Cnty. Rev. Bonds, (Refunding warrants)
5.00%, 9/15/34 AA 1,075,000 1,125,109
5.00%, 9/15/33 AA 125,000 131,094
Southeast Energy Auth. Commodity Supply Mandatory Put Bonds (12/1/29)(8/1/28)
Mandatory Put Bonds (12/1/29), Ser. A-1, 5.50%, 1/1/53 A1 1,350,000 1,365,378
Mandatory Put Bonds (8/1/28), Ser. B-1, 5.00%, 5/1/53 A2 3,000,000 2,955,066

6,545,501
Alaska (0.5%)
AK State Indl. Dev. & Export Auth. Rev. Bonds, (Tanana Chiefs Conference), Ser. A
4.00%, 10/1/39 A+/F 2,445,000 2,117,108
4.00%, 10/1/38 A+/F 555,000 488,380

2,605,488
Arizona (1.6%)
AZ State Indl. Dev. Auth. Rev. Bonds
(Equitable School Revolving Fund), Ser. A, 5.00%, 11/1/38 A 2,740,000 2,776,945
(Equitable School Revolving Fund, LLC), 5.00%, 11/1/33 A 1,000,000 1,026,197
Glendale, Indl. Dev. Auth. Sr. Living Fac. Rev. Bonds, (Royal Oaks Life Care Cmnty.)
4.00%, 5/15/31 BBB-/F 1,000,000 886,953
4.00%, 5/15/29 BBB-/F 1,000,000 914,947
Pima Cnty., Indl. Dev. Auth. Sr. Living 144A Rev. Bonds, (La Posada at Park Centre, Inc.), 6.25%, 11/15/35 BBB+/P 2,750,000 2,732,986
Salt Verde, Fin. Corp. Gas Rev. Bonds, 5.50%, 12/1/29 A3 1,000,000 1,046,543

9,384,571
California (18.1%)
Anaheim, Union High School Dist. G.O. Bonds, 3.00%, 8/1/38 Aa2 3,000,000 2,359,706
Antioch, Unified School Dist. G.O. Bonds, BAM, 3.00%, 8/1/34 AA 1,185,000 1,006,296
CA Cmnty. Choice Fin. Auth. Mandatory Put Bonds (8/1/28), (Green Bonds), Ser. A-1, 4.00%, 5/1/53 A1 9,675,000 9,297,145
CA Cmnty. Hsg. Agcy. Essential Hsg. 144A Rev. Bonds, (Aster Apt.), Ser. A-1, 4.00%, 2/1/56 BB+/P 250,000 187,525
CA Hsg. Fin. Agcy. Muni. Certif. Rev. Bonds, Ser. 21-1, Class A, 3.50%, 11/20/35 BBB+ 903,656 773,160
CA Muni. Fin. Auth. VRDN (Chevron USA, Inc.), 1.10%, 11/1/35 VMIG 1 3,900,000 3,900,000
CA Pub. Fin. Auth. VRDN, (Sharp Hlth. Care Oblig. Group), Ser. C, 1.00%, 8/1/52 VMIG 1 2,475,000 2,475,000
CA State G.O. Bonds
5.00%, 2/1/32 Aa2 10,000,000 10,041,002
3.00%, 10/1/36 Aa2 2,000,000 1,666,576
CA State Charter School Fin. Auth. 144A Rev. Bonds, (Aspire Pub. Schools), 5.00%, 8/1/36 BBB 3,225,000 3,227,791
CA State Enterprise Dev. Auth. Student Hsg. Rev. Bonds, (Provident Group-SDSU Properties, LLC), Ser. A, 5.00%, 8/1/28 Baa3 150,000 151,856
CA State Infrastructure & Econ. Dev. Bank
Mandatory Put Bonds (8/1/24), (Museum Associates), 2.94%, 12/1/50 A3 1,000,000 974,703
Mandatory Put Bonds (8/1/24), (CA Academy of Sciences), 2.59%, 8/1/47 A2 1,500,000 1,480,013
CA State Infrastructure & Econ. Dev. Bank Rev. Bonds, (Performing Arts Ctr. of Los Angeles Cnty.), 5.00%, 12/1/29 A 675,000 727,093
CA State Muni. Fin. Auth. Rev. Bonds, (HumanGood Oblig. Group), Ser. A, 4.00%, 10/1/32 A-/F 1,000,000 943,297
CA State Poll. Control Fin. Auth. Rev. Bonds, (San Jose Wtr. Co.), 4.75%, 11/1/46 A 1,000,000 952,331
CA State Pub. Wks. Board Rev. Bonds
Ser. E, 5.00%, 9/1/34 Aa3 900,000 923,070
(Various Cap. Projects.), Ser. A, 5.00%, 8/1/32 Aa3 1,000,000 1,103,165
CA Statewide Cmnty. Dev. Auth. 144A Rev. Bonds, (Lancer Edl. Student Hsg.), Ser. A, 3.00%, 6/1/29 BB/P 1,450,000 1,263,024
Chula Vista, Muni. Fin. Auth. Special Tax Bonds, 5.50%, 9/1/30 AA- 775,000 787,911
Golden State Tobacco Securitization Corp. Rev. Bonds, Ser. B-1, 3.85%, 6/1/50 BBB- 3,000,000 2,563,746
Indio, Pub. Fin. Auth. Rev. Bonds, Ser. A, BAM
5.00%, 11/1/33 AA 425,000 452,284
5.00%, 11/1/32 AA 350,000 375,709
5.00%, 11/1/31 AA 375,000 402,771
5.00%, 11/1/30 AA 400,000 431,430
5.00%, 11/1/29 AA 310,000 332,970
5.00%, 11/1/28 AA 275,000 293,056
Long Beach, Arpt. Syst. Rev. Bonds
Ser. B, AGM, 5.00%, 6/1/38 AA 300,000 315,398
Ser. B, AGM, 5.00%, 6/1/36 AA 250,000 266,479
Ser. A, AGM, 5.00%, 6/1/35 AA 300,000 321,934
Ser. B, AGM, 5.00%, 6/1/35 AA 300,000 321,934
Ser. A, AGM, 5.00%, 6/1/34 AA 400,000 432,588
Ser. B, AGM, 5.00%, 6/1/34 AA 200,000 216,294
Los Angeles Cnty., Regl. Fin. Auth. Rev. Bonds, (Vermont Manchester Social), 5.00%, 12/1/34 AA+ 500,000 545,871
Los Angeles, Dept. of Arpt. Rev. Bonds
Ser. H, 5.50%, 5/15/36 Aa2 3,000,000 3,159,815
5.00%, 5/15/31 Aa3 1,500,000 1,549,623
Ser. A, 5.00%, 5/15/28 Aa3 1,500,000 1,557,386
Ser. C, 5.00%, 5/15/28 Aa3 2,175,000 2,258,210
Ser. A, 4.00%, 5/15/39 Aa3 1,500,000 1,327,195
4.00%, 5/15/35 Aa3 600,000 554,683
Los Angeles, Dept. of Wtr. & Pwr. Rev. Bonds
Ser. A, 5.00%, 7/1/42 Aa2 7,870,000 8,121,511
Ser. B, 5.00%, 7/1/40 Aa2 2,800,000 2,957,865
Port of Oakland Rev. Bonds
5.00%, 5/1/28 A2 750,000 784,922
1.081%, 5/1/24 A1 620,000 583,358
Regents of the U. of CA Med. Ctr. (The) Rev. Bonds, Ser. P, 5.00%, 5/15/38 Aa3 9,000,000 9,417,404
San Francisco, City & Cnty. Arpt. Comm. Intl. Arpt. Rev. Bonds, Ser. A
5.00%, 5/1/35 A1 1,900,000 1,902,878
5.00%, 5/1/34 A1 4,585,000 4,661,128
5.00%, 5/1/30 A1 1,000,000 1,030,437
5.00%, 5/1/29 A1 2,000,000 2,063,114
San Francisco, City & Cnty. Arpt. Comm. Intl. Arpt. VRDN, Ser. B, 1.90%, 5/1/58 VMIG 1 4,000,000 4,000,000
San Francisco, Pub. Fac. Fin. Auth. Rev. Bonds
5.00%, 6/1/39 AA+ 475,000 501,819
5.00%, 6/1/38 AA+ 400,000 423,533
5.00%, 6/1/37 AA+ 350,000 371,593
5.00%, 6/1/36 AA+ 325,000 346,097
5.00%, 6/1/35 AA+ 280,000 298,705
5.00%, 6/1/34 AA+ 250,000 267,737
5.00%, 6/1/33 AA+ 255,000 273,981
5.00%, 6/1/32 AA+ 180,000 197,286
Sierra View, Local Hlth. Care Dist. Rev. Bonds
5.00%, 7/1/30 A/F 620,000 645,816
5.00%, 7/1/27 A/F 625,000 648,591
4.00%, 7/1/26 A/F 300,000 299,136
4.00%, 7/1/25 A/F 290,000 289,573
4.00%, 7/1/24 A/F 235,000 235,323
4.00%, 7/1/23 A/F 260,000 260,427
U. of CA VRDN, Ser. AL-4, 1.05%, 5/15/48 VMIG 1 2,800,000 2,800,000
Yucaipa Special Tax Bonds, (Cmnty. Fac. Dist. No. 98-1 Chapman Heights), 5.375%, 9/1/30 A 375,000 376,094

