schemaVersion:

N-CEN: Filer Information

Submission Contact Information

Name
 
Phone
 
E-Mail Address
 

Notification Information

Notify via Filing Website only?Checkbox not checked

N-CEN:Part A: General Information

Item A.1. Reporting period covered.

a. Report for period ending:
2024-09-30 
b. Does this report cover a period of less than 12 months?Radio button not checked Yes Radio button checked No

N-CEN:Part B: Information About the Registrant


Item B.1. Background information.

a. Full name of Registrant
BNY Mellon Municipal Income, Inc. 
b. Investment Company Act file number ( e.g., 811-)
811-05652 
c. CIK
0000839122 
d. LEI
549300BKYDDROJTY1E24 

Item B.2. Address and telephone number of Registrant.

a. Street 1
240 Greenwich Street 
Street 2
 
b. City
New York 
c. State, if applicable
NEW YORK  
d. Foreign country, if applicable
UNITED STATES OF AMERICA  
e. Zip code and zip code extension, or foreign postal code
10286-1048 
f. Telephone number (including country code if foreign)
212.922.6400 
g. Public Website, if any
www.bny.com/investments 

Item B.3. Location of books and records.

Instruction. Provide the requested information for each person maintaining physical possession of each account, book, or other document required to be maintained by section 31(a) of the Act (15 U.S.C. 80a-30(a)) and the rules under that section.
Location books Record: 1
a. Name of person (e.g., a custodian of records)
BNY Mellon Investment Adviser, Inc. 
b. Street 1
200 Park Avenue 
Street 2
 
c. City
New York 
d. State, if applicable
NEW YORK  
e. Foreign country, if applicable
UNITED STATES OF AMERICA  
f. Zip code and zip code extension, or foreign postal code
10166-0039 
g. Telephone number (including country code if foreign)
212.922.6400 
h. Briefly describe the books and records kept at this location:
Compliance policies and procedures and related items. 
Location books Record: 2
a. Name of person (e.g., a custodian of records)
BNY Mellon Investment Adviser, Inc. 
b. Street 1
240 Greenwich Street 
Street 2
 
c. City
New York 
d. State, if applicable
NEW YORK  
e. Foreign country, if applicable
UNITED STATES OF AMERICA  
f. Zip code and zip code extension, or foreign postal code
10286-1048 
g. Telephone number (including country code if foreign)
212.922.6400 
h. Briefly describe the books and records kept at this location:
Organizational documents, board meeting minutes and materials, SEC filings and administration and accounting records. 
Location books Record: 3
a. Name of person (e.g., a custodian of records)
The Bank of New York Mellon 
b. Street 1
103 Bellevue Parkway 
Street 2
 
c. City
Wilmington 
d. State, if applicable
DELAWARE  
e. Foreign country, if applicable
UNITED STATES OF AMERICA  
f. Zip code and zip code extension, or foreign postal code
19809-3701 
g. Telephone number (including country code if foreign)
212.495.1784 
h. Briefly describe the books and records kept at this location:
Administration and accounting records. 
Location books Record: 4
a. Name of person (e.g., a custodian of records)
The Bank of New York Mellon 
b. Street 1
240 Greenwich Street 
Street 2
 
c. City
New York 
d. State, if applicable
NEW YORK  
e. Foreign country, if applicable
UNITED STATES OF AMERICA  
f. Zip code and zip code extension, or foreign postal code
10286-1048 
g. Telephone number (including country code if foreign)
212.495.1784 
h. Briefly describe the books and records kept at this location:
Records relating to custody of fund assets. 
Location books Record: 5
a. Name of person (e.g., a custodian of records)
BNY Mellon Securities Corporation 
b. Street 1
240 Greenwich Street 
Street 2
 
c. City
New York 
d. State, if applicable
NEW YORK  
e. Foreign country, if applicable
UNITED STATES OF AMERICA  
f. Zip code and zip code extension, or foreign postal code
10286-1048 
g. Telephone number (including country code if foreign)
212.922.6400 
h. Briefly describe the books and records kept at this location:
Records relating to fund fact sheets. 
Location books Record: 6
a. Name of person (e.g., a custodian of records)
Computershare, Inc. 
b. Street 1
480 Washington Boulevard 
Street 2
 
c. City
Jersey City 
d. State, if applicable
NEW JERSEY  
e. Foreign country, if applicable
UNITED STATES OF AMERICA  
f. Zip code and zip code extension, or foreign postal code
07310-2053 
g. Telephone number (including country code if foreign)
201.420.4513 
h. Briefly describe the books and records kept at this location:
Records relating to the record holders of fund common shares and purchases and sales of fund common shares. 
Location books Record: 7
a. Name of person (e.g., a custodian of records)
ComputerShare Trust Company, N.A. 
b. Street 1
P.O. Box 50500 
Street 2
 
c. City
Louisville 
d. State, if applicable
KENTUCKY  
e. Foreign country, if applicable
UNITED STATES OF AMERICA  
f. Zip code and zip code extension, or foreign postal code
40233-5000 
g. Telephone number (including country code if foreign)
800.522.6645 
h. Briefly describe the books and records kept at this location:
Records relating to dividend reinvestment plans for fund common shares. 
Location books Record: 8
a. Name of person (e.g., a custodian of records)
The Bank of New York Mellon 
b. Street 1
2 Hanson Place 
Street 2
Atlantic Terminal Office Tower 
c. City
Brooklyn 
d. State, if applicable
NEW YORK  
e. Foreign country, if applicable
UNITED STATES OF AMERICA  
f. Zip code and zip code extension, or foreign postal code
11217 
g. Telephone number (including country code if foreign)
718.315.3555 
h. Briefly describe the books and records kept at this location:
Records relating to the record holders of fund VMTP shares and purchases and sales of VMTP shares. 
Location books Record: 9
a. Name of person (e.g., a custodian of records)
Insight North America LLC 
b. Street 1
BNY Mellon Center, One Boston Place 
Street 2
 
c. City
Boston 
d. State, if applicable
MASSACHUSETTS  
e. Foreign country, if applicable
UNITED STATES OF AMERICA  
f. Zip code and zip code extension, or foreign postal code
02108-4400 
g. Telephone number (including country code if foreign)
617.722.7250 
h. Briefly describe the books and records kept at this location:
Records relating to decisions to buy/sell securities and the execution thereof. 

Item B.4. Initial of final filings.

Instruction. Respond "yes" to Item B.4.b only if the Registrant has filed an application to deregister or will file an application to deregister before its next required filing on this form.
a. Is this the first filing on this form by the Registrant? Radio button not checked Yes Radio button checked No
b. Is this the last filing on this form by the Registrant? Radio button not checked Yes Radio button checked No

Item B.5. Family of investment companies.

Instruction. "Family of investment companies" means, except for insurance company separate accounts, any two or more registered investment companies that (i) share the same investment adviser or principal underwriter; and (ii) hold themselves out to investors as related companies for purposes of investment and investor services.In responding to this item, all Registrants in the family of investment companies should report the name of the family of investment companies identically.
Insurance company separate accounts that may not hold themselves out to investors as related companies (products) for purposes of investment and investor services should consider themselves part of the same family if the operational or accounting or control systems under which these entities function are substantially similar.
a. Is the Registrant part of a family of investment companies? Radio button checked Yes Radio button not checked No
i. Full name of family of investment companies
BNY Mellon Family of Funds 

Item B.6. Organization.

Instruction. For Item B.6.a.i., the Registrant should include all Series that have been established by the Registrant and have shares outstanding (other than shares issued in connection with an initial investment to satisfy section 14(a) of the Act).
Indicate the classification of the Registrant by checking the applicable item below.
Checkbox not checked  a. Open-end management investment company registered under the Act on Form N-1A 
Checkbox checked  b. Closed-end management investment company registered under the Act on Form N-2  
Checkbox not checked  c. Separate account offering variable annuity contracts which is registered under the Act as a management investment company on Form N-3 
Checkbox not checked  d. Separate account offering variable annuity contracts which is registered under the Act as a unit investment trust on Form N-4 
Checkbox not checked  e. Small business investment company registered under the Act on Form N-5 
Checkbox not checked  f. Separate account offering variable insurance contracts which is registered under the Act as a unit investment trust on Form N-6 
Checkbox not checked  g. Unit investment trust registered under the Act on Form N-8B-2 

Item B.7. Securities Act registration.

Is the Registrant the issuer of a class of securities registered under the Securities Act of 1933 ("Securities Act")? Radio button checked Yes Radio button not checked No

Item B.8. Directors.

