a_managedmuniinc.htm
UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
 
FORM N-Q
 
QUARTERLY SCHEDULE OF PORTFOLIO HOLDINGS OF REGISTERED MANAGEMENT 
INVESTMENT COMPANY
 
Investment Company Act file number: (811- 05740)   
 
Exact name of registrant as specified in charter:  Putnam Managed Municipal Income Trust 
 
Address of principal executive offices: One Post Office Square, Boston, Massachusetts 02109 
 
Name and address of agent for service:  Beth S. Mazor, Vice President 
  One Post Office Square 
  Boston, Massachusetts 02109 
 
Copy to:  John W. Gerstmayr, Esq. 
  Ropes & Gray LLP 
  One International Place 
  Boston, Massachusetts 02110 
 
Registrant’s telephone number, including area code:  (617) 292-1000 
 
Date of fiscal year end: October 31, 2008     
 
Date of reporting period: July 31, 2008     

Item 1. Schedule of Investments:


Putnam Managed Municipal Income Trust
The fund's portfolio
7/31/08 (Unaudited)

Key to abbreviations 
AMBAC -- AMBAC Indemnity Corporation 
Cmnwlth. Of PR Gtd. -- Commonwealth of Puerto Rico Guaranteed 
COP -- Certificate of Participation 
FGIC -- Financial Guaranty Insurance Company 
FHA Insd. -- Federal Housing Administration Insured 
FNMA Coll. -- Federal National Mortgage Association Collateralized 
FRB -- Floating Rate Bonds 
FRN -- Floating Rate Notes 
FSA -- Financial Security Assurance 
GNMA Coll. -- Government National Mortgage Association Collateralized 
G.O. Bonds -- General Obligation Bonds 
MBIA -- MBIA Insurance Company 
U.S. Govt. Coll. -- U.S. Government Collateralized 
VRDN -- Variable Rate Demand Notes 

MUNICIPAL BONDS AND NOTES (154.9%)(a)       
    Principal   
  Rating(RAT)  amount  Value 

Alabama (0.8%)       
Butler, Indl. Dev. Board Solid Waste Disp. Rev. Bonds       
(GA. Pacific Corp.), 5 3/4s, 9/1/28  B  $1,500,000  $1,225,740 
Courtland, Indl. Dev. Board Env. Impt. Rev. Bonds       
(Intl. Paper Co.), Ser. A, 5s, 11/1/13  BBB  1,500,000  1,449,570 
Sylacauga, Hlth. Care Auth. Rev. Bonds (Coosa Valley       
Med. Ctr.), Ser. A       
6s, 8/1/35  B/P  250,000  222,615 
6s, 8/1/25  B/P  650,000  611,143 
      3,509,068 

 
Arizona (3.7%)       
Apache Cnty., Indl. Dev. Auth. Poll. Control Rev.       
Bonds (Tucson Elec. Pwr. Co.)       
Ser. B, 5 7/8s, 3/1/33  Baa3  1,000,000  955,580 
Ser. A, 5.85s, 3/1/28  Baa3  250,000  242,070 
AZ Hlth. Fac. Auth. Hosp. Syst. Rev. Bonds (John C.       
Lincoln Hlth. Network), 6 3/8s, 12/1/37 (Prerefunded)  BBB  1,500,000  1,698,615 
Casa Grande, Indl. Dev. Auth. Rev. Bonds (Casa Grande       
Regl. Med. Ctr.), Ser. A       
7 5/8s, 12/1/29  B+/P  1,800,000  1,813,536 
7 1/4s, 12/1/19  B+/P  1,000,000  1,005,900 
Cochise Cnty., Indl. Dev. Auth. Rev. Bonds (Sierra       
Vista Regl. Hlth. Ctr.), Ser. A, 6.2s, 12/1/21  BB+/P  470,000  478,305 
Coconino Cnty., Poll. Control Rev. Bonds       
(Tuscon/Navajo Elec. Pwr.), Ser. A, 7 1/8s, 10/1/32  Baa3  3,750,000  3,767,813 
Glendale, Indl. Dev. Auth. Rev. Bonds (John C. Lincoln       
Hlth.), Ser. B, 5 1/4s, 12/1/19  BBB  500,000  495,335 
Maricopa Cnty., Poll. Control Rev. Bonds (Public       
Service Co. New Mexico), Ser. A, 6.3s, 12/1/26  Baa3  535,000  534,968 
Pima Cnty., Indl. Dev. Auth. Rev. Bonds       
(Tucson Elec. Pwr.), Ser. A, 6 3/8s, 9/1/29  Baa3  500,000  503,765 
(Horizon Cmnty. Learning Ctr.), 5.05s, 6/1/25  BBB  1,140,000  1,022,831 
Salt Verde, Fin. Corp. Gas Rev. Bonds       
5s, 12/1/37  Aa3  330,000  276,203 
5s, 12/1/32  Aa3  1,570,000  1,341,910 
Scottsdale, Indl. Dev. Auth. Hosp. Rev. Bonds       
(Scottsdale Hlth. Care), Class A, 5 1/4s, 9/1/30  A3  1,000,000  946,240 
Tempe, Indl. Dev. Auth. Sr. Living Rev. Bonds       
(Friendship Village), Ser. A, 5 3/8s, 12/1/13  BB-/P  500,000  496,005 
      15,579,076 

 
Arkansas (2.3%)       
AR State Hosp. Dev. Fin. Auth. Rev. Bonds (Washington       
Regl. Med. Ctr.), 7 3/8s, 2/1/29 (Prerefunded)  Baa1  4,600,000  4,943,298 
Arkadelphia, Pub. Ed. Fac. Board Rev. Bonds (Ouachita       
Baptist U.), 6s, 3/1/33  BB/P  840,000  817,866 
Baxter Cnty., Hosp. Rev. Bonds, 5s, 9/1/22  Baa2  750,000  708,645 


Independence Cnty., Poll. Control Rev. Bonds (Entergy       
AR, Inc.), 5s, 1/1/21  A-  1,400,000  1,344,630 
Little Rock G.O. Bonds (Cap. Impt.), FSA, 3.95s, 4/1/19  Aaa  325,000  329,700 
Springdale, Sales & Use Tax Rev. Bonds, FSA       
4.05s, 7/1/26  Aaa  1,000,000  960,670 
4s, 7/1/27  Aaa  710,000  697,902 
      9,802,711 

 
California (9.5%)       
ABAG Fin. Auth. COP (American Baptist Homes), Ser. A,       
6.2s, 10/1/27  BBB-  345,000  346,032 
CA Hlth. Fac. Fin. Auth. Rev. Bonds       
AMBAC, 5.293s, 7/1/17  Aaa  3,400,000  3,406,358 
(CA-NV Methodist), 5s, 7/1/26  A+  740,000  738,231 
CA Poll. Control Fin. Auth. Rev. Bonds (Pacific Gas &       
Electric Corp.), Class D, FGIC, 4 3/4s, 12/1/23  A  2,500,000  2,179,975 
CA Poll. Control Fin. Auth. VRDN (Pacific Gas &       
Electric Corp.), Class C, 1.8s, 11/1/26  A-1+  5,000,000  5,000,000 
CA Poll. Control Fin. Auth. Solid Waste Disp. FRB       
(Waste Management, Inc.), Ser. C, 5 1/8s, 11/1/23  BBB  2,150,000  1,808,903 
CA Poll. Control Fin. Auth. Solid Waste Disp. Rev.       
Bonds (Waste Management, Inc.), Ser. A-2, 5.4s, 4/1/25  BBB  1,760,000  1,510,960 
CA Statewide Cmnty. Dev. Auth. COP (The Internext       
Group), 5 3/8s, 4/1/30  BBB  3,950,000  3,535,843 
Cathedral City, Impt. Board Act of 1915 Special Assmt.       
Bonds (Cove Impt. Dist.), Ser. 04-02       
5.05s, 9/2/35  BB+/P  1,040,000  863,897 
5s, 9/2/30  BB+/P  250,000  212,310 
Chula Vista, Cmnty. Fac. Dist. Special Tax Rev. Bonds       
(No. 06-1 Eastlake Woods Area), 6.1s, 9/1/21  BBB/P  1,000,000  999,140 
(No. 07-1 Otay Ranch Village Eleven), 5.8s, 9/1/28  BB/P  300,000  281,409 
Chula Vista, Indl. Dev. Rev. Bonds (San Diego Gas),       
Ser. B, 5s, 12/1/27  A1  1,490,000  1,348,778 
Corona, COP (Vista Hosp. Syst.), zero %, 7/1/29 (In       
default) (F)(NON)  D/P  10,775,000  118,525 
Folsom, Special Tax Rev. Bonds (Cmnty. Facs. Dist. No.       
10), 5 7/8s, 9/1/28 (Prerefunded)  AAA/P  1,100,000  1,170,543 
Foothill/Eastern Corridor Agcy. Rev. Bonds (CA Toll       
Roads), 5 3/4s, 1/15/40  Baa3  2,000,000  1,940,560 
Golden State Tobacco Securitization Corp. Rev. Bonds,       
Ser. A-1, 5s, 6/1/33  BBB  750,000  585,128 
Irvine, Impt. Board Act of 1915 Special Assmt. Bonds       
(No. 00-18 Group 3), 5.55s, 9/2/26  BBB/P  500,000  479,610 
Orange Cnty., Cmnty. Fac. Dist. Special Tax Bonds       
(Ladera Ranch No. 02-1), Ser. A, 5.55s, 8/15/33  BBB/P  900,000  846,747 
Poway, Unified School Dist. Cmnty. Facs. Special Tax       
Bonds (Dist. No. 14- Area A), 5 1/8s, 9/1/26  BB-/P  850,000  734,043 
Roseville, Natural Gas Fin. Auth. Rev. Bonds, 5s,       
2/15/12  A1  400,000  401,404 
Sacramento, Special Tax (North Natomas Cmnty. Fac.),       
Ser. 4-C, 6s, 9/1/33  BBB/P  1,245,000  1,208,833 
San Diego, Assn. of Bay Area Governments Fin. Auth.       
For Nonprofit Corps. Rev. Bonds (San Diego Hosp.),       
Ser. A, 6 1/8s, 8/15/20  A-  500,000  516,185 
Santaluz, Cmnty. Facs. Dist. No. 2 Special Tax Rev.       
Bonds (Impt. Area No. 1), Ser. B, 6 3/8s, 9/1/30  BBB/P  3,135,000  3,135,219 
Sunnyvale, Special Tax Rev. Bonds (Cmnty. Fac. Dist.       
No. 1), 7 3/4s, 8/1/32  BB-/P  835,000  851,683 
Thousand Oaks, Cmnty. Fac. Dist. Special Tax Rev.       
Bonds (Marketplace 94-1), zero %, 9/1/14  B/P  3,415,000  2,145,884 
Vernon, Natural Gas Fin. Auth. Mandatory Put Bonds,       
Ser. A-4, MBIA, 5s, 8/3/09  AAA  3,780,000  3,798,673 
      40,164,873 