105,678,368
Colorado (1.2%)
CO State Hlth. Fac. Auth. Hosp. Rev. Bonds, (CommonSpirit Hlth.), Ser. A, 5.00%, 11/1/25 A- 350,000 360,067
Denver City & Cnty., Arpt. Rev. Bonds, Ser. B, 5.00%, 11/15/42 Aa3 1,125,000 1,168,645
E-470 Pub. Hwy. Auth. Mandatory Put Bonds (9/1/24), Ser. B, 2.394%, 9/1/39 A2 4,000,000 3,939,949
Vauxmont, Metro. Dist. G.O. Bonds, AGM
5.00%, 12/1/34 AA 285,000 301,590
5.00%, 12/1/32 AA 250,000 268,096
5.00%, 12/15/30 AA 125,000 132,379
5.00%, 12/15/29 AA 125,000 132,506
5.00%, 12/15/27 AA 125,000 132,482
5.00%, 12/15/25 AA 125,000 130,347
5.00%, 12/1/25 AA 175,000 182,213

6,748,274
Connecticut (1.3%)
CT State Hlth. & Edl. Fac. Auth. Rev. Bonds
(Masonicare Issue), Ser. F, 5.00%, 7/1/34 BBB+/F 1,250,000 1,193,512
(Masonicare Issue), Ser. F, 5.00%, 7/1/33 BBB+/F 250,000 240,973
(Stamford Hosp. Oblig. Group (The)), Ser. M, 5.00%, 7/1/32 BBB+ 1,400,000 1,454,453
(U. of New Haven), 5.00%, 7/1/28 BBB- 550,000 543,298
(Stamford Hosp. Oblig. Group (The)), Ser. L-1, 4.00%, 7/1/26 BBB+ 700,000 683,502
CT State Hlth. & Edl. Fac. Auth. VRDN, (Yale U.), Ser. V-2, 1.00%, 7/1/36 VMIG 1 2,000,000 2,000,000
CT State Hsg. Fin. Auth. Rev. Bonds, Ser. B-1
4.15%, 11/15/44 Aaa 1,355,000 1,166,134
4.10%, 11/15/39 Aaa 565,000 506,264

7,788,136
Delaware (0.4%)
DE River & Bay Auth. Rev. Bonds, 5.00%, 1/1/32 A1 2,000,000 2,201,952

2,201,952
District of Columbia (2.1%)
DC Rev. Bonds
(KIPP DC), Ser. A, 5.00%, 7/1/48 BBB+ 1,250,000 1,214,985
(Latin American Montessori Bilingual Pub. Charter School Oblig. Group), 4.00%, 6/1/30 BB+ 1,000,000 938,715
Metro. DC Arpt. Auth. Rev. Bonds, Ser. A
5.00%, 10/1/43 Aa3 3,650,000 3,593,355
5.00%, 10/1/31 Aa3 1,000,000 1,023,104
5.00%, 10/1/30 Aa3 4,410,000 4,544,813
Metro. Washington DC, Arpt. Auth. Dulles Toll Rd. Rev. Bonds, (Dulles Metrorail & Cap. Impt. Proj.)
Ser. B, 4.00%, 10/1/44(T) A- 665,000 555,060
4.00%, 10/1/53(T) A- 660,000 519,823

