Portfolio
of
Investments
July
31,
2025
NMZ
(Unaudited)
SHARES
DESCRIPTION
VALUE
LONG-TERM
INVESTMENTS
-
165.9%
(100.0%
of
Total
Investments)
–
COMMON
STOCKS
-
0
.0
%
(
0
.0
%
of
Total
Investments)
–
MATERIALS
-
0.0%
(0.0%
of
Total
Investments)
39
(a),(b)
Palouse
Fiber
Holdings
$
0
TOTAL
MATERIALS
0
TOTAL
COMMON
STOCKS
(Cost
$5,850)
0
SHARES
DESCRIPTION
VALUE
16,084,710
EXCHANGE-TRADED
FUNDS
-
1
.4
%
(
0
.8
%
of
Total
Investments)
16,084,710
675,000
Nuveen
High
Yield
Municipal
Bond
ETF
16,084,710
TOTAL
EXCHANGE-TRADED
FUNDS
(Cost
$16,995,750)
16,084,710
PRINCIPAL
DESCRIPTION
RATE
MATURITY
VALUE
1904127579
MUNICIPAL
BONDS
-
164
.5
%
(
99
.2
%
of
Total
Investments)
1904127579
ALABAMA
-
4.1%
(2.5%
of
Total
Investments)
$
182,352
(c),(d)
Adamsville
Solid
Waste
Disposal
Authority,
Alabama,
Solid
Waste
Disposal
Revenue
Bonds,
Big
Sky
Environmental
LLC
Project,
Refunding
Taxable
Series
2017C
1
.000
%
09/01/37
2
1,000,000
(c),(d)
Adamsville
Solid
Waste
Disposal
Authority,
Alabama,
Solid
Waste
Disposal
Revenue
Bonds,
Big
Sky
Environmental
LLC
Project,
Series
2017A
6
.750
09/01/37
700,000
212,352
(c),(d)
Adamsville
Solid
Waste
Disposal
Authority,
Alabama,
Solid
Waste
Disposal
Revenue
Bonds,
Big
Sky
Environmental
LLC
Project,
Taxable
Series
2017B
6
.750
09/01/37
148,646
2,000,000
(d)
Alabama
Private
Colleges
and
University
Facilities
Authority,
Limited
Obligation
Bonds,
University
of
Mobile
Project,
Series
2015A
6
.000
09/01/45
1,888,183
1,500,000
Birmingham-Jefferson
Civic
Center
Authority,
Alabama,
Special
Tax
Bonds,
Series
2018A
5
.000
07/01/48
1,464,467
10,000,000
(e)
Black
Belt
Energy
Gas
District,
Alabama,
Gas
Project
Revenue
Bonds,
Series
2025A,
(Mandatory
Put
5/01/32),
(UB)
5
.250
05/01/56
10,184,840
785,000
Hoover
Industrial
Development
Board,
Alabama,
Environmental
Improvement
Revenue
Bonds,
United
States
Steel
Corporation
Proejcet,
Green
Series
2020,
(AMT),
(Mandatory
Put
11/01/30)
6
.375
11/01/50
853,977
13,765,000
Hoover
Industrial
Development
Board,
Alabama,
Environmental
Improvement
Revenue
Bonds,
United
States
Steel
Corporation
Proejcet,
Series
2019,
(AMT)
5
.750
10/01/49
13,776,341
6,430,000
(e)
Jefferson
County,
Alabama,
Sewer
Revenue
Warrants,
Series
2024,
(UB)
5
.250
10/01/49
6,457,049
250,000
MidCity
Improvement
District,
Alabama,
Special
Assessment
Revenue
Bonds,
Series
2022
4
.750
11/01/49
204,895
1,200,000
Mobile
County
Industrial
Development
Authority,
Alabama,
Solid
Waste
Disposal
Revenue
Bonds,
AM/NS
Calvert
LLC
Project,
Series
2024A,
(AMT)
5
.000
06/01/54
1,093,031
1,000,000
Mobile
County
Industrial
Development
Authority,
Alabama,
Solid
Waste
Disposal
Revenue
Bonds,
AM/NS
Calvert
LLC
Project,
Series
2024B,
(AMT)
4
.750
12/01/54
874,546
1,810,000
(d)
Mobile
County,
Alabama,
Limited
Obligation
Warrants,
Gomesa
Projects,
Series
2020
4
.000
11/01/45
1,511,633
1,000,000
Southeast
Alabama
Gas
Supply
District,
Alabama,
Gas
Supply
Revenue
Bonds,
Project
2,
Refunding
Series
2024B,
(Mandatory
Put
5/01/32)
5
.000
06/01/49
1,056,775
3,905,000
(e)
Southeast
Energy
Authority,
Alabama,
Revenue
Bonds,
Cooperative
District
Energy
Supply
Series
2025A,
(Mandatory
Put
6/01/35),
(UB)
5
.000
01/01/56
3,942,996
3,450,000
(d)
Tuscaloosa
County
Industrial
Development
Authority,
Alabama,
Gulf
Opportunity
Zone
Bonds,
Hunt
Refining
Project,
Refunding
Series
2019A
5
.250
05/01/44
3,327,327
TOTAL
ALABAMA
47,484,708
Portfolio
of
Investments
July
31,
2025
(continued)
NMZ
PRINCIPAL
DESCRIPTION
RATE
MATURITY
VALUE
ALASKA
-
1.3%
(0.8%
of
Total
Investments)
$
5,000,000
(e)
Anchorage,
Alaska,
Port
Revenue
Bonds,
Series
2024A,
(AMT),
(UB)
4
.500
%
02/01/60
$
4,280,046
12,500,000
(e)
Anchorage,
Alaska,
Port
Revenue
Bonds,
Series
2024A,
(AMT),
(UB)
4
.375
02/01/65
10,401,008
TOTAL
ALASKA
14,681,054
ARIZONA
-
3.3%
(2.0%
of
Total
Investments)
400,000
(d)
Arizona
Industrial
Development
Authority,
Arizona,
Education
Revenue
Bonds, Arizona
Christian
University
Project,
Series
2019A
5
.500
10/01/40
351,027
800,000
(d)
Arizona
Industrial
Development
Authority,
Arizona,
Education
Revenue
Bonds, Arizona
Christian
University
Project,
Series
2019A
5
.625
10/01/49
656,187
10,100,000
(d)
Arizona
Industrial
Development
Authority,
Arizona,
Education
Revenue
Bonds,
Heritage
Academy
-
Gateway
and
Laveen
Pojects,
Series
2021B
5
.000
07/01/51
8,316,226
10,000,000
(d)
Arizona
Industrial
Development
Authority,
Arizona,
Education
Revenue
Bonds,
Heritage
Academy
-
Gateway
and
Laveen
Pojects,
Taxable
Series
2021A
5
.000
07/01/51
8,233,887
700,000
(d)
Arizona
Industrial
Development
Authority,
Arizona,
Education
Revenue
Bonds,
Heritage
Academy
-
Gateway
and
Laveen
Pojects,
Taxable
Series
2021C
6
.000
07/01/29
691,240
2,765,000
(d)
Arizona
Industrial
Development
Authority,
Arizona,
Hotel
Revenue
Bonds,
Provident
Group
Falcon
Properties
LLC,
Project,
Senior
Series
2022A-1
4
.150
12/01/57
1,787,372
2,590,000
(d)
Arizona
Industrial
Development
Authority,
Arizona,
Hotel
Revenue
Bonds,
Provident
Group
Falcon
Properties
LLC,
Project,
Subordinate
Series
2022B
5
.750
12/15/57
1,846,091
1,000,000
(c),(d)
Arizona
Industrial
Development
Authority,
Education
Facility
Revenue
Bonds,
Caurus
Academy
Project,
Series
2018A
6
.500
06/01/50
700,000
985,000
(d)
Maricopa
County
Industrial
Development
Authority,
Arizona,
Education
Revenue
Bonds,
Gateway
Academy
Project,
Series
2019A
5
.750
01/01/50
797,794
3,000,000
(c),(d)
Pima
County
Industrial
Development
Authority,
Arizona,
Education
Facility
Revenue
Bonds,
Edkey
Charter
Schools
Project,
Refunding
Series
2020
5
.000
07/01/49
2,100,000
245,000
(c)
Pima
County
Industrial
Development
Authority,
Arizona,
Education
Facility
Revenue
Bonds,
Edkey
Charter
Schools
Project,
Series
2016
5
.250
07/01/36
171,500
400,000
(c)
Pima
County
Industrial
Development
Authority,
Arizona,
Education
Facility
Revenue
Bonds,
Edkey
Charter
Schools
Project,
Series
2016
5
.375
07/01/46
280,000
475,000
(c)
Pima
County
Industrial
Development
Authority,
Arizona,
Education
Facility
Revenue
Bonds,
Edkey
Charter
Schools
Project,
Series
2016
5
.500
07/01/51
332,500
1,000,000
(c),(d)
Pima
County
Industrial
Development
Authority,
Arizona,
Education
Facility
Revenue
Bonds,
Edkey
Charter
Schools
Project,
Series
2019
5
.875
07/01/51
700,000
270,000
(d)
Pima
County
Industrial
Development
Authority,
Arizona,
Education
Facility
Revenue
Bonds,
Synergy
Public
Charter
School
Project,
Series
2020
5
.000
06/15/35
262,826
100,000
Pima
County
Industrial
Development
Authority,
Arizona,
Education
Facility
Revenue
Bonds,
The
Paideia
Academies
Project,
2019
5
.125
07/01/39
92,055
7,500,000
(d)
Salt
Verde
Financial
Corporation,
Arizona,
Senior
Gas
Revenue
Bonds,
Citigroup
Energy
Inc
Prepay
Contract
Obligations,
Series
2007
5
.500
12/01/37
7,726,735
2,000,000
(f)
Sierra
Vista
Industrial
Development
Authority,
Arizona,
Economic
Development
Revenue
Bonds,
Convertible
Capital
Appreciation
Revenue
Bonds,
Series
2021A
0
.000
10/01/56
1,530,573
1,940,000
(d)
Sierra
Vista
Industrial
Development
Authority,
Arizona,
Education
Facility
Revenue
Bonds,
AmeriSchools
Academy
Project,
Series
2022
6
.000
06/15/57
1,867,084
TOTAL
ARIZONA
38,443,097
PRINCIPAL
DESCRIPTION
RATE
MATURITY
VALUE
ARKANSAS
-
0.4%
(0.2%
of
Total
Investments)
$
1,750,000
(d)
Arkansas
Development
Finance
Authority,
Arkansas,
Environmental
Improvement
Revenue
Bonds,
United
States
Steel
Corporation,
Green
Series
2022,
(AMT)
5
.450
%
09/01/52
$
1,711,257
3,500,000
(d)
Arkansas
Development
Finance
Authority,
Charter
School
Revenue
Bonds,
Academy
of
Math
and
Science
-
Little
Rock
Project
Series
2024A
7
.000
07/01/59
3,069,692
TOTAL
ARKANSAS
4,780,949
CALIFORNIA
-
13.8%
(8.3%
of
Total
Investments)
18,390,000
Alameda
Corridor
Transportation
Authority,
California,
Revenue
Bonds,
Refunding
Second
Subordinate
Lien
Series
2022C
-
AGM
Insured
5
.450
10/01/52
10,122,089
4,000,000
Alameda
Corridor
Transportation
Authority,
California,
Revenue
Bonds,
Refunding
Senior
Lien
Series
2022B
5
.300
10/01/47
2,252,767
18,905,000
Alameda
Corridor
Transportation
Authority,
California,
Revenue
Bonds,
Refunding
Senior
Lien
Series
2022B
5
.350
10/01/48
10,565,269
4,585,000
Alameda
Corridor
Transportation
Authority,
California,
Revenue
Bonds,
Refunding
Senior
Lien
Series
2022B
5
.375
10/01/49
2,534,190
3,055,000
Alameda
Corridor
Transportation
Authority,
California,
Revenue
Bonds,
Refunding
Senior
Lien
Series
2022B
5
.400
10/01/50
1,686,185
1,000,000
(d)
California
Community
Housing
Agency,
California,
Essential
Housing
Revenue
Bonds,
Glendale
Properties,
Junior
Series
2021A-2
4
.000
08/01/47
739,902
1,000,000
(d)
California
Community
Housing
Agency,
California,
Essential
Housing
Revenue
Bonds,
Glendale
Properties,
Senior
Series
2021A-1
4
.000
02/01/56
777,757
1,000,000
(d)
California
Community
Housing
Agency,
California,
Essential
Housing
Revenue
Bonds,
Serenity
at
Larkspur
Apartments,
Series
2020A
5
.000
02/01/50
700,824
200,000
(d)
California
Community
Housing
Agency,
California,
Essential
Housing
Revenue
Bonds,
Summit
at
Sausalito
Apartments,
Series
2021A-1
3
.000
02/01/57
127,847
2,000,000
(d)
California
Community
Housing
Agency,
California,
Essential
Housing
Revenue
Bonds,
Summit
at
Sausalito
Apartments,
Series
2021A-2
4
.000
02/01/50
1,438,945
9,155,000
(d)
California
Community
Housing
Agency,
Workforce
Housing
Revenue
Bonds,
Annadel
Apartments,
Series
2019A
5
.000
04/01/49
7,421,461
500,000
(d)
California
Enterprise
Development
Authority,
Charter
School
Revenue
Bonds,
Norton
Science
&
Language
Academy
Project,
Series
2021
4
.000
07/01/61
348,095
2,195,000
(d)
California
Enterprise
Development
Authority,
Charter
School
Revenue
Bonds,
Norton
Science
and
Language
Academy
Project,
Series
2020
6
.250
07/01/58
2,213,504
10,450,000
(e)
California
Health
Facilities
Financing
Authority,
Revenue
Bonds,
Cedars-Sinai
Health
System,
Series
2021A
4
.000
08/15/48
9,083,424
4,250,000
(d)
California
Infrastructure
and
Economic
Development
Bank,
Revenue
Bonds,
Brightline
West
Passenger
Rail
Project,
Green
Bond
Series
2025A,
(AMT),
(Mandatory
Put
1/01/35)
9
.500
01/01/65
3,791,726
220,000
(d)
California
Municipal
Finance
Authority,
Revenue
Bonds,
American
Musical
and
Dramatic
Academy
Inc.
AMDA
Inc
Project,
Taxable
Series
2023B
9
.500
07/01/30
222,687
500,000
(d)
California
Municipal
Finance
Authority,
Revenue
Bonds,
California
Baptist
University,
Series
2016A
5
.000
11/01/36
500,108
2,165,000
California
Municipal
Finance
Authority,
Special
Tax
Revenue
Bonds,
Community
Facilities
District
2020-6,
County
of
Placer-
PV400,
Series
2022
5
.250
09/01/52
2,146,801
1,130,000
California
Municipal
Financing
Authority,
Certificates
of
Participation,
Palomar
Health,
Series
2022A
5
.250
11/01/52
1,130,678
1,000,000
(d)
California
Public
Finance
Authority,
Charter
School
Lease
Revenue
Bonds,
California
Crosspoint
Academy
Project,
Series
2020A
5
.125
07/01/55
773,153
3,260,000
California
Public
Finance
Authority,
Senior
Living
Revenue
Bonds,
The
James,
Senior
Series
2024A
6
.375
06/01/59
2,878,101
Portfolio
of
Investments
July
31,
2025
(continued)
NMZ
PRINCIPAL
DESCRIPTION
RATE
MATURITY
VALUE
CALIFORNIA
(continued)
$
1,000,000
(d)
California
School
Finance
Authority,
California,
Charter
School
Revenue
Bonds,
Alta
Public
Schools
-
Obligated
Group,
Series
2020A
6
.000
%
06/01/59
$
870,565
1,000,000
(d)
California
School
Finance
Authority,
California,
Charter
School
Revenue
Bonds,
Girls
Athletic
Leadership
School
Los
Angeles
Project,
Series
2021A
4
.000
06/01/61
647,006
1,355,000
(d)
California
School
Finance
Authority,
California,
Charter
School
Revenue
Bonds,
Hayward
Twin
Oaks
Montessori
Charter
School
Project,
Series
2024A
6
.000
06/15/54
1,199,893
1,000,000
(d)
California
School
Finance
Authority,
Charter
School
Revenue
Bonds,
Arts
in
Action
Charter
Schools
-
Obligated
Group,
Series
2020A
5
.000
06/01/40
878,303
5,185,000
(d)
California
School
Finance
Authority,
Charter
School
Revenue
Bonds,
Russell
Westbrook
Why
Not
Academy
Obligated
Group,
Series
2021A
4
.000
06/01/61
3,468,242
1,000,000
(d)
California
School
Finance
Authority,
Charter
School
Revenue
Bonds,
Scholarship
Prep
Public
Schools
Obligated
Group,
Series
2020A
5
.000
06/01/60
803,974
1,600,000
(d)
California
School
Finance
Authority,
Charter
School
Revenue
Bonds,
Scholarship
Prep
Public
Schools
Obligated
Group,
Series
2023A
6
.000
06/01/63
1,493,325
9,030,000
(d)
California
Statewide
Communities
Development
Authority,
California,
Revenue
Bonds,
Loma
Linda
University
Medical
Center,
Series
2016A
5
.250
12/01/56
8,348,187
500,000
(d)
California
Statewide
Communities
Development
Authority,
Revenue
Bonds,
Lancer
Educational
Student
Housing
Project,
Refunding
Series
2016A
5
.000
06/01/46
456,189
720,000
California
Statewide
Communities
Development
Authority,
Statewide
Community
Infrastructure
Program
Revenue
Bonds,
Series
2011A
8
.000
09/02/41
701,568
1,300,000
(d)
CMFA
Special
Finance
Agency
I,
California,
Essential
Housing
Revenue
Bonds,
The
Mix
at
Center
City,
Subordinate
Series
2021B
8
.000
04/01/56
995,799
1,750,000
(d)
CMFA
Special
Finance
Agency
VII,
California,
Essential
Housing
Revenue
Bonds,
Senior
Lien
Series
2021A-1
3
.000
08/01/56
1,138,000
300,000
Corona,
California,
Special
Tax
Bonds,
Community
Facilities
District
2018-2
Sierra
Bella,
Series
2022A
5
.000
09/01/42
302,415
21,800,000
(d)
CSCDA
Community
Improvement
Authority,
California,
Essential
Housing
Revenue
Bonds,
Altana
Glendale,
Series
2021A-2
4
.000
10/01/56
15,867,544
2,000,000
(d)
CSCDA
Community
Improvement
Authority,
California,
Essential
Housing
Revenue
Bonds,
Dublin
Mezzanine
Lien
Series
2021B
4
.000
02/01/57
1,425,242
2,000,000
(d)
CSCDA
Community
Improvement
Authority,
California,
Essential
Housing
Revenue
Bonds,
Escondido
Portfolio,
Social
Senior
Lien
Series
2021A-2
4
.000
06/01/58
1,492,070
1,000,000
(d)
CSCDA
Community
Improvement
Authority,
California,
Essential
Housing
Revenue
Bonds,
Moda
at
Monrovia
Station,
Social
Series
2021A-2
4
.000
10/01/56
723,431
2,000,000
(d)
CSCDA
Community
Improvement
Authority,
California,
Essential
Housing
Revenue
Bonds,
Monterrey
Station
Apartments,
Series
2021B
4
.000
07/01/58
1,241,727
4,250,000
(d)
CSCDA
Community
Improvement
Authority,
California,
Essential
Housing
Revenue
Bonds,
Pasadena
Portfolio
Social
Bond,
Mezzanine
Senior
Series
2021B
4
.000
12/01/56
3,077,102
2,000,000
(d)
CSCDA
Community
Improvement
Authority,
California,
Essential
Housing
Revenue
Bonds,
Westgate
Phase
1-Pasadena
Apartments,
Mezzanine
Lien
Series
2021B
4
.000
06/01/57
595,445
535,000
(d)
CSCDA
Community
Improvement
Authority,
California,
Essential
Housing
Revenue
Bonds,
Westgate
Phase
1-Pasadena
Apartments,
Senior
Lien
Series
2021A-2
3
.125
06/01/57
304,536
5,000,000
CSCDA
Community
Improvement
Authority,
California,
Essential
Housing
Revenue
Bonds,
Wood
Creek
Apartments,
Mezzanine
Lien
Series
2021A-2
4
.000
12/01/58
3,347,544
PRINCIPAL
DESCRIPTION
RATE
MATURITY
VALUE
CALIFORNIA
(continued)
$
2,145,000
CSCDA
Community
Improvement
Authority,
California,
Essential
Housing
Revenue
Bonds,
Wood
Creek
Apartments,
Mezzanine
Lien
Series
2021B
4
.000
%
12/01/59
$
1,129,657
3,430,000
CSCDA
Community
Improvement
Authority,
California,
Essential
Housing
Revenue
Bonds,
Wood
Creek
Apartments,
Senior
Lien
Series
2021A-1
3
.000
12/01/49
2,189,601
1,660,000
Daly
City
Housing
Development
Finance
Agency,
California,
Mobile
Home
Park
Revenue
Bonds,
Franciscan
Mobile
Home
Park
Project,
Refunding
Third
Tier
Series
2007C
6
.500
12/15/47
1,648,426
2,000,000
Daly
City
Housing
Development
Finance
Agency,
California,
Mobile
Home
Park
Revenue
Bonds,
Franciscan
Mobile
Home
Park,
Refunding
Series
2007A
5
.000
12/15/37
2,001,273
8,855,000
Golden
State
Tobacco
Securitization
Corporation,
California,
Tobacco
Settlement
Asset-Backed
Bonds,
Capital
Appreciation
Series
2021B-2
0
.000
06/01/66
850,701
7,000,000
Inland
Empire
Tobacco
Securitization
Authority,
California,
Tobacco
Settlement
Asset-Backed
Bonds,
Series
2007C-1.