 
Colorado (2.9%)       
CO Edl. & Cultural Fac. Auth. VRDN (National Jewish       
Federation Bond), Ser. C-2, 2.1s, 3/1/36  VMIG1  600,000  600,000 
CO Hlth. Fac. Auth. Rev. Bonds       
(Christian Living Cmntys.), Ser. A, 5 3/4s, 1/1/26  BB-/P  425,000  390,796 
(Valley View Hosp. Assn.), 5 1/2s, 5/15/28  BBB  3,495,000  3,324,898 
(Evangelical Lutheran), 5 1/4s, 6/1/23  A3  1,000,000  972,830 
CO Pub. Hwy. Auth. Rev. Bonds (E-470 Pub. Hwy.), Ser. B       
zero %, 9/1/35 (Prerefunded)  Aaa  15,500,000  2,228,900 
zero %, 9/1/34 (Prerefunded)  Aaa  16,500,000  2,560,140 


Denver, City & Cnty. Arpt. Rev. Bonds, Ser. D, AMBAC,       
7 3/4s, 11/15/13  AA  930,000  1,008,845 
Denver, City & Cnty. Special Fac. Arpt. Rev. Bonds       
(United Airlines), Ser. A, 5 1/4s, 10/1/32  B  325,000  201,308 
E-470 Pub. Hwy. Auth. Rev. Bonds, Ser. C1, MBIA,       
5 1/2s, 9/1/24  AAA  1,000,000  1,024,650 
      12,312,367 

 
Connecticut (0.2%)       
CT State Dev. Auth. 1st. Mtg. Gross Rev. Hlth. Care       
Rev. Bonds (Elim Street Park Baptist, Inc.), 5.85s,       
12/1/33  BBB+  750,000  716,603 

 
Delaware (0.3%)       
DE State Rev. Bonds (Beebe Med. Ctr.), Ser. A, 5s,       
6/1/30  Baa1  1,000,000  882,440 
New Castle Cnty., Rev. Bonds (Newark Charter School,       
Inc.), 5s, 9/1/36  BBB-  100,000  83,091 
Sussex Cnty., Rev. Bonds (First Mtge. - Cadbury       
Lewes), Ser. A, 5.9s, 1/1/26  B/P  500,000  464,110 
      1,429,641 

 
District of Columbia (0.2%)       
DC Tobacco Settlement Fin. Corp. Rev. Bonds, Ser. A,       
zero %, 6/15/46  BBB/F  17,500,000  850,150 

 
Florida (8.3%)       
CFM Cmnty. Dev. Dist. Rev. Bonds, Ser. B, 5 7/8s,       
5/1/14  BB-/P  730,000  655,270 
Double Branch Cmnty. Dev. Dist. Rev. Bonds, Ser. A,       
6.7s, 5/1/34  BB/P  960,000  978,134 
Escambia Cnty., Env. Impt. Rev. Bonds (Intl. Paper       
Co.), Ser. A, 5s, 8/1/26  BBB  2,000,000  1,591,820 
Fishhawk, Cmnty. Dev. Dist. II Rev. Bonds       
Ser. A, 6 1/8s, 5/1/34  BB/P  465,000  454,412 
Ser. B, 5 1/8s, 11/1/09  BB/P  80,000  79,558 
FL Hsg. Fin. Corp. Rev. Bonds, Ser. G, 5 3/4s, 1/1/37  Aa1  1,410,000  1,427,696 
Fleming Island, Plantation Cmnty. Dev. Dist. Special       
Assmt. Bonds, Ser. B, 7 3/8s, 5/1/31 (Prerefunded)  AAA  1,100,000  1,208,130 
Halifax, Hosp. Med. Ctr. Rev. Bonds, Ser. A       
5 1/4s, 6/1/21  BBB+  3,725,000  3,663,351 
5 1/4s, 6/1/19  BBB+  655,000  654,411 
Heritage Harbor, South Cmnty. Dev. Distr. Rev. Bonds,       
Ser. A, 6 1/2s, 5/1/34  BB+/P  470,000  480,754 
Heritage Harbour Marketplace Cmnty., Dev. Dist.       
Special Assmt., 5.6s, 5/1/36  BB-/P  390,000  309,251 
Heritage Isle at Viera, Cmnty. Dev. Dist. Special       
Assmt., Ser. B, 5s, 11/1/09  BB/P  155,000  152,853 
Hillsborough Cnty., Indl. Dev. Auth. Poll. Control       
Mandatory Put Bonds       
(Tampa Elec. Co.), Ser. B, 5.15s, 9/1/25  Baa2  400,000  398,400 
AMBAC, 5s, 12/1/34  AAA  525,000  526,864 
Jacksonville, Econ. Dev. Comm. Hlth. Care Fac. Rev.       
Bonds (Proton Therapy Inst.), Class A, 6s, 9/1/17  B/P  500,000  511,905 
Jacksonville, Econ. Dev. Comm. Indl. Dev. Rev. Bonds       
(Gerdau Ameristeel US, Inc.), 5.3s, 5/1/37  Ba1  900,000  722,799 
Jacksonville, Hlth. Fac. Auth. Rev. Bonds (Brooks       
Hlth. Syst.), 5s, 11/1/27  A  2,500,000  2,253,850 
Lakeland, Retirement Cmnty. Rev. Bonds (1st Mtge. -       
Carpenters), 6 3/8s, 1/1/43  BBB-/F  340,000  336,464 
Lee Cnty., Indl. Dev. Auth. Hlth. Care Fac. Rev. Bonds       
(Cypress Cove Hlth. Pk.), Ser. A, 6 3/8s, 10/1/25  BB-/P  1,100,000  1,100,308 
Lee Cnty., Indl. Dev. Auth. Hlth. Care Fac. Rev. Bonds       
(Shell Pt./Alliance Oblig. Group), 5 1/8s, 11/15/36  BBB-  575,000  452,289 
(Shell Pt./Alliance Cmnty.), 5s, 11/15/22  BBB-  1,500,000  1,329,645 
Main St. Cmnty., Dev. Dist. Special Assmt. Bonds, Ser.       
A, 6.8s, 5/1/38  BB-/P  250,000  244,355 
Miami Beach, Hlth. Fac. Auth. Hosp. Rev. Bonds (Mount       
Sinai Med. Ctr.), Ser. A       
6.8s, 11/15/31  Ba1  500,000  499,985 
6.7s, 11/15/19  Ba1  1,335,000  1,365,104 
Orange Cnty., Hlth. Fac. Auth. Rev. Bonds (Orlando       
Regl. Hlth. Care), U.S. Govt. Coll., 5 3/4s, 12/1/32       


(Prerefunded)  A2  500,000  555,755 
Palm Coast Pk. Cmnty. Dev. Dist. Special Assmt. Bonds,       
5.7s, 5/1/37  BB-/P  990,000  792,584 
Reunion West, Cmnty. Dev. Dist. Special Assmt. Bonds,       
6 1/4s, 5/1/36  BB-/P  2,195,000  1,789,671 
Six Mile Creek, Cmnty. Dev. Dist. Rev. Bonds, 5.65s,       
5/1/22  BB-/P  1,240,000  985,515 
South Miami, Hlth. Fac. Auth. Rev. Bonds (Baptist       
Hlth.), 5 1/4s, 11/15/33 (Prerefunded)  Aaa  1,500,000  1,632,855 
South Village, Cmnty. Dev. Dist. Rev. Bonds, Ser. A,       
5.7s, 5/1/35  BB-/P  970,000  823,501 
Split Pine, Cmnty. Dev. Dist. Special Assmt. Bonds,       
Ser. A, 5 1/4s, 5/1/39  BB-/P  1,850,000  1,413,049 
Tampa Bay, Cmnty. Dev. Dist. Special Assmt. Bonds (New       
Port), Ser. A, 5 7/8s, 5/1/38  BB-/P  665,000  432,210 
Tolomato, Cmnty. Dev. Dist. Special Assmt. Bonds       
6.55s, 5/1/27  BB-/P  700,000  679,357 
5.4s, 5/1/37  BB-/P  450,000  375,278 
Verandah, West Cmnty. Dev. Dist. Rev. Bonds (Cap.       
Impt.), Ser. A, 6 5/8s, 5/1/33  BBB-/P  470,000  465,817 
Verano Ctr. Cmnty. Dev. Dist. Special Assmt. Bonds       
(Cmnty. Infrastructure)       
Ser. A, 5 3/8s, 5/1/37  BB-/P  1,035,000  776,964 
Ser. B, 5s, 11/1/13  BB-/P  630,000  565,236 
Wentworth Estates, Cmnty. Dev. Dist. Special Assmt.       
Bonds, Ser. A, 5 5/8s, 5/1/37  BB-/P  985,000  785,685 
World Commerce Cmnty. Dev. Dist. Special Assmt., Ser.       
A-1       
6 1/2s, 5/1/36  BB-/P  1,250,000  1,104,763 
6 1/4s, 5/1/22  BB-/P  695,000  629,475 
      35,205,323 

 
Georgia (7.0%)       
Atlanta, Wtr. & Waste Wtr. VRDN, Ser. C, FSA, 2.4s,       
11/1/41  VMIG1  12,200,000  12,200,000 
Burke Cnty., Poll. Control Dev. Auth. Mandatory Put       
Bonds (Oglethorpe Pwr. Corp.), Ser. C-2, AMBAC,       
4 5/8s, 4/1/10  AA  4,500,000  4,555,215 
Forsyth Cnty., Hosp. Auth. Rev. Bonds (Baptist Hlth.       
Care Syst.), U.S. Govt. Coll., 6 1/4s, 10/1/18       
(Prerefunded)  AAA  2,000,000  2,262,860 
Fulton Cnty., Res. Care Fac. Rev. Bonds       
(Canterbury Court), Class A, 6 1/8s, 2/15/34  BB-/P  600,000  552,588 
(First Mtge. - Lenbrook), Ser. A, 5s, 7/1/17  B/P  1,370,000  1,256,852 
GA Med. Ctr. Hosp. Auth. Rev. Bonds, MBIA, 6.367s,       
8/1/10  AA  3,800,000  3,807,296 
Main St. Natural Gas, Inc. Rev. Bonds       
Ser. A, 6 1/4s, 7/15/33  A1  1,000,000  914,250 
(GA Gas), Ser. A, 6s, 7/15/22  A1  3,500,000  3,290,770 
Med. Ctr. Hosp. Auth. Rev. Bonds (Spring Harbor Green       
Island), 5 1/4s, 7/1/27  B+/P  575,000  491,809 
Rockdale Cnty., Dev. Auth. Rev. Bonds (Visy Paper),       
Ser. A, 6 1/8s, 1/1/34  B+/P  600,000  583,776 
      29,915,416 