12,389,855
Florida (3.7%)
Cap. Trust Agcy. 144A Rev. Bonds, (WFCS Holdings II, LLC), Ser. A-1, 3.30%, 1/1/31 BB/P 480,000 372,456
Double Branch Cmnty. Dev. Dist. Special Assmt. Bonds, Ser. A-1, 4.25%, 5/1/34 A 360,000 341,435
FL State Dept. of Mgt. Svcs. COP, Ser. A, 3.00%, 11/1/35 Aa1 1,000,000 815,497
FL State Dev. Fin. Corp. Ed. Fac. Rev. Bonds, (River City Ed.), 5.00%, 7/1/31(WIS) Baa3 325,000 322,565
FL State Dev. Fin. Corp. Ed. Fac. 144A Rev. Bonds, (Drs. Kiran & Pallavi Patel 2017 Foundation for Global Understanding, Inc.), 3.00%, 7/1/31 BB/P 200,000 166,386
FL State Muni. Pwr. Agcy. Rev. Bonds, (St. Lucie), Ser. B
5.00%, 10/1/30 A2 1,000,000 1,052,957
5.00%, 10/1/29 A2 1,000,000 1,060,648
5.00%, 10/1/28 A2 1,000,000 1,064,902
Halifax Hosp. Med. Ctr. Rev. Bonds, 5.00%, 6/1/36 A- 1,375,000 1,378,140
Lakeland, Hosp. Syst. Rev. Bonds, (Lakeland Regl. Hlth.), 5.00%, 11/15/45 A2 2,000,000 1,957,760
Orange Cnty., HFA Mandatory Put Bonds (9/1/23), (Dunwoodie Place Preservation, Ltd.), Ser. A, 0.20%, 9/1/24 AA+ 1,920,000 1,844,539
Orange Cnty., Hlth. Fac. Auth. Rev. Bonds, (Presbyterian Retirement Cmntys.), 5.00%, 8/1/34 A-/F 1,000,000 1,008,798
Orlando Cmnty. Redev. Agcy. Tax Alloc. Bonds, (Republic Drive/Universal), 5.00%, 4/1/23 A+/F 1,630,000 1,653,738
Palm Beach Cnty., Hlth. Fac. Auth. Rev. Bonds, (Acts Retirement-Life Cmnty., Inc.), 5.00%, 11/15/32 A-/F 2,000,000 1,972,057
Palm Beach Cnty., School Board COP, Ser. C, 5.00%, 8/1/31 Aa3 5,400,000 5,504,113
Southeast Overtown Park West Cmnty. Redev. Agcy. 144A Tax Alloc. Bonds, Ser. A-1, 5.00%, 3/1/30 BBB+ 240,000 242,169
St. John's Cnty., Indl. Dev. Auth. Rev. Bonds, (Life Care Ponte Vedra Oblig. Group), Ser. A
4.00%, 12/15/31 BB+/F 200,000 172,716
4.00%, 12/15/30 BB+/F 195,000 171,243
4.00%, 12/15/29 BB+/F 215,000 192,213
Village, 144A Special Assmt., (Village Cmnty. Dev. Dist. No. 13), 1.875%, 5/1/25 BB-/P 515,000 475,378

21,769,710
Georgia (1.4%)
Burke Cnty., Dev. Auth. Poll. Control Mandatory Put Bonds (8/19/25)(2/3/25),
Mandatory Put Bonds (8/19/25), (GA Pwr. Co.), 2.875%, 12/1/49 Baa1 4,250,000 4,121,294
Mandatory Put Bonds (2/3/25), (Oglethorpe Pwr. Corp.), 1.50%, 1/1/40 Baa1 1,600,000 1,478,174
Main Street Natural Gas, Inc. Gas Supply Mandatory Put Bonds (9/1/23), Ser. B, 2.846%, 4/1/48 Aa1 2,200,000 2,185,159
Muni. Election Auth. of GA Rev. Bonds, (Plant Vogtle Units 3 & 4), 4.00%, 1/1/46 BBB+ 330,000 263,608

8,048,235
Hawaii (—%)
HI State Dept. Budget & Fin. Rev. Bonds, (Kahala Nui), 5.25%, 11/15/37 A+/F 250,000 250,006

250,006
Idaho (1.1%)
ID State Hlth. Fac. Auth. VRDN (St Luke's Hlth. Syst. Ltd. Oblig. Group), Ser. C, 1.64%, 3/1/48 VMIG 1 6,400,000 6,400,000

6,400,000
Illinois (5.1%)
Chicago, G.O. Bonds, Ser. A, 4.00%, 1/1/36 BBB+ 1,000,000 841,712
Chicago, Board of Ed. G.O. Bonds, Ser. A, 5.00%, 12/1/39 BB 1,000,000 908,221
Chicago, O'Hare Intl. Arpt. Rev. Bonds, Ser. B, 5.00%, 1/1/33 A+ 5,465,000 5,548,717
Chicago, Waste Wtr. Transmission Rev. Bonds
5.00%, 1/1/44 A 500,000 469,996
Ser. C, 5.00%, 1/1/39 A 750,000 723,781
(2nd Lien), 5.00%, 1/1/39 A 565,000 545,248
Ser. C, 5.00%, 1/1/34 A 400,000 400,261
Ser. C, 5.00%, 1/1/33 A 405,000 405,476
Chicago, Wtr. Wks Rev. Bonds, 5.00%, 11/1/39 A 675,000 650,697
IL State G.O. Bonds
5.00%, 11/1/41 Baa1 600,000 556,820
5.00%, 1/1/41 Baa1 340,000 315,959
5.00%, 11/1/34 Baa1 1,650,000 1,608,230
Ser. C, 5.00%, 11/1/29 Baa1 1,225,000 1,226,065
Ser. D, 5.00%, 11/1/28 Baa1 2,080,000 2,083,639
Ser. D, 5.00%, 11/1/27 Baa1 920,000 923,620
4.125%, 11/1/31 Baa1 830,000 763,865
4.00%, 1/1/31 Baa1 695,000 648,487
IL State Fin. Auth. Mandatory Put Bonds (11/15/26), (OSF Hlth. Care Syst. Oblig. Group), Ser. B-2, 5.00%, 5/15/50 A 1,000,000 1,034,925
IL State Fin. Auth. Rev. Bonds
(Ascension Hlth. Credit Group), Ser. C, 5.00%, 2/15/34 AA+ 1,100,000 1,123,377
(Rosalind Franklin U. of Medicine and Science), Ser. A, 5.00%, 8/1/31 BBB+ 400,000 405,648
(Art Institute of Chicago (The)), 5.00%, 3/1/30 Aa3 1,500,000 1,561,536
IL State Fin. Auth. Student Hsg. & Academic Fac. Rev. Bonds, (U. of IL Chicago), 5.00%, 2/15/50 Baa3 500,000 417,466
Metro. Pier & Exposition Auth. Rev. Bonds, (McCormick Place Expansion), Ser. B, 5.00%, 12/15/33 A- 300,000 293,071
Metro. Pier & Exposition Auth. Dedicated State Tax Rev. Bonds, (McCormick), Ser. A, NATL, zero %, 12/15/22 Baa2 5,500,000 5,472,569
Metro. Wtr. Reclamation Dist. of Greater Chicago G.O. Bonds, Ser. A, 5.00%, 12/1/31 AA+ 1,000,000 1,042,962

29,972,348
Indiana (1.5%)
IN State Fin. Auth. Waste Wtr. Util. Rev. Bonds, (CWA Authority, Inc.), 5.00%, 10/1/30 AA 650,000 713,320
IN State. Fin. Auth. Rev. Bonds, (Rose-Hulman Inst. of Tech., Inc.)
5.00%, 6/1/32 A2 200,000 209,973
5.00%, 6/1/31 A2 200,000 210,804
5.00%, 6/1/30 A2 200,000 212,282
5.00%, 6/1/29 A2 175,000 184,958
5.00%, 6/1/28 A2 100,000 105,013
5.00%, 6/1/27 A2 180,000 187,844
4.00%, 6/1/34 A2 235,000 218,196
4.00%, 6/1/33 A2 210,000 198,399
Indianapolis, Local Pub. Impt. Bond Bk. Rev. Bonds, Ser. A, 5.25%, 2/1/54 Aa1 1,500,000 1,547,864
Rockport, Poll. Control Rev. Bonds, (AEP Generating Co. ), 3.125%, 7/1/25 A- 4,150,000 4,033,717
Silver Creek, School Bldg. Corp. Rev. Bonds
3.00%, 1/15/36 AA+ 500,000 420,020
3.00%, 1/15/34 AA+ 375,000 327,390