Turbo
Capital
Appreciation
0
.000
06/01/36
3,172,564
1,000,000
Los
Angeles
County
Community
Facilities
District
2021-01,
California,
Special
Tax
Bond,
Valencia-Facilities
Improvement
Area
1,
Series
2022
5
.000
09/01/52
978,388
7,000,000
(e)
Los
Angeles
Department
of
Airports,
California,
Revenue
Bonds,
Los
Angeles
International
Airport,
Refunding
Subordinate
Green
Series
2025A,
(AMT),
(UB)
5
.000
05/15/55
6,847,274
535,000
Menifee
Union
School
District,
Riverside
County,
California,
Special
Tax
Bonds,
Community
Facilities
District
2011-1,
Improvement
Area
6,
Series
2021
4
.000
09/01/50
444,064
2,140,000
Oroville,
California,
Revenue
Bonds,
Oroville
Hospital
Series
2019
5
.250
04/01/54
1,605,560
750,000
(d),(e)
Sacramento
City
Financing
Authority
California,
Lease
Revenue
Bonds,
Master
Lease
Program
Facilities
Projects,
Tender
Option
Bond
Trust
2016-XG0100
-
AMBAC
Insured,
(IF)
12
.533
12/01/30
1,044,991
2,015,000
(d),(e)
Sacramento
City
Financing
Authority
California,
Lease
Revenue
Bonds,
Master
Lease
Program
Facilities
Projects,
Tender
Option
Bond
Trust
2016-XG0100
-
AMBAC
Insured,
(IF)
12
.640
12/01/33
3,082,720
7,090,000
San
Francisco
Airports
Commission,
California,
Revenue
Bonds,
San
Francisco
International
Airport,
Refunding
Second
Series
2019A,
(AMT),
(UB)
5
.000
05/01/49
6,952,928
10,000,000
(e)
San
Francisco
Airports
Commission,
California,
Revenue
Bonds,
San
Francisco
International
Airport,
Second
Series
2018D,
(AMT),
(UB)
5
.000
05/01/43
9,925,482
1,055,000
(d)
Temecula
Public
Financing
Authority,
California,
Special
Tax
Bonds,
Community
Facilities
District
16-01,
Series
2017
6
.250
09/01/47
1,076,801
6,000,000
Tobacco
Securitization
Authority
of
Southern
California,
Tobacco
Settlement
Asset-Backed
Bonds,
San
Diego
County
Tobacco
Asset
Securitization
Corporation,
First
Subordinate
CABs,
Series
2006B
0
.000
06/01/46
1,380,092
5,000,000
(e)
University
of
California
Regents,
Medical
Center
Pooled
Revenue
Bonds,
Series
2022P,
(UB)
4
.000
05/15/53
4,188,668
TOTAL
CALIFORNIA
159,352,810
COLORADO
-
17.4%
(10.5%
of
Total
Investments)
5,000,000
(d)
Aerotropolis
Regional
Transportation
Authority,
Colorado,
Special
Revenue
Bonds,
Series
2024
5
.750
12/01/54
4,844,129
1,220,000
Andrews
Farm
Metropolitan
District
1,
Hudson,
Colorado,
General
Obligation
Bonds,
Limited
Tax
Series
2025A
6
.375
12/01/55
1,212,020
703,000
Antelope
Heights
Metropolitan
District,
Colorado,
Limited
Tax
General
Obligation
Bonds,
Junior
Lien
Series
Series
2021B
5
.500
12/15/37
657,396
1,089,000
Aspen
Street
Metropolitan
District,
Broomfield
County
and
City,
Colorado,
Limited
Tax
General
Obligation
Bonds,
Series
2021A-3
5
.125
12/01/50
873,486
12,000,000
Aurora
Highlands
Community
Authority
Board,
Adams
County,
Colorado,
Special
Tax
Revenue
Bonds,
Refunding
&
Improvement
Series
2021A
5
.750
12/01/51
10,915,619
Portfolio
of
Investments
July
31,
2025
(continued)
NMZ
PRINCIPAL
DESCRIPTION
RATE
MATURITY
VALUE
COLORADO
(continued)
$
500,000
Aviation
Station
North
Metropolitan
District
2,
Denver
County,
Colorado,
Limited
Tax
General
Obligation
Bonds,
Subordinate
Series
2019B
7
.750
%
12/15/48
$
500,294
1,500,000
Belford
North
Metropolitan
District,
Douglas
County,
Colorado,
General
Obligation
Limited
Tax
Bonds,
Series
2020A
5
.500
12/01/50
1,280,572
1,000,000
Bennett
Ranch
Metropolitan
District
1,
Adams
County,
Colorado,
General
Obligation
Limited
Tax
Bonds,
Convertible
to
Unlimited
Tax
Series
2021A
5
.000
12/01/51
810,859
4,820,000
Berthoud-Heritage
Metropolitan
District
10,
Larimer
County,
Colorado,
Limited
Tax
General
Obligation
Bonds,
Senior
Series
2022A
4
.750
12/01/52
3,818,516
2,000,000
Bradley
Heights
Metropolitan
District
2,
Colorado
Springs,
El
Paso
County,
Colorado,
General
Obligation
Limited
Tax
Bonds,
Series
2021A-3
4
.750
12/01/51
1,495,153
1,000,000
Broadway
Station
Metropolitan
District
3,
Denver
City
and
County,
Colorado,
General
Obligation
Limited
Tax
Bonds,
Convertible
to
Unlimited
Series
2019A
5
.000
12/01/49
735,496
500,000
Centerra
Metropolitan
District
1,
Loveland,
Colorado,
Special
Revenue
Improvement
Bonds,
Series
2022
6
.500
12/01/53
515,939
460,000
Cherry
Creek
Corporate
Center
Metropolitan
District,
Arapahoe
County,
Colorado,
Revenue
Bonds,
Refunding
Subordinate
Lien
Series
2016B
8
.000
06/15/37
460,965
506,000
Clear
Creek
Transit
Metropolitan
District
2,
Adams
County,
Colorado,
Revenue
Supported
Limited
Tax
General
Obligation
Bonds,
Series
2021A
5
.000
12/01/41
386,587
500,000
Colorado
Educational
and
Cultural
Facilities
Authority,
Charter
School
Revenue
Bonds,
Community
Leadership
Academy
Project,
Series
2008
6
.250
07/01/28
500,884
100,000
(d)
Colorado
Educational
and
Cultural
Facilities
Authority,
Charter
School
Revenue
Bonds,
New
Summit
Charter
Academy
Project,
Series
2021A
4
.000
07/01/51
70,261
1,225,000
(d)
Colorado
Educational
and
Cultural
Facilities
Authority,
Charter
School
Revenue
Bonds,
New
Summit
Charter
Academy
Project,
Series
2021A
4
.000
07/01/61
808,034
3,800,000
(d)
Colorado
Educational
and
Cultural
Facilities
Authority,
Cultural
Facilities
Revenue
Bonds,
Stanley
Project,
Senior
Lien
Series
2025A-1
6
.875
02/01/59
3,845,276
720,000
(d)
Colorado
Educational
and
Cultural
Facilities
Authority,
Revenue
Bonds,
Global
Village
Academy
-
Northglenn
Project,
Series
2020
5
.000
12/01/55
597,915
3,000,000
(c)
Colorado
Health
Facilities
Authority,
Colorado,
Revenue
Bonds,
American
Baptist
Homes
of
the
Midwest
Obligated
Group,
Series
2013
8
.000
08/01/43
1,873,442
1,000,000
(c),(d)
Colorado
Health
Facilities
Authority,
Colorado,
Revenue
Bonds,
American
Baptist
Homes
Project,
Series
2016
6
.125
02/01/46
661,773
3,144,000
Colorado
International
Center
Metropolitan
District
8,
Adams
County,
Colorado,
Limited
Tax
General
Obligation
Bonds,
Series
2020
6
.500
12/01/50
3,128,129
1,625,000
Conestoga
Metropolitan
District
2,
Ault,
Weld
County,
Colorado,
Limited
Tax
General
Obligation
Bonds,
Refunding
&
Improvement
Series
2021A-3
5
.250
12/01/51
1,374,941
500,000
Copperleaf
Metropolitan
District
3,
Arapahoe
County,
Colorado,
Limited
Tax
General
Obligation
Bonds,
Subordinate
Series
2021B
5
.500
12/15/36
476,733
4,050,000
Dawson
Trails
Metropolitan
District
1,
Colorado,
In
The
Town
of
Castle
Rock,
Limited
Tax
General
Obligation
Capital
Appreciation
Turbo
Bonds,
Series
2024
0
.000
12/01/31
2,522,372
3,400,000
DC
Metropolitan
District,
Denver
County,
Colorado,
Limited
Tax
General
Obligation
Bonds,
Convertible
to
Unlimited
Tax
Series
2024A
5
.875
12/01/54
3,083,423
5,000,000
(e)
Denver
City
and
County,
Colorado,
Airport
System
Revenue
Bonds,
Subordinate
Lien
Series
2018A,
(AMT),
(UB)
5
.250
12/01/48
4,988,016
PRINCIPAL
DESCRIPTION
RATE
MATURITY
VALUE
COLORADO
(continued)
$
1,500,000
Denver
Gateway
Center
Metropolitan
District,
In
the
City
and
County
of
Denver,
Colorado,
General
Obligation
Limited
Tax
Bonds,
Series
2018A
5
.625
%
12/01/48
$
1,419,820
1,030,000
E-86
Metropolitan
District,
Elizabeth,
Elbert
County,
Colorado,
General
Obligation
Limited
Tax
Cash
Flow
Bonds,
Series
2021A-3
5
.125
12/01/51
847,666
1,000,000
(d)
Elbert
and
Highway
86
Commercial
Metropolitan
District,
Elbert
County,
Colorado,
Special
Revenue
and
Tax
Supported
Bonds,
Refunding
&
Improvement
Senior
Series
2021A
5
.000
12/01/51
879,126
960,000
Erie
Urban
Renewal
Authority,
Colorado,
Tax
Increment
Revenue
Bonds,
Series
2021
4
.000
12/01/38
789,576
4,150,000
(d)
Falcon
Area
Water
and
Wastewater
Authority
(El
Paso
County,
Colorado),
Tap
Fee
Revenue
Bonds,
Series
2022A
6
.750
12/01/34
4,034,237
3,080,000
Foothills
Metropolitan
District,
Fort
Collins,
Colorado,
Special
Revenue
Bonds,
Series
2014
6
.000
12/01/38
2,884,754
1,500,000
Four
Corners
Business
Improvement
District,
Erie,
Boulder
County,
Colorado,
Limited
Tax
Supported
Revenue
Bonds,
Series
2022
6
.000
12/01/52
1,458,171
8,380,000
Fourth
North
Business
Improvement
District,
Silverthorne,
Summit
County,
Colorado,
Special
Revenue
and
Tax
Supported
Bonds,
Refunding
&
Improvement
Senior
Series
2022A
5
.500
12/01/42
8,073,785
1,000,000
Fourth
North
Business
Improvement
District,
Silverthorne,
Summit
County,
Colorado,
Special
Revenue
and
Tax
Supported
Bonds,
Refunding
&
Improvement
Senior
Series
2022A
5
.750
12/01/52
953,307
2,260,000
Fourth
North
Business
Improvement
District,
Silverthorne,
Summit
County,
Colorado,
Special
Revenue
and
Tax
Supported
Bonds,
Subordinate
Series
2022B
8
.125
12/15/52
2,265,947
3,000,000
Future
Legends
Sports
Park
Business
Improvement
District,
Colorado,
Limited
Tax
General
Obligation
Bonds
Series
2022A
and
Subordinate
Limited
Tax
General
Obligation
Bonds
Series
2022B
6
.000
12/01/52
2,401,294
1,000,000
Future
Legends
Sports
Park
Business
Improvement
District,
Colorado,
Limited
Tax
General
Obligation
Bonds
Series
2022A
and
Subordinate
Limited
Tax
General
Obligation
Bonds
Series
2022B
8
.500
12/15/52
838,543
2,995,000
(d)
Future
Legends
Sports
Park
Metropolitan
District
2,
Colorado,
Limited
Tax
General
Obligation
Bonds,
Series
2020A
5
.500
06/01/50
2,251,453
500,000
(d)
Glen
Metropolitan
District
3,
El
Paso
County,
Colorado,
General
Obligation
Limited
Tax
Bonds,
Series
2021
4
.250
12/01/51
383,774
500,000
Grand
Junction
Dos
Rios
General
Improvement
District,
Grand
Junction,
Mesa
County,
Colorado,
Special
Revenue
Bonds,
Series
2021
4
.500
12/01/41
398,741
500,000
Grand
Junction
Dos
Rios
General
Improvement
District,
Grand
Junction,
Mesa
County,
Colorado,
Special
Revenue
Bonds,
Series
2021
4
.750
12/01/51
370,252
1,250,000
Grandview
Reserve
Metropolitan
District,
El
Paso
County,
Colorado,
Limited
Tax
General
Obligation
Senior
Bonds,
Series
2022A
and
Limited
Tax
General
Obligation
Subordinate
Bonds,
Series
2022B(3)
6
.250
12/01/52
1,171,975
1,250,000
Grandview
Reserve
Metropolitan
District,
El
Paso
County,
Colorado,
Limited
Tax
General
Obligation
Senior
Bonds,
Series
2022A
and
Limited
Tax
General
Obligation
Subordinate
Bonds,
Series
2022B(3)
9
.000
12/15/52
1,252,440
1,480,000
(d)
Hess
Ranch
Metropolitan
District
5,
Parker,
Colorado,
Special
Assessment
Revenue
Bonds,
Special
Improvement
District
2,
Series
2024
5
.500
12/01/44
1,429,053
540,000
Highlands
Metropolitan
District
1,
Broomfield
City and
County,
colorado,
Limited
Tax
General
Obligation
Bonds,
Convertible
to
Unlimited
Tax
Series
2021
5
.000
12/01/41
480,883
810,000
Jefferson
Center
Metropolitan
District
1,
Arvada,
Jefferson
County,
Colorado,
Special
Revenue
Bonds,
Subordinate
Series
2020B
5
.750
12/15/50
799,319
Portfolio
of
Investments
July
31,
2025
(continued)
NMZ
PRINCIPAL
DESCRIPTION
RATE
MATURITY
VALUE
COLORADO
(continued)
$
1,700,000
Jones
District
Community
Authority
Board,
Centennial,
Colorado,
Special
Revenue
Convertible
Capital
Appreciaiton
Bonds,
Series
2020A
5
.750
%
12/01/50
$
1,526,407
1,000,000
(d)
Kremmling
Memorial
Hospital
District,
Colorado,
Certificates
of
Participation,
Series
2024
6
.625
12/01/56
920,225
1,000,000
Lakota
Pointe
Metropolitan
District
1,
Winter
Park,
Colorado,
Limited
Tax
General
Obligation
Bonds,
Series
2025A
6
.000
12/01/55
988,415
500,000
Lanterns
Metropolitan
District
2,
Castle
Rock,
Douglas
County,
Colorado,
Limited
Tax
General
Obligation
Bonds,
Series
2021A-3
4
.500
12/01/50
364,193
1,000,000
Larkridge
Metropolitan
District
No.
2,
In
the
City
of
Thornton,
Adams
County,
Colorado,
General
Obligation,
Limited
Tax
Convertible
to
Unlimited
Tax,
Improvement
Bonds,
Refunding
Series
2019
5
.250
12/01/48
921,030
5,000,000
(d)
Ledge
Rock
Center
Commercial
Metropolitan
District
(In
the
Town
of
Johnstown,
Weld
County,
Colorado),
Limited
Tax
General
Obligation
Bonds,
Series
2022
7
.375
11/01/52
5,138,224
4,000,000
Legato
Community
Authority,
Colorado,
Commerce
City
Colorado
Limited
Tax
Supported
Revenue
Bonds
District
12
3
&
7
Convertible
Capital
Appreciation
Series
2021A-2
5
.000
12/01/51
2,920,217
1,000,000
Legato
Community
Authority,
Colorado,
Commerce
City
Limited
Tax
Supported
Revenue
Bonds
District
12
3
&
7
Series
2021B
8
.250
12/15/51
1,001,436
500,000
Mayberry
Community
Authority,
Colorado
Springs,
El
Paso
County,
Colorado,
Special
Revenue
Bonds,
Series
2021A
5
.000
12/01/41
452,479
500,000
Mayberry
Community
Authority,
Colorado
Springs,
El
Paso
County,
Colorado,
Special
Revenue
Bonds,
Series
2021A
5
.000
04/15/51
419,817
1,000,000
Meadowbrook
Heights
Metropolitan
District,
Jefferson
County,
Colorado,
General
Obligation
Limited
Tax
Bonds,
Series
2021A(3)
4
.875
12/01/51
833,135
1,100,000
Mirabelle
Metropolitan
District
2,
Douglas
County,
Colorado,
Limited
Tax
General
Obligation
Bonds,
Subordinate
Series
2025B
6
.125
12/15/49
1,049,773
500,000
Murphy
Creek
Metropolitan
District
5
(In
the
City
of
Aurora,
Arapahoe
County,
Colorado),
General
Obligation
Limited
Tax
Bonds,
Series
2022A
and
Subordinate
General
Obligation
Limited
Tax
Bonds,
Series
2022B(3)
6
.000
12/01/52
466,821
500,000
North
Pine
Vistas
Metropolitan
District
3,
Castle
Pines,
Douglas
County,
Colorado,
Limited
Tax
General
Obligation
Bonds,
Subordinate
Series
2021B
-
AGM
Insured
4
.625
12/15/51
418,925
4,000,000
North
Range
Metropolitan
District
3,
Adams
County,
Colorado,
Limited
Tax
General
Obligation
Bonds,
Series
2020A-3
5
.250
12/01/50
3,833,530
1,535,000
(c)
North
Vista
Highlands
Metropolitan
District
3,
Pueblo
County,
Colorado,
Limited
Tax
General
Obligation
Bonds,
Series
2020
5
.125
12/01/49
1,231,245
1,000,000
Northfield
Metropolitan
District
2,
Fort
Collins,
Larimer
County,
Colorado,
Limited
Tax
General
Obligation
Bonds,
Series
2020A
5
.000
12/01/50
836,706
1,500,000
Overlook
Park
Metropolitan
District,
Routt
County,
Colorado,
General
Obligation
Bonds,
Limited
Tax
Senior
Series
2023A
7
.250
12/01/53
1,475,989
6,555,000
(c)
Painted
Prairie
Public
Improvement
Authority,
Aurora,
Colorado,
Special
Revenue
Bonds,
Series
2019
5
.000
12/01/49
5,581,132
500,000
(d)
Parkdale
Community
Authority,
Erie
County,
Colorado,
Limited
Tax
Supported
Convertible
Capital
Appreciation
Revenue
Bonds,
District
2,
Series
2024A
7
.750
12/01/53
395,723
500,000
Parkdale
Community
Authority,
Erie,
Colorado,
Limited
Tax
Supported
Revenue
Bonds,
District
1,
Series
2020A
5
.250
12/01/50
516,020
2,050,000
(d)
Peak
Metropolitan
District
1,
Colorado
Springs,
El
Paso
County,
Colorado,
Limited
Tax
General
Obligation
Bonds,
Series
2021A
5
.000
12/01/51
1,644,835
9,300,000
Peak
Metropolitan
District
3,
Colorado
Springs,
El
Paso
County,
Colorado,
Limited
Tax
General
Obligation
Convertible
Capital
Appreciation
Bonds,
Series
2022A-2
8
.000
12/01/52
6,147,382
4,663,000
Pioneer
Community
Authority
Board
(Weld
County,
Colorado),
Special
Revenue
Bonds,
Series
2022
6
.500
12/01/34
4,409,173
PRINCIPAL
DESCRIPTION
RATE
MATURITY
VALUE
COLORADO
(continued)
$
500,000
(d)
Prairie
Center
Metopolitan
District
No.
3,
In
the
City
of
Brighton,
Adams
County,
Colorado,
Limited
Property
Tax
Supported
Primary
Improvements
Revenue
Bonds,
Refunding
Series
2017A
5
.000
%
12/15/41
$
484,213
870,000
Prairie
Center
Metropolitan
District
No.
3,
In
the
City
of
Brighton,
Adams
County,
Colorado,
Limited
Property
Tax
Supported
District
Improvements
Revenue
Bonds,
Refunding
Series
2024B
5
.875
12/15/46
890,382
1,000,000
(d)
Prairie
Song
Metropolitan
District
4,
Windsor,
Colorado,
Limited
Tax
General
Obligation
Bonds,
Series
2021
6
.000
12/01/51
945,634
1,000,000
(d)
Pueblo
Urban
Renewal
Authority,
Colorado,
Tax
Increment
Revenue
Bonds,
EVRAZ
Project,
Series
2021A
4
.750
12/01/45
883,533
1,000,000
Raindance
Metropolitan
District
1,
Acting
by
and
through
its
Water
Activity
Enterprise
In
the
Town
of
Windsor,
Weld
County,
Colorado,
Non-Potable
Water
Enterprise
Revenue
Bonds,
Series
2020
5
.250
12/01/50
914,076
1,900,000
(d)
Reagan
Ranch
Metropolitan
District
1,
Colorado
Springs,
Colorado,
General
Obligation
Bonds,
Limited
Tax
&
Special
Revenue,
Series
2025
6
.125
12/01/54
1,784,363
2,000,000
Reagan
Ranch
Metropolitan
District
1,
Colorado
Springs,
Colorado,
General
Obligation
Bonds,
Limited
Tax
Series
2021-3
5
.375
12/01/51
1,688,245
2,900,000
Redtail
Ridge
Metropolitan
District,
City
of
Louisville,
Boulder
County,
Colorado,
General
Obligation
Limited
Tax
Capital
Appreciation
Turbo
Bonds,
Series
2025
0
.000
12/01/32
1,733,291
1,000,000
Remuda
Ranch
Metropolitan
District,
Douglas
County,
Colorado,
Limited
Tax
General
Obligation
Bonds,
Series
2020A
5
.000
12/01/50
790,143
703,067
Reunion
Metropolitan
District,
Acting
By
and
Through
its
Water
Activity
Enterprise, Adams
County,
Colorado,
Special
Revenue
Bonds,
Series
2021
3
.625
12/01/44
487,896
1,000,000
(d)
Ridge
at
Johnstown
Metropolitan
District
8,
Larimer
County,
Colorado,
Special
Assessment
Revenue
Bonds,
Special
Improvement
District
1,
Series
2024
5
.875
12/01/44
906,413
1,000,000
Riverpark
Metropolitan
District,
Arapahoe
County,
Colorado,
Limited
Tax
General
Obligation
and
Special
Revenue
Bonds,
Series
2024
6
.375
12/01/54
980,280
570,000
Riverview
Metropolitan
District,
Steamboat
Springs,
Routt
County,
Colorado,
General
Obligation
Limited
Tax
Bonds,
Convertible
to
Unlimited
Tax
Refunding
Series
2021
5
.000
12/01/51
475,918
1,000,000
Riverwalk
Metropolitan
District
2,
Glendale,
Arapahoe
County,
Colorado,
Special
Revenue
Bonds,
Series
2022A
5
.000
12/01/52
807,951
1,000,000
Rock
Metropolitan
District,
El
Paso
County,
Colorado,
Limited
Tax
General
Obligation
Bonds,
Series
2025A
5
.625
12/01/54
939,818
2,000,000
RRC
Metropolitan
District
2,
Jefferson
County,
Colorado,
Limited
Tax
General
Obligation
Bonds,
Series
2021
5
.250
12/01/51
1,681,275
2,000,000
Sagebrush
Farm
Metropolitan
District
1,
Aurora,
Adams
County,
Colorado,
General
Obligation
Limited
Tax
Bonds,
Series
2022A
6
.750
12/01/52
2,022,467
1,205,000
Sagebrush
Farm
Metropolitan
District
1,
Aurora,
Adams
County,
Colorado,
General
Obligation
Limited
Tax
Bonds,
Subordinate
Series
2024
8
.000
12/15/54
1,208,323
1,740,000
Siena
Lake
Metropolitan
District,
Gypsum,
Colorado,
General
Obligation
Limited
Tax
Bonds,
Series
2021
3
.750
12/01/41
1,317,099
1,440,000
Siena
Lake
Metropolitan
District,
Gypsum,
Colorado,
General
Obligation
Limited
Tax
Bonds,
Series
2021
4
.000
12/01/51
990,152
1,025,000
Silver
Leaf
Metropolitan
District,
Jefferson
County,
Colorado,
General
Obligation
Limited
Tax
Bonds,
Series
2021A-3
5
.250
12/01/50
873,345
5,000,000
Sterling
Ranch
Community
Authority
Board,
Douglas
County,
Colorado,
Limited
Tax
Supported
and
Special
Revenue
Bonds,
Special
District
3,
Series
2022
6
.750
12/01/53
5,121,720
1,250,000
(d)
Sterling
Ranch
Community
Authority
Board,
Douglas
County,
Colorado,
Limited
Tax
Supported
and
Special
Revenue
Bonds,
Special
District
4
Subdistrict
B,
Refunding
&
Improvement
Series
2024A
5
.750
12/01/54
1,187,872
Portfolio
of
Investments
July
31,
2025
(continued)
NMZ
PRINCIPAL
DESCRIPTION
RATE
MATURITY
VALUE
COLORADO
(continued)
$
1,000,000
Sterling
Ranch
Community
Authority
Board,
Douglas
County,
Colorado,
Limited
Tax
Supported
and
Special
Revenue
Bonds,
Special
District
4,
Series
2024A
6
.500
%
12/01/54
$
1,009,979
2,790,000
Sterling
Ranch
Metropolitan
District
1,
El
Paso
County,
Colorado,
General
Obligation
Limited
Tax
Bonds,
Series
2020
5
.125
12/01/50
2,518,275
3,000,000
(c)
Stone
Ridge
Metropolitan
District
2,
Colorado,
General
Obligation
Bonds,
Limited
Tax
Convertible
to
Unlimited,
Series
2007
7
.250
12/01/31
480,000
685,000
Three
Springs
Metropolitan
District
1,
Durango,
La
Plata
County,
Colorado,
Limited
Tax
General
Obligation
Bonds,
Refunding
Subordinate
Series
2020B
7
.125
12/15/50
681,199
1,000,000
Transport
Metropolitan
District
3,
In
the
City
of
Aurora,
Adams
County,
Colorado,
General
Obligation
Limited
Bonds,
Series
2021A-1
5
.000
12/01/41
820,177
3,000,000
Transport
Metropolitan
District
3,
In
the
City
of
Aurora,
Adams
County,
Colorado,
General
Obligation
Limited
Bonds,
Series
2021A-1
5
.000
12/01/51
2,203,003
1,000,000
(d)
Tree
Farm
Metropolitan
District,
Eagle
County,
Colorado,
General
Obligation
Limited
Tax
Bonds,
Series
2021
4
.750
12/01/50
808,497
1,500,000
(d)
Vail
Home
Partners
Corporation,
Colorado,
Housing
Facilities
Revenue
Bonds,
Series
2025
6
.000
10/01/64
1,472,465
1,000,000
Velocity
Metropolitan
District
3,
In
the
City
of
Aurora,
Colorado,
Limited
Tax
General
Obligation
Bonds,
Series
2019
5
.375
12/01/39
945,252
1,500,000
Velocity
Metropolitan
District
5,
In
the
City
of
Aurora,
Colorado,
Limited
Tax
General
Obligation
Bonds,
Convertible
Capital
Appreciation
Series
2020A-2
6
.000
12/01/50
1,251,004
1,570,000
Velocity
Metropolitan
District
5,
In
the
City
of
Aurora,
Colorado,
Limited
Tax
General
Obligation
Bonds,
Series
2020A-1
5
.375
12/01/50
1,402,209
1,000,000
Verve
Metropolitan
District
1,
Jefferson
County
and
the
City
and
County
of
Broomfield,
Colorado,
General
Obligation
Bonds,
Refunding
and
Improvement
Limited
Tax
Series
2021
5
.000
12/01/51
833,826
500,000
Village
East
Community
Metropolitan
District,
Frederick,
Weld
County,
Colorado,
Limited
Tax
General
Obligation
Bonds,
Series
2020A
5
.250
12/01/50
434,074
1,100,000
Village
Metropolitan
District
In
the
Town
of
Avon,
Eagle
County,
Colorado,
Special
Revenue
and
Limited
Property
Tax
Bonds,
Refunding
&
Improvement
Series
2020
5
.000
12/01/40
1,088,480
3,000,000
Villages
at
Johnstown
Metropolitan
District
7,
Johnstown,
Colorado,
Limited
Tax
General
Obligation
Bonds,
Series
2022A(3)
6
.250
12/01/52
2,788,133
1,000,000
Waterfront
at
Foster
Lake
Metropolitan
District
2,
Weld
County,
Colorado,
Special
Revenue
Bonds,
Series
2022
4
.625
12/01/28
904,240
1,000,000
Waterview
II
Metropolitan
District,
El
Paso
County,
Colorado,
Limited
Tax
General
Obligation
Bonds,
Series
2022A
5
.000
12/01/41
957,432
1,230,000
Waterview
II
Metropolitan
District,
El
Paso
County,
Colorado,
Limited
Tax
General
Obligation
Bonds,
Series
2022A
5
.000
12/01/51
1,119,419
1,750,000
(d)
Waterview
North
Metropolitan
District
1,
Colorado,
General
Obligation
Bonds,
Limited
Tax
Series
2024A
5
.750
12/01/54
1,590,278
1,500,000
West
Globeville
Metropolitan
District
1,
Denver,
Colorado,
General
Obligation
Limited
Tax
Bonds,
Series
2022
6
.750
12/01/52
1,439,887
3,500,000
(d)
West
Globeville
Metropolitan
District
1,
Denver,
Colorado,
General
Obligation
Limited
Tax
Bonds,
Series
2024A-2
8
.000
12/01/54
2,183,562
1,100,000
(d)
West
Globeville
Metropolitan
District
1,
Denver,
Colorado,
Special
Assessment
Revenue
Bonds,
Special
Improvement
District
1,
Series
2024
5
.750
12/01/44
1,034,248
600,000
West
Valley
Metropolitan
District
3,
Colorado,
General
Obligation
Bonds,
Limited
Tax
Windsor
Series
2024A
5
.250
12/01/54
554,807
1,000,000
Westgate
Metropolitan
District,
Colorado
Springs,
El
Paso
County,
Colorado,
General
Obligation
Limited
Tax
Bonds,
Series
2022
5
.125
12/01/51
818,954
1,000,000
(d)
Westwood
Metropolitan
District,
Thornton,
Adams
County,
Colorado,
Limited
Tax
General
Obligation
Bonds,
Senior
Series
2021A
4
.000
12/01/51
854,389
PRINCIPAL
DESCRIPTION
RATE
MATURITY
VALUE
COLORADO
(continued)
$
4,390,000
(d)
Windler
Public
Improvement
Authority,
Aurora,
Colorado,
Limited
Tax
Supported
Revenue
Bonds,
Convertible
Capital
Appreciation
Series
2021A-2
4
.625
%
12/01/51
$
2,770,848
7,500,000
(d)
Windler
Public
Improvement
Authority,
Aurora,
Colorado,
Limited
Tax
Supported
Revenue
Bonds,
Series
2021A-1
4
.125
12/01/51
5,484,270
705,000
Windsor
Highlands
Metropolitan
District
9,
Windsor,
Larimer
County,
Colorado,
Limited
Tax
Supported
Revenue
Bonds,
Series
2019
5
.000
12/01/49
597,134
1,000,000
(d)
Winsome
Metropolitan
District
No.