 
Hawaii (0.3%)       
HI Dept. of Trans. Special Fac. Rev. Bonds       
(Continental Airlines, Inc.), 7s, 6/1/20  B  1,490,000  1,256,457 

 
Idaho (0.7%)       
ID Hsg. & Fin. Assn. Rev. Bonds (Single Fam. Mtge.),       
Ser. C-2, FHA Insd., 5.15s, 7/1/29  Aaa  950,000  942,011 
Madison Cnty., Hosp. COP       
5 1/4s, 9/1/20  BBB-  1,480,000  1,431,145 
5 1/8s, 9/1/14  BBB-  500,000  507,665 
5 1/8s, 9/1/13  BBB-  250,000  254,173 
      3,134,994 

 
Illinois (3.6%)       
Chicago, G.O. Bonds, Ser. A, AMBAC, 5 5/8s, 1/1/39  AA  105,000  108,500 
Chicago, Board of Ed. VRDN, Ser. C-1, FSA, 2.35s,       
3/1/31  VMIG1  6,970,000  6,970,000 
Du Page Cnty., Special Svc. Area No. 31 Special Tax       


Bonds (Monarch Landing)       
5 5/8s, 3/1/36  BB-/P  350,000  294,518 
5.4s, 3/1/16  BB-/P  260,000  253,045 
IL Dev. Fin. Auth. Hosp. Rev. Bonds (Adventist Hlth.       
Syst./Sunbelt Obligation), 5.65s, 11/15/24       
(Prerefunded)  A1  750,000  792,240 
IL Fin. Auth. Rev. Bonds       
(Monarch Landing, Inc.), Ser. A, 7s, 12/1/27  B/P  1,150,000  1,142,629 
(Landing At Plymouth Place), Ser. A, 6s, 5/15/25  B+/P  200,000  187,334 
(Silver Cross Hosp. & Med.), 6s, 8/15/23  A  2,345,000  2,405,337 
(Three Crowns Pk. Plaza), Ser. A, 5 7/8s, 2/15/26  B+/P  1,000,000  934,660 
(Landing At Plymouth Place), Ser. A, 5.35s, 5/15/15  B+/P  600,000  590,916 
IL Fin. Auth. Solid Waste Disposal (Waste Mgmt.,       
Inc.), Ser. A, 5.05s, 8/1/29  BBB  500,000  390,820 
IL Hlth. Fac. Auth. Rev. Bonds       
(Cmnty. Rehab. Providers Fac.), Ser. A, 7 7/8s, 7/1/20  CCC/P  168,115  148,533 
(St. Benedict), Ser. 03A-1, 6.9s, 11/15/33  B/P  500,000  374,655 
(Elmhurst Memorial Hlth. Care), 5 5/8s, 1/1/28  Baa1  500,000  482,525 
      15,075,712 

 
Indiana (1.8%)       
Anderson, Econ. Dev. Rev. Bonds (Anderson U.), 5s,       
10/1/28  BBB-/F  555,000  495,321 
IN Bk. Special Program Gas Rev. Bonds, Ser. A, 5 1/4s,       
10/15/21  Aa2  650,000  637,228 
IN State Dev. Fin. Auth. Env. Impt. Rev. Bonds (USX       
Corp.), 5.6s, 12/1/32  Baa1  2,500,000  2,351,400 
Indianapolis, Arpt. Auth. Rev. Bonds (Federal Express       
Corp.), 5.1s, 1/15/17  Baa2  3,500,000  3,316,180 
Jasper Hosp. Auth. Rev. Bonds (Memorial Hosp.),       
5 1/2s, 11/1/32  A  500,000  502,015 
St. Joseph Cnty., Econ. Dev. Rev. Bonds (Holy Cross       
Village Notre Dame), Ser. A, 5 3/4s, 5/15/15  B/P  455,000  457,489 
      7,759,633 

 
Iowa (3.5%)       
IA Fin. Auth. Hlth. Care Fac. Rev. Bonds (Care       
Initiatives)       
9 1/4s, 7/1/25 (Prerefunded)  AAA  4,480,000  5,298,227 
Ser. A, 5 1/4s, 7/1/17  BBB-  1,040,000  985,358 
Ser. A, 5s, 7/1/19  BBB-  2,750,000  2,497,165 
IA Fin. Auth. Hlth. Fac. Rev. Bonds (Dev. Care       
Initiatives), Ser. A, 5 1/2s, 7/1/25  BBB-  950,000  853,347 
IA Fin. Auth. Retirement Cmnty. Rev. Bonds (Friendship       
Haven), Ser. A       
6 1/8s, 11/15/32  BB/P  750,000  704,505 
6s, 11/15/24  BB/P  200,000  195,314 
IA State Higher Ed. Loan Auth. Rev. Bonds, 5s, 10/1/22  BBB-/F  800,000  758,696 
Tobacco Settlement Auth. of IA Rev. Bonds       
Ser. B, 5.6s, 6/1/34  BBB  3,250,000  2,754,083 
Ser. C, 5 3/8s, 6/1/38  BBB  1,250,000  998,575 
      15,045,270 

 
Kansas (1.0%)       
Burlington, Env. Impt. Mandatory Put Bonds (Pwr. &       
Lt.), Ser. A2, FGIC, 5s, 4/1/10  A  4,250,000  4,241,033 

 
Kentucky (0.6%)       
KY Econ. Dev. Fin. Auth. Rev. Bonds (First Mtg.), Ser.       
IA, 6 1/2s, 1/1/29  B+/P  305,000  333,270 
KY Econ. Dev. Fin. Auth. Hlth. Syst. Rev. Bonds       
(Norton Hlth. Care), Ser. A       
6 1/2s, 10/1/20  A-/F  1,040,000  1,074,518 
6 1/2s, 10/1/20 (Prerefunded)  AAA/P  675,000  740,239 
Louisville/Jefferson Cnty., Metro. Govt. College Rev.       
Bonds (Bellarmine U.), Ser. A, 6s, 5/1/28  Baa2  500,000  502,505 
      2,650,532 

 
Louisiana (3.3%)       
De Soto Parish, Env. Impt. Rev. Bonds (Intl. Paper       
Co.), Ser. A, 5s, 11/1/18  BBB  1,285,000  1,120,122 
Desoto Parish, Rev. Bonds (Intl. Paper Co. Project),       
Ser. A, 5s, 10/1/12  BBB  250,000  246,125 


LA Local Govt. Env. Fac. Cmnty. Dev. Auth. Rev. Bonds       
(Hlth. Care - St. James Place), Ser. A, 7s, 11/1/26       
(Prerefunded)  AAA/P  1,720,000  1,859,544 
(St. James Place), Ser. A, 7s, 11/1/20 (Prerefunded)  AAA/P  1,000,000  1,081,130 
Rapides, Fin. Auth. Mandatory Put Bonds (Cleco Pwr.),       
5 1/4s, 3/1/13  Baa1  4,250,000  4,188,970 
Tangipahoa Parish Hosp. Svcs. Rev. Bonds (North Oaks       
Med. Ctr.), Ser. A, 5s, 2/1/25  A  500,000  482,575 
Tobacco Settlement Fin. Corp. Rev. Bonds, Ser. 01-B,       
5 7/8s, 5/15/39  BBB  2,700,000  2,363,715 
W. Feliciana Parish, Poll. Control Rev. Bonds (Gulf       
States Util. Co.), Ser. C, 7s, 11/1/15  BBB-  2,750,000  2,755,033 
      14,097,214 

 
Maine (1.1%)       
ME State Hsg. Auth. Rev. Bonds, Ser. D-2-AMT, 5s,       
11/15/27  Aa1  1,655,000  1,654,470 
Rumford, Solid Waste Disp. Rev. Bonds (Boise Cascade       
Corp.), 6 7/8s, 10/1/26  Ba3  3,000,000  2,934,030 
      4,588,500 

 
Maryland (2.6%)       
Baltimore Cnty., Rev. Bonds (Oak Crest Village, Inc.),       
Ser. A, 5s, 1/1/27  BBB+  2,000,000  1,874,060 
MD State Hlth. & Higher Edl. Fac. Auth. Rev. Bonds       
(WA Cnty. Hosp.), 6s, 1/1/43  BBB-  710,000  698,782 
(WA Cnty. Hosp.), 5 3/4s, 1/1/38  BBB-  450,000  432,716 
(Medstar Hlth.), 5 3/4s, 8/15/15  A3  1,500,000  1,575,405 
(King Farm Presbyterian Cmnty.), Ser. A, 5 1/4s, 1/1/27  B/P  710,000  606,660 
(Edenwald), Ser. A, 5.2s, 1/1/24  BB/P  450,000  416,664 
(King Farm Presbyterian Cmnty.), Ser. B, 4 3/4s, 1/1/13  B/P  1,700,000  1,657,109 
MD State Indl. Dev. Fin. Auth. Rev. Bonds       
(Synagro-Baltimore), Ser. A, 5 3/8s, 12/1/14  BBB+/F  1,000,000  998,590 
MD State Indl. Dev. Fin. Auth. Econ. Dev. Rev. Bonds       
(Our Lady of Good Counsel School), Ser. A, 6s, 5/1/35  B/P  400,000  390,592 
Westminster, Econ. Dev. Rev. Bonds (Carroll Lutheran       
Village), Ser. A       
6 1/4s, 5/1/34  BB/P  600,000  574,086 
5 7/8s, 5/1/21  BB/P  2,000,000  1,967,260 
      11,191,924 

