U.S. Bancorp Asset Management, Inc. today announced the financial positions for the following closed-end funds for the month ended July 31, 2012.
Net investment income and distribution information for the month ended July 31, 2012:
| Accumulated | ||||||||||
| Undistributed | ||||||||||
| (Distributions in | ||||||||||
| Monthly | Monthly | Net | Excess of) | |||||||
| Common | Preferred | Investment | Net Investment | |||||||
| Stock | Stock | Income/ | Income/ | |||||||
| Fund | Symbol | Distributions (a) | Distributions (b) | Share (c) | Share (d) | |||||
| American Strategic Income Portfolio | ASP | $0.0700 | N/A | $0.0652 | $(0.0186) | |||||
| American Strategic Income Portfolio II | BSP | $0.0475 | N/A | $0.0527 | $(0.0177) | |||||
| American Strategic Income Portfolio III | CSP | $0.0375 | N/A | $0.0445 | $(0.1051) | |||||
| American Select Portfolio | SLA | $0.0675 | N/A | $0.0669 | $(0.0726) | |||||
| American Income Fund | MRF | $0.0500 | N/A | $0.0479 | $0.0185 | |||||
| American Municipal Income Portfolio | XAA | $0.0775 | $0.0016 | $0.0821 | $0.1365 | |||||
| Minnesota Municipal Income Portfolio | MXA | $0.0700 | $0.0016 | $0.0757 | $0.1484 | |||||
| Minnesota Municipal Income Fund II | MXN | $0.0675 | $0.0019 | $0.0675 | $0.0947 | |||||
N/A = Not Applicable
| Financial positions for the month ended July 31, 2012: | ||||||||
| Total Assets | Net Assets (e) | NAV (1) per | ||||||
| Fund | Symbol | (000) | (000) | Common Share | ||||
| American Strategic Income Portfolio | ASP | $77,034 | $55,088 | $13.02 | ||||
| American Strategic Income Portfolio II | BSP | $231,414 | $163,739 | $10.24 | ||||
| American Strategic Income Portfolio III | CSP | $248,582 | $175,006 | $8.19 | ||||
| American Select Portfolio | SLA | $181,377 | $128,374 | $12.04 | ||||
| American Income Fund | MRF | $109,883 | $79,831 | $8.44 | ||||
| American Municipal Income Portfolio | XAA | $134,746 | $90,907 | $15.79 | ||||
| Minnesota Municipal Income Portfolio | MXA | $98,340 | $67,072 | $16.17 | ||||
| Minnesota Municipal Income Fund II | MXN | $36,373 | $23,357 | $15.86 | ||||
| Financial positions for the month ended July 31, 2011: | ||||||||
| Total Assets | Net Assets (e) | NAV (1) per | ||||||
| Fund | Symbol | (000) | (000) | Common Share | ||||
| American Strategic Income Portfolio | ASP | $72,279 | $53,082 | $12.54 | ||||
| American Strategic Income Portfolio II | BSP | $234,293 | $162,868 | $10.19 | ||||
| American Strategic Income Portfolio III | CSP | $263,091 | $182,507 | $8.55 | ||||
| American Select Portfolio | SLA | $179,179 | $124,411 | $11.67 | ||||
| American Income Fund | MRF | $114,784 | $81,935 | $8.66 | ||||
| American Municipal Income Portfolio | XAA | $124,231 | $80,545 | $13.99 | ||||
| Minnesota Municipal Income Portfolio | MXA | $90,583 | $59,329 | $14.31 | ||||
| Minnesota Municipal Income Fund II | MXN | $34,242 | $21,199 | $14.40 | ||||
| Financial positions for the month ended July 31, 2010: | ||||||||
| Total Assets | Net Assets (e) | NAV (1) per | ||||||
| Fund | Symbol | (000) | (000) | Common Share | ||||
| American Strategic Income Portfolio | ASP | $73,156 | $55,798 | $13.19 | ||||
| American Strategic Income Portfolio II | BSP | $252,002 | $174,046 | $10.89 | ||||
| American Strategic Income Portfolio III | CSP | $290,542 | $199,448 | $9.34 | ||||
| American Select Portfolio | SLA | $183,607 | $128,890 | $12.09 | ||||
| American Income Fund | MRF | $117,089 | $78,935 | $8.35 | ||||
| American Municipal Income Portfolio | XAA | $125,895 | $82,288 | $14.30 | ||||
| Minnesota Municipal Income Portfolio | MXA | $92,122 | $60,923 | $14.69 | ||||
| Minnesota Municipal Income Fund II | MXN | $34,587 | $21,527 | $14.62 | ||||
(1) NAVs are priced as of the close of business on the month-end and year as indicated above.
| (a) | These distributions were declared on June 22, 2012, had an ex-dividend date of July 2, 2012, and were paid on July 18, 2012, to shareholders of record on July 5, 2012. | |
| (b) | Calculated by dividing preferred distributions paid during the month by the number of common shares outstanding. | |
| (c) | Based on a three-month average. | |
| (d) | Accumulated undistributed (distributions in excess of) net investment income is reflected in a fund's net asset value. Any reduction of this amount will reduce net asset value penny-for-penny. | |
| (e) | The difference between net assets and total assets for XAA, MXA, and MXN is primarily due to the issuance of preferred stock; net assets reflect common stock only. For ASP, BSP, CSP, SLA, and MRF, the difference is primarily due to the funds' use of borrowings. | |
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