3,
El
Paso
County,
Colorado,
General
Obligation
Limited
Tax
Bonds,
Series
2021A
5
.125
12/01/50
838,813
778,000
Woodmen
Heights
Metropolitan
District
2,
El
Paso
County,
Colorado,
General
Obligation
Limited
Tax
Bonds,
Taxable
Converting
to
Tax-Exempt
Refunding
Subordinate
Series
2020B-1
6
.250
12/15/40
755,078
TOTAL
COLORADO
201,069,519
CONNECTICUT
-
0.4%
(0.3%
of
Total
Investments)
2,000,000
Connecticut
Health
and
Educational
Facilities
Authority,
Revenue
Bonds,
Stamford
Hospital,
Forward
Delivery
Series
2022M
4
.000
07/01/41
1,794,456
3,570,000
(e)
Connecticut
Housing
Finance
Authority,
Housing
Mortgage
Finance
Program
Bonds,
Social
Series
2024A,
(UB)
4
.600
11/15/49
3,326,754
TOTAL
CONNECTICUT
5,121,210
DISTRICT
OF
COLUMBIA
-
1.3%
(0.8%
of
Total
Investments)
5,000,000
District
of
Columbia
Tobacco
Settlement
Corporation,
Tobacco
Settlement
Asset-Backed
Bonds,
Series
2006A
0
.000
06/15/46
1,203,785
1,971,000
(d)
District
of
Columbia,
Revenue
Bonds,
Saint
Paul
on
Fouth
Street,
Inc.,
Series
2019A
5
.250
05/15/55
1,570,010
5,100,000
(e)
Metropolitan
Washington
Airports
Authority,
Virginia,
Dulles
Toll
Road
Revenue
Bonds,
Dulles
Metrorail
&
Capital
improvement
Projects,
Refunding
&
Subordinate
Lien
Series
2019B
-
AGM
Insured,
(UB)
4
.000
10/01/53
4,274,403
4,750,000
Metropolitan
Washington
Airports
Authority,
Virginia,
Dulles
Toll
Road
Revenue
Bonds,
Dulles
Metrorail
&
Capital
Improvement
Projects,
Refunding
Second
Senior
Lien
Series
2022A
-
AGM
Insured
4
.000
10/01/52
3,943,727
5,640,000
(e)
Metropolitan
Washington
Airports
Authority,
Virginia,
Dulles
Toll
Road
Revenue
Bonds,
Dulles
Metrorail
&
Capital
Improvement
Projects,
Refunding
Second
Senior
Lien
Series
2022A
-
AGM
Insured,
(UB)
4
.000
10/01/52
4,682,656
TOTAL
DISTRICT
OF
COLUMBIA
15,674,581
FLORIDA
-
17.6%
(10.6%
of
Total
Investments)
350,000
Abbott
Square
Community
Development
District,
Zephyrhills,
Florida,
Special
Assessment
Revenue
Bonds,
2022
Project
Series
2022
5
.500
06/15/52
335,444
1,645,000
(d)
Alachua
County
Health
Facilities
Authority,
Florida,
Health
Facilities
Revenue
Bonds,
Terraces
at
Bonita
Springs
Project,
Refunding
Series
2022A
5
.000
11/15/61
1,175,990
1,680,000
Ave
Maria
Stewardship
Community
District,
Florida,
Capital
Improvement
Revenue
Bonds,
2015
Assessment
Project,
Series
2015
5
.375
05/01/45
1,658,253
1,245,000
Ave
Maria
Stewardship
Community
District,
Florida,
Capital
Improvement
Revenue
Bonds,
Ave
Maria
National
Project,
Series
2021
4
.000
05/01/51
960,533
2,000,000
(d)
Ave
Maria
Stewardship
Community
District,
Florida,
Capital
Improvement
Revenue
Bonds,
Phase
3
Master
Improvements
Project,
Series
2021
4
.000
05/01/52
1,503,635
1,000,000
(d)
Ave
Maria
Stewardship
Community
District,
Florida,
Capital
Improvement
Revenue
Bonds,
Phase
4
Master
Improvement
Project,
Series
2023
5
.500
05/01/53
948,545
1,955,000
Avenir
Community
Development
District,
Palm
Beach
Gardens,
Florida,
Special
Assessment
Bonds,
Area
3
-
Master
Infrastructure
Project,
Series
2023
5
.625
05/01/54
1,918,155
Portfolio
of
Investments
July
31,
2025
(continued)
NMZ
PRINCIPAL
DESCRIPTION
RATE
MATURITY
VALUE
FLORIDA
(continued)
$
1,020,000
(d)
Babcock
Ranch
Community
Independent
Special
District,
Charlotte
County,
Florida,
Special
Assessment
Bonds,
2021
Project
Series
2021
4
.000
%
05/01/52
$
785,043
1,100,000
Babcock
Ranch
Community
Independent
Special
District,
Charlotte
County,
Florida,
Special
Assessment
Bonds,
2022
Project
Series
2022
5
.000
05/01/53
1,010,760
500,000
(d)
Babcock
Ranch
Community
Independent
Special
District,
Charlotte
County,
Florida,
Special
Assessment
Bonds,
2024
Project
Series
2024
5
.250
05/01/55
467,854
995,000
Babcock
Ranch
Community
Independent
Special
District,
Charlotte
County,
Florida,
Special
Assessment
Bonds,
Series
2015
5
.250
11/01/46
968,188
1,950,000
Balm
Grove
Community
Development
District,
Florida,
Special
Assessment
Bonds,
2022
Project,
Series
2022
4
.125
11/01/51
1,534,441
335,000
Belmond
Reserve
Community
Development
District,
Florida,
Hillsborough
County
Special
Assessment
Revenue
Bonds
2020
Project
Series
2020
4
.000
05/01/51
269,636
885,000
Belmont
Community
Development
District,
Florida,
Capital
Improvement
Revenue
Bonds,
Phase
1
Project,
Series
2013A
6
.125
11/01/33
945,575
1,445,000
Boggy
Creek
Improvement
District,
Orlando,
Florida,
Special
Assessment
Revenue
Bonds,
Refunding
Series
2013
5
.125
05/01/43
1,382,576
600,000
Bonterra
Community
Development
District,
Hialeah,
Florida,
Special
Assessment
Bonds,
Assessment
Area
2
Project,
Series
2016
4
.750
05/01/46
546,747
500,000
(d)
Buckhead
Trails
Community
Development
District,
Manatee
County
Florida,
Special
Assessment
Bonds,
2022
Project
Series
2022
5
.750
05/01/52
483,047
1,625,000
Capital
Projects
Finance
Authority,
Florida,
Student
Housing
Revenue
Bonds,
PRG
-
UnionWest
Properties
LLC
Project,
Senior
Series
2024A-1
5
.000
06/01/54
1,475,391
285,000
(d)
Capital
Trust
Agency,
Florida,
Educational
Facilities
Revenue
Bonds,
AcadeMir
Charter
Schools,
Series
2021A
4
.000
07/01/41
235,557
1,070,000
(d)
Capital
Trust
Agency,
Florida,
Educational
Facilities
Revenue
Bonds,
AcadeMir
Charter
Schools,
Series
2021A
4
.000
07/01/51
777,552
2,483,703
(d)
Capital
Trust
Agency,
Florida,
Educational
Facilities
Revenue
Bonds,
LLT Academy
South
Bay
Project,
Series
2020A
6
.000
06/15/55
2,111,009
500,000
(d)
Capital
Trust
Agency,
Florida,
Revenue
Bonds,
Babcock
Neighborhood
School
Inc,
Series
2021
4
.000
08/15/51
358,924
1,000,000
(d)
Capital
Trust
Agency,
Florida,
Revenue
Bonds,
Babcock
Neighborhood
School
Inc,
Series
2021
4
.250
08/15/61
710,090
1,000,000
(c),(d)
Capital
Trust
Agency,
Florida,
Revenue
Bonds,
Tuscan
Gardens
of
Palm
Coast
Project,
Series
2017A
7
.000
10/01/49
680,000
1,000,000
(d)
Capital
Trust
Agency,
Florida,
Senior
Living
Facilities
Revenue
Bonds,
Elim
Senior
Housing,
Inc.
Project,
Series
2017
5
.875
08/01/52
793,941
1,500,000
(d)
Capital
Trust
Authority,
Florida,
Educational
Facilities
Revenue
Bonds,
Babcock
Neighborhood
School
Inc
Project,
Series
2024
6
.000
08/15/63
1,325,732
1,400,000
Capital
Trust
Authority,
Florida,
Educational
Facilities
Revenue
Bonds,
LLT
Academy
South
Bay
Project,
Series
2025
7
.250
06/15/55
1,400,847
955,000
(c)
Celebration
Pointe
Community
Development
District
1,
Alachua
County,
Florida,
Special
Assessment
Revenue
Bonds,
Series
2014
5
.125
05/01/45
764,000
1,000,000
(d)
Charlotte
County
Industrial
Development
Authority,
Florida,
Utility
System
Revenue
Bonds,
Town
&
Country
Utilities
Project,
Series
2019,
(AMT)
5
.000
10/01/49
910,516
1,000,000
(d)
Charlotte
County
Industrial
Development
Authority,
Florida,
Utility
System
Revenue
Bonds,
Town
&
Country
Utilities
Project,
Series
2021A,
(AMT)
4
.000
10/01/41
863,643
210,000
(d)
Coddington
Community
Development
District,
Manatee
County,
Florida,
Capital
Improvement
Revenue
Bonds,
Series
2022
5
.750
05/01/42
214,324
995,000
(d)
Cross
Creek
North
Community
Development
District,
Clay
County,
Florida,
Special
Assessment
Bonds,
Series
2018
5
.375
11/01/50
979,847
1,610,000
(d)
Crossings
Community
Development
District,
Osceola
County,
Florida,
Special
Assessment
Revenue
Bonds,
Series
2024
5
.600
05/01/54
1,520,184
PRINCIPAL
DESCRIPTION
RATE
MATURITY
VALUE
FLORIDA
(continued)
$
1,000,000
(d)
Crosswinds
East
Community
Development
District,
Polk
County,
Florida,
Special
Assessment
Revenue
Bonds,
Assessment
Area
One
Series
2024
5
.750
%
05/01/54
$
961,980
1,440,000
Currents
Community
Development
District,
Collier
County,
Florida,
Capital
Improvement
Revenue
Bonds,
Assessment
Area
2
Series
2024
5
.800
05/01/54
1,323,517
1,485,000
Cypress
Mill
Community
Development
District,
Hillsborough
County,
Florida,
Special
Assessment
Bonds,
Assessment
Area
2,
Series
2020
4
.000
06/15/40
1,306,625
1,395,000
(d)
Del
Webb
Sunchase
Community
Development
District,
Manatee
County,
Florida,
Special
Assessment
Bonds,
Series
2025
5
.625
05/01/55
1,337,482
1,605,000
East
Nassau
Stewardship
District,
Florida,
Special
Assessment
Revenue
Bonds,
Wildlight
Village
Phase
3
Series
2024
5
.500
05/01/55
1,485,650
1,000,000
(d)
East
Palm
Drive
Community
Development
District,
Florida,
Special
Assessment
Bonds,
Assessment
Area
1,
Series
2024
5
.375
06/15/54
940,626
1,500,000
Edgewater
East
Community
Development
District,
Osceola
County,
Florida,
Special
Assessment
Revenue
Bonds,
Assessment
Area
2
Series
2022
4
.000
05/01/52
1,157,882
700,000
Edgewater
East
Community
Development
District,
Osceola
County,
Florida,
Special
Assessment
Revenue
Bonds,
Assessment
Area
3
Series
2025
6
.300
05/01/55
689,683
820,000
(d)
Epperson
North
Community
Development
District,
Florida,
Capital
Improvement
Revenue
Bonds,
Assessment
Area
4,
Series
2024
5
.600
05/01/55
763,884
1,285,000
Epperson
Ranch
II
Community
Development
District,
Florida,
Capital
Improvement
Revenue
Bonds,
Assessment
Area
Two,
Series
2020
4
.375
05/01/51
1,057,520
1,215,000
Esplanade
Lake
Club
Community
Development
District,
Lee
County,
Florida,
Capital
Improvement
Bonds,
Series
2019A-1
4
.125
11/01/50
971,940
1,000,000
(d)
Everlands
II
Community
Development
District,
Palm
Bay,
Florida,
Special
Assessment
Revenue
Bonds,
Series
2024
5
.450
06/15/54
940,432
1,245,000
(d)
Florida
Development
Finance
Corporation,
Educational
Facilities
Revenue
Bonds,
Creative
Inspiration
Journey
School
of
St.
Cloud,
Series
2021A
5
.000
06/15/51
1,017,236
1,850,000
Florida
Development
Finance
Corporation,
Educational
Facilities
Revenue
Bonds,
Downtown
Doral
Charter
Elementary
School
Project,
Series
2014A
6
.500
07/01/44
1,850,513
1,000,000
(d)
Florida
Development
Finance
Corporation,
Educational
Facilities
Revenue
Bonds,
Downtown
Doral
Charter
Elementary
School
Project,
Series
2017A
5
.750
07/01/44
961,955
2,000,000
(d)
Florida
Development
Finance
Corporation,
Educational
Facilities
Revenue
Bonds,
Dreamers
Academy
Project,
Series
2022A
6
.000
01/15/57
1,719,389
565,000
(d)
Florida
Development
Finance
Corporation,
Educational
Facilities
Revenue
Bonds,
Florida
Charter
Foundation
Inc.
Projects,
Series
2016A
5
.000
07/15/46
497,373
655,000
(d)
Florida
Development
Finance
Corporation,
Educational
Facilities
Revenue
Bonds,
Pepin
Academies
of
Pasco
County
Inc.,
Series
2020A
5
.000
01/01/50
512,835
120,000
(d)
Florida
Development
Finance
Corporation,
Educational
Facilities
Revenue
Bonds,
Renaissance
Charter
School,
Inc.
Projects,
Series
2020C
5
.000
09/15/50
99,330
1,000,000
(d)
Florida
Development
Finance
Corporation,
Florida,
Solid
Waste
Disposal
Revenue
Bonds,
Waste
Pro
USA,
Inc.