Provide the information requested below about each person serving as director of the Registrant (management investment companies only):
Director Record: 1
a. Full Name
J. Charles Cardona 
b. CRD number, if any
N/A 
c. Is the person an "interested person" of the Registrant as that term is defined in section 2(a)(19) of the Act (15 U.S.C. 80a-2(a)(19))? Radio button not checked Yes Radio button checked No
d. Investment Company Act file number of any other registered investment company for which the person also serves as a director (e.g., 811-)
File Number Record: 1
File Number Record:
811-23477 
File Number Record: 2
File Number Record:
811-06718 
File Number Record: 3
File Number Record:
811-08673 
File Number Record: 4
File Number Record:
811-00523 
File Number Record: 5
File Number Record:
811-22784 
File Number Record: 6
File Number Record:
811-09891 
File Number Record: 7
File Number Record:
811-05021 
File Number Record: 8
File Number Record:
811-02192 
File Number Record: 9
File Number Record:
811-07044 
File Number Record: 10
File Number Record:
811-21035 
File Number Record: 11
File Number Record:
811-04175 
File Number Record: 12
File Number Record:
811-03964 
File Number Record: 13
File Number Record:
811-23296 
File Number Record: 14
File Number Record:
811-08211 
File Number Record: 15
File Number Record:
811-22169 
File Number Record: 16
File Number Record:
811-03954 
File Number Record: 17
File Number Record:
811-04723 
File Number Record: 18
File Number Record:
811-05718 
File Number Record: 19
File Number Record:
811-21035 
Director Record: 2
a. Full Name
Benaree Pratt Wiley 
b. CRD number, if any
N/A 
c. Is the person an "interested person" of the Registrant as that term is defined in section 2(a)(19) of the Act (15 U.S.C. 80a-2(a)(19))? Radio button not checked Yes Radio button checked No
d. Investment Company Act file number of any other registered investment company for which the person also serves as a director (e.g., 811-)
File Number Record: 1
File Number Record:
811-23036 
File Number Record: 2
File Number Record:
811-23330 
File Number Record: 3
File Number Record:
811-23014 
File Number Record: 4
File Number Record:
811-03757 
File Number Record: 5
File Number Record:
811-08703 
File Number Record: 6
File Number Record:
811-03721 
File Number Record: 7
File Number Record:
811-04813 
File Number Record: 8
File Number Record:
811-22912 
File Number Record: 9
File Number Record:
811-00524 
File Number Record: 10
File Number Record:
811-05202 
File Number Record: 11
File Number Record:
811-06718 
File Number Record: 12
File Number Record:
811-08673 
File Number Record: 13
File Number Record:
811-00523 
File Number Record: 14
File Number Record:
811-22784 
File Number Record: 15
File Number Record:
811-06377 
File Number Record: 16
File Number Record:
811-09891 
File Number Record: 17
File Number Record:
811-05021 
File Number Record: 18
File Number Record:
811-21236 
File Number Record: 19
File Number Record:
811-03940 
File Number Record: 20
File Number Record:
811-05877 
File Number Record: 21
File Number Record:
811-05245 
File Number Record: 22
File Number Record:
811-02192 
File Number Record: 23
File Number Record:
811-07044 
File Number Record: 24
File Number Record:
811-04215 
File Number Record: 25
File Number Record:
811-21035 
File Number Record: 26
File Number Record:
811-04175 
File Number Record: 27
File Number Record:
811-03964 
File Number Record: 28
File Number Record:
811-23296 
File Number Record: 29
File Number Record:
811-08211 
File Number Record: 30
File Number Record:
811-22169 
File Number Record: 31
File Number Record:
811-03954 
File Number Record: 32
File Number Record:
811-04723 
File Number Record: 33
File Number Record:
811-05718 
Director Record: 3
a. Full Name
Robin A. Melvin 
b. CRD number, if any
N/A 
c. Is the person an "interested person" of the Registrant as that term is defined in section 2(a)(19) of the Act (15 U.S.C. 80a-2(a)(19))? Radio button not checked Yes Radio button checked No
d. Investment Company Act file number of any other registered investment company for which the person also serves as a director (e.g., 811-)
File Number Record: 1
File Number Record:
811-23036 
File Number Record: 2
File Number Record:
811-07123 
File Number Record: 3
File Number Record:
811-03081 
File Number Record: 4
File Number Record:
811-03757 
File Number Record: 5
File Number Record:
811-05883 
File Number Record: 6
File Number Record:
811-03721 
File Number Record: 7
File Number Record:
811-06490 
File Number Record: 8
File Number Record:
811-21327 
File Number Record: 9
File Number Record:
811-06718 
File Number Record: 10
File Number Record:
811-08673 
File Number Record: 11
File Number Record:
811-00523 
File Number Record: 12
File Number Record:
811-06325 
File Number Record: 13
File Number Record:
811-22784 
File Number Record: 14
File Number Record:
811-06377 
File Number Record: 15
File Number Record:
811-05454 
File Number Record: 16
File Number Record:
811-04765 
File Number Record: 17
File Number Record:
811-04764 
File Number Record: 18
File Number Record:
811-09891 
File Number Record: 19
File Number Record:
811-01899 
File Number Record: 20
File Number Record:
811-05021 
File Number Record: 21
File Number Record:
811-21236 
File Number Record: 22
File Number Record:
811-05719 
File Number Record: 23
File Number Record:
811-03940 
File Number Record: 24
File Number Record:
811-05877 
File Number Record: 25
File Number Record:
811-05245 
File Number Record: 26
File Number Record:
811-02192 
File Number Record: 27
File Number Record:
811-07044 
File Number Record: 28
File Number Record:
811-04215 
File Number Record: 29
File Number Record:
811-05125 
File Number Record: 30
File Number Record:
811-07512 
File Number Record: 31
File Number Record:
811-21035 
File Number Record: 32
File Number Record:
811-04175 
File Number Record: 33
File Number Record:
811-03964 
File Number Record: 34
File Number Record:
811-23296 
File Number Record: 35
File Number Record:
811-08211 
File Number Record: 36
File Number Record:
811-22169 
File Number Record: 37
File Number Record:
811-03954 
File Number Record: 38
File Number Record:
811-04723 
File Number Record: 39
File Number Record:
811-05718 
File Number Record: 40
File Number Record:
811-03207 
File Number Record: 41
File Number Record:
811-03481 
File Number Record: 42
File Number Record:
811-04870 
Director Record: 4
a. Full Name
Andrew J. Donohue 
b. CRD number, if any
N/A 
c. Is the person an "interested person" of the Registrant as that term is defined in section 2(a)(19) of the Act (15 U.S.C. 80a-2(a)(19))? Radio button not checked Yes Radio button checked No
d. Investment Company Act file number of any other registered investment company for which the person also serves as a director (e.g., 811-)
File Number Record: 1
File Number Record:
811-23330 
File Number Record: 2
File Number Record:
811-23014 
File Number Record: 3
File Number Record:
811-08703 
File Number Record: 4
File Number Record:
811-04813 
File Number Record: 5
File Number Record:
811-22912 
File Number Record: 6
File Number Record:
811-00524 
File Number Record: 7
File Number Record:
811-05202 
File Number Record: 8
File Number Record:
811-06718 
File Number Record: 9
File Number Record:
811-08673 
File Number Record: 10
File Number Record:
811-00523 
File Number Record: 11
File Number Record:
811-22784 
File Number Record: 12
File Number Record:
811-09891 
File Number Record: 13
File Number Record:
811-05021 
File Number Record: 14
File Number Record:
811-02192 
File Number Record: 15
File Number Record:
811-07044 
File Number Record: 16
File Number Record:
811-21035 
File Number Record: 17
File Number Record:
811-04175 
File Number Record: 18
File Number Record:
811-03964 
File Number Record: 19
File Number Record:
811-23296 
File Number Record: 20
File Number Record:
811-08211 
File Number Record: 21
File Number Record:
811-22169 
File Number Record: 22
File Number Record:
811-03954 
File Number Record: 23
File Number Record:
811-04723 
File Number Record: 24
File Number Record:
811-05718 
Director Record: 5
a. Full Name
Nathan Leventhal 
b. CRD number, if any
N/A 
c. Is the person an "interested person" of the Registrant as that term is defined in section 2(a)(19) of the Act (15 U.S.C. 80a-2(a)(19))? Radio button not checked Yes Radio button checked No
d. Investment Company Act file number of any other registered investment company for which the person also serves as a director (e.g., 811-)
File Number Record: 1
File Number Record:
811-07123 
File Number Record: 2
File Number Record:
811-03081 
File Number Record: 3
File Number Record:
811-05883 
File Number Record: 4
File Number Record:
811-06490 
File Number Record: 5
File Number Record:
811-21327 
File Number Record: 6
File Number Record:
811-06718 
File Number Record: 7
File Number Record:
811-08673 
File Number Record: 8
File Number Record:
811-00523 
File Number Record: 9
File Number Record:
811-06325 
File Number Record: 10
File Number Record:
811-22784 
File Number Record: 11
File Number Record:
811-05454 
File Number Record: 12
File Number Record:
811-04765 
File Number Record: 13
File Number Record:
811-04764 
File Number Record: 14
File Number Record:
811-09891 
File Number Record: 15
File Number Record:
811-01899 
File Number Record: 16
File Number Record:
811-05021 
File Number Record: 17
File Number Record:
811-05719 
File Number Record: 18
File Number Record:
811-02192 
File Number Record: 19
File Number Record:
811-07044 
File Number Record: 20
File Number Record:
811-05125 
File Number Record: 21
File Number Record:
811-07512 
File Number Record: 22
File Number Record:
811-21035 
File Number Record: 23
File Number Record:
811-04175 
File Number Record: 24
File Number Record:
811-03964 
File Number Record: 25
File Number Record:
811-23296 
File Number Record: 26
File Number Record:
811-08211 
File Number Record: 27
File Number Record:
811-22169 
File Number Record: 28
File Number Record:
811-03954 
File Number Record: 29
File Number Record:
811-04723 
File Number Record: 30
File Number Record:
811-05718 
File Number Record: 31
File Number Record:
811-03207 
File Number Record: 32
File Number Record:
811-03481 
File Number Record: 33
File Number Record:
811-04870 
Director Record: 6
a. Full Name
Joseph S. DiMartino 
b. CRD number, if any
N/A 
c. Is the person an "interested person" of the Registrant as that term is defined in section 2(a)(19) of the Act (15 U.S.C. 80a-2(a)(19))? Radio button not checked Yes Radio button checked No
d. Investment Company Act file number of any other registered investment company for which the person also serves as a director (e.g., 811-)
File Number Record: 1
File Number Record:
811-23036 
File Number Record: 2
File Number Record:
811-07123 
File Number Record: 3
File Number Record:
811-23330 
File Number Record: 4
File Number Record:
811-23014 
File Number Record: 5
File Number Record:
811-03081 
File Number Record: 6
File Number Record:
811-03757 
File Number Record: 7
File Number Record:
811-08703 
File Number Record: 8
File Number Record:
811-05883 
File Number Record: 9
File Number Record:
811-03721 
File Number Record: 10
File Number Record:
811-04813 
File Number Record: 11
File Number Record:
811-22912 
File Number Record: 12
File Number Record:
811-00524 
File Number Record: 13
File Number Record:
811-05202 
File Number Record: 14
File Number Record:
811-06490 
File Number Record: 15
File Number Record:
811-21327 
File Number Record: 16
File Number Record:
811-06718 
File Number Record: 17
File Number Record:
811-08673 
File Number Record: 18
File Number Record:
811-00523 
File Number Record: 19
File Number Record:
811-06325 
File Number Record: 20
File Number Record:
811-22784 
File Number Record: 21
File Number Record:
811-06377 
File Number Record: 22
File Number Record:
811-05454 
File Number Record: 23
File Number Record:
811-04765 
File Number Record: 24
File Number Record:
811-04764 
File Number Record: 25
File Number Record:
811-09891 
File Number Record: 26
File Number Record:
811-01899 
File Number Record: 27
File Number Record:
811-05021 
File Number Record: 28
File Number Record:
811-21236 
File Number Record: 29
File Number Record:
811-05719 
File Number Record: 30
File Number Record:
811-03940 
File Number Record: 31
File Number Record:
811-05877 
File Number Record: 32
File Number Record:
811-05245 
File Number Record: 33
File Number Record:
811-02192 
File Number Record: 34
File Number Record:
811-07044 
File Number Record: 35
File Number Record:
811-04215 
File Number Record: 36
File Number Record:
811-05125 
File Number Record: 37
File Number Record:
811-07512 
File Number Record: 38
File Number Record:
811-21035 
File Number Record: 39
File Number Record:
811-04175 
File Number Record: 40
File Number Record:
811-03964 
File Number Record: 41
File Number Record:
811-23296 
File Number Record: 42
File Number Record:
811-08211 
File Number Record: 43
File Number Record:
811-22169 
File Number Record: 44
File Number Record:
811-03954 
File Number Record: 45
File Number Record:
811-04723 
File Number Record: 46
File Number Record:
811-05718 
File Number Record: 47
File Number Record:
811-03207 
File Number Record: 48
File Number Record:
811-03481 
File Number Record: 49
File Number Record:
811-04870 
Director Record: 7
a. Full Name
Isabel P. Dunst 
b. CRD number, if any
N/A 
c. Is the person an "interested person" of the Registrant as that term is defined in section 2(a)(19) of the Act (15 U.S.C. 80a-2(a)(19))? Radio button not checked Yes Radio button checked No
d. Investment Company Act file number of any other registered investment company for which the person also serves as a director (e.g., 811-)
File Number Record: 1
File Number Record:
811-06718 
File Number Record: 2
File Number Record:
811-08673 
File Number Record: 3
File Number Record:
811-00523 
File Number Record: 4
File Number Record:
811-22784 
File Number Record: 5
File Number Record:
811-09891 
File Number Record: 6
File Number Record:
811-05021 
File Number Record: 7
File Number Record:
811-02192 
File Number Record: 8
File Number Record:
811-07044 
File Number Record: 9
File Number Record:
811-21035 
File Number Record: 10
File Number Record:
811-04175 
File Number Record: 11
File Number Record:
811-03964 
File Number Record: 12
File Number Record:
811-23296 
File Number Record: 13
File Number Record:
811-08211 
File Number Record: 14
File Number Record:
811-22169 
File Number Record: 15
File Number Record:
811-03954 
File Number Record: 16
File Number Record:
811-04723 
File Number Record: 17
File Number Record:
811-05718 
Director Record: 8
a. Full Name
Phillip Goldstein 
b. CRD number, if any
005711842 
c. Is the person an "interested person" of the Registrant as that term is defined in section 2(a)(19) of the Act (15 U.S.C. 80a-2(a)(19))? Radio button not checked Yes Radio button checked No
d. Investment Company Act file number of any other registered investment company for which the person also serves as a director (e.g., 811-)
File Number Record: 1
File Number Record:
N/A 
Director Record: 9
a. Full Name
Andrew Dakos 
b. CRD number, if any
004881082 
c. Is the person an "interested person" of the Registrant as that term is defined in section 2(a)(19) of the Act (15 U.S.C. 80a-2(a)(19))? Radio button not checked Yes Radio button checked No
d. Investment Company Act file number of any other registered investment company for which the person also serves as a director (e.g., 811-)
File Number Record: 1
File Number Record:
N/A 