 
Massachusetts (7.0%)       
Boston, Indl. Dev. Fin. Auth. Rev. Bonds (Springhouse,       
Inc.), 6s, 7/1/28  BB-/P  1,600,000  1,497,728 
MA State Dev. Fin. Agcy. Rev. Bonds       
(Lasell Village), Ser. A, 6 3/8s, 12/1/25 (Prerefunded)  AAA/P  555,000  574,281 
(Linden Ponds, Inc. Fac.), Ser. A, 5 3/4s, 11/15/42  BB/P  500,000  427,050 
(Linden Ponds, Inc.), Ser. A, 5 3/4s, 11/15/35  BB/P  755,000  657,983 
(Boston Biomedical Research), 5 3/4s, 2/1/29  Baa3  1,000,000  949,290 
(Linden Ponds, Inc.), Ser. A, 5 1/2s, 11/15/22  BB/P  390,000  361,553 
(Wheelock College), Ser. C, 5 1/4s, 10/1/29  BBB  1,700,000  1,636,845 
(First Mtge. - Orchard Cove), 5s, 10/1/19  BB-  550,000  502,761 
MA State Dev. Fin. Agcy. Higher Ed. Rev. Bonds       
(Emerson College), Ser. A, 5s, 1/1/18  A-  420,000  426,896 
MA State Dev. Fin. Agcy. Hlth. Care Fac. Rev. Bonds       
(Adventcare), Ser. A, 6.65s, 10/15/28  B/P  1,050,000  948,696 
MA State Hlth. & Edl. Fac. Auth. Rev. Bonds       
(Civic Investments/HPHC), Ser. A, 9s, 12/15/15       
(Prerefunded)  AAA/P  2,475,000  2,963,788 
(Norwood Hosp.), Ser. C, 7s, 7/1/14 (Prerefunded)  Ba2  1,185,000  1,381,722 
(Jordan Hosp.), Ser. E, 6 3/4s, 10/1/33  BB-  2,550,000  2,591,744 
(UMass Memorial), Ser. C, 6 5/8s, 7/1/32  Baa2  2,225,000  2,259,043 
(UMass Memorial), Ser. C, 6 1/2s, 7/1/21  Baa2  3,450,000  3,530,109 
(Quincy Med. Ctr.), Ser. A, 6 1/4s, 1/15/28  BB-/P  1,700,000  1,646,110 
(Hlth. Care Syst.-Covenant Hlth.), 6s, 7/1/31  A/F  1,065,000  1,094,458 
(Baystate Med. Ctr.), Ser. F, 5.7s, 7/1/27  A1  1,000,000  1,007,580 
(Fisher College), Ser. A, 5 1/8s, 4/1/37  BBB-  250,000  214,465 
(Milford Regl. Med.), Ser. E, 5s, 7/15/22  Baa3  2,200,000  2,051,126 
MA State Indl. Fin. Agcy. Rev. Bonds       
(1st Mtge. Stone Institution & Newton), 7.9s, 1/1/24  BB-/P  750,000  751,793 
(1st Mtge. Berkshire Retirement), Ser. A, 6 5/8s,       
7/1/16  BBB-  2,150,000  2,159,310 

29,634,331


 


Michigan (4.1%)       
Detroit, G.O. Bonds (Cap. Impt.), Ser. A-1, 5s, 4/1/15  BBB-  950,000  952,603 
Detroit, Swr. Disp. VRDN, Ser. B, FSA, 2.4s, 7/1/33  VMIG1  6,500,000  6,500,000 
Flint, Hosp. Bldg. Auth. Rev. Bonds (Hurley Med.       
Ctr.), 6s, 7/1/20  Ba1  275,000  269,041 
Garden City, Hosp. Fin. Auth. Rev. Bonds (Garden City       
Hosp.), Ser. A, 5 3/4s, 9/1/17  Ba1  450,000  433,368 
Kentwood, Economic Dev. Rev. Bonds (Holland Home),       
Ser. A, 5s, 11/15/22  BBB-/F  500,000  461,935 
MI State Hosp. Fin. Auth. Rev. Bonds       
(Oakwood Hosp.), Ser. A, 6s, 4/1/22  A2  1,500,000  1,534,005 
(Oakwood Hosp.), Ser. A, 5 3/4s, 4/1/32  A2  1,000,000  970,990 
(Chelsea Cmnty. Hosp. Oblig.), 5s, 5/15/30  BBB  500,000  434,695 
(Chelsea Cmnty. Hosp. Oblig.), 5s, 5/15/25  BBB  755,000  687,677 
MI State Hsg. Dev. Auth. Rev. Bonds, Ser. A, 3.9s,       
6/1/30  AA+  2,300,000  2,285,763 
MI State Strategic Fund, Ltd. Rev. Bonds (Worthington       
Armstrong Venture), U.S. Govt. Coll., 5 3/4s, 10/1/22       
(Prerefunded)  AAA/P  1,350,000  1,480,559 
Monroe Cnty., Hosp. Fin. Auth. Rev. Bonds (Mercy       
Memorial Hosp.), 5 1/2s, 6/1/20  Baa3  1,480,000  1,334,146 
      17,344,782 

 
Minnesota (2.3%)       
Douglas Cnty., Gross Hlth. Care Fac. Rev. Bonds       
(Douglas Cnty. Hosp.), Ser. A, 6 1/4s, 7/1/34  BBB-  3,000,000  2,980,740 
Duluth, Econ. Dev. Auth. Hlth. Care Fac. Rev. Bonds       
(BSM Properties, Inc.), Ser. A, 5 7/8s, 12/1/28  B+/P  115,000  105,132 
Inver Grove Heights, Nursing Home Rev. Bonds       
(Presbyterian Homes Care), 5 3/8s, 10/1/26  B/P  700,000  658,581 
MN State Higher Ed. Fac. Auth. Rev. Bonds (The College       
of St. Catherine), Ser. 5-N1, 5s, 10/1/18  Baa1  1,000,000  1,014,540 
MN State Hsg. Fin. Agcy. Rev. Bonds (Residential       
Hsg.), Ser. H, 4.15s, 1/1/12  Aa1  750,000  747,623 
North Oaks, Sr. Hsg. Rev. Bonds (Presbyterian Homes),       
6 1/8s, 10/1/39  BB/P  315,000  303,332 
Northfield, Hosp. Rev. Bonds, 5 1/2s, 11/1/18  BBB-  1,140,000  1,162,583 
Sauk Rapids Hlth. Care & Hsg. Fac. Rev. Bonds (Good       
Shepherd Lutheran Home), 6s, 1/1/34  B+/P  400,000  367,376 
St. Paul, Hsg. & Redev. Auth. Hosp. Rev. Bonds       
(Healtheast)       
6s, 11/15/35  Baa3  1,350,000  1,326,740 
Ser. B, 5.85s, 11/1/17  Baa3  250,000  251,723 
St. Paul, Port Auth. Lease Rev. Bonds (Regions Hosp.       
Pkg. Ramp), Ser. 1, 5s, 8/1/36  BBB-/P  850,000  699,746 
      9,618,116 

 
Mississippi (1.3%)       
Lowndes Cnty., Solid Waste Disp. & Poll. Control Rev.       
Bonds (Weyerhaeuser Co.), Ser. B, 6.7s, 4/1/22  Baa2  2,500,000  2,595,050 
MS Bus. Fin. Corp. Poll. Control Rev. Bonds (Syst.       
Energy Resources, Inc.), 5.9s, 5/1/22  BBB  1,630,000  1,602,763 
MS Home Corp. Rev. Bonds (Single Fam. Mtge.), Ser.       
B-2, GNMA Coll., FNMA Coll., 6.45s, 12/1/33  Aaa  1,075,000  1,105,917 
      5,303,730 

 
Missouri (7.5%)       
Cape Girardeau Cnty., Indl. Dev. Auth. Hlth. Care Fac.       
Rev. Bonds (St. Francis Med. Ctr.), Ser. A       
5 1/2s, 6/1/32  A+  1,750,000  1,686,878 
5 1/2s, 6/1/16  A+  1,000,000  1,039,330 
Kansas City, Indl. Dev. Auth. Hlth. Fac. Rev. Bonds       
(First Mtge. Bishop Spencer), Ser. A, 6 1/2s, 1/1/35  BB-/P  2,000,000  1,977,460 
MO State Hlth. & Edl. Fac. Auth., (St. Luke's Health       
System) Ser. 2003A, FSA, 51/2s, 11/15/28 (T)  Aaa  10,000,000  10,211,700 
MO State Hlth. & Edl. Fac. Auth. VRDN       
(Washington U. (The)), Ser. B, 2s, 9/1/30  VMIG1  2,800,000  2,800,000 
(Washington U. (The)), Ser. D, 1.9s, 9/1/30  VMIG1  1,100,000  1,100,000 
(SSM Hlth. Care), Ser. C-1, FSA, 0.95s, 6/1/19  A-1+  10,000,000  10,000,000 
MO State Hsg. Dev. Comm. Mtge. Rev. Bonds       
(Single Fam. Homeowner Loan), Ser. A-1, GNMA Coll,       
FNMA Coll, 7 1/2s, 3/1/31  AAA  305,000  314,931 


(Single Fam. Homeowner Loan), Ser. B-1, GNMA Coll.,       
FNMA Coll., 7.45s, 9/1/31  AAA  300,000  306,666 
(Single Fam. Home Ownership Loan), Ser. A-1, GNMA       
Coll., FNMA Coll., 6 3/4s, 3/1/34  AAA  415,000  420,885 
(Single Fam. Mtge.), Ser. D-2, GNMA Coll., FNMA Coll.,       
6 1/2s, 9/1/29  AAA  1,160,000  1,190,230 
(Single Fam. Homeowner Loan), Ser. A-2, GNMA Coll.,       
6.3s, 3/1/30  AAA  290,000  296,183 
(Single Fam. Home Ownership Loan), Ser. B, GNMA Coll.,       
FNMA Coll., 4.4s, 9/1/14  AAA  375,000  370,466 
(Single Fam. Home Ownership Loan), Ser. B, GNMA Coll.,       
FNMA Coll., 4.3s, 9/1/13  AAA  365,000  364,004 
      32,078,733 

 
Montana (0.8%)       
Forsyth, Poll. Control VRDN (Pacific Corp.), 2.55s,       
1/1/18  P-1  2,600,000  2,600,000 
MT Fac. Fin. Auth. Rev. Bonds (Sr. Living St. Johns       
Lutheran), Ser. A, 6s, 5/15/25  B+/P  500,000  478,070 
MT State Board Inv. Exempt Fac. Rev. Bonds (Still       
Water Mining Project), 8s, 7/1/20  BB-  250,000  253,548 
      3,331,618 

 
Nebraska (1.2%)       
Central Plains, Energy Project Rev. Bonds (NE Gas No.       
1), Ser. A, 5 1/4s, 12/1/18  Aa3  5,200,000  5,090,228 
Kearney, Indl. Dev. Rev. Bonds       
(Great Platte River), 8s, 9/1/12 (In default) (NON)  D/P  61,716  12,343 
(Brookhaven), zero %, 9/1/12 (In default) (NON)  D/P  791,466  11,872 
      5,114,443 