Project,
Series
2019,
(AMT)
5
.000
05/01/29
1,010,908
15,610,000
(d)
Florida
Development
Finance
Corporation,
Revenue
Bonds,
Brightline
Florida
Passenger
Rail
Expansion
Project,
Brightline
Trains
Florida
LLC
Issue,
Series
2024,
(AMT),
(Mandatory
Put
7/15/28)
12
.000
07/15/32
9,366,000
1,000,000
Florida
Development
Finance
Corporation,
Revenue
Bonds,
Brightline
Florida
Passenger
Rail
Expansion
Project,
Brightline
Trains
Florida
LLC
Issue,
Series
2024,
(AMT)
5
.000
07/01/41
813,970
Portfolio
of
Investments
July
31,
2025
(continued)
NMZ
PRINCIPAL
DESCRIPTION
RATE
MATURITY
VALUE
FLORIDA
(continued)
$
7,585,000
(e)
Florida
Development
Finance
Corporation,
Revenue
Bonds,
Brightline
Florida
Passenger
Rail
Expansion
Project,
Brightline
Trains
Florida
LLC
Issue,
Series
2024
-
AGM
Insured,
(AMT),
(UB)
5
.250
%
07/01/53
$
7,263,117
5,000,000
Florida
Development
Finance
Corporation,
Revenue
Bonds,
Brightline
Florida
Passenger
Rail
Expansion
Project,
Brightline
Trains
Florida
LLC
Issue,
Series
2024,
(AMT)
5
.500
07/01/53
4,074,578
16,325,000
(d)
Florida
Development
Finance
Corporation,
Revenue
Bonds,
Brightline
Florida
Passenger
Rail
Expansion
Project,
Series
2025A,
(AMT),
(Mandatory
Put
8/13/25)
8
.250
07/01/57
13,876,343
2,500,000
(d)
Florida
Development
Finance
Corporation,
Student
Housing
Revenue
Bonds,
SPP
-
Tampa
I
-
LLC
The
Henry
Project,
Series
2024A-1
5
.250
06/01/59
2,268,479
3,075,000
(d)
Florida
Development
Finance
Corporation,
Student
Housing
Revenue
Bonds,
SPP
-
Tampa
I
-
LLC
The
Henry
Project,
Series
2024B
6
.500
06/01/59
2,940,042
1,260,000
(d)
GIR
East
Community
Development
District,
Osceola
County,
Florida,
Capital
Improvement
Revenue
Bonds,
Assessment
Area
1,
Series
2025
5
.500
05/01/55
1,151,762
1,900,000
(d)
Gracewater
Sarasota
Community
Development
District,
Sarasota
County,
Florida,
Capital
Improvement
Revenue
Bonds,
Series
2021
4
.000
05/01/52
1,434,719
1,000,000
Grand
Bay
at
Doral
Community
Development
District,
Miami-
Dade
County,
Florida,
Special
Assessment
Improvement
Bonds,
Assessment
Area
Two
Project,
Refunding
Series
2014A-2
6
.500
05/01/39
1,001,118
1,845,000
Harmony
Community
Development
District,
Florida,
Capital
Improvement
Revenue
Bonds,
Special
Assessment,
Refunding
Series
2014
5
.250
05/01/32
1,844,987
1,000,000
Hawkstone
Community
Development
District,
Florida,
Special
Assessment
Revenue
Bonds,
Assessment
Area
4,
Series
2023
5
.500
05/01/53
969,823
2,015,000
(d)
Hickory
Tree
Community
Development
District,
Osceola
County,
Florida,
Special
Assessment
Revenue
Bonds,
Assessment
Area
1
Series
2024
5
.450
05/01/55
1,846,146
2,000,000
(d)
Higher
Educational
Facilities
Financing
Authority,
Florida,
Revenue
Bonds,
Keiser
University
Project,
Series
2025
6
.000
07/01/45
1,958,452
1,500,000
Hillsborough
County
Aviation
Authority,
Florida,
Revenue
Bonds,
Tampa
International
Airport,
Subordinate
Lien
Series
2018A,
(AMT)
5
.000
10/01/48
1,466,204
5,000,000
(e)
Hillsborough
County
Aviation
Authority,
Florida,
Revenue
Bonds,
Tampa
International
Airport,
Subordinate
Lien
Series
2018A,
(AMT),
(UB)
5
.000
10/01/48
4,887,346
560,000
Hobe-Saint
Lucie
Conservancy
District,
Florida,
Special
Assessment
Revenue
Bonds,
Improvement
Unit
1A,
Series
2024
5
.875
05/01/55
547,200
1,000,000
(d)
K-Bar
Ranch
III
Community
Development
District,
Tampa,
Florida,
Special
Assessment
Bonds,
Series
2025
6
.125
05/01/55
1,004,749
1,000,000
(d)
Keys
Edge
Community
Development
District,
Miami-Dade
County,
Florida,
Special
Assessment
Revenue
Bonds,
Assessment
Area
One
Project
Series
2024
5
.375
05/01/55
917,475
1,000,000
(d)
Kingston
One
Community
Development
District,
Lee
County,
Florida,
Special
assessment
Bonds,
Assessment
Area
1
2025
Project,
Series
2025
5
.750
05/01/45
983,409
610,000
Lakewood
Ranch
Stewardship
District,
Florida,
Special
Assessment
Revenue
Bonds,
Lakewood
Centre
North
Project,
Series
2015
4
.875
05/01/45
568,379
2,000,000
Lee
County
Industrial
Development
Authority,
Florida,
Charter
School
Revenue
Bonds,
Lee
County
Community
Charter
Schools,
Series
2007A
5
.375
06/15/37
1,970,156
1,630,000
(d)
Lee
County
Industrial
Development
Authority,
Florida,
Healthcare
Facilities
Revenue
Bonds,
Preserve
Project,
Series
2017A
5
.750
12/01/52
1,126,892
PRINCIPAL
DESCRIPTION
RATE
MATURITY
VALUE
FLORIDA
(continued)
$
2,820,000
LTC
Rance
Residential
Community
Development
District,
Port
Saint
Lucie,
Florida,
Special
Assessment
Bonds,
Assessment
Area
1
Project,
Series
2021A
4
.000
%
05/01/52
$
2,160,853
1,980,000
LTC
Ranch
Residential
Community
Development
District,
Port
Saint
Lucie,
Florida,
Special
Assessment
Bonds,
Assessment
Area
3
Project,
Series
2024AA3
6
.050
05/01/54
1,912,061
1,995,000
Magic
Place
Community
Development
District,
Osceola
County,
Florida,
Special
Assessment
Revenue
Bonds,
Series
2019
4
.375
05/01/40
1,777,393
2,980,000
Magic
Place
Community
Development
District,
Osceola
County,
Florida,
Special
Assessment
Revenue
Bonds,
Series
2019
4
.500
05/01/51
2,440,045
750,000
(d)
Miami
Dade
County
Industrial
Development
Authority,
Florida,
Educational
Facilities
Revenue
Bonds,
South
Florida
Autism
Charter
School
Project,
Series
2017
6
.000
07/01/47
719,597
1,085,000
Miami
World
Center
Community
Development
District,
Miami-
Dade
County,
Florida,
Special
Assessment
Bonds,
Series
2017
5
.250
11/01/49
1,060,628
5,000,000
Miami-Dade
County
Expressway
Authority,
Florida,
Toll
System
Revenue
Bonds,
Series
2014A
5
.000
07/01/39
5,002,750
1,750,000
(d)
Miami-Dade
County
Industrial
Development
Authority,
Florida,
Revenue
Bonds,
Youth
Co-Op
Charter
Schools
Project,
Series
2015A
6
.000
09/15/45
1,701,248
1,000,000
Miami-Dade
County
Industrual
Development
Authority,
Florida,
Revenue
Bonds,
Doral
Academy,
Seres
2018
5
.000
01/15/48
914,598
5,100,000
(e)
Miami-Dade
County,
Florida,
Aviation
Revenue
Bonds,
Refunding
Series
2017B,
(AMT),
(UB)
5
.000
10/01/40
5,087,572
7,715,000
(e)
Miami-Dade
County,
Florida,
Seaport
Revenue
Bonds,
Refunding
Series
2022A,
(AMT),
(UB)
5
.000
10/01/47
7,462,354
3,535,000
(e)
Miami-Dade
County,
Florida,
Seaport
Revenue
Bonds,
Refunding
Series
2022A,
(AMT),
(UB)
5
.250
10/01/52
3,510,011
935,000
(d)
Mirada
Community
Development
District,
Florida,
Capital
Improvement
Bonds, Assessment
Area
3
Series
2024
6
.000
05/01/55
896,118
285,000
(d)
Mirada
II
Community
Development
District,
Florida,
Capital
Improvement
Revenue
Bonds,
Series
2022
5
.750
05/01/53
285,168
1,000,000
(d)
Normandy
Community
Development
District,
Florida,
Capital
Improvement
Revenue
Bonds,
Jacksonville
Assessment
Area
One
Series
2024
5
.550
05/01/54
918,276
355,000
North
Park
Isle
Community
Development
District,
Plant
City,
Florida,
Special
Assessment
Revenue
Bonds,
Assessment
Area
1,
Series
2019
4
.750
05/01/50
314,483
930,000
Northern
Palm
Beach
County
Improvement
District,
Florida,
Water
Control
and
Improvement
Bonds,
Development
Unit
53,
Series
2015
5
.500
08/01/46
930,676
9,305,000
(e)
Palm
Beach
County
Health
Facilities
Authority,
Florida,
Hospital
Revenue
Bonds,
Baptist
Health
Systems
of
South
Florida
Obligated
Group,
Series
2019,
(UB)
4
.000
08/15/49
7,582,199
250,000
Palm
Beach
County
Health
Facilities
Authority,
Florida,
Hospital
Revenue
Bonds,
Jupiter
Medical
Center,
Series
2022
5
.000
11/01/52
233,819
1,355,000
(d)
Palm
Beach
County,
Florida,
Revenue
Bonds,
Provident
Group
-
LU
Properties
LLC
Lynn
University
Housing
Project,
Series
2021A
5
.000
06/01/57
1,123,150
1,120,000
Palm
Beach
County,
Florida,
Revenue
Bonds,
Provident
Group
-
LU
Properties
LLC
Lynn
University
Housing
Project,
Series
2024A
6
.250
06/01/59
1,048,018
500,000
(d)
Palm
Beach
County,
Florida,
Revenue
Bonds,
Provident
Group
-
PBAU
Properties
LLC
-
Palm
Beach
Atlantic
University
Housing
Project,
Series
2019A
5
.000
04/01/51
447,391
250,000
Palm
Coast
Park
Community
Development
District,
Florida,
Special
Assessment
Revenue
Bonds,
Sawmill
Branch
Phase
2
Flager,
Series
2022
5
.125
05/01/51
228,712
1,560,000
Pasadena
Ridge
Community
Development
District,
Pasco
County,
Florida,
Capital
Improvement
Revenue
Bonds,
Assessment
Area
Two,
Series
2024
5
.375
05/01/55
1,427,225
Portfolio
of
Investments
July
31,
2025
(continued)
NMZ
PRINCIPAL
DESCRIPTION
RATE
MATURITY
VALUE
FLORIDA
(continued)
$
905,000
(d)
Peace
Creek
Village
Community
Development
District,
Florida,
Special
Assessment
Revenue
Bonds,
Winter
Haven
Series
2024
5
.750
%
05/01/54
$
859,952
500,000
Portico
Community
Development
District,
Lee
County,
Florida,
Special Assessment,
Improvement
Series
2020-2
4
.000
05/01/50
393,081
905,000
(d)
Rivers
Edge
III
Community
Development
District,
Florida,
Capital
Improvement
Revenue
Bonds,
Series
2021
4
.000
05/01/51
683,292
2,490,000
Rolling
Oaks
Community
Development
District,
Florida,
Special
Assessment
Bonds,
Series
2016
6
.000
11/01/47
2,516,004
1,725,000
Rustic
Oaks
Community
Development
District,
Florida,
Capital
Improvement
Revenue
Bonds
Series
2022
4
.000
05/01/52
1,319,858
982,914
(d)
Saint
Johns
County
Housing
Authority,
Florida,
Multifamily
Mortgage
Revenue
Bonds,
Victoria
Crossing,
Series
2021A,
(Mandatory
Put
4/01/39)
3
.920
04/01/59
767,104
700,000
Sawgrass
Village
Community
Development
District,
Manatee
County,
Florida,
Special
Assessment
Bonds,
Assessment
Area
2
Series
2023
6
.375
11/01/53
712,098
990,000
Shingle
Creek
Community
Development
District,
Osceola
County,
Florida,
Special
Assessment
Revenue
Bonds,
Series
2015
5
.400
11/01/45
988,526
15,000,000
(e)
South
Miami
Health
Facilities
Authority,
Florida,
Hospital
Revenue
Bonds,
Baptist
Health
Systems
of
South
Florida
Obligated
Group,
Refunding
Series
2017,
(UB)
5
.000
08/15/47
14,629,635
475,000
(d)
Summit
View
Community
Development
District,
Dade
City,
Florida,
Special
Assessment
Area
Two
Revenue
Bonds,
Series
2024
6
.000
05/01/54
463,565
615,000
(d)
Three
Rivers
Community
Development
District,
Florida,
Special
Assessment
Revenue
Bonds,
South
Assessment
Area
Series
2021B
4
.625
05/01/36
591,434
1,230,000
Touchstone
Community
Development
District,
Hillsborough
County,
Florida,
Special
Assessment
Bonds,
2019
Project,
Series
2019
4
.000
12/15/40
1,054,615
1,265,000
Tradition
Community
Development
District
1,
Port
Saint
Lucie,
Florida,
Irrigation
System
Revenue
Bonds,
Existing
System
Series
2017
4
.500
10/01/47
1,105,043
1,000,000
Turtle
Run
Community
Development
District,
Florida,
Special
Assessment
Benefit
Tax
Bonds,
Series
2017-2
5
.000
05/01/37
1,007,350
1,490,000
Twin
Creeks
North
Community
Development
District,
Florida,
Special
Assessment
Bonds,
Master
Infrastructure
Improvements,
Series
2016A-1
6
.375
11/01/47
1,524,400
2,615,000
Twin
Creeks
North
Community
Development
District,
Florida,
Special
Assessment
Bonds,
Master
Infrastructure
Improvements,
Series
2016A-2
6
.375
11/01/47
2,678,112
500,000
Two
Lakes
Community
Development
District,
Hialeah,
Florida,
Special
Assessment
Bonds,
Expansion
Area
Project,
Series
2019
4
.000
12/15/49
388,776
1,000,000
Two
Rivers
West
Community
Development
District,
Pasco
County,
Florida,
Special
Assessment
Bonds,
2023
Project,
Series
2023
6
.125
11/01/53
1,009,652
1,000,000
Venetian
Parc
Community
Development
District,
Miami-Dade
County,
Florida,
Special
Assessment
Bonds,
Area
One
Project,
Series
2013
6
.500
11/01/43
1,045,459
500,000
Verano
3
Community
Development
District,
Florida,
Special
Assessment
Bonds,
Phase
2
Assessment
Area,
Series
2022
6
.625
11/01/52
516,566
770,000
(d)
Waterford
Community
Development
District,
Hernando
County,
Florida,
Capital
Improvement
Revenue
Bonds,
Assessment
Area
Two,
Series
2024
5
.450
05/01/54
705,446
395,000
(d)
Westside
Haines
City
Community
Development
District,
Polk
County,
Florida,
Special
Assessment
Bonds,
Area
2
Project,
Series
2024
6
.000
05/01/54
386,010
135,000
(d)
Willowbrook
Community
Development
District,
Florida,
Special
Assessment
Revenue
Bonds,
Assessment
Area
One
Project
Series
2024
5
.900
05/01/55
127,584
PRINCIPAL
DESCRIPTION
RATE
MATURITY
VALUE
FLORIDA
(continued)
$
1,000,000
(d)
Windsor
at
Westside
Community
Development
District,
Lake
County,
Florida,
Special
Assessment
Bonds,
Area
1
Project,
Series
2024
5
.750
%
05/01/54
$
1,010,221
720,000
(d)
Woodland
Ranch
Estates
Community
Development
District,
Dundee,
Florida,
Special
Assessment
Bonds,
Series
2025
5
.750
05/01/55
677,960
TOTAL
FLORIDA
203,250,173
GEORGIA
-
1.7%
(1.0%
of
Total
Investments)
4,730,000
Atlanta
Development
Authority,
Georgia,
Economic
Development
Certificates,
Gulch
Enterprise
Zone
Project,
Convertible
Capital
Appreciation
Series
2024A-1
Class
A
6
.500
12/15/48
4,021,742
1,000,000
(d)
Atlanta
Development
Authority,
Georgia,
Revenue
Bonds,
Westside
Gulch
Area
Project,
Senior
Series
2024A-2
5
.500
04/01/39
998,712
870,000
Atlanta
Urban
Residential
Finance
Authority,
Georgia,
Multifamily
Housing
Revenue
Bonds,
Testletree
Village
Apartments,
Series
2013A
5
.000
11/01/48
642,637
10,000,000
(e)
Atlanta,
Georgia,
Airport
General
Revenue
Bonds,
Series
2019B,
(AMT),
(UB)
5
.000
07/01/44
9,857,938
1,610,000
Municipal
Electric
Authority
of
Georgia,
Plant
Vogtle
Units
3
&
4
Project
J
Bonds,
Series
2015A
5
.000
07/01/60
1,554,949
2,215,000
Municipal
Electric
Authority
of
Georgia,
Plant
Vogtle
Units
3
&
4
Project
J
Bonds,
Series
2023A
-
AGM
Insured
5
.000
07/01/64
2,172,661
TOTAL
GEORGIA
19,248,639
HAWAII
-
0.2%
(0.1%
of
Total
Investments)
2,000,000
(d)
Hawaii
County,
Hawaii,
Special
Tax
Revenue
Bonds,
Community
Facilities
District
1-2021,
Kaloko
Heights
Project,
Series
2023
7
.250
05/15/52
1,954,468
1,000,000
(d)
Hawaii
Department
of
Budget
and
Finance,
Special
Purpose
Revenue
Bonds,
Hawaii
Pacific
University
Project,
Refunding
Series
2024
5
.125
07/01/43
896,040
TOTAL
HAWAII
2,850,508
IDAHO
-
0.2%
(0.2%
of
Total
Investments)
1,000,000
(d)
Idaho
Housing
and
Finance
Association,
Nonprofit
Facilities
Revenue
Bonds,
Doral
Academy
of
Idaho,
Series
2021A
5
.000
07/15/56
731,175
565,000
(d)
Idaho
Housing
and
Finance
Association,
Nonprofit
Facilities
Revenue
Bonds,
Gem
Prep
Meridian
North
LLC,
Series
2020A
5
.250
07/01/55
448,650
1,000,000
(d)
Idaho
Housing
and
Finance
Association,
Nonprofit
Facilities
Revenue
Bonds,
Gem
Prep
Meridian
South
Charter
School
Project,
Series
2021
4
.000
05/01/56
661,051
1,050,000
Spring
Valley
Community
Infrastructure
District
1,
Eagle,
Idaho,
Special
Assessment
Bonds,
Series
2024
6
.250
09/01/53
1,046,975
TOTAL
IDAHO
2,887,851
ILLINOIS
-
15.3%
(9.2%
of
Total
Investments)
23,529
(c)
Bolingbrook,
Illinois,
Sales
Tax
Revenue
Bonds,
Series
2005
6
.250
01/01/26
23,529
10,670,000
(e)
Chicago
Board
of
Education,
Illinois,
Dedicated
Capital
Improvement
Tax
Revenue
Bonds,
Series
2016,
(UB)
6
.000
04/01/46
10,797,705
15,385,000
Chicago
Board
of
Education,
Illinois,
General
Obligation
Bonds,
Dedicated
Revenues,
Series
2016A
7
.000
12/01/44
15,441,577
2,025,000
Chicago
Board
of
Education,
Illinois,
General
Obligation
Bonds,
Dedicated
Revenues,
Series
2016B
6
.500
12/01/46
2,041,211
9,910,000
(d)
Chicago
Board
of
Education,
Illinois,
General
Obligation
Bonds,
Dedicated
Revenues,
Series
2017A
7
.000
12/01/46
10,184,777
10,000,000
(e)
Chicago
Transit
Authority,
Illinois,
Sales
Tax
Receipts
Revenue
Bonds,
Second
Lien
Series
2022A
-
BAM
Insured,
(UB)
5
.000
12/01/46
10,089,942
1,548,387
Chicago,
Illinois,
Certificates
of
Participation
Tax
Increment
Bonds,
35th
and
State
Redevelopoment
Project,
Series
2012
6
.100
01/15/29
1,548,449
1,318,549
(c)
Chicago,
Illinois,
Certificates
of
Participation,
Tax
Increment
Allocation
Revenue
Bonds,
Diversey-Narragansett
Project,
Series
2006
7
.460
02/15/26
922,984
8,065,000
Chicago,
Illinois,
General
Airport
Revenue
Bonds,
O'Hare
International
Airport,
Refunding
Senior
Lien
Series
2022A
5
.000
01/01/48
7,876,169
4,000,000
(e)
Chicago,
Illinois,
General
Airport
Revenue
Bonds,
O'Hare
International
Airport,
Senior
Lien
Series
2016D,
(UB)
5
.000
01/01/52
3,965,911
Portfolio
of
Investments
July
31,
2025
(continued)
NMZ
PRINCIPAL
DESCRIPTION
RATE
MATURITY
VALUE
ILLINOIS
(continued)
$
5,200,000
(e)
Chicago,
Illinois,
General
Airport
Revenue
Bonds,
O'Hare
International
Airport,
Senior
Lien
Series
2024B,
(UB)
5
.500
%
01/01/59
$
5,350,185
4,000,000
(e)
Chicago,
Illinois,
General
Obligation
Bonds,
Chicago
Works
Series
2023A,
(UB)
5
.500
01/01/43
4,006,702
9,400,000
(e)
Chicago,
Illinois,
General
Obligation
Bonds,
Project
&
Refunding
Series
2017A,
(UB)
6
.000
01/01/38
9,549,547
130,000
Chicago,
Illinois,
General
Obligation
Bonds,
Refunding
Series
2016C
5
.000
01/01/38
128,561
11,000,000
(e)
Chicago,
Illinois,
General
Obligation
Bonds,
Series
2019A,
(UB)
5
.000
01/01/44
10,320,630
8,000,000
(e)
Chicago,
Illinois,
General
Obligation
Bonds,
Series
2019A,
(UB)
5
.500
01/01/49
7,726,583
5,000,000
(d)
Illinois
Finance
Authority
Revenue
Bonds,
Ness
Healthcare
NFP,
Series
2016A
6
.375
11/01/46
4,008,462
1,000,000
(d)
Illinois
Finance
Authority,
Charter
School
Revenue
Bonds,
Art
in
Motion
AIM
Project,
Series
2021A
5
.000
07/01/51
682,531
1,000,000
(d)
Illinois
Finance
Authority,
Charter
School
Revenue
Bonds,
Art
in
Motion
AIM
Project,
Series
2021A
5
.000
07/01/56
663,543
1,000,000
(d)
Illinois
Finance
Authority,
Revenue
Bonds,
DePaul
College
Prep
Foundation,
Series
2023A
5
.625
08/01/53
1,002,843
550,000
Illinois
Finance
Authority,
Revenue
Bonds,
Dominican
University,
Refunding
Series
2022
5
.000
03/01/36
544,611
600,000
Illinois
Finance
Authority,
Revenue
Bonds,
Dominican
University,
Refunding
Series
2022
5
.000
03/01/38
574,491
700,000
Illinois
Finance
Authority,
Revenue
Bonds,
Dominican
University,
Refunding
Series
2022
5
.000
03/01/40
645,842
1,000,000
(d)
Illinois
Finance
Authority,
Revenue
Bonds,
Illinois
Institute
of
Technology,
Series
2025A
5
.875
09/01/46
952,069
2,000,000
(d)
Illinois
Finance
Authority,
Revenue
Bonds,
Roosevelt
University,
Series
2018B
6
.125
04/01/58
1,862,164
1,000,000
(d)
Illinois
Finance
Authority,
Solid
Waste
Revenue
Bonds,
LRS
Holdings
LLC
Project,
Series
2023B,
(Mandatory
Put
9/01/33)
7
.375
09/01/42
1,089,894
7,955,000
(e)
Illinois
State,
General
Obligation
Bonds,
June
Series
2022A,
(UB)
5
.500
03/01/47
8,087,085
1,715,000
Illinois
State,
General
Obligation
Bonds,
May
Series
2020
5
.750
05/01/45
1,771,099
1,000,000
Illinois
State,
General
Obligation
Bonds,
November
Series
2016
5
.000
11/01/35
1,009,056
1,000,000
Illinois
State,
General
Obligation
Bonds,
November
Series
2016
5
.000
11/01/37
1,005,776
5,000,000
Illinois
State,
General
Obligation
Bonds,
October
Series
2020C
4
.250
10/01/45
4,358,545
10,000,000
(e)
Illinois
Toll
Highway
Authority,
Toll
Highway
Revenue
Bonds,
Senior
Lien
Series
2021A,
(UB)
4
.000
01/01/46
8,709,873
1,000,000
Metropolitan
Pier
and
Exposition
Authority,
Illinois,
McCormick
Place
Expansion
Project
Bonds,
Refunding
Series
2020A
4
.000
06/15/50
799,893
7,075,000
Metropolitan
Pier
and
Exposition
Authority,
Illinois,
McCormick
Place
Expansion
Project
Bonds,
Refunding
Series
2020A
-
BAM
Insured
4
.000
06/15/50
5,775,237
12,215,000
Metropolitan
Pier
and
Exposition
Authority,
Illinois,
McCormick
Place
Expansion
Project
Bonds,
Refunding
Series
2020A
5
.000
06/15/50
11,870,145
5,000,000
Metropolitan
Pier
and
Exposition
Authority,
Illinois,
McCormick
Place
Expansion
Project
Bonds,
Series
2017A
5
.000
06/15/57
4,760,204
35,635,000
Metropolitan
Pier
and
Exposition
Authority,
Illinois,
McCormick
Place
Expansion
Project
Bonds,
Series
2017B
0
.000
12/15/54
6,912,670
5,000,000
Metropolitan
Pier
and
Exposition
Authority,
Illinois,
McCormick
Place
Expansion
Project
Bonds,
Series
2017B
-
BAM
Insured
0
.000
12/15/54
1,018,207
1,000,000
Palos
Heights,
Illinois,
Revenue
Bonds,
Trinity
Christian
College
Association,
Series
2024A
7
.000
01/01/50
880,723
7,750,000
(e)
Sales
Tax
Securitization
Corporation,
Illinois,
Sales
Tax
Securitzation
Bonds,
Series
2018A,
(UB)
5
.000
01/01/48
7,568,545
895,000
(c)
Yorkville
United
City
Business
District,
Illinois,
Storm
Water
and
Water
Improvement
Project
Revenue
Bonds,
Series
2007
4
.800
01/01/26
313,250
TOTAL
ILLINOIS
176,841,220
PRINCIPAL
DESCRIPTION
RATE
MATURITY
VALUE
INDIANA
-
1.9%
(1.1%
of
Total
Investments)
$
1,000,000
(d),(e)
Indiana
Bond
Bank,
Special
Program
Bonds,
Hendricks
Regional
Health
Project,
Tender
Option
Bond
Trust
2016-
XL0019
-
AMBAC
Insured,
(IF)
11
.788
%
04/01/30
$
1,364,612
1,000,000
Indiana
Finance
Authority,
Educational
Facilities
Revenue
Bonds,
Discovery
Charter
School
Project,
Series
2015A
7
.250
12/01/45
1,002,899
850,000
Indiana
Finance
Authority,
Educational
Facilities
Revenue
Bonds,
Seven
Oaks
Classical
School
Project,
Series
2021A
5
.000
06/01/41
753,696
550,000
Indiana
Finance
Authority,
Educational
Facilities
Revenue
Bonds,
Seven
Oaks
Classical
School
Project,
Series
2021A
5
.000
06/01/56
435,620
7,725,000
(e)
Indiana
Finance
Authority,
Educational
Facilities
Revenue
Bonds,
University
of
Evansville
Project,
Series
2022A,
(UB)
5
.250
09/01/57
6,920,526
3,000,000
(d)
Indiana
Finance
Authority,
Educational
Facilities
Revenue
Bonds,
Victory
College
Prep
Project,
Series
2021A
4
.500
12/01/55
2,243,009
2,000,000
Indiana
Finance
Authority,
Environmental
Improvement
Revenue
Bonds,
United
States
Steel
Corporation
Project,
Series
2012,
(AMT)
5
.750
08/01/42
1,999,935
5,000,000
(e)
Indiana
Finance
Authority,
Indiana,
Health
Facilities
Project
Revenue
Bonds,
Baptist
Healthcare
System
Obligated
Group,
Series
2017A,
(UB)
5
.000
08/15/51
4,881,648
1,000,000
Indianapolis
Local
Public
Improvement
Bond
Bank,
Indiana,
Revenue
Bonds,
Convention
Center
Hotel
Senior
Series
2023E
6
.125
03/01/57
1,026,222
705,000
Saint
Joseph
County,
Indiana,
Economic
Development
Revenue
Bonds,
Chicago
Trail
Village
Apartments,
Series
2005A
7
.500
07/01/35
709,668
500,000
(d)
Valparaiso,
Indiana,
Revenue
Bonds,
Valparaiso
University
Project,
Series
2025A
6
.250
10/01/50
486,645
TOTAL
INDIANA
21,824,480
IOWA
-
2.1%
(1.3%
of
Total
Investments)
1,000,000
Iowa
Finance
Authority,
Iowa,
Midwestern
Disaster
Area
Revenue
Bonds,
Alcoa
Inc.