Item B.9. Chief compliance officer.

Provide the information requested below about each person serving as chief compliance officer of the Registrant for purposes of rule 38a-1 (17 CFR 270.38a- 1):
Chief compliance officer Record: 1
a. Full Name
Joseph W. Connolly 
b. CRD Number, if any
001144952 
c. Street Address 1
200 Park Avenue 
Street Address 2
 
d. City
New York 
e. State, if applicable
NEW YORK  
f. Foreign country, if applicable
UNITED STATES OF AMERICA  
g. Zip code and zip code extension, or foreign postal code
10166-0039 
h. Telephone number (including country code if foreign)
XXXXXX 
i. Has the chief compliance officer changed since the last filing? Radio button not checked Yes Radio button checked No
If the chief compliance officer is compensated or employed by any person other than the Registrant, or an affiliated person of the Registrant, for providing chief compliance officer services, provide:
CCO employer Record: 1
i. Name of the person
N/A 
ii. Person's IRS Employer Identification Number
N/A 

Item B.10. Matters for security holder vote.

Instruction. Registrants registered on Forms N-3, N-4 or N-6, should respond "yes" to this Item only if security holder votes were solicited on contract-level matters.
Were any matters submitted by the Registrant for its security holders' vote during the reporting period? Radio button checked Yes Radio button not checked No
a. If yes, and to the extent the response relates only to certain series of the Registrant, indicate the series involved:
1. Series name
2. Series identification number

Item B.11. Legal proceeding.

Instruction. For purposes of this Item, the following proceedings should be described: (1) any bankruptcy, receivership or similar proceeding with respect to the Registrant or any of its significant subsidiaries; (2) any proceeding to which any director, officer or other affiliated person of the Registrant is a party adverse to the Registrant or any of its subsidiaries; and (3) any proceeding involving the revocation or suspension of the right of the Registrant to sell securities.
a. Have there been any material legal proceedings, other than routine litigation incidental to the business, to which the Registrant or any of its subsidiaries was a party or of which any of their property was the subject during the reporting period? Radio button not checked Yes Radio button checked No
b. Has any proceeding previously reported been terminated? Radio button not checked Yes Radio button checked No

Item B.12. Fidelity bond and insurance (management investment companies only).

a. Were any claims with respect to the Registrant filed under a fidelity bond (including, but not limited to, the fidelity insuring agreement of the bond) during the reporting period? Radio button not checked Yes Radio button checked No

Item B.13. Directors and officers/errors and omissions insurance (management investment companies only).

a. Are the Registrant's officers or directors covered in their capacities as officers or directors under any directors and officers/errors and omissions insurance policy owned by the Registrant or anyone else? Radio button checked Yes Radio button not checked No
i. If yes, were any claims filed under the policy during the reporting period with respect to the Registrant? Radio button not checked Yes Radio button checked No

Item B.14. Provision of financial support.

Instruction. For purposes of this Item, a provision of financial support includes any (1) capital contribution, (2) purchase of a security from a Money Market Fund in reliance on rule 17a-9 under the Act (17 CFR 270.17a-9), (3) purchase of any defaulted or devalued security at fair value reasonably intended to increase or stabilize the value or liquidity of the Registrant's portfolio, (4) execution of letter of credit or letter of indemnity, (5) capital support agreement (whether or not the Registrant ultimately received support), (6) performance guarantee, or (7) other similar action reasonably intended to increase or stabilize the value or liquidity of the Registrant's portfolio. Provision of financial support does not include any (1) routine waiver of fees or reimbursement of Registrant's expenses, (2) routine inter-fund lending, (3) routine inter-fund purchases of Registrant's shares, or (4) action that would qualify as financial support as defined above, that the board of directors has otherwise determined not to be reasonably intended to increase or stabilize the value or liquidity of the Registrant's portfolio.
Did an affiliated person, promoter, or principal underwriter of the Registrant, or an affiliated person of such a person, provide any form of financial support to the Registrant during the reporting period? Radio button not checked Yes Radio button checked No

Item B.15. Exemptive orders.

a. During the reporting period, did the Registrant rely on any orders from the Commission granting an exemption from one or more provisions of the Act, Securities Act or Exchange Act? Radio button not checked Yes Radio button checked No

Item B.16. Principal underwriters.

a. Provide the information requested below about each principal underwriter:
i. Full name
 
ii. SEC file number (e.g., 8-)
 
iii. CRD number
 
iv. LEI, if any
 
v. State, if applicable
 
vi. Foreign country, if applicable
 
vii. Is the principal underwriter an affiliated person of the Registrant, or its investment adviser(s) or depositor? Radio button not checked Yes Radio button not checked No
b. Have any principal underwriters been hired or terminated during the reporting period? Radio button not checked Yes Radio button checked No

Item B.17. Independent public accountant.

Provide the following information about eachthe independent public accountant:
Public accountant Record: 1
a. Full Name
Ernst & Young LLP 
b. PCAOB Number
42 
c. LEI, if any
254900H1VLSDPE6LJK37 
d. State, if applicable
NEW YORK  
e. Foreign country, if applicable
UNITED STATES OF AMERICA  
f. Has the independent public accountant changed since the last filing?Radio button not checked Yes Radio button checked No

Item B.18. Report on internal control (management investment companies only).

Instruction. Small business investment companies are not required to respond to this item.
For the reporting period, did an independent public accountant's report on internal control note any material weaknesses? Radio button not checked Yes Radio button checked No

Item B.19. Audit opinion.

For the reporting period, did an independent public accountant issue an opinion other than an unqualified opinion with respect to its audit of the Registrant's financial statements? Radio button not checked Yes Radio button checked No

Item B.20. Change in valuation methods.