8,569,780
Iowa (0.4%)
IA State Fin. Auth. Rev. Bonds, (Lifespace Cmnty., Inc. Oblig. Group), Ser. A, 4.00%, 5/15/46 BBB/F 1,150,000 804,747
IA State Fin. Auth. Solid Waste Fac. Mandatory Put Bonds (4/1/24), (Gevo NW Iowa RNG, LLC), 1.50%, 1/1/42 Aa3 1,700,000 1,645,976

2,450,723
Kentucky (3.2%)
KY Pub. Trans. Infrastructure Auth. Rev. Bonds, (1st Tier Downtown Crossing), Ser. A, 6.00%, 7/1/53 (Prerefunded 7/1/23) Baa2 500,000 507,078
KY State Hsg. Corp. Mandatory Put Bonds (10/1/23), (Winterwood II Rural Hsg.), 0.37%, 10/1/24 Aaa 1,295,000 1,242,139
KY State Property & Bldg. Comm. Rev. Bonds, (No. 127), Ser. A, 5.00%, 6/1/36 A1 5,500,000 5,738,742
KY State Pub. Energy Auth. Gas Supply
Mandatory Put Bonds (6/1/25), Ser. C-1, 4.00%, 12/1/49 A1 3,150,000 3,069,522
Mandatory Put Bonds (1/1/25), Ser. B, 4.00%, 1/1/49 A1 2,800,000 2,756,178
KY State Tpk. Auth. Econ. Dev. Rev. Bonds, (Revitalization Projects), Ser. A-22, 5.00%, 7/1/32 Aa3 2,500,000 2,708,346
Louisville & Jefferson Cnty., Metro. Govt. Hlth. Syst. Rev. Bonds, (Norton Healthcare, Inc.), Ser. A, 5.00%, 10/1/30 A 2,750,000 2,816,042

18,838,047
Louisiana (0.4%)
LA Stadium & Exposition Dist. Rev. Bonds, 4.00%, 7/3/23 BBB+/F 500,000 499,743
St. John The Baptist Parish Mandatory Put Bonds (7/1/26), (Marathon Oil Corp.), Ser. A-3, 2.20%, 6/1/37 Baa3 2,000,000 1,813,937

2,313,680
Maryland (0.1%)
Gaithersburg, Econ. Dev. Rev. Bonds, (Asbury, Oblig. Group), Ser. A, 5.00%, 1/1/36 BBB/F 300,000 291,787
MD State Hlth. & Higher Ed. Fac. Auth. Rev. Bonds, (Stevenson U.), 4.00%, 6/1/34 BBB- 250,000 223,351

515,138
Massachusetts (4.6%)
Lawrence, G.O. Bonds, 4.00%, 6/1/35 AA 1,165,000 1,096,874
MA State G.O. Bonds, Ser. A, 5.25%, 4/1/47 Aa1 1,500,000 1,545,308
MA State Dev. Fin. Agcy. Rev. Bonds, (Northeastern U.)
5.00%, 10/1/35 A1 1,000,000 1,068,469
5.00%, 10/1/34 A1 1,000,000 1,075,668
MA State Dev. Fin. Agcy. 144A Rev. Bonds, (Loomis Oblig. Group), 4.00%, 1/1/26 BBB 500,000 490,227
MA State Hlth. & Edl. Fac. Auth. VRDN (MA Inst. of Tech.), 2.10%, 7/1/31 VMIG 1 5,000,000 5,000,000
MA State Hsg. Fin. Agcy. Mandatory Put Bonds (6/1/25), Ser. 216, FHLMC Coll., FNMA Coll., GNMA Coll., 1.85%, 12/1/50 Aa1 1,000,000 939,912
MA State Hsg. Fin. Agcy. Rev. Bonds, Ser. D, 3.10%, 6/1/30 AA+ 720,000 668,106
MA State Port Auth. Rev. Bonds, Ser. B, 5.00%, 7/1/39 Aa2 4,935,000 4,941,328
MA State Wtr. Resource Auth. VRDN, Ser. A-3, 2.23%, 8/1/37 VMIG 1 500,000 500,000
Merrimack Valley Regl. Transit Auth. Rev. Bonds, 3.25%, 6/23/23 AA+/P 9,320,000 9,289,494

26,615,386
Michigan (3.8%)
Detroit, G.O. Bonds, 5.50%, 4/1/34 Ba2 660,000 677,276
Detroit, Downtown Dev. Auth. Tax Alloc. Bonds, Ser. A, AGM, 5.00%, 7/1/43 AA 3,000,000 2,972,555
Kentwood, Economic Dev. Corp. Rev. Bonds, (Holland Home Oblig. Group), 5.00%, 11/15/37 BBB-/F 1,000,000 961,138
MI State Fin. Auth. Rev. Bonds
(Detroit Pub. Ltg. Auth.), Ser. B, 5.00%, 7/1/44 BBB- 2,000,000 1,880,903
Ser. H-1, 5.00%, 10/1/39 (Prerefunded 10/1/24) AA- 525,000 530,101
(Local Govt. Loan Program - Detroit Wtr. & Swr. Dept. (DWSD)), Ser. C, 5.00%, 7/1/35 A+ 1,000,000 1,014,187
(Detroit Wtr. & Swr.), Ser. C-6, 5.00%, 7/1/33 AA- 140,000 141,816
(Great Lakes Wtr. Auth. Wtr. Supply Syst.), 5.00%, 7/1/31 AA- 6,500,000 6,597,923
(Detroit), Ser. C-3, 5.00%, 4/1/28 Aa2 700,000 737,590
(Trinity Health Corp. Oblig. Group), Ser. A, 4.00%, 12/1/49(T) AA- 1,325,000 1,088,342
(Tobacco Settlement), Ser. A-1, 2.326%, 6/1/30 A 497,786 445,713
MI State Fin. Auth. Ltd. Oblig. Rev. Bonds
(Lawrence Technological U.), 5.25%, 2/1/32 BBB- 1,145,000 1,111,836
(Lawrence Technological U.), 5.00%, 2/1/47 BBB- 2,000,000 1,697,021
(Lawrence Tech. U.), 4.00%, 2/1/32 BBB- 285,000 251,370
(Lawrence Tech. U.), 4.00%, 2/1/27 BBB- 185,000 174,843
Wayne Cnty., Arpt. Auth. Rev. Bonds, Ser. F, 5.00%, 12/1/30 A1 1,840,000 1,858,470