Project,
Series
2012
4
.750
08/01/42
934,210
2,500,000
(g)
Iowa
Finance
Authority,
Iowa,
Midwestern
Disaster
Area
Revenue
Bonds,
Iowa
Fertilizer
Company
Project,
Refunding
Series
2022,
(Pre-refunded
12/01/32),
(Mandatory
Put
12/01/42)
5
.000
12/01/50
2,823,383
17,940,000
(e),(g)
Iowa
Finance
Authority,
Iowa,
Midwestern
Disaster
Area
Revenue
Bonds,
Iowa
Fertilizer
Company
Project,
Refunding
Series
2022,
(Pre-refunded
12/01/32),
(UB)
5
.000
12/01/50
20,260,596
600,000
Iowa
Higher
Education
Loan
Authority,
Private
College
Facility
Revenue
Bonds,
University
of
Dubuque
Project,
Series
2025
6
.000
10/01/55
610,750
TOTAL
IOWA
24,628,939
KANSAS
-
0.1%
(0.0%
of
Total
Investments)
1,000,000
Wyandotte
County-Kansas
City
Unified
Government,
Kansas,
Sales
Tax
Special
Obligation
Bonds,
Vacation
Village
Project
Area
1
and
2A,
Series
2015
5
.750
09/01/32
939,864
TOTAL
KANSAS
939,864
KENTUCKY
-
3.1%
(1.9%
of
Total
Investments)
1,290,000
Bell
County,
Kentucky,
Special
Assessment
Industrial
Building
Revenue
Bonds,
Boone's
Ridge
Project,
Series
2020
6
.000
12/01/40
1,123,900
5,450,000
(e)
Kentucky
Economic
Development
Finance
Authority,
Hospital
Revenue
Bonds,
Owensboro
Health,
Refunding
Series
2017A
5
.000
06/01/41
5,293,101
11,675,000
(e)
Kentucky
Economic
Development
Finance
Authority,
Hospital
Revenue
Bonds,
Owensboro
Health,
Refunding
Series
2017A,
(UB)
5
.000
06/01/41
11,338,891
5,525,000
Kentucky
Economic
Development
Finance
Authority,
Hospital
Revenue
Bonds,
Owensboro
Health,
Refunding
Series
2017A
5
.000
06/01/45
5,246,609
980,000
Kentucky
Economic
Development
Finance
Authority,
Kentucky,
Healthcare
Facilities
Revenue
Bonds,
Christian
Care
Communities,
Inc.
Obligated
Group,
Series
2021
5
.125
07/01/55
768,877
1,000,000
Kentucky
Economic
Development
Finance
Authority,
Revenue
Bonds,
Next
Generation
Kentucky
Information
Highway
Project,
Senior
Series
2015A
5
.000
07/01/30
1,001,045
Portfolio
of
Investments
July
31,
2025
(continued)
NMZ
PRINCIPAL
DESCRIPTION
RATE
MATURITY
VALUE
KENTUCKY
(continued)
$
3,000,000
Louisville
and
Jefferson
County
Metropolitan
Government,
Kentucky,
Hospital
Revenue
Bonds,
UofL
Health
Project,
Series
2022A
5
.000
%
05/15/52
$
2,824,400
995,000
Newport,
Kentucky,
Special
Obligation
Revenue
Bonds,
Newport
Clifton
Project,
Series
2020B
5
.500
12/01/60
790,424
5,200,000
(e)
Public
Energy
Authority
of
Kentucky,
Gas
Supply
Revenue
Bonds,
Refunding
Series
2024A-1,
(Mandatory
Put
2/01/32),
(UB)
5
.250
04/01/54
5,577,461
1,000,000
(d)
Union
Kentucky,
Special
Obligation
Revenue
Bonds,
Union
Promenade
Project,
Series
2022B
5
.500
12/01/52
879,459
1,000,000
(d)
Union,
Kentucky,
Special
Obligation
Revenue
Bonds,
Union
Promenade
Project,
Series
2022D
5
.750
12/01/52
882,357
TOTAL
KENTUCKY
35,726,524
LOUISIANA
-
0.8%
(0.5%
of
Total
Investments)
1,480,000
(d)
Louisiana
Publc
Facilities
Authority,
Lousiana,
Revenue
Bonds,
Mentorship
STEAM
Academy,
Series
2021A
5
.000
06/01/56
1,125,163
4,465,000
(d)
Louisiana
Publc
Facilities
Authority,
Lousiana,
Revenue
Bonds,
Young
Audiences
Charter
School,
Series
2019A
5
.000
04/01/57
3,573,440
500,000
(d)
Louisiana
Public
Facilities
Authority,
Louisiana,
Revenue
Bonds,
Jefferson
Rise
Charter
School
Project,
Series
2022A
6
.250
06/01/52
477,679
1,000,000
(d)
Louisiana
Public
Facilities
Authority,
Louisiana,
Revenue
Bonds,
Jefferson
Rise
Charter
School
Project,
Series
2022A
6
.375
06/01/62
955,211
200,000
(d)
Louisiana
Public
Facilities
Authority,
Louisiana,
Revenue
Bonds,
Lincoln
Preparatory
School
Project,
Series
2022A
6
.500
06/01/62
177,473
2,000,000
Louisiana
Public
Facilities
Authority,
Revenue
Bonds,
Loyola
University
Project,
Refunding
Series
2017
5
.250
10/01/33
2,129,629
2,000,000
(c),(d)
Louisiana
Public
Facilities
Authority,
Solid
Waste
Disposal
Facility
Revenue
Bonds, Lousiana
Pellets
Inc
Project,
Series
2015,
(AMT)
7
.000
07/01/26
20
1,000,000
(d)
Plaquemines
Port,
Louisiana,
Harbor
and
Terminal
District
Facilities
Revenue
Bonds
NOLA
Terminal
LLC
Project
Dock
and
Wharf
Series
2024A
9
.000
12/01/44
833,452
540,000
(d)
Saint
James
Parish,
Louisiana,
Revenue
Bonds,
NuStar
Logistics,
L.P.
Project,
Series
2010
6
.350
07/01/40
578,754
TOTAL
LOUISIANA
9,850,821
MAINE
-
0.2%
(0.1%
of
Total
Investments)
1,000,000
Maine
Health
and
Higher
Educational
Facilities
Authority
Revenue
Bonds,
Eastern
Maine
Medical
Center
Obligated
Group
Issue,
Series
2016A
5
.000
07/01/41
909,820
1,000,000
Maine
Health
and
Higher
Educational
Facilities
Authority
Revenue
Bonds,
Eastern
Maine
Medical
Center
Obligated
Group
Issue,
Series
2016A
5
.000
07/01/46
879,066
TOTAL
MAINE
1,788,886
MARYLAND
-
0.8%
(0.5%
of
Total
Investments)
1,595,000
Baltimore,
Maryland,
Convention
Center
Hotel
Revenue
Bonds,
Refunding
Series
2017
5
.000
09/01/42
1,501,892
4,000,000
(c)
Maryland
Economic
Development
Corporation,
Revenue
Bonds,
Chesapeake
Bay
Hyatt
Conference
Center,
Series
2006A
5
.000
12/01/31
2,680,000
2,500,000
(c)
Maryland
Economic
Development
Corporation,
Revenue
Bonds,
Chesapeake
Bay
Hyatt
Conference
Center,
Series
2006B
5
.250
12/01/31
1,675,000
5,000,000
Maryland
Stadium
Authority,
Lease
Revenue
Bonds,
Built
To
Learn,
Series
2021
2
.750
06/01/51
3,179,133
TOTAL
MARYLAND
9,036,025
PRINCIPAL
DESCRIPTION
RATE
MATURITY
VALUE
MASSACHUSETTS
-
1.1%
(0.6%
of
Total
Investments)
$
7,080,000
(e)
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
CareGroup
Issue,
Series
2018J-2,
(UB)
5
.000
%
07/01/53
$
6,882,221
5,535,000
(e)
Massachusetts
Educational
Financing
Authority,
Education
Loan
Revenue
Bonds,
Issue
K,
Series
2017B,
(AMT),
(UB)
4
.250
07/01/46
4,684,768
1,200,000
Massachusetts
Educational
Financing
Authority,
Education
Loan
Revenue
Bonds,
Issue
M,
Subordinate
Series
2021C,
(AMT)
3
.000
07/01/51
743,848
TOTAL
MASSACHUSETTS
12,310,837
MICHIGAN
-
3.7%
(2.2%
of
Total
Investments)
2,269,786
Detroit
City
&
General
Retirement
System
Service
Corporation,
Michigan,
Certificates
of
Participation,
Taxable
Series
2005A
-
FGIC
Insured
3
.000
06/15/27
2,405,973
1,740,000
Detroit,
Wayne
County,
Michigan,
General
Obligation
Bonds,
Social
Series
2021A
5
.000
04/01/46
1,697,134
5,750,000
(e)
Grand
Rapids,
Kent
County,
Michigan,
General
Obligation
Bonds,
Limited
Tax
Series
2025,
(UB)
5
.000
04/01/55
5,774,376
3,500,000
Michigan
Finance
Authority,
Higher
Education
Limited
Obligation
Revenue
Bonds,
Aquinas
College
Project,
Refunding
Series
2021
5
.000
05/01/46
2,536,770
3,675,000
Michigan
Finance
Authority,
Hospital
Revenue
Bonds,
Henry
Ford
Health
System,
Series
2019A
5
.000
11/15/48
3,552,751
6,480,000
(e)
Michigan
Finance
Authority,
Hospital
Revenue
Bonds,
Henry
Ford
Health
System,
Series
2019A,
(UB)
5
.000
11/15/48
6,264,443
5,000,000
(e)
Michigan
Finance
Authority,
Michigan,
Revenue
Bonds,
Trinity
Health
Credit
Group,
Refunding
Series
2017A-MI,
(UB)
4
.000
12/01/40
4,469,418
830,000
Michigan
Finance
Authority,
Public
School
Academy
Limited
Obligation
Revenue
Bonds,
Cesar
Chavez
Academy
Project,
Refunding
Series
2019
5
.000
02/01/33
843,995
905,000
Michigan
Finance
Authority,
Public
School
Academy
Limited
Obligation
Revenue
Bonds,
Holly
Academy
Project,
Refunding
Series
2021
4
.000
12/01/41
728,315
1,000,000
Michigan
Finance
Authority,
Public
School
Academy
Limited
Obligation
Revenue
Bonds,
Holly
Academy
Project,
Refunding
Series
2021
4
.000
12/01/51
728,461
130,000
(d)
Michigan
Finance
Authority,
Public
School
Academy
Limited
Obligation
Revenue
Bonds,
Hope
Academy
Project,
Refunding
Series
2021
4
.400
04/01/31
117,294
315,000
(d)
Michigan
Finance
Authority,
Public
School
Academy
Limited
Obligation
Revenue
Bonds,
Hope
Academy
Project,
Refunding
Series
2021
4
.900
04/01/41
236,090
1,180,000
(d)
Michigan
Finance
AuthorIty,
Public
School
Academy
Limited
Obligation
Revenue
Bonds,
Voyageur
Academy
Project,
Refunding
Series
2017.
Private
Placement
of
2017
5
.900
07/15/46
940,116
28,335,000
Michigan
Finance
Authority,
Tobacco
Settlement
Asset-
Backed
Bonds,
2006
Sold
Tobacco
Receipts,
Taxable
Series
2020B
0
.000
06/01/45
7,567,006
1,295,000
Michigan
Public
Educational
Facilities
Authority,
Charter
School
Revenue
Bonds,
American
Montessori
Academy,
Series
2007
6
.500
12/01/37
1,295,181
1,000,000
Michigan
Public
Educational
Facilities
Authority,
Limited
Obligation
Revenue
Bonds, Chandler
Park
Academy
Project,
Series
2008
6
.500
11/01/35
1,000,341
100,000,000
Michigan
Tobacco
Settlement
Finance
Authority,
Tobacco
Settlement
Asset-Backed
Revenue
Bonds,
Capital
Appreciation
Turbo
Term
Series
2008C
0
.000
06/01/58
2,622,230
TOTAL
MICHIGAN
42,779,894
MINNESOTA
-
1.4%
(0.8%
of
Total
Investments)
2,000,000
Bethel,
Minnesota,
Charter
School
Lease
Revenue
Bonds,
Level
Up
Academy,
Series
2021A
5
.000
06/15/56
1,365,993
665,000
Brooklyn
Park,
Minnesota,
Charter
School
Lease
Revenue
Bonds,
Athlos
Leadership
Academy
Project,
Series
2015A
5
.500
07/01/35
615,268
1,000,000
Columbus,
Minnesota,
Charter
School
Lease
Revenue
Bonds,
New
Millennium
Academy
Project,
Series
2015A
6
.000
07/01/45
902,051
Portfolio
of
Investments
July
31,
2025
(continued)
NMZ
PRINCIPAL
DESCRIPTION
RATE
MATURITY
VALUE
MINNESOTA
(continued)
$
620,000
(h)
Coon
Rapids,
Minnesota
Charter
School
Lease
Revenue
Bonds
Athlos
Leadership
Academy
Brooklyn
Park,
Refunding
Series
2025
6
.500
%
06/15/65
$
599,671
505,000
Greenwood,
Minnesota,
Charter
School
Lease
Revenue
Bonds,
Main
Street
School
of
Performing
Arts
Project,
Series
2016A
5
.000
07/01/47
405,862
5,000,000
(d)
Independence,
Minnesota,
Charter
School
Lease
Revenue
Bonds,
Spero
Academy
Project,
Series
2021A
5
.000
07/01/56
3,695,113
1,190,000
Minneapolis,
Minnesota,
Charter
School
Lease
Revenue
Bonds,
Cyber
Village
Academy
Project,
Series
2022A
5
.500
06/01/57
1,006,527
1,505,000
Minneapolis,
Minnesota,
Charter
School
Lease
Revenue
Bonds,
Northeast
College
Prep
Project,
Series
2020A
5
.000
07/01/55
1,066,482
1,125,000
Otsego,
Minnesota,
Charter
School
Lease
Revenue
Bonds,
Kaleidoscope
Charter
School
Project,
Series
2014A
5
.000
09/01/44
941,608
2,000,000
(d)
Saint
Paul
Housing
&
Redevelopment
Authority,
Minnesota,
Charter
School
Lease
Revenue
Bonds,
Community
School
of
Excellence,
Series
2023
5
.500
03/01/58
1,870,089
3,000,000
(d)
Saint
Paul
Port
Authority,
Minnesota,
Solid
Waste
Disposal
Revenue
Bonds,
Gerdau
Saint
Paul
Steel
Mill
Project,
Series
2012-7,
(AMT)
4
.500
10/01/37
2,791,204
1,125,000
Spring
Lake
Park,
Minnesota,
Charter
School
Lease
Revenue
Bonds,
Excell
Academy
for
Higher
Learning
Inc.,
Series
2019A
5
.000
06/15/49
976,937
TOTAL
MINNESOTA
16,236,805
MISSISSIPPI
-
0.1%
(0.0%
of
Total
Investments)
335,000
(c),(d)
Mississippi
Business
Finance
Corporation,
Gulf
Opportunity
Zone
Revenue
Bonds,
King
Edward
Mixed-Use
Project,
Taxable
Refunding
Series
2019A,
(Mandatory
Put
6/15/25)
6
.000
10/15/49
318,250
443,837
Mississippi
Home
Corporation,
Multifamily
Housing
Revenue
Bonds,
Tupelo
Personal
Care
Apartments,
Series
2004-2,
(AMT)
6
.125
09/01/34
393,333
TOTAL
MISSISSIPPI
711,583
MISSOURI
-
3.5%
(2.1%
of
Total
Investments)
5,000,000
(e)
Kansas
City
Industrial
Development
Authority,
Missouri,
Airport
Special
Obligation
Bonds,
Kansas
City
International
Airport
Terminal
Modernization
Project,
Series
2019B,
(AMT),
(UB)
5
.000
03/01/55
4,803,351
655,000
(d)
Kansas
City
Industrial
Development
Authority,
Missouri,
Sales
Tax
Revenue
Bonds,
Ward
Parkway
Center
Community
Improvement
District,
Senior
Refunding
&
Improvement
Series
2016
5
.000
04/01/46
562,341
9,740,000
(e)
Kansas
City,
Missouri,
Special
Obligation
Bonds,
Main
Streetcar
Expansion
Project,
Refunding
&
Improvement
Series
2022C,
(UB)
4
.000
09/01/46
8,331,667
2,000,000
(d)
Liberty,
Missouri,
Special
Obligation
Tax
Increment
and
Special
Districts
Bonds,
Liberty
Commons
Project,
Subordinate
Lien
Series
2015B
8
.500
06/15/46
1,868,265
500,000
(d)
Missouri
Health
and
Educational
Facilities
Authority,
Educational
Facilities
Revenue
Bonds,
Missouri
Baptist
University,
Series
2025
6
.250
10/01/55
483,287
2,000,000
Missouri
Health
and
Educational
Facilities
Authority,
Health
Facilities
Revenue
Bonds,
Mercy
Health,
Series
2023
5
.000
12/01/52
1,962,110
3,510,000
(e)
Missouri
Health
and
Educational
Facilities
Authority,
Health
Facilities
Revenue
Bonds,
Mercy
Health,
Series
2023,
(UB)
5
.000
12/01/52
3,443,504
1,000,000
Missouri
Southern
State
University,
Auxiliary
Enterprise
System
Revenue
Bonds,
Series
2021
4
.000
10/01/44
805,484
468,398
(d)
North
Outer
Forty
Transportation
Development
District,
Chesterfield,
Missouri,
Transportation
Development
Revenue
Notes,
Refunding
Series
2021A
4
.000
12/01/46
358,857
8,050,000
(e)
Saint
Louis
County,
Missouri,
Special
Obligation
Bonds,
Community
Center
Projects,
Series
2022A,
(UB)
4
.000
12/01/40
7,608,498
8,970,000
(e)
Saint
Louis
County,
Missouri,
Special
Obligation
Bonds,
Community
Center
Projects,
Series
2022A,
(UB)
4
.000
12/01/41
8,417,137
1,351,000
Saint
Louis,
Missouri,
Tax
Increment
Financing
Revenue
Bonds,
Fashion
Square
Redevelopment
Project,
Series
2008A
6
.300
08/22/26
283,710
732,000
(c)
Saint
Louis,
Missouri,
Tax
Increment
Financing
Revenue
Bonds,
Grace
Lofts
Redevelopment
Projects,
Series
2007A
2
.100
12/31/26
21,960
PRINCIPAL
DESCRIPTION
RATE
MATURITY
VALUE
MISSOURI
(continued)
$
1,230,000
Universal
City
Industrial
Development
Authority,
Missouri,
Revenue
Bonds,
Tax
Increment
and
Special
District
Markets
at
Olive
Project
Series
2023A
5
.500
%
06/15/42
$
1,185,766
TOTAL
MISSOURI
40,135,937
NEBRASKA
-
1.1%
(0.7%
of
Total
Investments)
5,495,000
(e)
Nebraska
Investment
Finance
Authority,
Single
Family
Housing
Revenue
Bonds,
Social
Series
2023E,
(UB)
4
.750
09/01/48
5,315,601
8,425,000
(e)
Nebraska
Investment
Finance
Authority,
Single
Family
Housing
Revenue
Bonds,
Social
Series
2024A,
(UB)
4
.800
09/01/54
7,966,730
TOTAL
NEBRASKA
13,282,331
NEVADA
-
0.1%
(0.0%
of
Total
Investments)
1,832,350
(c),(d)
Director
of
Nevada
State
Department
of
Business
&
Industry,
Environmental
Improvement
Revenue
Bonds,
Fulcrum
Sierra
BioFuels
LLC
Project,
Green
Series
2020
6
.750
02/15/38
18
780,952
(c),(d)
Director
of
Nevada
State
Department
of
Business
&
Industry,
Environmental
Improvement
Revenue
Bonds,
Fulcrum
Sierra
BioFuels
LLC
Project,
Series
2017,
(AMT)
6
.250
12/15/37
8
1,829,755
(c),(d)
Director
of
Nevada
State
Department
of
Business
&
Industry,
Environmental
Improvement
Revenue
Bonds,
Fulcrum
Sierra
Holdings
LLC,
Green
Series
2019,
(AMT)
5
.750
02/15/38
18
830,000
Henderson,
Nevada,
Local
Improvement
District
No.