Instruction. Responses to this item need not include changes to valuation techniques used for individual securities (e.g., changing from market approach to income approach for a private equity security). In responding to Item B.20.c., provide the applicable "asset type" category specified in Item C.4.a. of Form N-PORT. In responding to Item B.20.d., provide a brief description of the type of investments involved. If the change in valuation methods applies only to certain sub-asset types included in the response to Item B.20.c., please provide the sub-asset types in the response to Item B.20.d. The responses to Item B.20.c. and Item B.20.d. should be identical only if the change in valuation methods applies to all assets within that category.
Have there been material changes in the method of valuation (e.g., change from use of bid price to mid price for fixed income securities or change in trigger threshold for use of fair value factors on international equity securities) of the Registrant's assets during the reporting period? Radio button not checked Yes Radio button checked No

Item B.21. Change in accounting principles and practices.

Have there been any changes in accounting principles or practices, or any change in the method of applying any such accounting principles or practices, which will materially affect the financial statements filed or to be filed for the current year with the Commission and which has not been previously reported? Radio button not checked Yes Radio button checked No

Item B.23. Rule 19a-1 notice (management investment companies only).

During the reporting period, did the Registrant pay any dividend or make any distribution in the nature of a dividend payment, required to be accompanied by a written statement pursuant to section 19(a) of the Act (15 U.S.C. 80a-19(a)) and rule 19a-1 thereunder (17 CFR 270.19a-1)? Radio button not checked Yes Radio button checked No

N-CEN:Part C: Additional Questions for Management Investment Companies

General Instruction.

Management investment companies that offer multiple series must complete Part C as to each series separately, even if some information is the same for two or more series. To begin this section or add an additional series(s), click on the bar labeled "Add a New Series" below.
Management Investment Record: 1

Item C.1. Background information.

a. Full Name of the Fund

BNY Mellon Municipal Income, Inc. 

b. Series identication number, if any

 

c. LEI

549300BKYDDROJTY1E24 

d. Is this the first filing on this form by the Fund? Radio button not checked Yes Radio button checked No

Item C.2. Classes of open-end management investment companies.

a. How many Classes of shares of the Fund (if any) are authorized?

 

b. How many new Classes of shares of the Fund were added during the reporting period?

 

c. How many Classes of shares of the Fund were terminated during the reporting period?

 

d. For each Class with shares outstanding, provide the information requested below:

Item C.3. Type of fund.

Instructions. 1. "Fund of Funds" means a fund that acquires securities issued by any other investment company in excess of the amounts permitted under paragraph (A) of section 12(d)(1) of the Act (15 U.S.C. 80a-12(d)(1)(A)), but, for purposes of this Item, does not include a fund that acquires securities issued by another company solely in reliance on rule 12d1-1 under the Act (CFR 270.12d1-1). 2. "Index Fund" means an investment company, including an Exchange-Traded Fund, that seeks to track the performance of a specified index. 3. "Interval Fund" means a closed-end management investment company that makes periodic repurchases of its shares pursuant to rule 23c-3 under the Act (17 CFR 270.23c-3). 4. "Master-Feeder Fund" means a two-tiered arrangement in which one or more funds (each a feeder fund) holds shares of a single Fund (the master fund) in accordance with section 12(d)(1)(E) of the Act (15 U.S.C. 80a-12(d)(1)(E)) or pursuant to exemptive relief granted by the Commission. 5. "Target Date Fund" means an investment company that has an investment objective or strategy of providing varying degrees of long-term appreciation and capital preservation through a mix of equity and fixed income exposures that changes over time based on an investor's age, target retirement date, or life expectancy.
Indicate if the Fund is any one of the types listed below. Check all that apply.
 a. Exchange-Traded Fund or Exchange-Traded Managed Fund or offers a Class that itself is an Exchange-Traded Fund or Exchange-Traded Managed Fund 
      i.   Checkbox not checked   Exchange-Traded Fund 
      ii.  Checkbox not checked   Exchange-Traded Managed Fund 
 b.  Checkbox not checked  Index Fund 

 c.  Checkbox not checked   Seeks to achieve performance results that are a multiple of a benchmark, the inverse of a benchmark, or a multiple of the inverse of a benchmark 
 d.  Checkbox not checked   Interval Fund 
 e.  Checkbox not checked   Fund of Funds 
 f.   Checkbox not checked   Master-Feeder Fund 
 g.  Checkbox not checked   Money Market Fund 
 h.  Checkbox not checked   Target Date Fund 
 i.   Checkbox not checked   Underlying fund to a variable annuity or variable life insurance contract 
      Checkbox checked   N/A 

Item C.4. Diversification.

Does the Fund seek to operate as a “non-diversified company” as such term is defined in section 5(b)(2) of the Act (15 U.S.C. 80a- 5(b) (2))? Radio button not checked Yes Radio button checked No

Item C.5. Investments in certain foreign corporations.

Instruction. "Controlled foreign corporation" has the meaning provided in section 957 of the Internal Revenue Code [26 U.S.C. 957].
a. Does the fund invest in a controlled foreign corporation for the purpose of investing in certain types of instruments such as, but not limited to, commodities? Radio button not checked Yes Radio button checked No

Item C.6. Securities lending.

Instruction. For purposes of this Item, other adverse impacts would include, for example, (1) a loss to the Fund if collateral and indemnification were not sufficient to replace the loaned securities or their value, (2) the Fund's ineligibility to vote shares in a proxy, or (3) the Fund's ineligibility to receive a direct distribution from the issuer.
a. Is the Fund authorized to engage in securities lending transactions? Radio button checked Yes Radio button not checked No
b. Did the Fund lend any of its securities during the reporting period? Radio button not checked Yes Radio button checked No
c. Provide the information requested below about each securities lending agent, if any, retained by the Fund:
Securities Lending Record: 1
i. Full name of securities lending agent
The Bank of New York Mellon 
ii. LEI, if any

HPFHU0OQ28E4N0NFVK49 

iii. Is the securities lending agent an affiliated person, or an affiliated person of an affiliated person, of the Fund? Radio button checked Yes Radio button not checked No
iv. Does the securities lending agent or any other entity indemnify the fund against borrower default on loans administered by this agent? Radio button checked Yes Radio button not checked No
v. If the entity providing the indemnification is not the securities lending agent, provide the following information:
Idemnity Providers Record: 1
1. Name of person providing indemnification
N/A 
2. LEI, if any, of person providing indemnification

N/A 

vi. Did the Fund exercise its indemnification rights during the reporting period? Radio button not checked Yes Radio button checked No
d. If a person providing cash collateral management services to the Fund in connection with the Fund's securities lending activities does not also serve as securities lending agent, provide the following information about each cash collateral manager:
Collateral Managers Record: 1
i. Full name of cash collateral manager:
BNY Mellon Investment Adviser, Inc. 
ii. LEI, if any:

54930067A504FBYASH16 

iii. Is the cash collateral manager an affiliated person, or an affiliated person of an affiliated person, of a securities lending agent retained by the Fund? Radio button checked Yes Radio button not checked No
iv. Is the cash collateral manager an affiliated person, or an affiliated person of an affiliated person, of the Fund? Radio button checked Yes Radio button not checked No

e. Types of payments made to one or more securities lending agents and cash collateral managers (check all that apply): Checkbox checked  i. Revenue sharing split 
Checkbox not checked  ii. Non-revenue sharing split (other than administrative fee)  
Checkbox not checked  iii. Administrative fee 
Checkbox not checked  iv. Cash collateral reinvestment fee 
Checkbox not checked  v. Indemnification fee 
Checkbox not checked  vi. Other  
Checkbox not checked   N/A  
f. Provide the monthly average of the value of portfolio securities on loan during the reporting period

0.00 

g. Provide the net income from securities lending activities

0.00 


Item C.7. Reliance on certain statutory exemption and rules.

Did the Fund rely on the following statutory exemption or any of the rules under the Act during the reporting period? (check all that apply) Checkbox not checked  a. Rule 10f-3 (17 CFR 270.10f-3)  
Checkbox checked  b. Rule 12d1-1 (17 CFR 270.12d1-1) 
Checkbox not checked  c. Rule 15a-4 (17 CFR 270.15a-4)  
Checkbox not checked  d. Rule 17a-6 (17 CFR 270.17a-6)  
Checkbox not checked  e. Rule 17a-7 (17 CFR 270.17a-7) 
Checkbox not checked  f. Rule 17a-8 (17 CFR 270.17a-8) 
Checkbox not checked  g. Rule 17e-1 (17 CFR 270.17e-1) 
Checkbox not checked  h. Rule 22d-1 (17 CFR 270.22d-1) 
Checkbox not checked  i. Rule 23c-1 (17 CFR 270.23c-1)  
Checkbox checked  j. Rule 32a-4 (17 CFR 270.32a-4) 
Checkbox not checked  k. Rule 6c-11 (17 CFR 270.6c-11) 
Checkbox not checked  l. Rule 12d1-4 (17 CFR 270.12d1-4) 
Checkbox not checked  m. Section 12(d)(1)(G) of the Act (15 USC 80a-12(d)(1)(G)) 
Checkbox checked  n. Rule 18f-4 (17 CFR 270.18f-4) 
Checkbox checked  i. Is the Fund excepted from the rule 18f-4 (17 CFR 270.18f-4) program requirement and limit on fund leverage risk under rule 18f-4(c)(4) (17CFR 270.18f-4(c)(4))? 
Checkbox not checked  ii. Is the Fund a leveraged/inverse fund that, under rule 18f-4(c)(5) (17 CFR 270.18f-4(c)(5)), is excepted from the requirement to comply with the limit on fund leverage risk described in rule 18f-4(c)(2) (17 CFR 270.18f-4(c)(2))? 
Checkbox checked  iii. Did the Fund enter into any reverse repurchase agreements or similar financing transactions under rule 18f-4(d)(i) (17 CFR 270.18f-4(d)(i))? 
Checkbox not checked  iv. Did the Fund enter into any reverse repurchase agreements or similar financing transactions under rule 18f-4(d)(ii) (17 CFR 270.18f-4(d)(ii))? 
Checkbox not checked  v. Did the Fund enter into any unfunded commitment agreements under rule 18f-4(e) (17 CFR 270.18f-4(e))? 
Checkbox checked  vi. Did the Fund invest in a security on a when-issued or forward-settling basis, or with a non-standard settlement cycle, in reliance on rule 18f-4(f) (17 CFR 270.18f-4(f))? 
Checkbox not checked  N/A 

Item C.8. Expense limitations.