22,141,084
Minnesota (2.2%)
Duluth, COP, (Indpt. School Dist. No. 709), Ser. A, 4.20%, 3/1/34 Baa3 750,000 667,376
Duluth, Econ. Dev. Auth. Rev. Bonds, (Benedictine Hlth. Syst. Oblig. Group), Ser. A, 4.00%, 7/1/31 BB/P 625,000 572,363
Duluth, Econ. Dev. Auth. Hlth. Care Fac. Rev. Bonds, (St. Luke's Hosp. of Duluth Oblig. Group)
5.00%, 6/15/32 BBB- 975,000 970,813
5.00%, 6/15/30 BBB- 830,000 833,482
Minneapolis & St. Paul, Hsg. & Redev. Auth. Hlth. Care VRDN, (Allina Hlth. Syst.), Ser. B-1, 1.62%, 11/15/35 VMIG 1 500,000 500,000
Minneapolis & St. Paul, Metro. Arpt. Comm. Rev. Bonds, Ser. A, 5.00%, 1/1/31 AA- 1,580,000 1,652,232
MN State Higher Ed. Fac. Auth. Rev. Bonds, (Augsburg U.), Ser. A, 5.00%, 5/1/46 Ba1 750,000 648,547
Ramsey, Charter School Rev. Bonds, (PACT Charter School), Ser. A, 5.00%, 6/1/32 BB+ 1,400,000 1,333,315
Rochester, Hlth. Care Fac. VRDN, (Mayo Clinic)
Ser. A, 2.32%, 11/15/38 A-1+ 2,165,000 2,165,000
Ser. B, 2.32%, 11/15/38 VMIG 1 250,000 250,000
St. Paul, Hsg. & Redev. Auth. Charter School Lease Rev. Bonds, (Hmong College Prep Academy), 5.50%, 9/1/36 BB+ 3,000,000 2,912,463

12,505,591
Mississippi (0.6%)
MS Bus. Fin. Comm. VRDN (Chevron USA, Inc.), Ser. C, 1.66%, 12/1/30 VMIG 1 2,930,000 2,930,000
MS State Bus. Fin. Corp. Rev. Bonds, (System Energy Resources, Inc.), 2.375%, 6/1/44 A 770,000 460,366

3,390,366
Missouri (0.6%)
Kansas City, Indl. Dev. Auth. Arpt. Special Oblig. Rev. Bonds, (Kansas City Intl. Arpt.), 5.00%, 3/1/30 A2 1,540,000 1,576,956
Plaza at Noah's Ark Cmnty. Impt. Dist. Rev. Bonds
3.00%, 5/1/26 B+/P 275,000 255,963
3.00%, 5/1/25 B+/P 225,000 213,814
3.00%, 5/1/24 B+/P 200,000 194,102
St. Louis, Arpt. Rev. Bonds, 5.00%, 7/1/30 A2 1,430,000 1,464,253

3,705,088
Montana (0.4%)
MT State Board of Regents Higher Ed. Mandatory Put Bonds (11/15/22), U. of MT, AGM, 5.25%, 11/15/52(T) AA 2,475,000 2,608,378

2,608,378
Nebraska (0.8%)
Central Plains, Energy Mandatory Put Bonds (1/1/24), (No. 4), 5.00%, 3/1/50 A2 2,500,000 2,501,621
Omaha, Pub. Pwr. Dist. Rev. Bonds, Ser. A
5.00%, 2/1/39 Aa2 1,000,000 1,074,638
5.00%, 2/1/38 Aa2 1,000,000 1,078,285

4,654,544
Nevada (1.8%)
Clark Cnty., School Dist. G.O. Bonds
Ser. A, 5.00%, 6/15/37 A1 5,000,000 5,278,651
Ser. C, 5.00%, 6/15/28 A1 4,000,000 4,173,929
Ser. B, BAM, 3.00%, 6/15/36 AA 1,000,000 798,384

10,250,964
New Hampshire (0.5%)
National Fin. Auth. Rev. Bonds, (Caritas Acquisitions VII, LLC), Ser. A, 3.75%, 8/15/30 BBB/P 1,050,000 937,898
NH State Hlth. & Ed. Fac. Auth. Rev. Bonds, (Southern NH Med. Ctr.), 5.00%, 10/1/37 A- 2,000,000 1,961,541

2,899,439
New Jersey (2.3%)
NJ State Econ. Dev. Auth. Rev. Bonds, Ser. AAA, 5.00%, 6/15/36 A3 350,000 350,116
NJ State Edl. Fac. Auth. Rev. Bonds, (William Paterson U. of NJ (The)), Ser. C, AGM
5.00%, 7/1/27 AA 100,000 104,856
5.00%, 7/1/26 AA 100,000 103,945
5.00%, 7/1/25 AA 100,000 103,143
5.00%, 7/1/24 AA 100,000 102,137
NJ State Hlth. Care Fac. Fin. Auth. VRDN
(AHS Hosp. Corp.), Ser. B, 2.23%, 7/1/36 VMIG 1 3,000,000 3,000,000
(Virtua Hlth.), Ser. C, 1.02%, 7/1/43 A-1 4,500,000 4,500,000
NJ State Trans. Trust Fund Auth. Rev. Bonds
Ser. BB, 5.00%, 6/15/34 A3 675,000 684,668
(Federal Hwy. Reimbursement Notes), 5.00%, 6/15/28 A+ 750,000 773,241
South Jersey, Trans. Auth. Syst. Rev. Bonds, Ser. A
5.00%, 11/1/40 BBB+ 2,500,000 2,501,801
5.00%, 11/1/38 BBB+ 1,140,000 1,148,113
BAM, 5.00%, 11/1/37 AA 250,000 255,802

13,627,822
New Mexico (0.4%)
Farmington, Poll. Control Rev. Bonds, (Pub. Service Co. of NM), Ser. B, 2.15%, 4/1/33 Baa2 2,000,000 1,512,013
Sante Fe, Retirement Fac. Rev. Bonds, (El Castillo Retirement Res.), 5.00%, 5/15/42 BB+/F 980,000 803,629

2,315,642
New York (9.2%)
Albany, Cap. Resource Corp. Rev. Bonds, (Empire Commons Student Hsg., Inc.)
5.00%, 5/1/26 A 400,000 407,961
Ser. A, 5.00%, 5/1/25 A 645,000 656,653
5.00%, 5/1/24 A 575,000 582,607
5.00%, 5/1/23 A 795,000 799,341
Build NY City Resource Corp. Rev. Bonds
(Global Cmnty. Charter School), 4.00%, 6/15/32 BB+ 500,000 457,498
(Grand Concourse Academy Charter School), 3.40%, 7/1/27 BBB- 300,000 286,350
NY City, G.O. Bonds, Ser. B-1
5.25%, 10/1/39 Aa2 2,500,000 2,689,015
5.00%, 8/1/32 Aa2 1,500,000 1,660,455
NY City, VRDN, Ser. I-4, 1.60%, 4/1/36 VMIG 1 1,500,000 1,500,000
NY City, Muni. Wtr. & Swr. Syst. Fin. Auth. VRDN
1.60%, 6/15/49 VMIG 1 1,000,000 1,000,000
Ser. DD-1, 1.60%, 6/15/43 VMIG 1 5,000,000 5,000,000
NY City, Transitional Fin. Auth. Rev. Bonds
Ser. F-1, 5.00%, 2/1/51 AAA 2,950,000 2,996,803
(Future Tax Secured Revenue), 5.00%, 11/1/40 AAA 4,250,000 4,343,155
NY City, Transitional Fin. Auth. Future Tax Secd. Rev. Bonds, Ser. C, 5.00%, 11/1/27 AAA 3,500,000 3,639,425
NY State Dorm. Auth. Personal Income Tax Rev. Bonds, Ser. A
5.00%, 3/15/40 Aa1 655,000 677,299
3.00%, 3/15/42 Aa1 7,915,000 5,728,613
NY State Mtge. Agcy. Rev. Bonds, Ser. 196, 2.60%, 4/1/25 Aa1 750,000 724,997
NY State Thruway Auth. Rev. Bonds, (Green Bonds-Bidding Group 1), 5.00%, 3/15/55 AA+ 10,000,000 10,199,263
NY State Trans. Special Fac. Dev. Corp. Rev. Bonds
(JFK Intl. Arpt. Term. 4, LLC), 5.00%, 12/1/29 Baa1 500,000 498,848
(American Airlines, Inc.), 2.25%, 8/1/26 B/F 205,000 188,209
Port Auth. of NY & NJ Rev. Bonds
Ser. 197, 5.00%, 11/15/35 Aa3 5,000,000 5,039,738
Ser. 227, 3.00%, 10/1/27 Aa3 5,000,000 4,652,718

