Dreyfus Strategic Municipal Bond Fund, Inc. (DSM) Releases Fund Statistics

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NEW YORK--(BUSINESS WIRE)--

The following information for Dreyfus Strategic Municipal Bond Fund, Inc. (NYSE: DSM) is as of December 31, 2009 (except as otherwise noted), and is subject to change at any time. All percentages are based on total net assets (except as otherwise noted).

Dreyfus Strategic Municipal Bond Fund, Inc.

Symbol : “DSM”

As of December 31, 2009        
 
Portfolio Overview Sector Distribution (Top Five)
Subject to AMT 24% Health Care 16%
Number of Issues 133 Transportation 11%
Average maturity 21yrs Housing 10%
Effective maturity 8yrs Education 7%
Duration 5.73 General Obligation 7%
Average rating* A+
Average coupon 3.87% State Distribution (Top Five)
Average dollar price $97.572 Texas 16%
Pre-refunded securities 10% California 13%
Leverage 32% New York 6%
Massachusetts 6%
Market Summary Wisconsin 5%
Market price range (52 weeks) $7.93-$5.65
NAV range (52 weeks) $8.23-$6.47 Call Schedule (Through 2014)
Market price $7.69 2010 13%
NAV $7.97 2011 2%
Premium/(discount) (-3.513) 2012 4%
Average daily volume (52 weeks) 78,163 2013 2%
Shares outstanding 48.5MM 2014 1%
Net assets $572,666,818
Market Yield and Dividend Rate**
Portfolio Quality* Current market yield 5.53%
AAA 29% Current dividend rate $0.045
AA 17%
A 24%
BBB 18%
Below investment grade 12%
* The percentages of these ratings are calculated based on the higher of Standard & Poor's or Moody's for individual issues and on a Dreyfus rating for non-rated issues.       ** The market yield is calculated by multiplying the current market distribution by 12 and dividing by the market price per share of $7.69 on December 31, 2009. Past Performance is no guarantee of future performance and price and yield will vary.

For Press Inquiries:
The Dreyfus Corporation
Patrice M. Kozlowski
(212) 922-6030
or
For Other Inquiries:
MBSC Securities Corporation
The National Marketing Desk
200 Park Avenue
New York, New York 10166
1-800-334-6899










 
 
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