 
Nevada (3.1%)       
Clark Cnty., G.O. Bonds (Pk. & Regl. Justice Ctr.),       
FGIC, 5 5/8s, 11/1/19 (Prerefunded)  Aa1  2,000,000  2,090,980 
Clark Cnty., Impt. Dist. Special Assmt. (Summerlin No.       
151)       
5s, 8/1/20  BB/P  425,000  364,837 
5s, 8/1/16  BB/P  1,010,000  923,807 
Clark Cnty., Impt. Dist. Special Assmt. Bonds       
(Summerlin No. 142), 6 3/8s, 8/1/23  BB/P  975,000  945,311 
Clark Cnty., Indl. Dev. Rev. Bonds (Southwest Gas       
Corp.), Ser. C, AMBAC, 5.95s, 12/1/38  AAA  5,000,000  4,856,100 
Clark Cnty., Local Impt. Dist. Special Assmt. Bonds       
(No. 142), 6.1s, 8/1/18  BB/P  250,000  246,515 
Henderson, Local Impt. Dist. Special Assmt. (No.       
T-17), 5s, 9/1/18  BB/P  375,000  330,581 
Henderson, Local Impt. Dist. Special Assmt. Bonds       
(No. T-16), 5 1/8s, 3/1/25  BB/P  680,000  435,200 
(No. T-18), 5s, 9/1/16  BB-/P  1,925,000  1,593,284 
Las Vegas, Local Impt. Board Special Assmt. (Dist. No.       
607), 5.9s, 6/1/18  BB/P  1,175,000  1,056,372 
Las Vegas, Special Impt. Dist. Rev. Bonds (No. 809 -       
Summerlin Area), 5.65s, 6/1/23  BB/P  245,000  225,351 
      13,068,338 

 
New Hampshire (1.2%)       
NH Hlth. & Ed. Fac. Auth. Rev. Bonds       
(Huntington at Nashua), Ser. A, 6 7/8s, 5/1/33  BB-/P  600,000  610,920 
(Kendal at Hanover), Ser. A, 5s, 10/1/18  BBB+  1,875,000  1,829,700 
NH State Bus. Fin. Auth. Rev. Bonds (Alice Peck Day       
Hlth. Syst.), Ser. A, 7s, 10/1/29 (Prerefunded)  BBB-/P  2,565,000  2,748,782 
NH State Bus. Fin. Auth. Swr. & Solid Waste Rev. Bonds       
(Crown Paper Co.), 7 7/8s, 7/1/26 (In default) (NON)  D/P  1,394,189  139 
      5,189,541 

 
New Jersey (5.9%)       
Burlington Cnty., Bridge Comm. Econ. Dev. Rev. Bonds       
(The Evergreens), 5 5/8s, 1/1/38  BB+/P  1,000,000  862,590 
NJ Econ. Dev. Auth. Rev. Bonds       
(Cedar Crest Village, Inc.), Ser. A, U.S. Govt. Coll.,       
7 1/4s, 11/15/31 (Prerefunded)  AAA/F  1,250,000  1,429,725 
(Newark Arpt. Marriot Hotel), 7s, 10/1/14  Ba1  3,400,000  3,405,610 


(First Mtge. Presbyterian Home), Ser. A, 6 3/8s,       
11/1/31  BB/P  500,000  477,530 
(United Methodist Homes), Ser. A-1, 6 1/4s, 7/1/33  BB+  1,000,000  957,420 
(First Mtge. Lions Gate), Ser. A, 5 7/8s, 1/1/37  B/P  430,000  380,718 
(Cigarette Tax), 5 3/4s, 6/15/29  Baa2  1,000,000  958,920 
(Cigarette Tax), 5 1/2s, 6/15/24  Baa2  4,000,000  3,804,720 
NJ Econ. Dev. Auth. Retirement Cmnty. Rev. Bonds       
(Seabrook Village, Inc.), 5 1/4s, 11/15/36  BB-/P  860,000  705,458 
NJ Econ. Dev. Auth. Solid Waste Mandatory Put Bonds       
(Disp. Waste Mgt.), 5.3s, 6/1/14  BBB  1,750,000  1,695,383 
NJ Hlth. Care Fac. Fin. Auth. Rev. Bonds       
(St. Joseph Hlth. Care Syst.), 6 5/8s, 7/1/38  BBB-  2,250,000  2,144,655 
(St. Peters U. Hosp.), 5 3/4s, 7/1/37  Baa2  750,000  712,545 
(United Methodist Homes), Ser. A, 5 3/4s, 7/1/29  BB+  2,250,000  2,058,390 
(Atlantic City Med.), 5 3/4s, 7/1/25  A+  695,000  712,014 
Tobacco Settlement Fin. Corp. Rev. Bonds       
6 3/8s, 6/1/32 (Prerefunded)  Aaa  3,410,000  3,852,993 
Ser. 1A, 5s, 6/1/29  BBB  1,100,000  860,222 
      25,018,893 

 
New Mexico (0.3%)       
Farmington, Poll. Control Rev. Bonds (San Juan), Ser.       
B, 4 7/8s, 4/1/33  Baa3  1,800,000  1,465,506 

 
New York (12.5%)       
Huntington, Hsg. Auth. Rev. Bonds (Gurwin Jewish Sr.       
Residence), Ser. A, 6s, 5/1/39  B+/P  500,000  447,470 
Huntington, Hsg. Auth. Sr. Hsg. Fac. Rev. Bonds       
(Gurwin Jewish Sr. Residence), Ser. A, 6s, 5/1/29  B+/P  750,000  689,168 
Livingston Cnty., Indl. Dev. Agcy. Civic Fac. Rev.       
Bonds (Nicholas H. Noyes Memorial Hosp.), 5 3/4s,       
7/1/15  BB  1,960,000  1,992,360 
Nassau Cnty., Indl. Dev. Agcy. Rev. Bonds       
(Keyspan-Glenwood), 5 1/4s, 6/1/27  A-  2,775,000  2,622,292 
Niagara Cnty., Indl. Dev. Agcy. Mandatory Put Bonds       
(Solid Waste Disp.)       
Ser. C, 5 5/8s, 11/15/14  Baa2  400,000  400,276 
Ser. A, 5.45s, 11/15/12  Baa2  500,000  499,390 
NY City, Indl. Dev. Agcy. Rev. Bonds (Liberty-7 World       
Trade Ctr.)       
Ser. B, 6 3/4s, 3/1/15  BB/P  200,000  205,328 
Ser. A, 6 1/4s, 3/1/15  BB/P  1,775,000  1,791,809 
NY City, Indl. Dev. Agcy. Civic Fac. Rev. Bonds       
(Staten Island U. Hosp.), Ser. A, 6 3/8s, 7/1/31  B2  790,000  767,280 
(Brooklyn Polytech. U. Project J), 6 1/8s, 11/1/30       
(Prerefunded)  AAA  200,000  218,816 
NY City, Indl. Dev. Agcy. Special Arpt. Fac. Rev.       
Bonds (Airis JFK I, LLC), Ser. A, 5 1/2s, 7/1/28  Baa3  1,300,000  1,086,787 
NY City, Indl. Dev. Agcy. Special Fac. Rev. Bonds       
(American Airlines - JFK Intl. Arpt.), 7 1/2s, 8/1/16  B  6,975,000  6,305,679 
(British Airways PLC), 5 1/4s, 12/1/32  Ba1  3,425,000  2,130,590 
(Jetblue Airways Corp.), 5s, 5/15/20  B-  325,000  224,032 
NY State Dorm. Auth. Rev. Bonds       
(Winthrop-U. Hosp. Assn.), Ser. A, 5 1/2s, 7/1/32  Baa1  900,000  855,234 
(Lenox Hill Hosp. Oblig. Group), 5 1/4s, 7/1/09  Ba2  1,000,000  1,011,680 
(NY U. Hosp. Ctr.), Ser. A, 5s, 7/1/20  Ba2  1,000,000  974,570 
NY State Dorm. Auth. Non-State Supported Debt Rev.       
Bonds (Orange Regl. Med. Ctr.), 6 1/4s, 12/1/37  Ba1  725,000  713,625 
NY State Energy Research & Dev. Auth. Gas Fac. Rev.       
Bonds (Brooklyn Union Gas), 6.952s, 7/1/26  A+  3,800,000  3,848,526 
Onondaga Cnty., Indl. Dev. Agcy. Rev. Bonds (Solvay       
Paperboard, LLC), 7s, 11/1/30 (acquired 12/9/98, cost       
$3,200,000) (RES)  BB/P  3,200,000  3,206,720 
Port Auth. NY & NJ Rev. Bonds (Kennedy Intl. Arpt. -       
4th Installment), 6 3/4s, 10/1/11  BB+/P  500,000  501,110 
Port. Auth. NY & NJ Special Oblig. Rev. Bonds       
(Kennedy Intl. Arpt. - 5th Installment), 6 3/4s,       
10/1/19  BB+/P  200,000  200,132 
(JFK Intl. Air Term. - 6), MBIA, 5.9s, 12/1/17  AA  15,000,000  15,209,700 
Seneca Cnty., Indl. Dev. Agcy. Solid Waste Disp. Rev.       
Bonds (Seneca Meadows, Inc.), 6 5/8s, 10/1/35  B+  670,000  670,000 
Suffolk Cnty., Indl. Dev. Agcy. Cont. Care Retirement       
Rev. Bonds       
(Peconic Landing), Ser. A, 8s, 10/1/30  BB-/P  2,700,000  2,865,024 


(Jefferson's Ferry), Ser. A, 7 1/4s, 11/1/28       
(Prerefunded)  AAA  1,000,000  1,084,170 
(Jeffersons Ferry), 5s, 11/1/15  BBB-  975,000  981,396 
(Jefferson's Ferry), 4 5/8s, 11/1/16  BBB-  1,000,000  963,090 
Syracuse, Indl. Dev. Agcy. Rev. Bonds (1st Mtge. -       
Jewish Home), Ser. A, 7 3/8s, 3/1/21  B+/P  800,000  807,472 
      53,273,726 