53,728,948
North Carolina (0.3%)
NC State Med. Care Comm. Hlth. Care Fac. Rev. Bonds, (Lutheran Svcs. for the Aging, Inc. Oblig. Group), Ser. C
5.00%, 3/1/28 BB/P 365,000 357,132
5.00%, 3/1/27 BB/P 460,000 454,339
5.00%, 3/1/26 BB/P 440,000 438,371
4.00%, 3/1/29 BB/P 755,000 692,440

1,942,282
Ohio (3.1%)
Cleveland-Cuyahoga Cnty., Rev. Bonds, (Euclid Ave. Dev., Corp.), 5.00%, 8/1/39 A3 3,000,000 3,011,488
Cuyahoga Cnty., Econ. Dev. Rev. Bonds
5.00%, 1/1/38 A 1,380,000 1,426,565
5.00%, 1/1/36 A 425,000 441,380
Franklin Cnty., Hlth. Care Fac. Rev. Bonds, (Friendship Village of Dublin Oblig. Group), 5.00%, 11/15/34 BBB+/F 700,000 702,402
OH State Higher Edl. Fac. Comm. Rev. Bonds
(Kenyon College), 5.00%, 7/1/36(WIS) A2 1,250,000 1,260,815
(Kenyon College), 5.00%, 7/1/35(WIS) A2 1,700,000 1,718,514
(Cleveland Inst. of Music (The)), 5.00%, 12/1/32 BBB- 600,000 590,978
(John Carroll U.), 5.00%, 10/1/30 Baa1 455,000 466,475
(John Carroll U.), 5.00%, 10/1/29 Baa1 810,000 832,684
(John Carroll U.), 5.00%, 10/1/28 Baa1 370,000 380,563
(John Carroll U.), 5.00%, 10/1/27 Baa1 350,000 359,558
(John Carroll U.), 5.00%, 10/1/26 Baa1 350,000 358,746
(John Carroll U.), 5.00%, 10/1/25 Baa1 220,000 224,583
OH State Hosp. Rev. Bonds, (Premier Hlth. Partners Oblig. Group)
5.00%, 11/15/27 Baa1 240,000 247,665
5.00%, 11/15/26 Baa1 285,000 293,800
5.00%, 11/15/24 Baa1 135,000 137,330
OH State Tpk. Comm. Rev. Bonds, 5.00%, 2/15/29(WIS) Aa3 1,000,000 1,084,488
Ohio State Air Qlty. Dev. Auth. Mandatory Put Bonds (6/1/27), (Duke Energy Corp.), Ser. 22B, 4.00%, 9/1/30 Baa2 3,250,000 3,172,828
Port of Greater Cincinnati Dev. Auth. 144A Rev. Bonds, 4.25%, 12/1/50 BB/P 750,000 541,735
Scioto Cnty., Hosp. Rev. Bonds, (Southern OH Med. Ctr.), 5.00%, 2/15/33 A3 500,000 505,733
Warren Cnty., Hlth. Care Fac. Rev. Bonds, (Otterbein Homes Oblig. Group), Ser. A, 5.75%, 7/1/33 (Prerefunded 7/1/23) A 500,000 508,149

18,266,479
Oregon (0.6%)
Keizer, Special Assmt. Bonds, (Keizer Station), Ser. A, 5.20%, 6/1/31 Aa3 215,000 218,843
Port of Portland, Arpt. Rev. Bonds
Ser. 24B, 5.00%, 7/1/33 AA- 2,000,000 2,014,545
Ser. 28, 5.00%, 7/1/28 AA- 1,000,000 1,036,324

3,269,712
Pennsylvania (6.3%)
Allegheny Cnty., Arpt. Auth. Rev. Bonds, Ser. A, 4.00%, 1/1/40 AA 1,250,000 1,063,117
Chester Cnty., Indl. Dev. Auth. Student Hsg. Rev. Bonds, (West Chester U. Student Hsg., LLC), Ser. A, 5.00%, 8/1/45 Ba2 750,000 651,628
Dallas, Area Muni. Auth. U. Rev. Bonds, (Misericordia U.), 5.00%, 5/1/29 Baa3 300,000 291,967
Geisinger, Auth. Rev. Bonds, (Geisinger Hlth. Syst.), Ser. A-2, 5.00%, 2/15/39 AA- 3,275,000 3,284,199
Lackawanna Cnty., Indl. Dev. Auth. Rev. Bonds, (Scranton U.), 4.00%, 11/1/40 A- 500,000 415,639
Lancaster, Indl. Dev. Auth. Rev. Bonds, (Landis Homes Oblig. Group), 4.00%, 7/1/46 BBB-/F 675,000 506,886
Monroeville, Fin. Auth. Rev. Bonds, (U. of Pittsburgh Med. Ctr.), Ser. B
5.00%, 2/15/38 A2 2,200,000 2,240,913
5.00%, 2/15/24 A2 500,000 509,489
PA Rev. Bonds, (City of Philadelphia, Wtr. & Wastewater)
4.00%, 1/1/32 Baa2 540,000 507,075
4.00%, 1/1/31 Baa2 165,000 157,007
4.00%, 1/1/30 Baa2 115,000 110,538
4.00%, 1/1/29 Baa2 725,000 702,618
PA State Tpk. Comm. Rev. Bonds, Ser. B-1, 5.00%, 6/1/42 A3 675,000 662,186
Philadelphia, Arpt. Rev. Bonds, Ser. C, 5.00%, 7/1/24 A2 4,000,000 4,067,356
Philadelphia, Auth. for Indl. Dev. City Agreement Rev. Bonds, 5.00%, 12/1/27 A2 3,000,000 3,117,437
Philadelphia, School Dist. G.O. Bonds, Ser. F, 5.00%, 9/1/29 A1 6,620,000 6,910,692
Pittsburgh Wtr. & Swr. Auth. Mandatory Put Bonds (12/1/23), Ser. C, AGM, 2.89%, 9/1/40 AA 1,875,000 1,875,625
Scranton, School Dist. G.O. Bonds, Ser. 14-R, 2.977%, 4/1/31 A1 5,275,000 5,259,557
Southeastern PA Trans. Auth. Rev. Bonds, (Asset Impt. Program)
5.25%, 6/1/40 Aa3 1,250,000 1,351,504
5.25%, 6/1/39 Aa3 1,500,000 1,628,728
Westmoreland Cnty. Indl. Dev. Auth. Hlth. Syst. Rev. Bonds, (Excela Hlth. Oblig. Group), Ser. A
5.00%, 7/1/28 Baa1 275,000 282,759
5.00%, 7/1/27 Baa1 375,000 384,511
4.00%, 7/1/26 Baa1 300,000 295,607
4.00%, 7/1/24 Baa1 200,000 198,990