Instruction. Provide information concerning any direct or indirect limitations, waivers or reductions, on the level of expenses incurred by the fund during the reporting period. A limitation, for example, may be applied indirectly (such as when an adviser agrees to accept a reduced fee pursuant to a voluntary fee waiver) or it may apply only for a temporary period such as for a new fund in its start-up phase.
a. Did the Fund have an expense limitation arrangement in place during the reporting period? Radio button checked Yes Radio button not checked No
b. Were any expenses of the Fund reduced or waived pursuant to an expense limitation arrangement during the reporting period? Radio button not checked Yes Radio button checked No
c. Are the fees waived subject to recoupment? Radio button not checked Yes Radio button checked No
d. Were any expenses previously waived recouped during the period? Radio button not checked Yes Radio button checked No

Item C.9. Investment advisers.

a. Provide the following information about each investment adviser (other than a sub-adviser) of the Fund:
Investment Advisers Record: 1
i. Full name
BNY Mellon Investment Adviser, Inc. 
ii. SEC file number ( e.g., 801- )

801-8147 

iii.CRD number
000105642 
iv. LEI, if any

54930067A504FBYASH16 

v. State, if applicable
NEW YORK  
vi. Foreign country, if applicable
UNITED STATES OF AMERICA  
vii. Was the investment adviser hired during the reporting period? Radio button not checked Yes Radio button checked No
b. If an investment adviser (other than a sub- adviser) to the Fund was terminated during the reporting period, provide the following with respect to each investment adviser:
i. Full name
 
ii. SEC file number ( e.g., 801- )

 

iii. CRD number
 
iv. LEI, if any

 

v. State, if applicable
 
vi. Foreign country, if applicable
 
vii. Termination date

 

c. For each sub-adviser to the Fund, provide the information requested:
Sub Advisors Record: 1
i. Full name
Insight North America LLC 
ii. SEC file number ( e.g., 801- ), if applicable

801-69964 

iii. CRD number
000145995 
iv. LEI, if any

213800YYX7MQCCEN9439 

v. State, if applicable
NEW YORK  
vi. Foreign country, if applicable
UNITED STATES OF AMERICA  
vii. Is the sub-adviser an affiliated person of the Fund's investment adviser(s)? Radio button checked Yes Radio button not checked No
viii. Was the sub-adviser hired during the reporting period? Radio button not checked Yes Radio button checked No
d. If a sub-adviser was terminated during the reporting period, provide the following with respect to such sub-adviser:
i. Full name
 
ii. SEC file number ( e.g., 801- )

 

iii. CRD number
 
iv. LEI, if any

 

v. State, if applicable
 
vi. Foreign country, if applicable
 
vii. Termination date

 


Item C.10. Transfer agents.

a. Provide the following information about each person providing transfer agency services to the Fund:
Transfer Agents Record: 1
i. Full name
Computershare, Inc. 
ii.SEC file number ( e.g., 84- or 85- )

84-05579 

iii. LEI, if any

N/A 

iv. State, if applicable
NEW JERSEY  
v. Foreign country, if applicable
UNITED STATES OF AMERICA  
vi. Is the transfer agent an affiliated person of the Fund or its investment adviser(s)? Radio button not checked Yes Radio button checked No
vii. Is the transfer agent a sub-transfer agent? Radio button not checked Yes Radio button checked No
Transfer Agents Record: 2
i. Full name
The Bank of New York Mellon 
ii.SEC file number ( e.g., 84- or 85- )

N/A 

iii. LEI, if any

HPFHU0OQ28E4N0NFVK49 

iv. State, if applicable
NEW YORK  
v. Foreign country, if applicable
UNITED STATES OF AMERICA  
vi. Is the transfer agent an affiliated person of the Fund or its investment adviser(s)? Radio button checked Yes Radio button not checked No
vii. Is the transfer agent a sub-transfer agent? Radio button not checked Yes Radio button checked No
b. Has a transfer agent been hired or terminated during the reporting period? Radio button not checked Yes Radio button checked No

Item C.11. Pricing services.

a. Provide the following information about each person that provided pricing services to the Fund during the reporting period:
Pricing Services Record: 1
i. Full name
ICE Data Pricing & Reference Data, LLC 
ii. LEI, if any, or provide and describe other identifying number

N/A 

Description of other identifying number

TIN: 13-3668779 

iii. State, if applicable
ILLINOIS  
iv. Foreign country, if applicable
UNITED STATES OF AMERICA  
v. Is the pricing service an affiliated person of the Fund or its investment adviser(s)? Radio button not checked Yes Radio button checked No
b. Was a pricing service hired or terminated during the reporting period? Radio button not checked Yes Radio button checked No

Item C.12. Custodians.

a. Provide the following information about each person that provided custodial services to the Fund during the reporting period:
Custodians Record: 1
i. Full name
The Bank of New York Mellon 
ii. LEI, if any

HPFHU0OQ28E4N0NFVK49 

iii. State, if applicable
NEW YORK  
iv. Foreign country, if applicable
UNITED STATES OF AMERICA  
v. Is the custodian an affiliated person of the Fund or its investment adviser(s)? Radio button checked Yes Radio button not checked No
vi. Is the custodian a sub-custodian? Radio button not checked Yes Radio button checked No
vii. With respect to the custodian, check below to indicate the type of custody: Radio button not checked 1.Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1))
Radio button not checked 2.Member national securities exchange - rule 17f-1 (17 CFR 270.17f-1)
Radio button checked 3.Self - rule 17f-2 (17 CFR 270.17f-2)
Radio button not checked 4.Securities depository - rule 17f-4 (17 CFR 270.17f-4)
Radio button not checked 5.Foreign custodian - rule 17f-5 (17 CFR 270.17f-5)
Radio button not checked 6.Futures commission merchants and commodity clearing organizations - rule 17f-6 (17 CFR 270.17f-6)
Radio button not checked 7.Foreign securities depository - rule 17f-7 (17 CFR 270.17f-7)
Radio button not checked 8.Insurance company sponsor - rule 26a-2 (17 CFR 270.26a-2)
Radio button not checked 9.Other

b. Has a custodian been hired or terminated during the reporting period?* Radio button not checked Yes Radio button checked No

Item C.13. Shareholder servicing agents.

a. Provide the following information about each shareholder servicing agent of the Fund:
Shareholder servicing agents Record: 1
i. Full name
Computershare, Inc. 
ii. LEI, if any, or provide and describe other identifying number

84-05579 

Description of other identifying number

 

iii. State, if applicable
NEW JERSEY  
iv. Foreign country, if applicable
UNITED STATES OF AMERICA  
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? Radio button not checked Yes Radio button checked No
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? Radio button not checked Yes Radio button checked No
b. Has a shareholder servicing agent been hired or terminated during the reporting period? Radio button not checked Yes Radio button checked No

Item C.14. Administrators.

a. Provide the following information about each administrator of the Fund:
Administrators Record: 1
i. Full name
BNY Mellon Investment Adviser, Inc. 
ii. LEI, if any, or other identifying number

54930067A504FBYASH16 

Description of other identifying number

 

iii. State, if applicable
NEW YORK  
iv. Foreign country, if applicable
UNITED STATES OF AMERICA  
v. Is the administrator an affiliated person of the Fund or its investment adviser(s)? Radio button checked Yes Radio button not checked No
vi. Is the administrator a sub-administrator? Radio button not checked Yes Radio button checked No
Administrators Record: 2
i. Full name
The Bank of New York Mellon 
ii. LEI, if any, or other identifying number

HPFHU0OQ28E4N0NFVK49 

Description of other identifying number

 

iii. State, if applicable
NEW YORK  
iv. Foreign country, if applicable
UNITED STATES OF AMERICA  
v. Is the administrator an affiliated person of the Fund or its investment adviser(s)? Radio button checked Yes Radio button not checked No
vi. Is the administrator a sub-administrator? Radio button checked Yes Radio button not checked No
b.Has a third-party administrator been hired or terminated during the reporting period? Radio button not checked Yes Radio button checked No

Item C.15. Affiliated broker-dealers.

Provide the following information about each affiliated broker-dealer:
Broker Dealers Record: 1
a. Full name
BNY Mellon Capital Markets, LLC 
b. SEC file number

008-35255 

c. CRD number
000017454 
d. LEI, if any

VJW2DOOHGDT6PR0ZRO63 

e. State, if applicable
NEW YORK  
f. Foreign country, if applicable
UNITED STATES OF AMERICA  
g. Total commissions paid to the affiliated broker-dealer for the reporting period:

0.00 

Broker Dealers Record: 2
a. Full name
BNY Mellon Securities Corporation 
b. SEC file number

008-13801 

c. CRD number
000000231 
d. LEI, if any

N/A 

e. State, if applicable
NEW YORK  
f. Foreign country, if applicable
UNITED STATES OF AMERICA  
g. Total commissions paid to the affiliated broker-dealer for the reporting period:

0.00 

Broker Dealers Record: 3
a. Full name
Pershing Advisor Solutions LLC 
b. SEC file number

008-47425 

c. CRD number
000036671 
d. LEI, if any

549300KTC63JRN36GZ84 

e. State, if applicable
NEW JERSEY  
f. Foreign country, if applicable
UNITED STATES OF AMERICA  
g. Total commissions paid to the affiliated broker-dealer for the reporting period:

0.00 

Broker Dealers Record: 4
a. Full name
Pershing LLC 
b. SEC file number

008-17574 

c. CRD number
000007560 
d. LEI, if any

ZI8Q1A8EI8LQFJNM0D94 

e. State, if applicable
NEW JERSEY  
f. Foreign country, if applicable
UNITED STATES OF AMERICA  
g. Total commissions paid to the affiliated broker-dealer for the reporting period:

0.00 

Broker Dealers Record: 5
a. Full name
BNY Mellon Asset Management Canada Ltd. 
b. SEC file number