 
North Carolina (4.2%)       
NC Eastern Muni. Pwr. Agcy. Syst. Rev. Bonds       
Ser. D, 6 3/4s, 1/1/26  Baa1  1,500,000  1,546,215 
Ser. A, 5 3/4s, 1/1/26  Baa1  3,000,000  3,020,520 
Ser. C, 5.3s, 1/1/15  Baa1  1,500,000  1,545,600 
NC Hsg. Fin. Agcy. FRN (Homeownership), Ser. 26,       
Class A, 5 1/2s, 1/1/38  Aa2  970,000  982,174 
NC Med. Care Cmnty. Hlth. Care Fac. Rev. Bonds       
(Deerfield), Ser. A, 6s, 11/1/33  BBB+/F  1,000,000  994,740 
(Presbyterian Homes), 5.4s, 10/1/27  BB/P  2,000,000  1,862,120 
(First Mtge. - Presbyterian Homes), 5 3/8s, 10/1/22  BB/P  1,110,000  1,075,179 
(Pines at Davidson), Ser. A, 5s, 1/1/16  A-/F  545,000  561,977 
(Pines at Davidson), Ser. A, 4.85s, 1/1/26  A-/F  1,270,000  1,164,882 
NC Med. Care Comm. Retirement Fac. Rev. Bonds       
(Carolina Village), 6s, 4/1/38  BB/P  500,000  455,705 
(First Mtge.), Ser. A-05, 5 1/2s, 10/1/35  BB+/P  1,730,000  1,499,720 
(First Mtge.), Ser. A-05, 5 1/4s, 10/1/25  BB+/P  700,000  632,366 
(First Mtge. United Methodist), Ser. C, 5 1/4s, 10/1/24  BB+/P  300,000  278,958 
NC State Muni. Pwr. Agcy. Rev. Bonds (No. 1, Catawba       
Elec.), Ser. B, 6 1/2s, 1/1/20  A2  2,000,000  2,080,640 
      17,700,796 

 
North Dakota (0.3%)       
Grand Forks, Hlth. Care Syst. Rev. Bonds (Altru Hlth.       
Syst. Oblig. Group), 7 1/8s, 8/15/24 (Prerefunded)  Baa2  1,000,000  1,098,720 

 
Ohio (6.3%)       
American Muni. Pwr. - Ohio, Inc., Rev. Bonds (Prarie       
State Energy Campus PJ-A) AGO, 5 1/4s, 2/15/33 (T)  Aaa  10,000,000  10,217,900 
Buckeye, Tobacco Settlement Fin. Auth. Rev. Bonds,       
Ser. A-2       
5 3/4s, 6/1/34  BBB  9,500,000  7,915,685 
5 1/8s, 6/1/24  BBB  1,870,000  1,665,441 
Coshocton Cnty., Env. 144A Rev. Bonds (Smurfit-Stone       
Container Corp.), 5 1/8s, 8/1/13  B-  2,000,000  1,767,220 
Cuyahoga Cnty., Rev. Bonds, Ser. A, 6s, 1/1/32  Aa3  1,000,000  1,034,630 
Hickory Chase, Cmnty. Auth. Infrastructure Impt. Rev.       
Bonds (Hickory Chase), 7s, 12/1/38  BB-/P  700,000  689,521 
Lake Cnty., Hosp. Fac. Rev. Bonds (Lake Hosp. Syst.),       
Ser. C, 5 5/8s, 8/15/29  Baa1  1,530,000  1,444,504 
Montgomery Cnty., Hosp. Rev. Bonds (Kettering Med.       
Ctr.), 6 3/4s, 4/1/22 (Prerefunded)  A2  1,500,000  1,624,770 
Toledo-Lucas Cnty., Port Auth. Rev. Bonds (CSX Transn,       
Inc.), 6.45s, 12/15/21  Baa3  500,000  524,185 
      26,883,856 

 
Oklahoma (4.5%)       
OK Dev. Fin. Auth. Rev. Bonds (Hillcrest Hlth. Care       
Syst.), Ser. A, U.S. Govt. Coll., 5 5/8s, 8/15/29       
(Prerefunded)  Aaa  1,575,000  1,651,199 
OK Hsg. Fin. Agcy. Single Fam. Rev. Bonds       
(Homeownership Loan), Ser. B, 5.35s, 3/1/35  Aaa  4,575,000  4,562,785 
OK Hsg. Fin. Agcy. Single Family Mtge. Rev. Bonds       
(Homeownership Loan), Ser. C, GNMA Coll., FNMA Coll.,       
5.95s, 3/1/37  Aaa  2,795,000  2,853,388 
OK State Indl. Dev. Auth. Rev. Bonds (Hlth. Syst.),       
Ser. A, MBIA       
5 3/4s, 8/15/29 (Prerefunded)  AA  4,625,000  4,859,488 
5 3/4s, 8/15/29 (Prerefunded)  AAA  3,375,000  3,546,113 
Tulsa, Muni. Arpt. Trust Mandatory Put Bonds, Ser. B,       
5.65s, 12/1/08  B  1,750,000  1,735,808 
      19,208,781 

 
Oregon (1.0%)       
Multnomah Cnty., Hosp. Fac. Auth. Rev. Bonds       


(Terwilliger Plaza)       
6 1/2s, 12/1/29  BB-/P  2,900,000  2,799,283 
Ser. A, 5 1/4s, 12/1/26  BB-/P  510,000  439,319 
OR State Hsg. & Cmnty. Svcs. Dept. Rev. Bonds (Single       
Family Mtge.), Ser. K, 5 5/8s, 7/1/29  Aa2  1,050,000  1,051,743 
      4,290,345 

 
Pennsylvania (5.7%)       
Allegheny Cnty., Hosp. Dev. Auth. Rev. Bonds       
(Hlth. Syst.), Ser. B, 9 1/4s, 11/15/22 (Prerefunded)  AAA  195,000  227,735 
(Hlth. Syst.), Ser. B, 9 1/4s, 11/15/15 (Prerefunded)  AAA  560,000  637,907 
(Hlth. Syst.-West PA), Ser. A, 5 3/8s, 11/15/40  Ba2  5,705,000  4,440,601 
(Hlth. Syst.-West PA), Ser. A, 5s, 11/15/28  Ba2  460,000  361,505 
Allegheny Cnty., Indl. Dev. Auth. Rev. Bonds       
(Env. Impt. - USX Corp.), 6s, 1/15/14  Baa1  750,000  758,933 
(Env. Impt.), 5 1/2s, 11/1/16  Baa3  1,850,000  1,876,751 
Bucks Cnty., Indl. Dev. Auth. Retirement Cmnty. Rev.       
Bonds (Ann's Choice, Inc.), Ser. A       
6 1/8s, 1/1/25  BB/P  1,160,000  1,147,507 
5.3s, 1/1/14  BB/P  690,000  690,607 
5.2s, 1/1/13  BB/P  1,000,000  1,002,680 
5.1s, 1/1/12  BB/P  400,000  401,468 
Carbon Cnty., Indl. Dev. Auth. Rev. Bonds (Panther       
Creek Partners), 6.65s, 5/1/10  BBB-  1,815,000  1,853,968 
Cumberland Cnty., Muni. Auth. Rev. Bonds       
(Presbyterian Homes Oblig.), Ser. A, 5.45s, 1/1/21  BBB+  550,000  541,217 
(Presbyterian Homes), Ser. A, 5.35s, 1/1/20  BBB+  515,000  508,063 
Delaware Cnty., College Auth. Rev. Bonds (Neumann       
College), 6s, 10/1/25  BBB  925,000  937,543 
Delaware Cnty., Indl. Dev. Auth. Poll. Control VRDN       
(Exelon), 2.55s, 4/1/21  VMIG1  900,000  900,000 
Delaware Cnty., Indl. Dev. Auth. Resource Recvy. Rev.       
Bonds, Ser. A, 6.1s, 7/1/13  Ba1  500,000  501,295 
Erie-Western PA Port Auth. Rev. Bonds, 6 1/4s, 6/15/10  BB+/F  255,000  255,000 
Lancaster Cnty., Hosp. Auth. Rev. Bonds (Brethren       
Village), Ser. A, 6 3/8s, 7/1/30  BB-/P  625,000  606,669 
Lebanon Cnty., Hlth. Facs. Rev. Bonds (Pleasant View       
Retirement), Ser. A, 5.3s, 12/15/26  BB-/P  500,000  434,720 
Montgomery Cnty., Indl. Auth. Resource Recvy. Rev.       
Bonds (Whitemarsh Cont Care), 6 1/4s, 2/1/35  B-/P  1,100,000  987,844 
New Morgan, Indl. Dev. Auth. Solid Waste Disp. Rev.       
Bonds (New Morgan Landfill Co., Inc.), 6 1/2s, 4/1/19  BB-  1,000,000  999,850 
PA Econ. Dev. Fin. Auth. FRB Exempt Fac. Rev. Bonds       
(Reliant Energy), Ser. B, 6 3/4s, 12/1/36  Ba3  900,000  909,783 
PA State Higher Edl. Fac. Auth. Rev. Bonds (Widener       
U.), 5.4s, 7/15/36  BBB+  1,000,000  952,910 
Philadelphia, Hosp. & Higher Ed. Fac. Auth. Rev. Bonds       
(Graduate Hlth. Syst.), 7 1/4s, 7/1/10 (In default)       
(NON)  D/P  2,707,789  271 
Sayre, Hlth. Care Fac. Auth. Rev. Bonds (Guthrie       
Hlth.), Ser. A, 5 7/8s, 12/1/31  A  410,000  415,023 
Scranton, G.O. Bonds, Ser. C, 7.1s, 9/1/31       
(Prerefunded)  AAA/P  750,000  845,228 
Susquehanna, Area Regl. Arpt. Syst. Auth. Rev. Bonds,       
Ser. A, 6 1/2s, 1/1/38  Baa3  500,000  479,885 
Wilkes-Barre, Fin. Auth. (Wilkes U.), 5s, 3/1/22  BBB  560,000  543,866 
      24,218,829 

 
Puerto Rico (2.9%)       
Cmnwlth. of PR, G.O. Bonds, Ser. A, FGIC, 5 1/2s,       
7/1/16  Baa3  3,300,000  3,371,907 
Cmnwlth. of PR, Aqueduct & Swr. Auth. Rev. Bonds, Ser.       
A       
6s, 7/1/44  Baa3  1,200,000  1,244,352 
6s, 7/1/38  Baa3  1,000,000  1,040,060 
Cmnwlth. of PR, Indl. Tourist Edl. Med. & Env. Control       
Fac. Rev. Bonds (Cogen. Fac.-AES), 6 5/8s, 6/1/26  Baa3  1,000,000  1,036,660 
Cmnwlth. of PR, Pub. Bldg. Auth. Rev. Bonds (Govt.       
Fac.), Ser. N       
Cmnwlth. of PR Gtd., 5 1/2s, 7/1/21  Baa3  1,845,000  1,882,638 
Cmnwlth. of PR Gtd., 5 1/2s, 7/1/20  Baa3  2,250,000  2,302,335 
5s, 7/1/14  Baa3  1,500,000  1,518,285 
      12,396,237 


Rhode Island (0.4%)       
Tobacco Settlement Fin. Corp. Rev. Bonds, Ser. A,       
6 1/8s, 6/1/32  BBB  2,025,000  1,887,138 