36,476,028
Puerto Rico (0.2%)
Cmnwlth. of PR, G.O. Bonds, Ser. A1, 5.625%, 7/1/27 BB/P 907,000 914,498

914,498
Rhode Island (0.3%)
RI Hlth. & Edl. Bldg. Corp. Rev. Bonds, (Lifespan Oblig. Group-Hosp. Fin.)
5.00%, 5/15/33 BBB+ 365,000 359,282
5.00%, 5/15/26 BBB+ 580,000 588,578
Tobacco Settlement Fin. Corp. Rev. Bonds, Ser. B, 5.00%, 6/1/50 BBB-/P 1,000,000 937,478

1,885,338
South Carolina (1.3%)
Myrtle Beach, Tax Alloc. Bonds, (Myrtle Beach Air Force Base Redev.), 5.00%, 10/1/28 A2 575,000 601,454
SC State Pub. Svcs. Auth. Rev. Bonds
Ser. A, 5.00%, 12/1/37 A3 3,435,000 3,403,894
(Oblig.), Ser. B, 5.00%, 12/1/37 A3 500,000 495,472
Ser. A, 5.00%, 12/1/36 A3 1,500,000 1,499,519
SC State Trans. Infrastructure Bank Rev. Bonds, Ser. A, 3.00%, 10/1/36 Aa3 1,740,000 1,389,998

7,390,337
Tennessee (0.3%)
Chattanooga, Hlth. Edl. & Hsg. Fac. Rev. Bonds, (CommonSpirit Health Oblig. Group)
Ser. A-2, 5.00%, 8/1/49(T) A- 250,000 232,008
Ser. A-2, 5.00%, 8/1/44(T) A- 150,000 143,066
Ser. A-1, 4.00%, 8/1/44(T) A- 275,000 221,771
Ser. A-1, 4.00%, 8/1/38(T) A- 150,000 128,205
Ser. A-1, 4.00%, 8/1/37(T) A- 150,000 130,400
Metro. Nashville, Arpt. Auth. Rev. Bonds, Ser. B, 5.00%, 7/1/33 A2 1,000,000 1,011,134

1,866,584
Texas (8.9%)
Arlington, Higher Ed. Fin. Corp. Rev. Bonds
(Harmony Pub. Schools), Ser. A, PSFG, 4.00%, 2/15/51 Aaa 2,000,000 1,684,814
(Uplift Ed.), Ser. A, PSFG, 4.00%, 12/1/32 AAA 375,000 367,979
Austin, Cmnty. College Dist. G.O. Bonds, (Maintenance Tax), 3.00%, 8/1/35 Aa1 1,350,000 1,106,152
Austin-Bergstrom Landhost Enterprises, Inc. Rev. Bonds
5.00%, 10/1/36 A 1,485,000 1,489,588
5.00%, 10/1/33 A 400,000 403,608
Clifton, Higher Ed. Fin. Corp. Rev. Bonds, (IDEA Pub. Schools)
PSFG, 5.00%, 8/15/48 AAA 1,570,000 1,622,547
Ser. B, PSFG, 5.00%, 8/15/27 A- 350,000 362,246
Ser. T, PSFG, 4.00%, 8/15/38 AAA 1,400,000 1,290,204
Ser. T, PSFG, 4.00%, 8/15/36 AAA 700,000 657,551
Dallas, Hotel Occupancy Tax Rev. Bonds
4.00%, 8/15/38 A 2,000,000 1,757,683
4.00%, 8/15/35 A 1,000,000 906,270
4.00%, 8/15/34 A 750,000 687,604
Fort Bend, Grand Parkway Toll Rd. Auth. Rev. Bonds
3.00%, 3/1/39 Aa1 1,245,000 974,778
3.00%, 3/1/38 Aa1 1,205,000 961,024
Fort Bend, Indpt. School Dist. Mandatory Put Bonds (8/1/26), Ser. B, PSFG, 0.72%, 8/1/51 AAA 860,000 745,910
Harris Cnty., Cultural Ed. Fac. Fin. Corp. Rev. Bonds, (YMCA of the Greater Houston Area), Ser. A, 5.00%, 6/1/38 Ba1 500,000 430,699
Houston, Indpt. School Dist. Mandatory Put Bonds (6/1/25), Ser. A-2, PSFG, 3.50%, 6/1/39 Aaa 3,250,000 3,163,407
Lake Houston Redev. Auth. Rev. Bonds, (City of Houston, Reinvestment Zone No. 10)
5.00%, 9/1/31 BBB- 200,000 199,009
5.00%, 9/1/30 BBB- 200,000 199,965
5.00%, 9/1/29 BBB- 175,000 175,474
5.00%, 9/1/28 BBB- 150,000 150,642
5.00%, 9/1/26 BBB- 125,000 125,480
5.00%, 9/1/25 BBB- 100,000 100,570
5.00%, 9/1/24 BBB- 100,000 100,499
4.00%, 9/1/33 BBB- 150,000 134,939
4.00%, 9/1/32 BBB- 150,000 136,730
Midland Cnty., Pub. Fac. Corp. Multi-Fam. Mandatory Put Bonds (6/1/23), (Palladium West Francis, Ltd.), 0.35%, 6/1/24 Aaa 3,250,000 3,181,321
New Hope, Cultural Ed. Fac. Fin. Corp. Rev. Bonds
(CHF-Collegiate Hsg. Stephenville III, LLC), 5.00%, 4/1/47 (Prerefunded 4/1/25) AAA/P 365,000 378,045
(TX Woman's U. CHF-Collegiate Hsg. Dining), Ser. B-1, AGM, 5.00%, 7/1/38 AA 860,000 873,552
(Tarleton State U. Collegiate Student Hsg.), Ser. A, 5.00%, 4/1/35 (Prerefunded 4/1/25) AAA/P 800,000 828,591
(Collegiate Hsg.-Tarleton St.), 5.00%, 4/1/29 (Prerefunded 4/1/24) AAA/P 1,225,000 1,251,632
(Collegiate Housing Island Campus, LLC.), Ser. A, 5.00%, 4/1/25 (Prerefunded) AAA/P 500,000 516,697
SA Energy Acquisition Pub. Fac. Corp. Rev. Bonds, (Gas Supply), 5.50%, 8/1/25 A2 1,000,000 1,021,387
Tarrant Cnty., Cultural Ed. Fac. Fin. Corp. Retirement Fac. Rev. Bonds, (Buckner Retirement Svcs., Inc.), 5.00%, 11/15/37 A/F 1,250,000 1,258,469
Temple, Tax Increment Tax Alloc. Bonds, (Reinvestment Zone No. 1), Ser. A, BAM
5.00%, 8/1/30 AA 250,000 266,877
5.00%, 8/1/29 AA 200,000 213,050
5.00%, 8/1/28 AA 150,000 159,671
5.00%, 8/1/27 AA 125,000 131,660
5.00%, 8/1/26 AA 125,000 130,739
4.00%, 8/1/33 AA 200,000 196,932
4.00%, 8/1/32 AA 225,000 223,718
4.00%, 8/1/31 AA 200,000 200,960
Trinity River Pub. Fac. Corp. Multi-Fam. Mandatory Put Bonds (10/1/23), (Cowan Place Apt.), 0.28%, 10/1/24 Aaa 2,500,000 2,397,035
TX State G.O. Bonds
Ser. B, 5.00%, 8/1/34 Aaa 6,040,000 6,439,678
Ser. B, 5.00%, 8/1/33 Aaa 5,755,000 6,160,223
3.00%, 8/1/34 Aaa 2,255,000 1,908,914
TX State A&M U. Rev. Bonds, 5.25%, 5/15/37 Aaa 1,500,000 1,644,140
TX Wtr. Dev. Board State Wtr. Implementation Rev. Bonds, 4.50%, 10/15/37 AAA 2,500,000 2,596,276