008-00000 

c. CRD number
N/A 
d. LEI, if any

N/A 

e. State, if applicable
 
f. Foreign country, if applicable
CANADA (FEDERAL LEVEL)  
g. Total commissions paid to the affiliated broker-dealer for the reporting period:

0.00 

Broker Dealers Record: 6
a. Full name
BNY Mellon Investment Management EMEA Limited 
b. SEC file number

008-00000 

c. CRD number
N/A 
d. LEI, if any

213800X5NCNIAF9USD75 

e. State, if applicable
 
f. Foreign country, if applicable
UNITED KINGDOM OF GREAT BRITAIN AND NORTHERN IRELAND  
g. Total commissions paid to the affiliated broker-dealer for the reporting period:

0.00 

Broker Dealers Record: 7
a. Full name
BNY Mellon Investment Management Hong Kong Limited 
b. SEC file number

008-00000 

c. CRD number
000169689 
d. LEI, if any

N/A 

e. State, if applicable
 
f. Foreign country, if applicable
HONG KONG  
g. Total commissions paid to the affiliated broker-dealer for the reporting period:

0.00 

Broker Dealers Record: 8
a. Full name
BNY MELLON SERVICOS FINACEIROS DISTRIBUIDORA DE TITULOS E VALORES MOBILIARIOS (DTVM) S.A 
b. SEC file number

008-00000 

c. CRD number
N/A 
d. LEI, if any

N/A 

e. State, if applicable
 
f. Foreign country, if applicable
BRAZIL  
g. Total commissions paid to the affiliated broker-dealer for the reporting period:

0.00 

Broker Dealers Record: 9
a. Full name
Pershing (Channel Islands) Limited 
b. SEC file number

008-00000 

c. CRD number
N/A 
d. LEI, if any

2138009CM5DCI2OQW132 

e. State, if applicable
 
f. Foreign country, if applicable
UNITED KINGDOM OF GREAT BRITAIN AND NORTHERN IRELAND  
g. Total commissions paid to the affiliated broker-dealer for the reporting period:

0.00 

Broker Dealers Record: 10
a. Full name
Pershing Limited 
b. SEC file number

008-00000 

c. CRD number
N/A 
d. LEI, if any

213800R6YVGU4VP7XK84 

e. State, if applicable
 
f. Foreign country, if applicable
UNITED KINGDOM OF GREAT BRITAIN AND NORTHERN IRELAND  
g. Total commissions paid to the affiliated broker-dealer for the reporting period:

0.00 

Broker Dealers Record: 11
a. Full name
Pershing Securities Canada Limited 
b. SEC file number

008-00000 

c. CRD number
N/A 
d. LEI, if any

5493000WV47FDC28QG89 

e. State, if applicable
 
f. Foreign country, if applicable
CANADA (FEDERAL LEVEL)  
g. Total commissions paid to the affiliated broker-dealer for the reporting period:

0.00 

Broker Dealers Record: 12
a. Full name
Pershing Securities International Limited 
b. SEC file number

008-00000 

c. CRD number
N/A 
d. LEI, if any

549300PPJGN9E26TI110 

e. State, if applicable
 
f. Foreign country, if applicable
IRELAND  
g. Total commissions paid to the affiliated broker-dealer for the reporting period:

0.00 

Broker Dealers Record: 13
a. Full name
Pershing Securities Limited 
b. SEC file number

008-00000 

c. CRD number
N/A 
d. LEI, if any

549300NC3GURN0AEZU06 

e. State, if applicable
 
f. Foreign country, if applicable
UNITED KINGDOM OF GREAT BRITAIN AND NORTHERN IRELAND  
g. Total commissions paid to the affiliated broker-dealer for the reporting period:

0.00 

Broker Dealers Record: 14
a. Full name
The Bank of New York Mellon Securities Company Japan Limited 
b. SEC file number

008-00000 

c. CRD number
N/A 
d. LEI, if any

N/A 

e. State, if applicable
 
f. Foreign country, if applicable
JAPAN  
g. Total commissions paid to the affiliated broker-dealer for the reporting period:

0.00 

Broker Dealers Record: 15
a. Full name
The Bank of New York Mellon, S.A., Institucion de Banca Multiple 
b. SEC file number

008-00000 

c. CRD number
N/A 
d. LEI, if any

N/A 

e. State, if applicable
 
f. Foreign country, if applicable
MEXICO  
g. Total commissions paid to the affiliated broker-dealer for the reporting period:

0.00 

Broker Dealers Record: 16
a. Full name
BNY Mellon Fund Management (Luxemboug), S.A. 
b. SEC file number

008-00000 

c. CRD number
000283267 
d. LEI, if any

5N2ES2M2WGR2TO0Q5G40 

e. State, if applicable
 
f. Foreign country, if applicable
LUXEMBOURG  
g. Total commissions paid to the affiliated broker-dealer for the reporting period:

0.00 

Broker Dealers Record: 17
a. Full name
Pershing Securities Singapore Private Limited 
b. SEC file number

008-00000 

c. CRD number
N/A 
d. LEI, if any

N/A 

e. State, if applicable
 
f. Foreign country, if applicable
SINGAPORE  
g. Total commissions paid to the affiliated broker-dealer for the reporting period:

0.00 


Item C.16. Brokers.

Instructions to Item C.16 and Item C.17.
To help Registrants distinguish between agency and principal transactions, and to promote consistent reporting of the information required by these items, the following criteria should be used:
1. If a security is purchased or sold in a transaction for which the confirmation specifies the amount of the commission to be paid by the Registrant, the transaction should be considered an agency transaction and included in determining the answers to Item C.16.
2. If a security is purchased or sold in a transaction for which the confirmation specifies only the net amount to be paid or received by the Registrant and such net amount is equal to the market value of the security at the time of the transaction, the transaction should be considered a principal transaction and included in determining the amounts in Item C.17.
3. If a security is purchased by the Registrant in an underwritten offering, the acquisition should be considered a principal transaction and included in answering Item C.17 even though the Registrant has knowledge of the amount the underwriters are receiving from the issuer.
4. If a security is sold by the Registrant in a tender offer, the sale should be considered a principal transaction and included in answering Item C.17 even though the Registrant has knowledge of the amount the offeror is paying to soliciting brokers or dealers.
5. If a security is purchased directly from the issuer (such as a bank CD), the purchase should be considered a principal transaction and included in answering Item C.17.
6. The value of called or maturing securities should not be counted in either agency or principal transactions and should not be included in determining the amounts shown in Item C.16 and Item C.17. This means that the acquisition of a security may be included, but it is possible that its disposition may not be included. Disposition of a repurchase agreement at its expiration date should not be included.
7. The purchase or sales of securities in transactions not described in paragraphs (1) through (6) above should be evaluated by the Fund based upon the guidelines established in those paragraphs and classified accordingly. The agents considered in Item C.16 may be persons or companies not registered under the Exchange Act as securities brokers. The persons or companies from whom the investment company purchased or to whom it sold portfolio instruments on a principal basis may be persons or entities not registered under the Exchange Act as securities dealers.
a. For each of the ten brokers that received the largest dollar amount of brokerage commissions (excluding dealer concessions in underwritings) by virtue of direct or indirect participation in the Fund’s portfolio transactions, provide the information below:
i. Full name of broker
ii. SEC file number

iii. CRD number
iv. LEI, if any

v. State, if applicable
vi. Foreign country, if applicable
vii. Gross commissions paid by the Fund for the reporting period

b. Aggregate brokerage commissions paid by Fund during the reporting period:

0.00 


Item C.17. Principal transactions.

a. For each of the ten entities acting as principals with which the Fund did the largest dollar amount of principal transactions (include all short-term obligations, and U.S. government and tax-free securities) in both the secondary market and in underwritten offerings, provide the information below:
Principal Transactions Record: 1
i. Full name of dealer
J.P. MORGAN SECURITIES LLC 
ii. SEC file number

008-35008 

iii. CRD number
000000079 
iv. LEI, if any

ZBUT11V806EZRVTWT807 

v. State, if applicable
NEW YORK  
vi. Foreign country, if applicable
UNITED STATES OF AMERICA  
vii. Total value of purchases and sales (excluding maturing securities) with Fund:

13,103,960.00 

Principal Transactions Record: 2
i. Full name of dealer
MESIROW FINANCIAL, INC. 
ii. SEC file number

008-28816 

iii. CRD number
000002764 
iv. LEI, if any

549300BIV46SUHPOFE54 

v. State, if applicable
ILLINOIS  
vi. Foreign country, if applicable
UNITED STATES OF AMERICA  
vii. Total value of purchases and sales (excluding maturing securities) with Fund:

12,425,071.00 

Principal Transactions Record: 3
i. Full name of dealer
GOLDMAN SACHS & CO. LLC 
ii. SEC file number

008-00129 

iii. CRD number
000000361 
iv. LEI, if any

FOR8UP27PHTHYVLBNG30 

v. State, if applicable
NEW YORK  
vi. Foreign country, if applicable
UNITED STATES OF AMERICA  
vii. Total value of purchases and sales (excluding maturing securities) with Fund:

12,186,829.00 

Principal Transactions Record: 4
i. Full name of dealer
RBC CAPITAL MARKETS, LLC 
ii. SEC file number

008-45411 

iii. CRD number
000031194 
iv. LEI, if any

549300LCO2FLSSVFFR64 

v. State, if applicable
NEW YORK  
vi. Foreign country, if applicable
UNITED STATES OF AMERICA  
vii. Total value of purchases and sales (excluding maturing securities) with Fund:

7,274,169.00 

Principal Transactions Record: 5
i. Full name of dealer
JEFFERIES LLC 
ii. SEC file number

008-15074 

iii. CRD number
000002347 
iv. LEI, if any

58PU97L1C0WSRCWADL48 

v. State, if applicable
NEW YORK  
vi. Foreign country, if applicable
UNITED STATES OF AMERICA  
vii. Total value of purchases and sales (excluding maturing securities) with Fund:

6,962,294.00 

Principal Transactions Record: 6
i. Full name of dealer
FMSBONDS, INC. 
ii. SEC file number

008-23280 

iii. CRD number
000007793 
iv. LEI, if any

549300TUTBK58NSF2517 

v. State, if applicable
FLORIDA  
vi. Foreign country, if applicable
UNITED STATES OF AMERICA  
vii. Total value of purchases and sales (excluding maturing securities) with Fund:

6,898,564.00 

Principal Transactions Record: 7
i. Full name of dealer
RAYMOND JAMES & ASSOCIATES, INC. 
ii. SEC file number

008-10999 

iii. CRD number
000000705 
iv. LEI, if any

U4ONQX15J3RO8XCKE979 

v. State, if applicable
FLORIDA  
vi. Foreign country, if applicable
UNITED STATES OF AMERICA  
vii. Total value of purchases and sales (excluding maturing securities) with Fund:

6,583,218.00 

Principal Transactions Record: 8
i. Full name of dealer
B. C. ZIEGLER AND COMPANY 
ii. SEC file number

008-00094 

iii. CRD number
000000061 
iv. LEI, if any

N/A 

v. State, if applicable
ILLINOIS  
vi. Foreign country, if applicable
UNITED STATES OF AMERICA  
vii. Total value of purchases and sales (excluding maturing securities) with Fund:

5,711,890.00 

Principal Transactions Record: 9
i. Full name of dealer
MERRILL LYNCH, PIERCE, FENNER & SMITH INCORPORATED 
ii. SEC file number

008-07221 

iii. CRD number
000007691 
iv. LEI, if any

8NAV47T0Y26Q87Y0QP81 

v. State, if applicable
NEW YORK  
vi. Foreign country, if applicable
UNITED STATES OF AMERICA  
vii. Total value of purchases and sales (excluding maturing securities) with Fund:

5,347,974.00 

Principal Transactions Record: 10
i. Full name of dealer
PIPER JAFFRAY & CO. 
ii. SEC file number

008-15204 

iii. CRD number
000000665 
iv. LEI, if any

QUQDBTUSOAKFEVMRMF78 

v. State, if applicable
MINNESOTA  
vi. Foreign country, if applicable
UNITED STATES OF AMERICA  
vii. Total value of purchases and sales (excluding maturing securities) with Fund:

4,927,640.00 

b. Aggregate value of principal purchase/sale transactions of Fund during the reporting period:

120,658,063.00 


Item C.18. Payments for brokerage and research.

During the reporting period, did the Fund pay commissions to broker-dealers for "brokerage and research services" within the meaning of section 28(e) of the Exchange Act (15 U.S.C. 78bb)? Radio button not checked Yes Radio button checked No

Item C.19. Average net assets.

a. Provide the Fund's (other than a money market fund's) monthly average net assets during the reporting period

156,116,980.00 

b. Provide the money market fund's daily average net assets during the reporting period

 


Item C.21. Swing pricing.

For open-end management investment companies, respond to the following:
a. Did the Fund (if not a Money Market Fund, Exchange-Traded Fund, or Exchange-Traded Managed Fund) engage in swing pricing? Radio button not checked Yes Radio button not checked No

N-CEN:Part D: Additional Questions for Closed-End Management Investment Companies and SBIC

Item D.1. Securities issued by Registrant.

Instruction. For any security issued by the Fund that is not listed on a securities exchange but that has a ticker symbol, provide that ticker symbol.

Indicate by checking below which of the following securities have been issued by the Registrant. Indicate all that apply.
Security Issued by Registrants Record: 1
Type of security
Common stock 
Title of class
BNY Mellon Municipal Income, Inc. - Common Stock 
Common Record:1
Exchange where listed
NEW YORK STOCK EXCHANGE, INC.  
Ticker symbol
DMF 
Security Issued by Registrants Record: 2
Type of security
Preferred stock 
Title of class
BNY Mellon Municipal Income, Inc. - Variable Rate Muni Term Preferred Shares 
Common Record:1
Exchange where listed
N/A  
Ticker symbol
N/A 

Item D.2. Rights offerings.

Instruction. For Item D.2.c, the "percentage of participation in primary rights offering" is calculated as the percentage of subscriptions exercised during the primary rights offering relative to the amount of securities available for primary subscription.
a. Did the Fund make a rights offering with respect to any type of security during the reporting period? Radio button not checked Yes Radio button checked No

Item D.3. Secondary offerings.

a. Did the Fund make a secondary offering during the reporting period? Radio button not checked Yes Radio button checked No

Item D.4. Repurchases.

a. Did the Fund repurchase any outstanding securities issued by the Fund during the reporting period? Radio button not checked Yes Radio button checked No

Item D.5. Default on long-term debt.

Instruction . The term "long-term debt" means debt with a period of time from date of initial issuance to maturity of one year or greater.
a. Were any issues of the Fund's long-term debt in default at the close of the reporting period with respect to the payment of principal, interest, or amortization? Radio button not checked Yes Radio button checked No

Item D.6. Dividends in arrears.

Instruction . The term "dividends in arrears" means dividends that have not been declared by the board of directors or other governing body of the Fund at the end of each relevant dividend period set forth in the constituent instruments establishing the rights of the stockholders.
a. Were any accumulated dividends in arrears on securities issued by the Fund at the close of the reporting period? Radio button not checked Yes Radio button checked No

Item D.7. Modification of securities.

Have the terms of any constituent instruments defining the rights of the holders of any class of the Registrant's securities been materially modified? Radio button not checked Yes Radio button checked No

Item D.8. Management fee (closed-end companies only).

Instruction. Base the percentage on amounts incurred during the reporting period
Provide the Fund's advisory fee as of the end of the reporting period as percentage of net assets:
0.80 

Item D.9. Net annual operating expense.

Provide the Fund's net annual operating expenses as of the end of the reporting period (net of any waivers or reimbursements) as a percentage of net assets:
3.15 

Item D.10. Market price.

Instruction. Respond to this item with respect to common stock issued by the Registrant only.
Market price per share at end of reporting period:
7.31 

Item D.11. Net asset value.

Instruction. Respond to this item with respect to common stock issued by the Registrant only.
Net asset value per share at end of reporting period:
7.86 

N-CEN:Part G: Attachments

Item G.1a. Attachments.

Attachments applicable to all Registrants. All Registrants shall file the following attachments, as applicable, with the current report. Indicate the attachments filed with the current report by checking the applicable items below: Checkbox not checked   i. Legal proceedings  
Checkbox not checked  ii. Provision of financial support  
Checkbox checked  iii. Independent public accountant's report on internal control (management investment companies other than small business investment companies only)  
Checkbox not checked  iv. Change in accounting principles and practices  
Checkbox not checked  v. Information required to be filed pursuant to exemptive orders  
Checkbox not checked  vi. Other information required to be included as an attachment pursuant to Commission rules and regulations 

Item G.1b. Attachments.

Attachments to be filed by closed-end management investment companies and small business investment
companies. Registrants shall file the following attachments, as applicable, with the current report. Indicate the
attachments filed with the current report by checking the applicable items below:
Checkbox not checked   i. Material amendments to organizational documents  
Checkbox not checked  ii. Instruments defining the rights of the holders of any new or amended class of securities  
Checkbox not checked  iii. New or amended investment advisory contracts  
Checkbox checked  iv. Information called for by Item 405 of Regulation S-K  
Checkbox not checked  v. Code of ethics (small business investment companies only)  

Instructions.

1. Item G.1.a.i. Legal proceedings.

(a) If the Registrant responded "YES" to Item B.11.a., provide a brief description of the proceedings. As part of the description, provide the case or docket number (if any), and the full names of the principal parties to the proceeding.
(b) If the Registrant responded "YES" to Item B.11.b., identify the proceeding and give its date of termination.

2. Item G.1.a.ii. Provision of financial support. If the Registrant responded "YES" to Item B.14., provide the following information (unless the Registrant is a Money Market Fund): (a) Description of nature of support.

(b) Person providing support.

(c) Brief description of relationship between the person providing support and the Registrant.

(d) Date support provided.

(e) Amount of support.

(f) Security supported (if applicable). Disclose the full name of the issuer, the title of the issue (including coupon or yield, if applicable) and at least two identifiers, if available (e.g., CIK, CUSIP, ISIN, LEI).
(g) Value of security supported on date support was initiated (if applicable).

(h) Brief description of reason for support.

(i) Term of support.

(j) Brief description of any contractual restrictions relating to support.

3. Item G.1.a.iii. Independent public accountant's report on internal control (management investment companies other than small business investment companies only). Each management investment company shall furnish a report of its independent public accountant on the company's system of internal accounting controls. The accountant's report shall be based on the review, study and evaluation of the accounting system, internal accounting controls, and procedures for safeguarding securities made during the audit of the financial statements for the reporting period. The report should disclose any material weaknesses in: (a) the accounting system; (b) system of internal accounting control; or (c) procedures for safeguarding securities which exist as of the end of the Registrant's fiscal year.

The accountant's report shall be furnished as an exhibit to the form and shall: (1) be addressed to the Registrant's shareholders and board of directors; (2) be dated; (3) be signed manually; and (4) indicate the city and state where issued.

Attachments that include a report that discloses a material weakness should include an indication by the Registrant of any corrective action taken or proposed.

The fact that an accountant's report is attached to this form shall not be regarded as acknowledging any review of this form by the independent public accountant.

4. Item G.1.a.iv. Change in accounting principles and practices. If the Registrant responded "YES" to Item B.21, provide an attachment that describes the change in accounting principles or practices, or the change in the method of applying any such accounting principles or practices. State the date of the change and the reasons therefor. A letter from the Registrant's independent accountants, approving or otherwise commenting on the change, shall accompany the description.

5. Item G.1.a.v. Information required to be filed pursuant to exemptive orders. File as an attachment any information required to be reported on Form N-CEN or any predecessor form to Form N-CEN (e.g., Form N-SAR) pursuant to exemptive orders issued by the Commission and relied on by the Registrant.