T-20
Rainbow
Canyon,
Local
Improvement
Bonds,
Series
2018
5
.375
09/01/48
752,196
TOTAL
NEVADA
752,240
NEW
HAMPSHIRE
-
0.5%
(0.3%
of
Total
Investments)
1,000,000
(d)
National
Finance
Authority,
New
Hampshire,
Resource
Recovery
Revenue
Bonds,
Covanta
Project,
Refunding
Series
2018C,
(AMT)
4
.875
11/01/42
901,039
4,135,000
(d)
National
Finance
Authority,
New
Hampshire,
Special
Revenue
Bonds,
Bridgeland
Water
&
Utility
Districts
418,489,492,493,157
&
159,
Series
2025
5
.875
12/15/33
4,148,040
650,000
(d)
National
Finance
Authority,
New
Hampshire,
Special
Revenue
Bonds,
Wildflower
Project,
Denton
County,
Texas,
Capital
Appreciation
Series
2025
0
.000
12/15/33
393,674
TOTAL
NEW
HAMPSHIRE
5,442,753
NEW
JERSEY
-
4.3%
(2.6%
of
Total
Investments)
2,500,000
(e)
New
Jersey
Economic
Development
Authority,
New
Jersey,
Transit
Transportation
Project
Revenue
Bonds,
Portal
North
Bridge
Project
Series
2022A,
(UB)
5
.000
11/01/52
2,500,242
9,500,000
(e),(g)
New
Jersey
Economic
Development
Authority,
School
Facilities
Construction
Bonds,
Series
2017DDD,
(Pre-refunded
6/15/27),
(UB)
5
.000
06/15/42
9,929,659
2,080,000
New
Jersey
Economic
Development
Authority,
Special
Facilities
Revenue
Bonds,
Continental
Airlines
Inc.,
Series
2000A
&
2000B,
(AMT)
5
.625
11/15/30
2,082,183
1,465,000
(g)
New
Jersey
Transportation
Trust
Fund
Authority,
Transportation
Program
Bonds,
Series
2020AA,
(Pre-refunded
12/15/30),
(UB)
5
.000
06/15/50
1,648,449
5,325,000
New
Jersey
Transportation
Trust
Fund
Authority,
Transportation
Program
Bonds,
Series
2020AA,
(UB)
5
.000
06/15/50
5,315,294
40,000,000
(e)
New
Jersey
Transportation
Trust
Fund
Authority,
Transportation
System
Bonds,
Refunding
Series
2006C
-
AMBAC
Insured,
(UB)
0
.000
12/15/35
26,306,876
1,805,000
Tobacco
Settlement
Financing
Corporation,
New
Jersey,
Tobacco
Settlement
Asset-Backed
Bonds,
Series
2018B
5
.000
06/01/46
1,741,879
TOTAL
NEW
JERSEY
49,524,582
NEW
MEXICO
-
0.4%
(0.2%
of
Total
Investments)
265,000
Mariposa
East
Public
Improvement
District,
New
Mexico,
Revenue
Bonds,
Capital
Appreciation
Taxable
Series
2015D
0
.000
03/01/32
145,045
35,000
Mariposa
East
Public
Improvement
District,
New
Mexico,
Special
Levy
Revenue
Bonds,
Series
2015A
5
.900
09/01/32
34,651
155,000
Mariposa
East
Public
Improvement
District,
New
Mexico,
Special
Levy
Revenue
Bonds,
Series
2015B
5
.900
09/01/32
153,457
270,000
Mariposa
East
Public
Improvement
District,
New
Mexico,
Special
Levy
Revenue
Bonds,
Series
2015C
5
.900
09/01/32
267,313
Portfolio
of
Investments
July
31,
2025
(continued)
NMZ
PRINCIPAL
DESCRIPTION
RATE
MATURITY
VALUE
NEW
MEXICO
(continued)
$
1,210,000
Mesa
Del
Sol
Public
Improvement
District
1,
Albuquerque,
New
Mexico,
Special
Levy
Revenue
Bonds,
Series
2013
7
.250
%
10/01/43
$
1,171,036
545,000
New
Mexico
Hospital
Equipment
Loan
Council,
First
Mortgage
Revenue
Bonds,
Haverland
Carter
Lifestyle
Group
-
La
Vida
Llena
Expansion
Project,
Series
2019A
5
.000
07/01/32
547,190
600,000
New
Mexico
Hospital
Equipment
Loan
Council,
First
Mortgage
Revenue
Bonds,
Haverland
Carter
Lifestyle
Group
-
La
Vida
Llena
Expansion
Project,
Series
2019A
5
.000
07/01/49
506,238
1,484,000
(d)
Winrock
Town
Center
Tax
Increment
Development
District
1,
Albuquerque,
New
Mexico,
Gross
Receipts
Tax
Increment
Bonds,
Subordinate
Lien
Series
2020
8
.000
05/01/40
1,453,263
TOTAL
NEW
MEXICO
4,278,193
NEW
YORK
-
14.8%
(8.9%
of
Total
Investments)
1,095,000
Babylon
Local
Development
Corporation
II,
New
York,
Education
Revenue
Bonds,
The
Academy
Charter
School
Project,
Series
2023A
6
.650
02/01/53
1,050,496
1,950,000
(d)
Build
NYC
Resource
Corporation,
New
York,
Revenue
Bonds,
Albert
Einstein
College
of
Medicine,
Inc,
Series
2015
5
.500
09/01/45
1,896,353
1,000,000
(d)
Build
NYC
Resource
Corporation,
New
York,
Revenue
Bonds,
Albert
Einstein
College
of
Medicine,
Inc,
Series
2023
7
.250
06/01/55
1,028,627
5,000,000
(d)
Build
NYC
Resource
Corporation,
New
York,
Revenue
Bonds,
Family
Life
Academy
Charter
School,
Series
2020A-1
5
.250
06/01/40
4,615,484
2,000,000
(d)
Build
NYC
Resource
Corporation,
New
York,
Revenue
Bonds,
Family
Life
Academy
Charter
School,
Series
2020A-1
5
.500
06/01/55
1,680,191
2,905,000
(d)
Build
NYC
Resource
Corporation,
New
York,
Revenue
Bonds,
Family
Life
Academy
Charter
School,
Series
2020C-1
5
.000
06/01/40
2,611,115
3,000,000
(d)
Build
NYC
Resource
Corporation,
New
York,
Revenue
Bonds,
Family
Life
Academy
Charter
School,
Series
2020C-1
5
.000
06/01/55
2,331,938
5,780,000
(d)
Dormitory
Authority
of
the
State
of
New
York,
General
Revenue
Bonds,
American
Musical
and
Dramatic
Academy
Inc.,
Series
2023A
7
.250
07/01/53
5,783,106
9,000,000
(e)
Dormitory
Authority
of
the
State
of
New
York,
General
Revenue
Bonds,
Northwell
Health
Obligated
Group,
Series
2022A
-
AGM
Insured,
(UB)
4
.250
05/01/52
7,918,653
200,000
(d)
Dormitory
Authority
of
the
State
of
New
York,
Revenue
Bonds,
Orange
Regional
Medical
Center
Obligated
Group,
Series
2017
5
.000
12/01/36
191,561
650,000
Dormitory
Authority
of
the
State
of
New
York,
Revenue
Bonds,
Saint
Joseph's
College,
Series
2021
5
.000
07/01/51
528,124
2,000,000
Dormitory
Authority
of
the
State
of
New
York,
State
Personal
Income
Tax
Revenue
Bonds,
General
Purpose,
Bidding
Group
5
Series
2021E
4
.000
03/15/49
1,703,742
1,500,000
Glen
Cove
Local
Economic
Assistance
Corporation,
New
York,
Revenue
Bonds,
Garvies
Point
Public
Improvement
Project,
Capital
Appreciation
Series
2016C
5
.625
01/01/55
1,280,847
1,000,000
Hempstead
Town
Local
Development
Corporation,
New
York,
Education
Revenue
Bonds,
The
Academy
Charter
School
Project,
Series
2020A
5
.730
02/01/50
858,179
2,260,000
Hempstead
Town
Local
Development
Corporation,
New
York,
Education
Revenue
Bonds,
The
Academy
Charter
School
Project,
Series
2021A
4
.050
02/01/31
2,141,640
1,000,000
Hempstead
Town
Local
Development
Corporation,
New
York,
Education
Revenue
Bonds,
The
Academy
Charter
School
Project,
Series
2021A
4
.600
02/01/51
710,981
1,000,000
(c)
Madison
County
Capital
Resource
Corporation,
New
York,
Revenue
Bonds,
Cazenovia
College
Project,
Series
2019A
5
.500
09/01/26
440,000
10,000,000
(e)
Metropolitan
Transportation
Authority,
New
York,
Transportation
Revenue
Bonds,
Green
Climate
Bond
Certified
Series
2020C-1,
(UB)
5
.000
11/15/50
9,687,868
1,000,000
(e)
Metropolitan
Transportation
Authority,
New
York,
Transportation
Revenue
Bonds,
Green
Climate
Bond
Certified
Series
2020D-1,
(UB)
5
.000
11/15/43
1,004,376
PRINCIPAL
DESCRIPTION
RATE
MATURITY
VALUE
NEW
YORK
(continued)
$
1,000,000
(e)
Metropolitan
Transportation
Authority,
New
York,
Transportation
Revenue
Bonds,
Green
Climate
Bond
Certified
Series
2020D-3,
(UB)
4
.000
%
11/15/49
$
826,557
11,850,000
(e)
New
York
City
Housing
Development
Corporation,
New
York,
Multifamily
Housing
Revenue
Bonds,
Sustainable
Neighborhood
Green
Series
2018K,
(UB)
4
.125
11/01/53
10,169,806
300,000
(d)
New
York
City
Housing
Development
Corporation,
New
York,
Multi-Family
Mortgage
Revenue
Bonds,
8
Spruce
Street,
Class
F
Series
2024
5
.250
12/15/31
307,417
1,500,000
(c)
New
York
City
Industrial
Development
Agency,
New
York,
Civic
Facility
Revenue
Bonds,
Bronx
Parking
Development
Company,
LLC
Project,
Series
2007
2
.300
10/01/37
960,000
5,000,000
(c)
New
York
City
Industrial
Development
Agency,
New
York,
Civic
Facility
Revenue
Bonds,
Bronx
Parking
Development
Company,
LLC
Project,
Series
2007
2
.350
10/01/46
3,200,000
1,500,000
(d)
New
York
Liberty
Development
Corporation,
New
York,
Liberty
Revenue
Bonds,
3
World
Trade
Center
Project,
Class
1
Series
2014
5
.000
11/15/44
1,438,027
2,250,000
(d)
New
York
Liberty
Development
Corporation,
New
York,
Liberty
Revenue
Bonds,
3
World
Trade
Center
Project,
Class
2
Series
2014
5
.150
11/15/34
2,250,062
7,000,000
(d)
New
York
Liberty
Development
Corporation,
New
York,
Liberty
Revenue
Bonds,
3
World
Trade
Center
Project,
Class
3
Series
2014
7
.250
11/15/44
7,003,835
2,900,000
New
York
State
Urban
Development
Corporation,
State
Personal
Income
Tax
Revenue
Bonds,
General
Purpose,
Green
Series
2023A
5
.000
03/15/58
2,903,016
2,000,000
New
York
State
Urban
Development
Corporation,
State
Sales
Tax
Revenue
Bonds,
Series
2021A
3
.000
03/15/50
1,376,895
1,000,000
New
York
Transportation
Development
Corporation,
New
York,
Special
Facilities
Bonds,
LaGuardia
Airport
Terminal
B
Redevelopment
Project,
Series
2016A,
(AMT)
5
.000
07/01/46
952,087
1,000,000
New
York
Transportation
Development
Corporation,
New
York,
Special
Facilities
Bonds,
LaGuardia
Airport
Terminal
B
Redevelopment
Project,
Series
2016A,
(AMT)
5
.250
01/01/50
966,162
15,990,000
(e)
New
York
Transportation
Development
Corporation,
New
York,
Special
Facilities
Bonds,
LaGuardia
Airport
Terminal
B
Redevelopment
Project,
Series
2016A,
(AMT),
(UB)
5
.250
01/01/50
15,448,924
2,040,000
(e)
New
York
Transportation
Development
Corporation,
New
York,
Special
Facilities
Revenue
Bonds,
Terminal
6
John
F
Kennedy
International
Airport
Redevelopment
Project,
Senior
Green
Series
2024A,
(AMT),
(UB)
4
.500
12/31/54
1,770,280
10,000,000
New
York
Transportation
Development
Corporation,
New
York,
Special
Facility
Revenue
Bonds,
American
Airlines,
Inc.
John
F
Kennedy
International
Airport
Project,
Refunding
Series
2016,
(AMT)
5
.000
08/01/31
9,999,441
3,070,000
New
York
Transportation
Development
Corporation,
New
York,
Special
Facility
Revenue
Bonds,
American
Airlines,
Inc.
John
F
Kennedy
International
Airport
Project,
Series
2020,
(AMT)
5
.375
08/01/36
3,127,170
8,485,000
(e)
New
York
Transportation
Development
Corporation,
New
York,
Special
Facility
Revenue
Bonds,
John
F
Kennedy
International
Airport
New
Terminal
1
Project,
Green
Series
2024
-
AGM
Insured,
(AMT),
(UB)
5
.000
06/30/49
8,086,029
5,000,000
New
York
Transportation
Development
Corporation,
New
York,
Special
Facility
Revenue
Bonds,
John
F
Kennedy
International
Airport
New
Terminal
1
Project,
Green
Series
2024
-
AGM
Insured,
(AMT)
5
.250
06/30/60
4,850,277
5,000,000
(e)
New
York
Transportation
Development
Corporation,
New
York,
Special
Facility
Revenue
Bonds,
John
F
Kennedy
International
Airport
Terminal
One
Project,
Green
Series
2025,
(AMT),
(UB)
6
.000
06/30/55
5,244,589
4,340,000
(e)
New
York
Transportation
Development
Corporation,
New
York,
Special
Facility
Revenue
Bonds,
John
F
Kennedy
International
Airport
Terminal
One
Project,
Green
Series
2025,
(AMT),
(UB)
5
.500
06/30/59
4,344,793
Portfolio
of
Investments
July
31,
2025
(continued)
NMZ
PRINCIPAL
DESCRIPTION
RATE
MATURITY
VALUE
NEW
YORK
(continued)
$
3,895,000
(e)
New
York
Transportation
Development
Corporation,
New
York,
Special
Facility
Revenue
Bonds,
New
Terminal
1
John
F
Kennedy
International
Airport
Project,
Green
Series
2023
-
AGM
Insured,
(AMT),
(UB)
5
.000
%
06/30/49
$
3,716,484
2,000,000
New
York
Transportation
Development
Corporation,
New
York,
Special
Facility
Revenue
Bonds,
New
Terminal
1
John
F
Kennedy
International
Airport
Project,
Green
Series
2023,
(AMT)
6
.000
06/30/54
2,032,445
1,000,000
New
York
Transportation
Development
Corporation,
Special
Facility
Revenue
Bonds,
Delta
Air
Lines,
Inc.
-
LaGuardia
Airport
Terminals
C&D
Redevelopment
Project,
Series
2020,
(AMT)
4
.375
10/01/45
868,405
5,000,000
New
York
Transportation
Development
Corporation,
Special
Facility
Revenue
Bonds,
Delta
Air
Lines,
Inc.
-
LaGuardia
Airport
Terminals
C&D
Redevelopment
Project,
Series
2023,
(AMT)
5
.625
04/01/40
5,130,645
1,000,000
Niagara
Area
Development
Corporation,
New
York,
Revenue
Bonds;
Catholic
Health
System,
Inc,
Series
2022
4
.500
07/01/52
823,919
9,000,000
(e)
Port
Authority
of
New
York
and
New
Jersey,
Consolidated
Revenue
Bonds,
Two
Hundred
Thirty
Two
Series
2022,
(AMT),
(UB)
4
.625
08/01/52
8,171,377
10,620,000
(e)
Port
Authority
of
New
York
and
New
Jersey,
Consolidated
Revenue
Bonds,
Two
Hundred
Thirty-Four
Series
2022,
(AMT),
(UB)
5
.250
08/01/47
10,689,207
855,000
Suffolk
Tobacco
Asset
Securitization
Corporation,
New
York,
Tobacco
Settlement
Asset-Backed
Bonds,
Series
2021B-2
0
.000
06/01/66
70,660
2,000,000
TSASC
Inc.,
New
York,
Tobacco
Asset-Backed
Bonds,
Series
2006
5
.000
06/01/48
1,702,260
2,500,000
(d)
Westchester
County
Local
Development
Corporation,
New
York,
Revenue
Bond,
Purchase
Senior
Learning
Community,
Inc.
Project,
Accd
Inv
Series
2021A
4
.500
07/01/56
1,928,459
1,025,000
(d)
Westchester
County
Local
Development
Corporation,
New
York,
Revenue
Bond,
Purchase
Senior
Learning
Community,
Inc.
Project,
Accd
Inv
Series
2021A
5
.000
07/01/56
873,538
2,475,000
Westchester
County
Local
Development
Corporation,
New
York,
Revenue
Bonds,
Westchester
Medical
Center
Obligated
Group
Project,
Refunding
Series
2016
5
.000
11/01/46
2,181,296
420,000
Westchester
County
Local
Development
Corporation,
New
York,
Revenue
Bonds,
Westchester
Medical
Center
Obligated
Group
Project,
Series
2023
6
.250
11/01/52
437,274
250,000
(d)
Western
Regional
Off-Track
Betting
Corporation,
New
York,
Tax
Exempt
Revenue
Bonds,
Additional
Secured
General
Obligation
Series
2021
4
.125
12/01/41
212,173
TOTAL
NEW
YORK
171,526,790
NORTH
CAROLINA
-
0.3%
(0.2%
of
Total
Investments)
10,000,000
North
Carolina
Turnpike
Authority,
Triangle
Expressway
System
Revenue
Bonds,
Capital
Appreciation
Series
2019
0
.000
01/01/48
2,984,493
TOTAL
NORTH
CAROLINA
2,984,493
NORTH
DAKOTA
-
0.0%
(0.0%
of
Total
Investments)
1,317,468
(c)
Williston,
North
Dakota,
Multifamily
Housing
Revenue
Bonds,
Eagle
Crest
Apartments
LLC
Project,
Series
2013
7
.750
09/01/38
50,196
TOTAL
NORTH
DAKOTA
50,196
OHIO
-
3.7%
(2.2%
of
Total
Investments)
99,335,000
Buckeye
Tobacco
Settlement
Financing
Authority,
Ohio,
Tobacco
Settlement
Asset-Backed
Revenue
Bonds,
Refunding
Senior
Lien
Capital
Appreciation
Series
2020B-3
Class
2
0
.000
06/01/57
8,713,189
10,140,000
Buckeye
Tobacco
Settlement
Financing
Authority,
Ohio,
Tobacco
Settlement
Asset-Backed
Revenue
Bonds,
Refunding
Senior
Lien
Series
2020B-2
Class
2
5
.000
06/01/55
8,248,193
900,000
(d)
Cleveland-Cuyahoga
County
Port
Authority,
Ohio,
Tax
Increment
Financing
Revenue
Bonds,
Flats
East
Bank
Project,
Refunding
Senior
Series
2021A
4
.000
12/01/55
673,709
2,125,000
(d)
Columbus-Franklin
County
Finance
Authority,
Ohio,
Revenue
Bonds,
Bridge
Park
G
Block
Project,
Public
Infrastructure
Series
2022
5
.000
12/01/45
2,036,842
PRINCIPAL
DESCRIPTION
RATE
MATURITY
VALUE
OHIO
(continued)
$
2,400,000
County
of
Lucas,
Ohio,
Hospital
Revenue
Bonds,
ProMedica
Healthcare
Obligated
Group,
Series
2018A
5
.250
%
11/15/48
$
2,259,312
340,000
Evans
Farm
New
Communty
Authority,
Ohio,
Community
Development
Charge
Revenue
Bonds,
Evans
Farm
Mixed-Use
Project,
Series
2020
4
.000
12/01/46
256,446
1,000,000
Greater
Cincinnati
Port
Development
Authority,
Ohio,
Tax
Increment
Revenue
Bonds,
RBM
Phase
3
Garage
Project
Series
2024
5
.125
12/01/55
910,242
3,890,000
(d)
Jefferson
County
Port
Authority,
Ohio,
Economic
Development
Revenue
Bonds,
JSW
Steel
USA
Ohio,
Inc.