51,914,939
Utah (0.6%)
Infrastructure Agcy. Telecomm. Rev. Bonds
5.00%, 10/15/27 BBB-/F 1,000,000 998,839
5.00%, 10/15/27 BBB-/F 550,000 549,361
4.00%, 10/15/31 BBB-/F 460,000 414,799
4.00%, 10/15/29 BBB-/F 600,000 556,639
UT Infrastructure Agcy. Rev. Bonds, Ser. A, 4.00%, 10/15/28 BBB-/F 200,000 188,471
UT State Charter School Fin. Auth. Rev. Bonds, (UT Charter Academies, Inc.), 5.00%, 10/15/30 AA 575,000 599,119

3,307,228
Virgin Islands (0.1%)
Matching Fund Special Purpose Securitization Corp. Rev. Bonds, Ser. A, 5.00%, 10/1/27 BB/P 515,000 525,878

525,878
Virginia (0.2%)
Fairfax Cnty., Econ. Dev. Auth. Res. Care Fac. Rev. Bonds, (Goodwin House, Inc.), Ser. A, 5.00%, 10/1/42 (Prerefunded 10/1/24) AAA/P 350,000 366,961
VA State Small Bus. Fin. Auth. Rev. Bonds, (National Sr. Campuses, Inc. Oblig. Group)
5.00%, 1/1/29 A/F 590,000 612,457
5.00%, 1/1/27 A/F 320,000 329,142

1,308,560
Washington (3.4%)
Port of Seattle Rev. Bonds, Ser. B
5.00%, 8/1/40 AA- 1,750,000 1,711,453
5.00%, 8/1/38 AA- 8,585,000 8,529,754
Seattle, Muni. Lt. & Pwr. Mandatory Put Bonds (11/1/26), Ser. B, 2.49%, 5/1/45 Aa2 750,000 731,387
WA State Hlth. Care Fac. Auth. Mandatory Put Bonds (7/3/23), (Fred Hutchinson Cancer Research Ctr.), 3.29%, 1/1/42 (Prerefunded (1/3/23)) A2 8,000,000 8,005,938
WA State Hsg. Fin. Comm. Rev. Bonds, (Social Certif.), Ser. A-1, 3.50%, 12/20/35 BBB+ 1,146,200 969,290

19,947,822
Wisconsin (2.3%)
Pub. Fin. Auth. Poll. Control Mandatory Put Bonds (10/1/30), (Duke Energy Progress, LLC), 3.70%, 10/1/46 Aa3 7,000,000 6,690,958
Pub. Fin. Auth. Student Hsg. Fac. Rev. Bonds, (Beyond Boone, LLC-Appalachian State U.), Ser. A, AGM
5.00%, 7/1/54 AA 1,475,000 1,397,800
5.00%, 7/1/44 AA 1,000,000 984,074
WI State Hlth. & Edl. Fac. Auth. Rev. Bonds
(Three Pillars Sr. Living), 5.00%, 8/15/33 (Prerefunded 8/15/23) AAA/P 1,000,000 1,013,811
(Froedtert Health, Inc.), Ser. A, 4.00%, 4/1/37 AA 3,930,000 3,560,415

13,647,058

Total municipal bonds and notes (cost $608,135,702) $573,575,807









SHORT-TERM INVESTMENTS (2.4%)(a)
        Principal amount/shares Value
Putnam Short Term Investment Fund Class P 3.21%(AFF) Shares 13,954,160 $13,954,160
U.S. Treasury Bills 2.925%, 11/15/22 $300,000 299,650

Total short-term investments (cost $14,253,825) $14,253,810
TOTAL INVESTMENTS

Total investments (cost $622,389,527) $587,829,617













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, 2022 through October 31, 2022 (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 $583,241,402.
(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.
(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
7/31/22
Purchase
cost
Sale
proceeds
Investment
income
Shares outstanding
and fair
value as of
10/31/22
Short-term investments
Putnam Short Term Investment Fund* $4,064,439 $99,538,236 $89,648,515 $108,293 $13,954,160





Total Short-term investments $4,064,439 $99,538,236 $89,648,515 $108,293 $13,954,160
* 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.
(T) Underlying security in a tender option bond transaction. This security has been segregated as collateral for financing transactions.
(WIS) When-issued security.
Unless otherwise noted, the rates quoted in Short-term investments security descriptions represent the weighted average yield to maturity.
Debt obligations are considered secured unless otherwise indicated.
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 2.24%, 3.80% and 4.46%, respectively, as of the close of the reporting period.
The dates shown parenthetically on prerefunded bonds represent the next prerefunding dates.
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):
Transportation 18.9%
Healthcare 14.2
Utilities 12.1
Education 11.1
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.
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.
Certain investments, including certain restricted and illiquid securities and derivatives, are also valued at fair value following procedures approved by the Trustees. 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. 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. 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.
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 did not have a net liability position on open derivative contracts subject to the Master 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. At the close of the reporting period, the fund’s investments with a value of $5,627,053 were held by the TOB trust and served as collateral for $3,661,839 in floating-rate bonds outstanding. During the reporting period, the fund incurred interest expense of $17,883 for these investments based on an average interest rate of 1.94%.









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 $— $573,575,807 $—
Short-term investments 14,253,810



Totals by level $— $587,829,617 $—
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