 
South Carolina (2.2%)       
Georgetown Cnty., Env. Impt. Rev. Bonds (Intl. Paper       
Co.), Ser. A, 5s, 8/1/30  BBB  175,000  135,326 
Orangeburg Cnty., Solid Waste Disp. Fac. Rev. Bonds       
(SC Elec. & Gas), AMBAC, 5.7s, 11/1/24  AA  2,500,000  2,468,725 
SC Hosp. Auth. Rev. Bonds (Med. U.), Ser. A, 6 1/2s,       
8/15/32 (Prerefunded)  AAA  1,250,000  1,418,363 
SC Jobs Econ. Dev. Auth. Hosp. Fac. Rev. Bonds       
(Palmetto Hlth.)       
Ser. A, 7 3/8s, 12/15/21 (Prerefunded)  BBB+/F  1,600,000  1,811,840 
Ser. C, 6s, 8/1/20 (Prerefunded)  Baa1  890,000  996,658 
Ser. C, 6s, 8/1/20 (Prerefunded)  Baa1  110,000  123,182 
SC Tobacco Settlement Rev. Mgmt. Auth. Rev. Bonds,       
Ser. B       
6 3/8s, 5/15/30 (Prerefunded)  BBB  1,300,000  1,448,174 
6s, 5/15/22 (Prerefunded)  BBB  1,070,000  1,134,072 
      9,536,340 

 
South Dakota (1.0%)       
SD Edl. Enhancement Funding Corp. SD Tobacco Rev.       
Bonds, Ser. B, 6 1/2s, 6/1/32  BBB  2,000,000  1,952,480 
SD Hsg. Dev. Auth. Rev. Bonds       
(Home Ownership Mtg.), Ser. H, 5s, 5/1/28  AAA  515,000  514,526 
(Home Ownership Mtge.), Ser. J, 4 1/2s, 5/1/17  AAA  500,000  500,275 
SD State Hlth. & Edl. Fac. Auth. Rev. Bonds (Prairie       
Lakes Hlth. Care), 5.65s, 4/1/22  Baa1  1,105,000  1,096,613 
      4,063,894 

 
Tennessee (2.8%)       
Johnson City, Hlth. & Edl. Fac. Board Hosp. Rev. Bonds       
(First Mtge. Mountain States Hlth.), Ser. A, 7 1/2s,       
7/1/33 (Prerefunded)  Aaa  5,200,000  6,199,284 
Johnson City, Hlth. & Edl. Facs. Board Retirement Fac.       
Rev. Bonds (Appalachian Christian Village), Ser. A,       
6 1/4s, 2/15/32  BB-/P  1,000,000  910,850 
Shelby Cnty., Hlth. Edl. & Hsg. Fac. Hosp. Board Rev.       
Bonds (Methodist Hlth. Care)       
6 1/2s, 9/1/26 (Prerefunded)  AAA  1,880,000  2,124,250 
6 1/2s, 9/1/26 (Prerefunded)  AAA  1,120,000  1,265,510 
Sullivan Cnty., Hlth. Edl. & Hsg. Hosp. Fac. Board       
Rev. Bonds (Wellmont Hlth. Syst.), Ser. C, 5s, 9/1/22  BBB+  450,000  426,870 
TN Energy Acquisition Corp. Gas Rev. Bonds, Ser. A,       
5 1/4s, 9/1/24  Aa3  1,000,000  928,020 
      11,854,784 

 
Texas (12.1%)       
Abilene, Hlth. Fac. Dev. Corp. Rev. Bonds (Sears       
Methodist Retirement)       
Ser. A, 7s, 11/15/33  BB-/P  600,000  603,534 
5 7/8s, 11/15/18 (SEG)  BB-/P  1,000,000  994,190 
Ser. A, 5 7/8s, 11/15/18  BB-/P  20,000  19,884 
Abilene, Hlth. Fac. Dev. Corp. Retirement Fac. (Sears       
Methodist Retirement), 6s, 11/15/29  BB-/P  1,450,000  1,312,062 
Brazos River, Auth. Poll. Control Ser. D-1, 8 1/4s,       
5/1/33  Caa1  1,000,000  974,130 
Brazos River, Auth. Poll. Control Rev. Bonds (TXU       
Energy Co., LLC), 5s, 3/1/41  Caa1  1,500,000  934,380 
Brazos, Harbor Indl. Dev. Corp. Env. Fac. Mandatory       
Put Bonds (Dow Chemical), 5.9s, 5/1/28  A3  2,200,000  2,105,906 
Dallas, Area Rapid Transit, Sales Tax Rev Bonds Sr.       
Lien, 5s, 12/1/33 (T)  Aaa  10,000,000  10,095,700 
Fort Worth, Higher Ed. Fin. Corp. Rev. Bonds (Wesleyan       
U.), Ser. A, 6s, 10/1/12  Ba2  950,000  951,026 
Gulf Coast, Waste Disp. Auth. Rev. Bonds, Ser. A,       
6.1s, 8/1/24  BBB  450,000  419,625 
Harris Cnty., Hlth. Fac. Rev. Bonds (Memorial Hermann       
Hlth. Care), Ser. A, 6 3/8s, 6/1/29 (Prerefunded)  A2  3,000,000  3,302,880 
Houston, Arpt. Syst. Rev. Bonds       


(Continental Airlines, Inc.), Ser. E, 7s, 7/1/29  B3  500,000  387,260 
(Continental Airlines, Inc.), Ser. E, 6 3/4s, 7/1/29  B3  8,675,000  6,599,506 
(Special Fac. - Continental Airlines, Inc.), Ser. E,       
6 3/4s, 7/1/21  B3  1,600,000  1,288,640 
(Continental Airlines, Inc.), Ser. C, 5.7s, 7/15/29  B3  2,500,000  1,651,200 
Lufkin, Hlth. Fac. Dev. Corp. Hlth. Syst. Rev. Bonds       
(Memorial Hlth. Syst. of East TX), 5 1/2s, 2/15/32  BBB+  500,000  455,810 
Matagorda Cnty., Navigation Dist. TX Poll. Control       
Mandatory Put Bonds (Dist. No. 1 AEP Texas Central       
Co.), 5 1/8s, 6/1/11  Baa2  1,250,000  1,254,625 
Mission, Econ. Dev. Corp. Solid Waste Disp. Rev. Bonds       
(Allied Waste N.A. Inc.), Ser. A, 5.2s, 4/1/18  B+  900,000  824,841 
North TX Thruway Auth. Rev. Bonds, Ser. A, 6s, 1/1/25  A2  1,000,000  1,045,240 
North TX, Thruway Auth. Rev. Bonds (Toll 2nd Tier),       
Ser. F, 5 3/4s, 1/1/38  A3  1,750,000  1,678,145 
Port Corpus Christi Indl. Dev. Corp. Rev. Bonds       
(Valero), Ser. C, 5.4s, 4/1/18  BBB  815,000  810,338 
Sam Rayburn Muni. Pwr. Agcy. Rev. Bonds, 6s, 10/1/21  Baa2  2,500,000  2,566,175 
Tarrant Cnty., Cultural Ed. Fac. Fin. Corp. Rev. Bonds       
(Northwest Sr. Hsg. Edgemere), Ser. A, 5 3/4s, 11/15/16  BB-/P  425,000  438,218 
Tarrant Cnty., Cultural Ed. Fac. Fin. Corp. Retirement       
Fac. Rev. Bonds       
(Buckner Retirement Svcs., Inc.), 5 1/4s, 11/15/37  A-  900,000  783,999 
(Air Force Village), 5 1/8s, 5/15/27  BBB+/F  4,000,000  3,616,880 
Tomball, Hosp. Auth. Rev. Bonds (Tomball Regl. Hosp.)       
6s, 7/1/29  Baa3  4,150,000  4,029,567 
6s, 7/1/25  Baa3  800,000  801,000 
6s, 7/1/19  Baa3  800,000  809,912 
TX State Dept. of Hsg. & Cmnty. Affairs Rev. Bonds,       
Ser. C, GNMA/FNMA Coll., 6.9s, 7/2/24 (SEG)  AAA  900,000  911,934 
      51,666,607 

 
Utah (0.8%)       
Carbon Cnty., Solid Waste Disp. Rev. Bonds (Laidlaw       
Env.), Ser. A       
7 1/2s, 2/1/10  BB-  1,550,000  1,563,160 
7.45s, 7/1/17  B+/P  600,000  601,056 
Tooele Cnty., Harbor & Term. Dist. Port Fac. Rev.       
Bonds (Union Pacific), Ser. A, 5.7s, 11/1/26  Baa2  1,500,000  1,380,510 
      3,544,726 

 
Vermont (0.8%)       
VT Hsg. Fin. Agcy. FRN (Single Fam.), Ser. 23, FSA,       
5s, 5/1/34  Aaa  1,075,000  1,070,302 
VT Hsg. Fin. Agcy. Rev. Bonds       
Ser. 22, FSA, 5s, 11/1/34  Aaa  695,000  693,992 
Ser. 19A, FSA, 4.62s, 5/1/29  Aaa  1,575,000  1,558,589 
      3,322,883 

 
Virginia (1.9%)       
Albemarle Cnty., Indl. Dev. Auth. Res. Care Fac. Rev.       
Bonds (Westminster-Canterbury), 5s, 1/1/24  B+/P  600,000  546,378 
Henrico Cnty., Econ. Dev. Auth. Rev. Bonds (United       
Methodist), Ser. A, 6 1/2s, 6/1/22  BB+/P  600,000  606,582 
Henrico Cnty., Econ. Dev. Auth. Res. Care Fac. Rev.       
Bonds       
(United Methodist), Ser. A, 6.7s, 6/1/27  BB+/P  295,000  297,230 
(United Methodist), Ser. A, 6.7s, 6/1/27 (Prerefunded)  BB+/P  105,000  118,601 
(Westminster-Canterbury), 5s, 10/1/22  BBB-  1,000,000  943,680 
Hopewell, Indl. Dev. Auth. Env. Impt. Rev. Bonds       
(Smurfit-Stone Container Corp.), 5 1/4s, 6/1/15  B-  700,000  599,865 
James Cnty., Indl. Dev. Auth. Rev. Bonds       
(Williamsburg), Ser. A, 6 1/8s, 3/1/32  BB-/P  1,500,000  1,441,260 
Lynchburg, Indl. Dev. Auth. Res. Care Fac. Rev. Bonds       
(Westminster-Canterbury)       
5s, 7/1/31  BB/P  1,250,000  1,038,463 
4 7/8s, 7/1/21  BB/P  1,000,000  915,870 
Roanoke, Indl. Dev. Auth. Hosp. VRDN (Carilion Hlth.       
Syst.), Ser. C-2, FSA, 2.1s, 7/1/27  VMIG1  855,000  855,000 
Winchester, Indl. Dev. Auth. Res. Care Fac. Rev. Bonds       
(Westminster-Canterbury), Ser. A, 5.2s, 1/1/27  BB/P  700,000  649,838 
      8,012,767 