6. Item G.1.a.vi. Other information required to be included as an attachment pursuant to Commission rules and regulations. File as an attachment any other information required to be included as an attachment pursuant to Commission rules and regulations.


Instructions.

7. Item G.1.b.i. Material amendments to organizational documents. Provide copies of all material amendments to the Registrant's charters, by-laws, or other similar organizational documents that occurred during the reporting period.

8. Item G.1.b.ii. Instruments defining the rights of the holders of any new or amended class of securities. Provide copies of all constituent instruments defining the rights of the holders of any new or amended class of securities for the current reporting period. If the Registrant has issued a new class of securities other than short-term paper, furnish a description of the class called for by the applicable item of Form N-2. If the constituent instruments defining the rights of the holders of any class of the Registrant's securities have been materially modified during the reporting period, give the title of the class involved and state briefly the general effect of the modification upon the rights of the holders of such securities.

9. Item G.1.b.iii. New or amended investment advisory contracts. Provide copies of any new or amended investment advisory contracts that became effective during the reporting period.

10. Item G.1.b.iv. Information called for by Item 405 of Regulation S-K. Provide the information called for by Item 405 of Regulation S-K concerning failure of certain closed-end management investment company and small business investment company shareholders to file certain ownership reports.

11. Item G.1.b.v. Code of ethics (small business investment companies only).

(a) (1) Disclose whether, as of the end of the period covered by the report, the Registrant has adopted a code of ethics that applies to the Registrant's principal executive officer, principal financial officer, principal accounting officer or controller, or persons performing similar functions, regardless of whether these individuals are employed by the Registrant or a third party. If the Registrant has not adopted such a code of ethics, explain why it has not done so.
(2) For purposes of this instruction, the term "code of ethics" means written standards that are reasonably designed to deter wrongdoing and to promote: (i) honest and ethical conduct, including the ethical handling of actual or apparent conflicts of interest between personal and professional relationships; (ii) full, fair, accurate, timely, and understandable disclosure in reports and documents that a Registrant files with, or submits to, the Commission and in other public communications made by the Registrant; (iii) compliance with applicable governmental laws, rules, and regulations; (iv) the prompt internal reporting of violations of the code to an appropriate person or persons identified in the code; and (v) accountability for adherence to the code.

(3) The Registrant must briefly describe the nature of any amendment, during the period covered by the report, to a provision of its code of ethics that applies to the Registrant's principal executive officer, principal financial officer, principal accounting officer or controller, or persons performing similar functions, regardless of whether these individuals are employed by the Registrant or a third party, and that relates to any element of the code of ethics definition enumerated in paragraph (a)(2) of this instruction. The Registrant must file a copy of any such amendment as an exhibit to this report on Form N-CEN, unless the Registrant has elected to satisfy paragraph (a)(6) of this instruction by posting its code of ethics on its website pursuant to paragraph (a)(6)(ii) of this Instruction, or by undertaking to provide its code of ethics to any person without charge, upon request, pursuant to paragraph (a)(6)(iii) of this instruction.

(4) If the Registrant has, during the period covered by the report, granted a waiver, including an implicit waiver, from a provision of the code of ethics to the Registrant's principal executive officer, principal financial officer, principal accounting officer or controller, or persons performing similar functions, regardless of whether these individuals are employed by the Registrant or a third party, that relates to one or more of the items set forth in paragraph (a)(2) of this instruction, the Registrant must briefly describe the nature of the waiver, the name of the person to whom the waiver was granted, and the date of the waiver.

(5) If the Registrant intends to satisfy the disclosure requirement under paragraph (a)(3) or (4) of this instruction regarding an amendment to, or a waiver from, a provision of its code of ethics that applies to the Registrant's principal executive officer, principal financial officer, principal accounting officer or controller, or persons performing similar functions and that relates to any element of the code of ethics definition enumerated in paragraph (a)(2) of this instruction by posting such information on its Internet website, disclose the Registrant's Internet address and such intention.

(6) The Registrant must: (i) file with the Commission a copy of its code of ethics that applies to the Registrant's principal executive officer, principal financial officer, principal accounting officer or controller, or persons performing similar functions, as an exhibit to its report on this Form N-CEN; (ii) post the text of such code of ethics on its Internet website and disclose, in its most recent report on this Form N-CEN, its Internet address and the fact that it has posted such code of ethics on its Internet website; or (iii) undertake in its most recent report on this Form N-CEN to provide to any person without charge, upon request, a copy of such code of ethics and explain the manner in which such request may be made.

(7) A Registrant may have separate codes of ethics for different types of officers. Furthermore, a "code of ethics" within the meaning of paragraph (a)(2) of this instruction may be a portion of a broader document that addresses additional topics or that applies to more persons than those specified in paragraph (a)(1) of this instruction. In satisfying the requirements of paragraph (a)(6) of this instruction, a Registrant need only file, post, or provide the portions of a broader document that constitutes a "code of ethics" as defined in paragraph (a)(2) of this instruction and that apply to the persons specified in paragraph (a)(1) of this instruction.

(8) If a Registrant elects to satisfy paragraph (a)(6) of this instruction by posting its code of ethics on its Internet website pursuant to paragraph (a)(6)(ii), the code of ethics must remain accessible on its website for as long as the Registrant remains subject to the requirements of this instruction and chooses to comply with this instruction by posting its code on its Internet website pursuant to paragraph (a)(6)(ii).

(9) The Registrant does not need to provide any information pursuant to paragraphs (a)(3) and (4) of this instruction if it discloses the required information on its Internet website within five business days following the date of the amendment or waiver and the Registrant has disclosed in its most recently filed report on this Form N-CEN its Internet website address and intention to provide disclosure in this manner. If the amendment or waiver occurs on a Saturday, Sunday, or holiday on which the Commission is not open for business, then the five business day period shall begin to run on and include the first business day thereafter. If the Registrant elects to disclose this information through its website, such information must remain available on the website for at least a 12-month period. The Registrant must retain the information for a period of not less than six years following the end of the fiscal year in which the amendment or waiver occurred. Upon request, the Registrant must furnish to the Commission or its staff a copy of any or all information retained pursuant to this requirement.

(10) The Registrant does not need to disclose technical, administrative, or other non-substantive amendments to its code of ethics.

(11) For purposes of this instruction: (i) the term "waiver" means the approval by the Registrant of a material departure from a provision of the code of ethics; and (ii) the term "implicit waiver" means the Registrant's failure to take action within a reasonable period of time regarding a material departure from a provision of the code of ethics that has been made known to an executive officer, as defined in rule 3b-7 under the Exchange Act (17 CFR 240.3b-7), of the Registrant.

(b) (1) Disclose that the Registrant's board of directors has determined that the Registrant either: (i) has at least one audit committee financial expert serving on its audit committee; or (ii) does not have an audit committee financial expert serving on its audit committee.

(2) If the Registrant provides the disclosure required by paragraph (b)(1)(i) of this instruction, it must disclose the name of the audit committee financial expert and whether that person is "independent." In order to be considered "independent" for purposes of this instruction, a member of an audit committee may not, other than in his or her capacity as a member of the audit committee, the board of directors, or any other board committee: (i) accept directly or indirectly any consulting, advisory, or other compensatory fee from the issuer; or (ii) be an "interested person" of the investment company as defined in Section 2(a)(19) of the Act (15 U.S.C. 80a-2(a)(19)).

(3) If the Registrant provides the disclosure required by paragraph (b)(1)(ii) of this instruction, it must explain why it does not have an audit committee financial expert.

(4) If the Registrant's board of directors has determined that the Registrant has more than one audit committee financial expert serving on its audit committee, the Registrant may, but is not required to, disclose the names of those additional persons. A Registrant choosing to identify such persons must indicate whether they are independent pursuant to paragraph (b)(2) of this instruction.

(5) For purposes of this instruction, an "audit committee financial expert" means a person who has the following attributes: (i) an understanding of generally accepted accounting principles and financial statements; (ii) the ability to assess the general application of such principles in connection with the accounting for estimates, accruals, and reserves; (iii) experience preparing, auditing, analyzing, or evaluating financial statements that present a breadth and level of complexity of accounting issues that are generally comparable to the breadth and complexity of issues that can reasonably be expected to be raised by the Registrant's financial statements, or experience actively supervising one or more persons engaged in such activities; (iv) an understanding of internal controls and procedures for financial reporting; and (v) an understanding of audit committee functions.

(6) A person shall have acquired such attributes through: (i) education and experience as a principal financial officer, principal accounting officer, controller, public accountant, or auditor or experience in one or more positions that involve the performance of similar functions; (ii) experience actively supervising a principal financial officer, principal accounting officer, controller, public accountant, auditor, or person performing similar functions; (iii) experience overseeing or assessing the performance of companies or public accountants with respect to the preparation, auditing, or evaluation of financial statements; or (iv) other relevant experience.

(7) (i) A person who is determined to be an audit committee financial expert will not be deemed an "expert" for any purpose, including without limitation for purposes of Section 11 of the Securities Act (15 U.S.C. 77k), as a result of being designated or identified as an audit committee financial expert pursuant to this instruction; (ii) the designation or identification of a person as an audit committee financial expert pursuant to this instruction does not impose on such person any duties, obligations, or liability that are greater than the duties, obligations, and liability imposed on such person as a member of the audit committee and board of directors in the absence of such designation or identification; (iii) the designation or identification of a person as an audit committee financial expert pursuant to this instruction does not affect the duties, obligations, or liability of any other member of the audit committee or board of directors.

(8) If a person qualifies as an audit committee financial expert by means of having held a position described in paragraph (b)(6)(iv) of this Instruction, the Registrant shall provide a brief listing of that person's relevant experience.

N-CEN: Signature

Pursuant to the requirements of the Investment Company Act of 1940, the Registrant has duly caused this report to be signed on its behalf by the undersigned hereunto duly authorized.
Registrant
BNY Mellon Municipal Income, Inc. 
Date
2024-12-12 
Signature
Deirdre Cunnane 
Title
Vice President and Assistant Secretary