Project,
Series
2023,
(AMT),
(Mandatory
Put
12/01/28)
5
.000
12/01/53
3,897,060
5,000,000
(d)
Ohio
Air
Quality
Development
Authority,
Ohio,
Exempt
Facilities
Revenue
Bonds,
AMG
Vanadium
Project,
Series
2019,
(AMT)
5
.000
07/01/49
4,235,025
1,775,000
(e)
Ohio
Housing
Finance
Agency,
Residential
Mortgage
Revenue
Bonds,
Mortgage-Backed
Securities
Program,
Social
Series
2024A,
(UB)
4
.550
09/01/49
1,634,198
6,300,000
Ohio
Water
Development
Authority,
Pollution
Control
Revenue
Refunding
Bonds,
FirstEnergy
Nuclear
Generating
Corporation
Project,
Series
2010B,
(Mandatory
Put
6/01/22)
4
.750
06/01/33
6,460,612
1,215,000
(e)
Port
of
Greater
Cincinnati
Development
Authority,
Ohio,
Duke
Energy
Convention
Center
Project,
TOT
First
Subordinate
Development
Revenue
Bonds,
Refunding
Series
2024B
-
AGM
Insured,
(UB)
4
.375
12/01/58
1,060,671
980,000
Port
of
Greater
Cincinnati
Development
Authority,
Ohio,
Special
Obligation
Tax
Increment
Financing
Revenue
Bonds,
Cooperative
Township
Public
Parking
Project,
Gallery
at
Kenwood,
Senior
Lien
Series
2019A
5
.000
11/01/51
827,388
2,000,000
Tuscarawas
County
Economic
Development
and
Finance
Alliance,
Ohio,
Higher
Education
Facilities
Revenue
Bonds,
Ashland
University,
Refunding
&
Improvement
Series
2015
6
.000
03/01/45
1,864,356
TOTAL
OHIO
43,077,243
OKLAHOMA
-
1.9%
(1.2%
of
Total
Investments)
1,000,000
Oklahoma
Development
Finance
Authority,
Health
System
Revenue
Bonds,
OU
Medicine
Project,
Series
2018B
5
.500
08/15/52
950,317
1,000,000
Oklahoma
Development
Finance
Authority,
Health
System
Revenue
Bonds,
OU
Medicine
Project,
Series
2018B
5
.500
08/15/57
942,231
1,200,000
Oklahoma
Development
Finance
Authority,
Health
System
Revenue
Bonds,
OU
Medicine
Project,
Taxable
Series
2022
5
.500
08/15/44
1,155,086
15,000,000
Tulsa
Municipal
Airport
Trust,
Oklahoma,
Revenue
Bonds,
American
Airlines
Inc.,
Refunding
Series
2000B,
(AMT)
5
.500
06/01/35
14,998,473
2,600,000
Tulsa
Municipal
Airport
Trust,
Oklahoma,
Revenue
Bonds,
American
Airlines
Inc.,
Refunding
Series
2001B,
(AMT)
5
.500
12/01/35
2,599,735
1,340,000
Tulsa
Municipal
Airport
Trust,
Oklahoma,
Revenue
Bonds,
American
Airlines
Inc.,
Series
2025,
(AMT)
6
.250
12/01/35
1,480,621
TOTAL
OKLAHOMA
22,126,463
PENNSYLVANIA
-
2.6%
(1.6%
of
Total
Investments)
2,280,000
(d)
Allentown
Commercial
and
Industrial
Development
Authority,
Pennsylvania,
Revenue
Bonds,
Arts
Academy
Charter
Middle
School
Foundation
Project,
Series
2022A
5
.000
06/15/57
1,826,426
870,000
(d)
Allentown
Neighborhood
Improvement
Zone
Development
Authority,
Pennsylvania,
Tax
Revenue
Bonds,
615
Waterfront
Project,
Senior
Series
2021
6
.000
05/01/42
889,369
1,250,000
(d)
Allentown
Neighborhood
Improvement
Zone
Development
Authority,
Pennsylvania,
Tax
Revenue
Bonds,
City
Center
Project,
Subordinate
Lien,
Series
2018
5
.125
05/01/32
1,272,969
490,000
Allentown
Neighborhood
Improvement
Zone
Development
Authority,
Pennsylvania,
Tax
Revenue
Bonds,
Waterfront-30
E
Allen
Street
Project,
Subordinate
Series
2024B
6
.000
05/01/42
476,816
500,000
Beaver
County
Industrial
Development
Authority,
Pennsylvania,
Pollution
Control
Revenue
Refunding
Bonds,
FirstEnergy
Generation
Project,
Series
2008B
3
.750
10/01/47
390,127
Portfolio
of
Investments
July
31,
2025
(continued)
NMZ
PRINCIPAL
DESCRIPTION
RATE
MATURITY
VALUE
PENNSYLVANIA
(continued)
$
1,000,000
(d)
Dauphin
County
General
Authority,
Pennsylvania,
Revenue
Bonds,
Harrisburg
University
of
Science
&
Technology
Project,
Series
2017
5
.125
%
10/15/41
$
705,163
1,500,000
(d)
Dauphin
County
General
Authority,
Pennsylvania,
Revenue
Bonds,
Harrisburg
University
of
Science
&
Technology
Project,
Series
2020
6
.250
10/15/53
1,085,947
1,245,000
Lehigh
County
General
Purpose
Authority,
Pennsylvania,
Revenue
Bonds,
Good
Shepherd
Group,
Series
2021A
4
.000
11/01/51
965,658
2,000,000
Lehigh
County
Industrial
Development
Authority,
Pennsylvania,
Charter
School
Revenue
Bonds
Seven
Generations
Charter
School
Series
2021A
4
.000
05/01/51
1,463,454
3,250,000
(d)
Lehigh
County
Industrial
Development
Authority,
Pennsylvania,
Revenue
Bonds,
Provident
Group
-Lehigh
Valley
International
Airport
Hotel
Project
First
Tier
Series
2025A-2
5
.750
01/01/65
2,958,708
1,065,000
(d)
Lehigh
County
Industrial
Development
Authority,
Pennsylvania,
Revenue
Bonds,
Provident
Group
-Lehigh
Valley
International
Airport
Hotel
Project
Second
Tier
Series
2025C
6
.750
01/01/65
978,788
1,000,000
Montgomery
County
Redevelopment
Authority,
Pennsylvania,
Special
Obligation
Revenue
Bonds,
River
Pointe
Project
Series
2023
6
.500
09/01/43
981,118
1,720,000
(a),(c),(d)
Pennsylvania
Economic
Development
Financing
Authority,
Exempt
Facilities
Revenue
Bonds,
KDC
Agribusiness
Fairless
Hills
LLC
Project,
Series
2020A-1
10
.000
12/01/40
172
1,720,000
(a),(c),(d)
Pennsylvania
Economic
Development
Financing
Authority,
Exempt
Facilities
Revenue
Bonds,
KDC
Agribusiness
Fairless
Hills
LLC
Project,
Series
2020A-2,
(AMT)
10
.000
12/01/40
172
2,970,000
(a),(c)
Pennsylvania
Economic
Development
Financing
Authority,
Exempt
Facilities
Revenue
Bonds,
KDC
Agribusiness
Fairless
Hills
LLC
Project,
Series
2021A
10
.000
12/01/31
297
500,000
Pennsylvania
Economic
Development
Financing
Authority,
Exempt
Facilities
Revenue
Bonds,
PPL
Energy
Supply,
LLC
Project,
Refunding
Series
2009C,
(Mandatory
Put
6/01/27)
5
.250
12/01/37
503,539
7,730,000
(e)
Pennsylvania
Economic
Development
Financing
Authority,
Pennsylvania,
Private
Activity
Revenue
Bonds,
The
PennDOT
Major
Bridges
Package
One
Project,
Series
2022
-
AGM
Insured,
(AMT),
(UB)
5
.000
12/31/57
7,311,402
1,650,000
Philadelphia
Authority
for
Industrial
Development
Senior
Living
Facilities,
Philadelphia,
Pennsylvania,
Revenue
Bonds,
Wesley
Enhanced
Living
Obligated
Group,
Series
2017A
5
.000
07/01/49
1,402,993
1,000,000
(d)
Philadelphia
Authority
for
Industrial
Development,
Pennsylvania,
Revenue
Bonds,
Mariana
Bracetti
Academy
Project,
Series
2020A
5
.375
06/15/50
887,854
1,000,000
(d)
Philadelphia
Authority
for
Industrial
Development,
Pennsylvania,
Revenue
Bonds,
Mariana
Bracetti
Academy
Project,
Taxable
Series
2020B
5
.125
12/15/44
897,319
5,325,000
(e)
Philadelphia,
Pennsylvania,
Airport
Revenue
Bonds,
Refunding
Series
2017B,
(AMT),
(UB)
5
.000
07/01/47
5,208,306
105,000
The
Redevelopment
Authority
of
the
City
of
Scranton,
Lackawanna
county,
Pennsylvania,
Guaranteed
Lease
Revenue
Bonds,
Series
2016A
5
.000
11/15/28
105,065
TOTAL
PENNSYLVANIA
30,311,662
PUERTO
RICO
-
9.7%
(5.9%
of
Total
Investments)
2,000,000
(d)
Puerto
Rico
Aqueduct
and
Sewerage
Authority,
Revenue
Bonds,
Refunding
Senior
Lien
Series
2020A
5
.000
07/01/35
2,061,761
8,625,000
(c)
Puerto
Rico
Electric
Power
Authority,
Power
Revenue
Bonds,
Federally
Taxable
Build
America
Bonds,
Series
2010YY
6
.125
07/01/40
3,528,686
2,000,000
(c)
Puerto
Rico
Electric
Power
Authority,
Power
Revenue
Bonds,
Series
2003NN
5
.500
01/01/26
821,475
5,690,000
(c)
Puerto
Rico
Electric
Power
Authority,
Power
Revenue
Bonds,
Series
2010AAA
5
.250
01/01/26
2,397,020
1,000
(c)
Puerto
Rico
Electric
Power
Authority,
Power
Revenue
Bonds,
Series
2010AAA
5
.250
07/01/28
420
1,185,000
(c)
Puerto
Rico
Electric
Power
Authority,
Power
Revenue
Bonds,
Series
2010AAA
5
.250
07/01/28
498,323
PRINCIPAL
DESCRIPTION
RATE
MATURITY
VALUE
PUERTO
RICO
(continued)
$
890,000
(c)
Puerto
Rico
Electric
Power
Authority,
Power
Revenue
Bonds,
Series
2010AAA
5
.250
%
07/01/29
$
374,268
3,000
(c)
Puerto
Rico
Electric
Power
Authority,
Power
Revenue
Bonds,
Series
2010AAA
5
.250
07/01/31
1,261
655,000
(c)
Puerto
Rico
Electric
Power
Authority,
Power
Revenue
Bonds,
Series
2010AAA
5
.250
07/01/31
275,444
3,000,000
(c)
Puerto
Rico
Electric
Power
Authority,
Power
Revenue
Bonds,
Series
2010ZZ
5
.250
07/01/25
1,219,570
4,000,000
(c)
Puerto
Rico
Electric
Power
Authority,
Power
Revenue
Bonds,
Series
2010ZZ
5
.250
01/01/26
1,780,620
185,000
(c)
Puerto
Rico
Electric
Power
Authority,
Power
Revenue
Bonds,
Series
2013A
5
.050
01/01/26
77,196
1,025,000
(c)
Puerto
Rico
Electric
Power
Authority,
Revenue
Bonds,
Series
2007TT
5
.000
07/01/37
431,413
360,000
(c)
Puerto
Rico
Electric
Power
Authority,
Revenue
Bonds,
Series
2008WW
5
.375
01/01/26
149,915
710,000
(c)
Puerto
Rico
Electric
Power
Authority,
Revenue
Bonds,
Series
2008WW
5
.375
01/01/26
295,666
375,000
(c)
Puerto
Rico
Electric
Power
Authority,
Revenue
Bonds,
Series
2008WW
5
.250
07/01/33
155,265
405,000
(c)
Puerto
Rico
Electric
Power
Authority,
Revenue
Bonds,
Series
2010CCC
5
.000
07/01/28
169,102
1,350,000
(c)
Puerto
Rico
Electric
Power
Authority,
Revenue
Bonds,
Series
2010XX
5
.250
07/01/40
575,632
1,000,000
(c)
Puerto
Rico
Electric
Power
Authority,
Revenue
Bonds,
Series
2013A
6
.750
07/01/36
404,302
4,835,000
(c)
Puerto
Rico
Electric
Power
Authority,
Revenue
Bonds,
Series
2013A
5
.000
07/01/42
2,050,243
5,500,000
(c)
Puerto
Rico
Electric
Power
Authority,
Revenue
Bonds,
Taxable
Series
2010EEE
6
.050
07/01/32
2,252,400
682,134
Puerto
Rico
Highway
and
Transportation
Authority
Highway
Revenue
Bonds
Series
2022
5
.250
07/01/38
682,290
39,500,000
Puerto
Rico
Sales
Tax
Financing
Corporation,
Sales
Tax
Revenue
Bonds,
Restructured
2018A-1
0
.000
07/01/46
12,292,009
183,530,000
Puerto
Rico
Sales
Tax
Financing
Corporation,
Sales
Tax
Revenue
Bonds,
Restructured
2018A-1
0
.000
07/01/51
42,285,018
7,750,000
Puerto
Rico
Sales
Tax
Financing
Corporation,
Sales
Tax
Revenue
Bonds,
Restructured
2018A-1
5
.000
07/01/58
7,093,702
14,000,000
Puerto
Rico
Sales
Tax
Financing
Corporation,
Sales
Tax
Revenue
Bonds,
Taxable
Restructured
Cofina
Project
Series
2019A-2
4
.784
07/01/58
12,360,193
4,507,235
Puerto
Rico,
General
Obligation
Bonds,
Clawback
Highway
Transportation
Authority
Claims
Taxable
Series
2022
0
.000
11/01/51
2,845,192
91
Puerto
Rico,
General
Obligation
Bonds,
Restructured
Series
2022A-1
5
.625
07/01/27
94
4,201,027
Puerto
Rico,
General
Obligation
Bonds,
Restructured
Series
2022A-1
0
.000
07/01/33
2,916,313
4,000,000
Puerto
Rico,
General
Obligation
Bonds,
Restructured
Series
2022A-1
4
.000
07/01/46
3,338,524
14,486,516
Puerto
Rico,
General
Obligation
Bonds,
Vintage
CW
NT
Claims
Taxable
Series
2022
0
.000
11/01/43
9,017,856
TOTAL
PUERTO
RICO
112,351,173
RHODE
ISLAND
-
0.1%
(0.1%
of
Total
Investments)
10,260,000
Rhode
Island
Tobacco
Settlement
Financing
Corporation,
Tobacco
Settlement
Asset-Backed
Bonds,
Series
2007A
0
.000
06/01/52
1,700,240
TOTAL
RHODE
ISLAND
1,700,240
Portfolio
of
Investments
July
31,
2025
(continued)
NMZ
PRINCIPAL
DESCRIPTION
RATE
MATURITY
VALUE
SOUTH
CAROLINA
-
2.0%
(1.2%
of
Total
Investments)
$
100,000
(d)
Hardeeville,
South
Carolina,
Special
Assessment
Revenue
Bonds,
East
Argent
Improvement
District,
Series
2021
4
.000
%
05/01/52
$
71,586
4,570,000
Lancaster
County,
South
Carolina,
Special
Assessment
Bonds,
Edgewater
II
Improvement
District,
Capital
Appreciation
Series
2007-A&B
0
.000
11/01/39
1,136,649
4,700,000
Lancaster
County,
South
Carolina,
Special
Assessment
Bonds,
Edgewater
II
Improvement
District,
Capital
Appreciation
Series
2007-A&B
0
.000
11/01/39
1,381,399
400,000
(d)
South
Carolina
Jobs-Economic
Development
Authority,
Economic
Development
Revenue
Bonds,
Hilton
Head
Christian
Academy,
Series
2020
5
.000
01/01/55
315,351
930,000
(d)
South
Carolina
Jobs-Economic
Development
Authority,
Economic
Development
Revenue
Bonds,
Midland
Valley
Preparatory
School
Project,
Series
2014
7
.750
11/15/45
951,347
2,960,000
South
Carolina
Jobs-Economic
Development
Authority,
Economic
Development
Revenue
Bonds,
Patriots
Place
Apartments
Project,
Series
2022A-1
5
.750
06/01/52
2,042,718
3,000,000
(d)
South
Carolina
Jobs-Economic
Development
Authority,
Educational
Facilities
Revenue
Bonds,
Horse
Creek
Academy
Project,
Series
2021A
5
.000
11/15/55
2,477,540
1,585,000
South
Carolina
Jobs-Economic
Development
Authority,
Educational
Facilities
Revenue
Bonds,
Riverwalk
Academy
Project
Series
2023A
7
.250
06/15/58
1,568,465
235,000
(d)
South
Carolina
Jobs-Economic
Development
Authority,
Educational
Facilities
Revenue
Bonds,
Virtus
Academy
Project,
Series
2023A
7
.125
06/15/58
231,211
2,980,000
(e)
South
Carolina
Jobs-Economic
Development
Authority,
Hospital
Revenue
Bonds,
Prisma
Health
Obligated
Group,
Series
2018A,
(UB)
5
.000
05/01/38
3,024,995
9,895,000
(e)
South
Carolina
Jobs-Economic
Development
Authority,
Hospital
Revenue
Bonds,
Prisma
Health
Obligated
Group,
Series
2018A,
(UB)
5
.000
05/01/48
9,651,264
TOTAL
SOUTH
CAROLINA
22,852,525
TENNESSEE
-
0.6%
(0.4%
of
Total
Investments)
1,000,000
(c)
Memphis/Shelby
County
Economic
Development
Growth
Engine
Industrial
Development
Board,
Tennessee,
Tax
Increment
Revenue
Bonds,
Graceland
Project,
Senior
Series
2017A
5
.625
01/01/46
665,849
6,045,000
The
Tennessee
Energy
Acquisition
Corporation,
Gas
Revenue
Bonds,
Series
2006B
5
.625
09/01/26
6,158,036
TOTAL
TENNESSEE
6,823,885
TEXAS
-
7.9%
(4.8%
of
Total
Investments)
2,000,000
(d)
Abilene
Convention
Center
Hotel
Development
Corporation,
Texas,
Hotel
Revenue
Bonds,
Second-Lien
Series
2021B
5
.000
10/01/50
1,655,109
2,750,000
Arlington
Higher
Education
Finance
Corporation,
Texas,
Education
Revenue
Bonds,
Legacy
Traditional
Schools
-
Texas
Project,
Refunding
Series
2021A
4
.500
02/15/56
1,894,766
500,000
(d)
Aubrey,
Denton
County,
Texas,
Special
Assessment
Revenue
Bonds,
Duck
Point
Public
Improvement
District,
Series
2025
5
.625
12/31/55
460,621
680,000
Austin,
Travis,
Williamson
and
Hays
Counties,
Texas,
Special
Assessment
Revenue
Bonds,
Estancia
Hill
Country
Public
Improvement
District,
Series
2013
6
.000
11/01/28
680,456
300,000
(d)
Bee
Cave,
Travis
County,
Texas,
Special
Assessment
Revenue
Bonds,
Backyard
Public
Improvement
District
Project,
Series
2021
5
.250
09/01/51
270,610
750,000
(d)
Blue
Ridge,
Collin
County,
Texas,
Special
Assessment
Revenue
Binds,
Blue
Ridge
Crossing
Public
Improvement
District
Project,
Series
2025
5
.875
09/15/55
743,825
500,000
(d)
Buda,
Texas,
Special
Assessment
Revenue
Bonds,
Persimmon
Public
improvement
District
Major
Improvement
Area
Project,
Series
2025
6
.750
09/01/55
468,171
PRINCIPAL
DESCRIPTION
RATE
MATURITY
VALUE
TEXAS
(continued)
$
500,000
(d)
Celina,
Texas,
Special
Assessment
Revenue
Bonds,
Celina
Sutton
Fields
II
Public
Improvement
District
Neighborhood
Improvement
Areas
2-3
Project,
Series
2019
4
.250
%
09/01/49
$
409,422
750,000
(d)
Celina,
Texas,
Special
Assessment
Revenue
Bonds,
Lakes
at
Mustang
Ranch
Public
Improvement
District
Phase
8-9
Project,
Series
2025
5
.625
09/01/55
707,679
625,000
(d)
Celina,
Texas,
Special
Assessment
Revenue
Bonds,
Mosaic
Public
Improvement
District
Improvement
Area
2
Project
Series
2024
5
.500
09/01/54
599,355
1,000,000
(d)
Celina,
Texas,
Special
Assessment
Revenue
Bonds,
North
Sky
Public
Improvement
District
Major
Improvements
Area
Project,
Series
2023
6
.125
09/01/52
977,390
2,935,000
(d)
Celina,
Texas,
Special
Assessment
Revenue
Bonds,
Sutton
Fields
II
Public
Improvement
District
Neighborhood
Improvement
Area
5
Project,
Series
2022
4
.000
09/01/51
2,185,429
1,000,000
(d)
Celina,
Texas,
Special
Assessment
Revenue
Bonds,
The
Parks
at
Wilson
Creek
Public
Improvement
District
Initial
Major
Improvement
Project,
Series
2021
4
.250
09/01/41
853,192
900,000
(d)
Decatur,
Texas,
Special
Assessment
Revenue
Bonds,
Paloma
Trails
Public
Improvement
District
Major
Improvement
Area
Project,
Series
2025
6
.375
09/15/55
844,253
500,000
(d)
Denton
County,
Texas,
Special
Assessment
Revenue
Bonds,
Green
Meadows
Public
Improvement
District,
Improvement
Area
1
Project,
Series
2025
5
.625
12/31/55
501,598
2,000,000
(d)
East
Waller
County
Management
District,
Texas,
Special
Assessment
Revenue
Bonds,
Sofi
Lakes
Sections
1
and
2
Project,
Series
2025
6
.250
09/15/55
1,974,856
165,000
(d)
Fate,
Rockwall
County,
Texas,
Special
Assessment
Revenue
Bonds,
Williamsburg
Public
Improvement
District
1
Phase
2B,
2C
&
3A1,
Series
2019
4
.250
08/15/49
135,156
1,500,000
Fort
Bend
County
Industrial
Development
Corporation,
Texas,
Revenue
Bonds,
NRG
Energy
Inc.
Project,
Series
2012A.
RMKT
4
.750
05/01/38
1,471,323
1,045,000
Friendswood,
Harris
and
Galveston
Counties,
Texas,
Special
Assessment
Revenue
Bonds,
City
Center
Public
Improvement
District,
Initial
Major
Improvements
Project
Series
2024
7
.000
09/15/54
1,001,978
1,000,000
Gulf
Coast
Industrial
Development
Authority,
Texas,
Solid
Waste
Disposal
Revenue
Bonds,
Citgo
Petroleum
Corporation
Project,
Series
1998,
(AMT)
8
.000
04/01/28
1,001,353
125,000
(d)
Haslett,
Texas,
Special
Assessment
Revenue
Bonds,
Haslet
Public
Improvement
District
5
Improvement
Area
1
Project,
Series
2019
4
.375
09/01/49
103,970
630,000
Heart
of
Texas
Education
Finance
Corporation,
Texas,
Gateway
Charter
Academy,
Series
2006A
6
.000
02/15/36
629,980
1,000,000
Houston,
Texas,
Airport
System
Special
Facilities
Revenue
Bonds,
Continental
Airlines
Inc.
-
Terminal
Improvement
Project,
Refunding
Series
2011,
(AMT)
6
.625
07/15/38
1,002,230
500,000
(d)
Hutto,
Williams
County
Texas,
Special
Assessment
Revenue
Bonds,
Emory
Crossing,
Public
Improvement
Area
1
Project
Series
2021
4
.000
09/01/56
366,314
1,075,000
(d)
Hutto,
Williams
County
Texas,
Special
Assessment
Revenue
Bonds,
Emory
Crossing,
Public
Improvement
Area
2
Project
Series
2023
5
.625
09/01/58
1,045,331
1,045,000
(d)
Kyle,
Texas,
Special
Assessment
Revenue
Bonds,
6
Creeks
Public
Improvement
District
Improvement
Area
3
Project,
Series
2021
4
.000
09/01/46
828,814
500,000
(d)
Lowry
Crossing,
Collin
County,
Texas,
Special
Assessment
Revenue
Bond,
Simpson
Road
Public
Improvement
District
Projects,
Series
2025
6
.000
09/15/55
498,340
1,500,000
(d)
Manor,
Texas,
Special
Assessment
Revenue
Bonds,
Manor
Heights
Public
Improvement
District
Major
Improvement
Area
Project,
Series
2021
4
.375
09/15/51
1,161,147
1,170,000
(d)
McLendon-Chisholm,
Texas,
Special
Assessment
Revenue
Bonds,
Sonoma
Public
Improvement District
Improvement
Area
2
Project,
Series
2019
4
.250
09/15/39
1,059,696
Portfolio
of
Investments
July
31,
2025
(continued)
NMZ
PRINCIPAL
DESCRIPTION
RATE
MATURITY
VALUE
TEXAS
(continued)
$
300,000
(d)
Mesquite,
Texas,
Special
Assessment
Bonds,
Iron
Horse
Public
Improvement
District
Project,
Series
2019
5
.750
%
09/15/39
$
306,587
500,000
(d)
Mesquite,
Texas,
Special
Assessment
Bonds,
Iron
Horse
Public
Improvement
District
Project,
Series
2019
6
.000
09/15/49
500,426
1,125,000
Missouri
City
Management
District
1,
Fort
Bend
County,
Texas,
General
Obligation Bonds,
Road
Series
2021
3
.000
09/01/46
769,118
825,000
(d)
Montgomery
County,
Texas,
Special
Assessment
Revenue
Bonds, Meadow
Park
Public
Improvement
District,
Improvement
Area
1,
Series
2025
5
.375
09/15/54
781,069
8,000,000
New
Hope
Cultural
Education
Facilities
Finance
Corporation,
Texas,
Senior
Living
Revenue
Bonds,
Sanctuary
LTC
LLC
Project,
Series
2021A-1
5
.500
01/01/57
7,124,978
1,000,000
(g)
New
Hope
Cultural
Education
Facilities
Finance
Corporation,
Texas,
Student
Housing
Revenue
Bonds,
CHF-Collegiate
Housing
Foundation
-
San
Antonio
1,
L.L.C.