Washington (3.0%)       
Tobacco Settlement Auth. of WA Rev. Bonds       
6 5/8s, 6/1/32  BBB  2,000,000  1,940,420 
6 1/2s, 6/1/26  BBB  2,005,000  2,020,398 
WA State Hlth. Care Fac. Auth. VRDN (Multicare Hlth.       
Syst.), Ser. D, FSA, 2.4s, 8/15/41  VMIG1  6,500,000  6,500,000 
WA State Hsg. Fin. Comm. Rev. Bonds (Single Fam.),       
Ser. 3A, GNMA Coll., FNMA Coll., 4.15s, 12/1/25  Aaa  2,345,000  2,254,694 
      12,715,512 

 
West Virginia (1.7%)       
Harrison Cnty., Cmnty. Solid Waste Disp. Rev. Bonds       
(Allegheny Energy), Ser. D, 5 1/2s, 10/15/37  Baa2  3,150,000  2,946,227 
Mason Cnty., Poll. Control FRB (Appalachian Pwr. Co.       
Project), Ser. L, 5 1/2s, 10/1/22  Baa2  725,000  715,829 
Princeton, Hosp. Rev. Bonds (Cmnty. Hosp. Assn.,       
Inc.), 6.1s, 5/1/29  B1  3,075,000  2,885,795 
WV State Hosp. Fin. Auth. Rev. Bonds (Thomas Hlth.       
Syst.), 6 3/4s, 10/1/43  B/P  735,000  725,379 
      7,273,230 

 
Wisconsin (2.1%)       
Badger, Tobacco Settlement Asset Securitization Corp.       
Rev. Bonds       
7s, 6/1/28  BBB  3,000,000  3,031,530 
6 3/8s, 6/1/32 (SEG)  BBB  5,500,000  5,319,765 
Janesville, Poll. Control Rev. Bonds (General Motors
Corp.), 5.55s, 4/1/09  B  500,000  487,716 
      8,839,011 

 
Wyoming (0.3%)       
Sweetwater Cnty., Solid Waste Disp. Rev. Bonds (FMC       
Corp.), 5.6s, 12/1/35  Baa2  1,500,000  1,338,825 
  
 
 
Total municipal bonds and notes (cost $675,314,738)      $658,821,535 
 
PREFERRED STOCKS (1.9%)(a)       
 
    Shares  Value 

Charter Mac. Equity Trust 144A Ser. A, 6.625% cum. pfd.    2,000,000  $2,053,180 
MuniMae Tax Exempt Bond Subsidiary, LLC 144A Ser. A,       
4.95% cum. pfd.    2,000,000  2,014,800 
MuniMae Tax Exempt Bond Subsidiary, LLC 144A Ser. A,       
6.875% cum. pfd.    4,000,000  4,101,480 

 
Total preferred stocks (cost $8,000,000)      $8,169,460 

 
COMMON STOCKS (--%)(a) (cost $1,273,945)       
 
    Shares  Value 

Tembec, Inc. (Canada) (NON)    1,750  $6,004 

WARRANTS (--%)(a)(NON) (cost $154,422)         
  Expiration date  Strike Price  Warrants  Value 

Tembec, Inc. (Canada)  03/03/12  CAD 0.00001  3,889  $1,768 
 
 
 
TOTAL INVESTMENTS         

Total investments (cost $684,743,105)(b)        $666,998,767 


FUTURES CONTRACTS OUTSTANDING at 7/31/08 (Unaudited)  
  Number of    Expiration  Unrealized 
  contracts  Value  date  (depreciation) 

U.S. Treasury Note 5 yr (Short)  58  $6,457,484  Sep-08  $(34,680) 
U.S. Treasury Note 10 yr (Short)  273  31,348,078  Sep-08  (290,505) 

Total        $(325,185) 


NOTES

(a) Percentages indicated are based on net assets of $425,263,506.

(RAT) The Moody's, Standard & Poor's or Fitch ratings indicated are believed to be the most recent ratings available at July 31, 2008 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 July 31, 2008. Securities rated by Putnam are indicated by "/P." Securities rated by Fitch are indicated by "/F." The rating of an insured security represents what is believed to be the most recent rating of the insurer's claims-paying ability available at July 31, 2008 and does not reflect any subsequent changes.

(b) The aggregate identified cost on a tax basis is $685,285,973, resulting in gross unrealized appreciation and depreciation of $12,502,487 and $30,789,693, respectively, or net unrealized depreciation of $18,287,206.

(NON) Non-income-producing security.

(RES) Restricted, excluding 144A securities, as to public resale. The total market value of restricted securities held at July 31, 2008 was $3,206,720 or 0.8% of net assets.

(SEG) A portion of these securities were pledged and segregated with the custodian to cover margin requirements for futures contracts at July 31, 2008.

(T) Underlying security in a tender option bond transaction. The security has been segregated as collateral for financing transactions

(F) Is valued at fair value following procedures approved by the Trustees.

144A after the name of an issuer represents securities exempt from registration under Rule 144A under the Securities Act of 1933, as amended. These securities may be resold in transactions exempt from registration, normally to qualified institutional buyers.

The rates shown on VRDN, Mandatory Put Bonds, FRB and FRN are the current interest rates at July 31, 2008.

The dates shown on Mandatory Put Bonds are the next mandatory put dates.

The dates shown on debt obligations other than Mandatory Put Bonds are the original maturity dates.

The fund had the following sector concentrations greater than 10% at July 31, 2008 (as a percentage of net assets):   
 
Health care  63.3% 
Utilities  22.4 
Industrial/Commodity  13.9 
Air Transportation  10.1 

The fund had the following insurance concentration greater than 10% at July 31, 2008 (as a percentage of net assets):   
FSA  13.8% 

Security valuation 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. Certain investments and derivatives are also valued at fair value following procedures approved by the Trustees. Such valuations and procedures are reviewed periodically by the Trustees. The fair value of securities is generally determined as the amount that the fund could reasonably expect to realize from an orderly disposition of such securities over a reasonable period of time. By its nature, a fair value price is a good faith estimate of the value of a security at a given point in time and does not reflect an actual market price, which may be different by a material amount.

Security valuation Investments for which market quotations are readily available are valued at the last reported sales price on their principal exchange, or official closing price for certain markets. If no sales are reported -- as in the


case of some securities traded over-the-counter -- a security is valued at its last reported bid price. Market quotations are not considered to be readily available for certain debt obligations; such investments are valued at fair value on the basis of valuations furnished by an independent pricing service or dealers, approved by the Trustees. Such services or dealers determine valuations for normal institutional-size trading units of such securities using methods based on market transactions for comparable securities and various relationships, generally recognized by institutional traders, between securities. Many securities markets and exchanges outside the U.S. close prior to the close of the New York Stock Exchange and therefore the closing prices for securities in such markets or on such exchanges may not fully reflect events that occur after such close but before the close of the New York Stock Exchange. Accordingly, on certain days, the fund will fair value foreign equity securities taking into account multiple factors, including movements in the U.S. securities markets. The number of days on which fair value prices will be used will depend on market activity and it is possible that fair value prices will be used by the fund to a significant extent.

Securities quoted in foreign currencies, if any, are translated into U.S. dollars at the current exchange rate. Certain investments, including certain restricted securities and derivatives, are also valued at fair value following procedures approved by the Trustees. Such valuations and procedures are reviewed periodically by the Trustees.

Tender option bond transaction

The fund may participate in transactions whereby a fixed-rate bond owned by the fund is transferred to a tender option bond trust (“TOB trust”) ,sponsored by a broker, in exchange for residual interests in the TOB trust’s assets and cash flows, which are in the form of inverse floating rate bonds. 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 fixed-rate bonds through the inverse floating rate bonds. The inverse floating rate bonds held by the fund gives 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 June 30, 2008, the fund’s investments with a value of $30,525,300 were held by the TOB trust and served as collateral for $15,000,000 in floating-rate bonds outstanding. During the period ended July 31, 2008, the fund incurred imputed interest expense of $15,015 for these investments based on average interest rates from 1.70% to 2.33% .

Futures and options contracts The fund may use futures and options contracts to hedge against changes in the values of securities the fund owns or expects to purchase, or for other investment purposes. The fund may also write options on swaps or securities it owns or in which it may invest to increase its current returns.

The potential risk to the fund is that the change in value of futures and options contracts may not correspond to the change in value of the hedged instruments. In addition, losses may arise from changes in the value of the underlying instruments, if there is an illiquid secondary market for the contracts, or if the counterparty to the contract is unable to perform. Risks may exceed amounts recognized on the statement of assets and liabilities. When the contract is closed, the fund records a realized gain or loss equal to the difference between the value of the contract at the time it was opened and the value at the time it was closed. Realized gains and losses on purchased options are included in realized gains and losses on investment securities. If a written call option is exercised, the premium originally received is recorded as an addition to sales proceeds. If a written put option is exercised, the premium originally received is recorded as a reduction to the cost of investments.

Futures contracts are valued at the quoted daily settlement prices established by the exchange on which they trade. The fund and the broker agree to exchange an amount of cash equal to the daily fluctuation in the value of the futures contract. Such receipts or payments are known as “variation margin.” Exchange traded options are valued at the last sale price or, if no sales are reported, the last bid price for purchased options and the last ask price for written options. Options traded over-the-counter are valued using prices supplied by dealers.

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


Item 2. Controls and Procedures:

(a) The registrant's principal executive officer and principal financial officer have concluded, based on their evaluation of the effectiveness of the design and operation of the registrant's disclosure controls and procedures as of a date within 90 days of the filing date of this report, that the design and operation of such procedures are generally effective to provide reasonable assurance that information required to be disclosed by the registrant in this report is recorded, processed, summarized and reported within the time periods specified in the Commission's rules and forms.

(b) Changes in internal control over financial reporting: Not applicable

Item 3. Exhibits:

Separate certifications for the principal executive officer and principal financial officer of the registrant as required by Rule 30a-2(a) under the Investment Company Act of 1940, as amended, are filed herewith.

SIGNATURES

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.

Putnam Managed Municipal Income Trust

By (Signature and Title):

/s/ Janet C. Smith
Janet C. Smith
Principal Accounting Officer
Date: September 25, 2008

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, this report has been signed below by the following persons on behalf of the registrant and in the capacities and on the dates indicated.

By (Signature and Title):

/s/ Charles E. Porter
Charles E. Porter
Principal Executive Officer
Date: September 25, 2008

By (Signature and Title):

/s/ Steven D. Krichmar
Steven D. Krichmar
Principal Financial Officer
Date: September 25, 2008