-
Texas
A&M
University
-
San
Antonio
Project,
Series
2016A,
(Pre-refunded
4/01/26)
5
.000
04/01/48
1,013,517
1,000,000
(c)
New
Hope
Cultural
Education
Facilities
Finance
Corporation,
Texas,
Student
Housing
Revenue
Bonds,
NCCD
-
College
Station
Properties
LLC
-
Texas
A&M
University
Project, Series
2015A
5
.000
07/01/30
990,170
3,250,000
(c)
New
Hope
Cultural
Education
Facilities
Finance
Corporation,
Texas,
Student
Housing
Revenue
Bonds,
NCCD
-
College
Station
Properties
LLC
-
Texas
A&M
University
Project, Series
2015A
5
.000
07/01/35
3,161,796
3,445,000
(c)
New
Hope
Cultural
Education
Facilities
Finance
Corporation,
Texas,
Student
Housing
Revenue
Bonds,
NCCD
-
College
Station
Properties
LLC
-
Texas
A&M
University
Project, Series
2015A
5
.000
07/01/47
3,167,663
1,070,000
(d)
Oak
Point,
Denton
County,
Texas,
Special
Assessment
Revenue
Bonds,
Oak
Point
Public
Imporvement
District
2
Project,
Series
2020
4
.000
09/01/50
822,359
250,000
(d)
Pilot
Point,
Texas,
Special
Assessment
Revenue
Bonds,
Creekview
Public
Improvement
District
Zone
A
Improvement
Area
1
Project,
Series
2022
5
.625
09/15/52
230,912
2,464,000
(d)
Plano,
Collin
and
Denton
Counties,
Texas,
Special
Assessment
Revenue
Bonds,
Collin
Creek
East
Public
Improvement
District
Project,
Series
2021
4
.375
09/15/51
1,883,723
1,000,000
(d)
Port
Beaumont
Navigation
District,
Jefferson
County,
Texas,
Dock
and
Wharf
Facility
Revenue
Bonds,
Jefferson
Gulf
Coast
Energy
Project,
Series
2020,
(AMT)
4
.000
01/01/50
700,684
7,000,000
(d)
Port
Beaumont
Navigation
District,
Jefferson
County,
Texas,
Dock
and
Wharf
Facility
Revenue
Bonds,
Jefferson
Gulf
Coast
Energy
Project,
Series
2021A,
(AMT)
3
.000
01/01/50
4,287,596
2,000,000
(d)
Port
Beaumont
Navigation
District,
Jefferson
County,
Texas,
Dock
and
Wharf
Facility
Revenue
Bonds,
Jefferson
Gulf
Coast
Energy
Project,
Series
2024A,
(AMT)
5
.125
01/01/44
1,808,725
1,650,000
Port
Freeport,
Brazoria
County,
Texas,
Revenue
Bonds,
Senior
Lien
Series
2019A,
(AMT)
4
.000
06/01/38
1,526,461
1,620,000
Port
Freeport,
Brazoria
County,
Texas,
Revenue
Bonds,
Senior
Lien
Series
2019A,
(AMT)
4
.000
06/01/39
1,469,689
1,020,000
(d)
Princeton,
Collins
County,
Texas,
Special
Assessment
Revenue
Bonds,
Southridge
Public
Improvement
District
Improvement
Area
3
Project,
Series
2025
6
.000
09/01/55
1,011,037
1,000,000
Princeton,
Collins
County,
Texas,
Special
Assessment
Revenue
Bonds,
Winchester
Public
Improvement
District
2
Project,
Series
2022
5
.250
09/01/52
936,981
600,000
(d)
Princeton,
Collins
County,
Texas,
Special
Assessment
Revenue
Bonds,
Windmore
Public
Improvement
District
Improvement
Area
1
Project,
Series
2022
5
.500
09/01/54
558,688
205,000
(d)
Princeton,
Texas,
Special
Assessment
Revenue
Bonds,
Whitewing
Trails
Public
Improvement
District
2
Phase
1
Project,
Series
2019
4
.750
09/01/49
182,520
PRINCIPAL
DESCRIPTION
RATE
MATURITY
VALUE
TEXAS
(continued)
$
1,000,000
(d)
Red
Oak,
Ellis
County,
Texas,
Special
Assessment
Revenue
Bonds,
Red
Oak
Public
Improvement
District
1
Improvement
Area
1
Project,
Series
2021
4
.000
%
09/15/51
$
757,358
2,000,000
(c)
Red
River
Health
Facilities
Development
Corporation,
Texas,
First
Mortgage
Revenue
Bonds,
Eden
Home
Inc.,
Series
2012
3
.000
12/15/32
920,000
145,000
Rowlett,
Texas,
Special
Assessment
Revenue
Bonds,
Bayside
Public
Improvement
District
North
Improvement
Area,
Series
2016
5
.750
09/15/36
145,704
400,000
(d)
Royse
City,
Rockwall,
Collin
and
Hunt
Counties,
Texas,
Special
Assessment
Revenue
Bonds,
Liberty
Crossing
Public
Improvement
District
Improvement
Area
2
Project,
Series
2024
5
.625
09/15/54
371,493
1,442,000
(d)
San
Marcos,
Hays,
Caldwell
and
Guadalupe
Counties,
Texas,
Special
Assessment
Revenue
Bonds,
Whisper
South
Public
Improvement
District,
Series
2020
4
.250
09/01/42
1,213,850
7,000,000
(e)
Sherman,
Texas,
Combination
Tax
and
Revenue
Certificates
of
Obligation,
Series
2023,
(UB)
5
.000
08/15/53
7,022,599
1,500,000
(e)
Tarrant
County
Cultural
Education
Facilities
Finance
Corporation,
Texas,
Revenue
Bonds,
Christus
Health,
Series
2022A,
(UB)
5
.000
07/01/53
1,464,581
5,000,000
(e)
Tarrant
County
Cultural
Education
Facilities,
Texas,
Finance
Corporation
Revenue
Bonds,
Christus
Health,
Refunding
Series
2018B,
(UB)
5
.000
07/01/48
4,856,457
1,250,000
Texas
Private
Activity
Bond
Surface
Transpiration
Corporation,
Revenue
Bonds,
NTE
Mobility
Partners
LLC
North
Tarrant
Express
Managed
Lanes
Project,
Senior
Lien
Series
2023,
(AMT)
5
.500
12/31/58
1,252,151
10,000,000
Texas
Private
Activity
Bond
Surface
Transporation
Corporation,
Senior
Lien
Revenue
Bonds,
NTE
Mobility
Partners
Segments
3
LLC
Segments
3C
Project,
Series
2019,
(AMT)
5
.000
06/30/58
9,139,160
5,000,000
(e)
Texas
Water
Development
Board,
State
Water
Implementation
Revenue
Fund
Bonds,
Master
Trust
Series
2024A,
(UB)
4
.375
10/15/59
4,475,970
1,250,000
(d)
Wharton,
Wharton
County,
Texas,
Special
Assessment
Revenue
Bonds,
Wharton
Public
Improvement
District
2
Phase
1
Project
&
Phase
2
Project,
Series
2025
6
.000
09/15/55
1,238,986
TOTAL
TEXAS
91,625,372
UTAH
-
1.5%
(0.9%
of
Total
Investments)
1,000,000
(d)
Black
Desert
Public
Infrastructure
District,
Utah,
Limited
Tax
General
Obligation
Bonds
Subordinate
Series
2021B
7
.375
09/15/51
877,650
3,615,000
(d)
Black
Desert
Public
Infrastructure
District,
Washington
County,
Utah,
Special
Assessment
Bonds,
Black
Desert
Assessment
Area
1,
Series
2024
5
.625
12/01/53
3,515,273
1,255,000
(d)
Courtyards
at
Shurtz
Canyon
Public
Infrastructure
District,
Utah,
Limited
Tax
General
Obligation
Bonds,
Series
2025A-1
7
.000
03/01/55
1,263,584
500,000
(d)
Mida
Cormont
Public
Infrastructure
District,
Utah,
Limited
Tax
General
Obligation
Bonds,
Series
2025A-2
6
.750
06/01/55
407,092
1,010,000
(d)
MIDA
Mountain
Village
Public
Infrastructure
District,
Utah,
Subordinate
Tax
Allocation
Revenue
Bonds,
Series
2024-2
6
.000
06/15/54
1,007,075
1,000,000
Military
Installation
Development
Authority,
Utah,
Tax
Allocation
and
Hotel
Tax
Revenue
Bonds
Series
2021A-1
4
.000
06/01/52
770,367
2,250,000
(d)
Nordic
Village
Public
Infrastructure
District
1,
Weber
County,
Utah,
Limited
Tax
General
Obligation
and
Special
Revenue
Bonds,
Series
2025
6
.500
03/01/55
2,240,503
2,000,000
(d)
ROAM
Public
Infrastructure
District
1,
Utah,
Limited
Tax
General
Obligation
Bonds,
Series
2021A
4
.250
03/01/51
1,478,717
1,000,000
(d)
Sage
Creek
Infrastructure
Financing
District,
Utah,
Special
Assessment
Revenue
Bonds,
Sage
Creek
Assessment
Area
Series
2024
5
.750
12/01/53
940,906
1,000,000
(d)
Sun
Stone
Infrastructure
Financing
District,
Utah,
Special
Assessment
Bonds,
Assessment
Area
1,
Series
2024
6
.750
06/01/54
919,492
1,810,000
(d)
Trails
at
Shurtz
Canyon
Public
Infrastructure
District,
Utah,
Limited
Tax
General
Obligation
Bonds,
Series
2025A-1
6
.750
03/01/55
1,822,545
830,000
(d)
Utah
Charter
School
Finance
Authority,
Charter
School
Revenue
Bonds,
Mountain
West
Montessori
Academy
Project,
Series
2020A
5
.000
06/15/49
681,003
Portfolio
of
Investments
July
31,
2025
(continued)
NMZ
PRINCIPAL
DESCRIPTION
RATE
MATURITY
VALUE
UTAH
(continued)
$
940,000
(d)
Utah
Charter
School
Finance
Authority,
Charter
School
Revenue
Bonds,
Paradigm
High
School
Project,
Series
2020A
5
.125
%
07/15/51
$
752,559
1,000,000
(d)
Wakara
Ridge
Public
Infrastructure
District,
Utah,
Special
Assessment
Bonds,
Wakara
Ridge
Assessment
Area,
Series
2025
5
.625
12/01/54
988,457
TOTAL
UTAH
17,665,223
VIRGIN
ISLANDS
-
1.3%
(0.8%
of
Total
Investments)
1,000,000
(d)
Virgin
Islands
Public
Finance
Authority,
Gross
Receipts
Taxes
Loan
Note,
Refunding
Series
2014C
5
.000
10/01/30
1,000,126
5,000,000
(d)
Virgin
Islands
Public
Finance
Authority,
Gross
Receipts
Taxes
Loan
Note,
Refunding
Series
2014C
5
.000
10/01/39
4,710,949
2,780,000
(d)
Virgin
Islands
Public
Finance
Authority,
Revenue
Bonds,
Frenchman's
Reef
Hotel
Development
Hotel
Occupancy
Series
2024A
6
.000
04/01/53
2,715,040
2,380,000
(d)
Virgin
Islands
Water
and
Power
Authority,
Electric
System
Revenue
Bonds,
Bond
Anticipation
Notes,
Senior
Series
2021A
6
.750
07/01/26
2,354,094
3,085,000
(d)
Virgin
Islands
Water
and
Power
Authority,
Electric
System
Revenue
Bonds,
Bond
Anticipation
Notes,
Series
2024A
8
.000
07/01/26
3,086,421
215,000
(d)
Virgin
Islands
Water
and
Power
Authority,
Electric
System
Revenue
Bonds,
Refunding
Series
2024B
10
.250
07/01/26
215,581
1,480,000
(d)
West
Indian
Company
Limited,
Virgin
Islands,
Port
Facilities
Revenue
Bonds
WICO
Financing
Series
2022B,
(AMT)
6
.250
10/01/42
1,400,893
TOTAL
VIRGIN
ISLANDS
15,483,104
VIRGINIA
-
3.4%
(2.0%
of
Total
Investments)
762,000
(c)
Celebrate
Virginia
North
Community
Development
Authority,
Special
Assessment
Revenue
Bonds,
Series
2003B
4
.125
03/01/26
480,060
1,500,000
(d)
Cutalong
II
Community
Development
Authority,
Louisa
County,
Virginia,
Special
Assessment
Revenue
Bonds,
Cutalong
II
Project,
Series
2022
4
.500
03/01/55
1,169,487
5,000,000
(d)
Industrial
Development
Authority
of
the
City
of
Newport
News,
Virginia,
Health
System
Revenue
Bonds,
Riverside
Health
System,
Series
2017A
5
.000
07/01/46
4,653,654
11,495,000
(e)
Lynchburg
Economic
Development
Authority,
Virginia,
Hospital
Revenue
Bonds,
Centra
Health
Obligated
Group,
Refunding
Series
2021,
(UB)
4
.000
01/01/55
9,018,169
1,000,000
Tobacco
Settlement
Financing
Corporation
of
Virginia,
Tobacco
Settlement
Asset
Backed
Bonds,
Series
2007B1
5
.000
06/01/47
834,392
2,340,000
Virginia
Beach
Development
Authority,
Virginia,
Residential
Care
Facility
Revenue
Bonds,
Westminster
Canterbury
on
Chesapeake
Bay,
Series
2023A
7
.000
09/01/59
2,522,691
4,500,000
(e)
Virginia
Housing
Development
Authority,
Commonwealth
Mortgage
Bonds,
Series
2023A,
(UB)
5
.000
11/01/38
4,641,910
7,000,000
(d)
Virginia
Small
Business
Finance
Authority,
Educational
Facilities
Revenue
Bonds,
Provident
Resource
Group
-
Rixey
Student
Housing
Project,
Series
2019A
5
.500
07/01/54
5,511,407
9,211,411
(d)
Virginia
Small
Business
Finance
Authority,
Educational
Facilities
Revenue
Bonds,
Provident
Resource
Group
-
Rixey
Student
Housing
Project,
Series
2019B,
(cash
7.500%,
PIK
7.500%)
4
.500
07/01/52
5,526,847
4,665,000
(d)
Virginia
Small
Business
Financing
Authority,
Sports
and
Entertainment
Facilities
Revenue
Bonds,
P3
VB
Holdings
LLC,
Senior
Series
2023A
8
.500
12/01/52
4,286,511
550,000
(d)
West
Falls
Community
Development
Authority,
Arlington
County,
Virginia,
Revenue
Bonds,
Series
2022A
5
.375
09/01/52
542,669
TOTAL
VIRGINIA
39,187,797
WASHINGTON
-
1.9%
(1.2%
of
Total
Investments)
1,000,000
King
County
Public
Hospital
District
4,
Washington,
Hospital
Revenue
Bonds,
Snoqualmie
Valley
Hospital,
Series
2015A
6
.250
12/01/45
971,134
1,000,000
Kitsap
County
Consolidated
Housing
Authority,
Washington,
Pooled
Tax
Credit
Housing
Revenue
Bonds,
Series
2007,
(AMT)
5
.600
06/01/37
924,734
1,300,000
Port
of
Seattle
Industrial
Development
Corporation,
Washington,
Special
Facilities
Revenue
Refunding
Bonds,
Delta
Air
Lines,
Inc.
Project,
Series
2012,
(AMT)
5
.000
04/01/30
1,299,950
PRINCIPAL
DESCRIPTION
RATE
MATURITY
VALUE
WASHINGTON
(continued)
$
2,500,000
Seattle
Housing
Authority,
Washington,
Revenue
Bonds,
Lam
Bow
Apartments
Project,
Series
2021
2
.500
%
06/01/54
$
1,452,803
150,000
Tacoma
Consolidated
Local
Improvement
District
65,
Washington,
Special
Assessment
Bonds,
Series
2013
5
.750
04/01/43
146,399
13,915,000
(e)
Washington
Health
Care
Facilities
Authority,
Revenue
Bonds,
Seattle
Cancer
Center
Alliance,
Series
2020,
(UB)
5
.000
09/01/55
13,673,330
3,675,000
(d)
Washington
State
Housing
Finance
Commission,
Nonprofit
Revenue
Bonds,
Provident
Group
SH
II
Properties
LLC,
Blakeley
&
Laurel
Villages
Portfolio,
Series
2025A
5
.750
07/01/60
3,671,377
TOTAL
WASHINGTON
22,139,727
WEST
VIRGINIA
-
0.7%
(0.4%
of
Total
Investments)
1,214,000
Berkeley,
Hardy
and
Jefferson
Counties,
West
Virginia,
as
Joint
Issuers,
Commercial
Development
Revenue
Bonds,
Scattered
Site
Housing
Projects,
Series
2010
5
.750
12/01/44
1,112,267
1,125,000
(d)
Monongalia
County
Commission,
West
Virginia,
Special
District
Excise
Tax
Revenue
Bonds,
University
Town
Centre
Economic
Opportunity
Development
District,
Refunding
&
Improvement
Series
2017A
5
.750
06/01/43
1,129,801
925,000
(d)
Monongalia
County
Commission,
West
Virginia,
Special
District
Excise
Tax
Revenue
Bonds,
University
Town
Centre
Economic
Opportunity
Development
District,
Refunding
&
Improvement
Series
2021A
4
.125
06/01/43
767,975
915,000
(c),(d)
West
Virginia
Economic
Development
Authority,
Dock
and
Wharf
Facilities
Revenue
Bonds,
Empire
Trimodal
Terminal,
LLC
Project,
Series
2020
0
.000
12/01/40
665,144
1,400,000
(d)
West
Virginia
Economic
Development
Authority,
Solid
Waste
Disposal
Facilities
Revenue
Bonds,
Core
Natural
Resources,
INC
Project,
AMT
Series
2025,
(AMT),
(Mandatory
Put
3/27/35)
5
.450
01/01/55
1,423,418
4,000,000
(e)
West
Virginia
Hospital
Finance
Authority,
Revenue
Bonds,
West
Virginia
University
Health
System,
Improvement
Series
2023A,
(UB)
4
.375
06/01/53
3,464,357
TOTAL
WEST
VIRGINIA
8,562,962
WISCONSIN
-
9.5%
(5.7%
of
Total
Investments)
2,500,000
(c),(d)
Gillett,
Wisconsin,
Solid
Waste
Disposal
Revenue
Bonds,
WI
RNG
Hub
North
LLC
Renewable
Natural
Gas
Production
Plant
Project,
Series
2021A
5
.500
12/01/32
1,885,661
1,765,000
Lac
Courte
Oreilles
Band
of
Lake
Superior
Chippewa
Indians,
Wisconsin,
General
Revenue
Bonds,
Refunding
Series
2017
6
.750
06/01/32
1,761,231
1,000,000
(d)
Public
Finance
Authority
of
Wisconsin,
Charter
School
Revenue
Bonds,
Alamance
Community
School,
Series
2021A
5
.000
06/15/51
783,701
1,255,000
(d)
Public
Finance
Authority
of
Wisconsin,
Charter
School
Revenue
Bonds,
Ascend
Leadership
Academy
Project,
Series
2021A
5
.000
06/15/51
952,605
1,000,000
(d)
Public
Finance
Authority
of
Wisconsin,
Charter
School
Revenue
Bonds,
Ascend
Leadership
Academy
Project,
Series
2021A
5
.000
06/15/56
740,088
150,000
(d)
Public
Finance
Authority
of
Wisconsin,
Charter
School
Revenue
Bonds,
Founders
Academy
of
Las
Vegas,
Series
2020A
5
.000
07/01/55
122,973
2,015,000
(d)
Public
Finance
Authority
of
Wisconsin,
Charter
School
Revenue
Bonds,
Guilford
Preparatory
Academy,
North
Carolina,
Taxable
Series
2022A
5
.000
04/01/57
1,599,169
1,280,000
(d)
Public
Finance
Authority
of
Wisconsin,
Charter
School
Revenue
Bonds,
High
Desert
Montessori
Charter
School,
Series
2021A
5
.000
06/01/61
902,222
1,675,000
(d),(g)
Public
Finance
Authority
of
Wisconsin,
Charter
School
Revenue
Bonds,
North
Carolina
Charter
Educational
Foundation
Project,
Series
2016A,
(Pre-refunded
6/15/26)
5
.000
06/15/46
1,709,210
3,310,000
(d)
Public
Finance
Authority
of
Wisconsin,
Charter
School
Revenue
Bonds,
North
Carolina
Charter
Educational
Foundation
Project,
Series
2016A
5
.000
06/15/46
2,515,633
500,000
(d)
Public
Finance
Authority
of
Wisconsin,
Charter
School
Revenue
Bonds,
Point
College
Preparatory,
Series
2020A
5
.000
06/15/55
369,399
1,155,000
(d)
Public
Finance
Authority
of
Wisconsin,
Charter
School
Revenue
Bonds,
Vegas
Vista
Academy,
Series
2024A
7
.000
06/01/59
1,018,992
Portfolio
of
Investments
July
31,
2025
(continued)
NMZ
PRINCIPAL
DESCRIPTION
RATE
MATURITY
VALUE
WISCONSIN
(continued)
$
12,606
(c),(d)
Public
Finance
Authority
of
Wisconsin,
Conference
Center
and
Hotel
Revenue
Bonds,
Lombard
Public
Facilities
Corporation,
First
Tier
Series
2018A-1
0
.000
%
01/01/47
$
369
11,020
(c),(d)
Public
Finance
Authority
of
Wisconsin,
Conference
Center
and
Hotel
Revenue
Bonds,
Lombard
Public
Facilities
Corporation,
First
Tier
Series
2018A-1
0
.000
01/01/48
303
10,843
(c),(d)
Public
Finance
Authority
of
Wisconsin,
Conference
Center
and
Hotel
Revenue
Bonds,
Lombard
Public
Facilities
Corporation,
First
Tier
Series
2018A-1
0
.000
01/01/49
279
10,491
(c),(d)
Public
Finance
Authority
of
Wisconsin,
Conference
Center
and
Hotel
Revenue
Bonds,
Lombard
Public
Facilities
Corporation,
First
Tier
Series
2018A-1
0
.000
01/01/50
249
10,314
(c),(d)
Public
Finance
Authority
of
Wisconsin,
Conference
Center
and
Hotel
Revenue
Bonds,
Lombard
Public
Facilities
Corporation,
First
Tier
Series
2018A-1
0
.000
01/01/51
230
13,400
(c),(d)
Public
Finance
Authority
of
Wisconsin,
Conference
Center
and
Hotel
Revenue
Bonds,
Lombard
Public
Facilities
Corporation,
First
Tier
Series
2018A-1
0
.000
01/01/52
276
13,224
(c),(d)
Public
Finance
Authority
of
Wisconsin,
Conference
Center
and
Hotel
Revenue
Bonds,
Lombard
Public
Facilities
Corporation,
First
Tier
Series
2018A-1
0
.000
01/01/53
257
12,783
(c),(d)
Public
Finance
Authority
of
Wisconsin,
Conference
Center
and
Hotel
Revenue
Bonds,
Lombard
Public
Facilities
Corporation,
First
Tier
Series
2018A-1
0
.000
01/01/54
232
12,518
(c),(d)
Public
Finance
Authority
of
Wisconsin,
Conference
Center
and
Hotel
Revenue
Bonds,
Lombard
Public
Facilities
Corporation,
First
Tier
Series
2018A-1
0
.000
01/01/55
213
12,254
(c),(d)
Public
Finance
Authority
of
Wisconsin,
Conference
Center
and
Hotel
Revenue
Bonds,
Lombard
Public
Facilities
Corporation,
First
Tier
Series
2018A-1
0
.000
01/01/56
198
666,929
(c),(d)
Public
Finance
Authority
of
Wisconsin,
Conference
Center
and
Hotel
Revenue
Bonds,
Lombard
Public
Facilities
Corporation,
First
Tier
Series
2018A-1
5
.500
07/01/56
477,417
13,576
(c),(d)
Public
Finance
Authority
of
Wisconsin,
Conference
Center
and
Hotel
Revenue
Bonds,
Lombard
Public
Facilities
Corporation,
First
Tier
Series
2018A-1
0
.000
01/01/57
205
13,224
(c),(d)
Public
Finance
Authority
of
Wisconsin,
Conference
Center
and
Hotel
Revenue
Bonds,
Lombard
Public
Facilities
Corporation,
First
Tier
Series
2018A-1
0
.000
01/01/58
188
12,871
(c),(d)
Public
Finance
Authority
of
Wisconsin,
Conference
Center
and
Hotel
Revenue
Bonds,
Lombard
Public
Facilities
Corporation,
First
Tier
Series
2018A-1
0
.000
01/01/59
173
12,606
(c),(d)
Public
Finance
Authority
of
Wisconsin,
Conference
Center
and
Hotel
Revenue
Bonds,
Lombard
Public
Facilities
Corporation,
First
Tier
Series
2018A-1
0
.000
01/01/60
158
12,430
(c),(d)
Public
Finance
Authority
of
Wisconsin,
Conference
Center
and
Hotel
Revenue
Bonds,
Lombard
Public
Facilities
Corporation,
First
Tier
Series
2018A-1
0
.000
01/01/61
146
12,077
(c),(d)
Public
Finance
Authority
of
Wisconsin,
Conference
Center
and
Hotel
Revenue
Bonds,
Lombard
Public
Facilities
Corporation,
First
Tier
Series
2018A-1
0
.000
01/01/62
134
11,813
(c),(d)
Public
Finance
Authority
of
Wisconsin,
Conference
Center
and
Hotel
Revenue
Bonds,
Lombard
Public
Facilities
Corporation,
First
Tier
Series
2018A-1
0
.000
01/01/63
124
11,548
(c),(d)
Public
Finance
Authority
of
Wisconsin,
Conference
Center
and
Hotel
Revenue
Bonds,
Lombard
Public
Facilities
Corporation,
First
Tier
Series
2018A-1
0
.000
01/01/64
115
11,372
(c),(d)
Public
Finance
Authority
of
Wisconsin,
Conference
Center
and
Hotel
Revenue
Bonds,
Lombard
Public
Facilities
Corporation,
First
Tier
Series
2018A-1
0
.000
01/01/65
106
12,254
(c),(d)
Public
Finance
Authority
of
Wisconsin,
Conference
Center
and
Hotel
Revenue
Bonds,
Lombard
Public
Facilities
Corporation,
First
Tier
Series
2018A-1
0
.000
01/01/66
105
PRINCIPAL
DESCRIPTION
RATE
MATURITY
VALUE
WISCONSIN
(continued)
$
147,580
(c),(d)
Public
Finance
Authority
of
Wisconsin,
Conference
Center
and
Hotel
Revenue
Bonds,
Lombard
Public
Facilities
Corporation,
First
Tier
Series
2018A-1
0
.000
%
01/01/67
$
1,144
24,119
(c),(d)
Public
Finance
Authority
of
Wisconsin,
Conference
Center
and
Hotel
Revenue
Bonds,
Lombard
Public
Facilities
Corporation,
Second
Tier
Series
2018B
0
.000
01/01/46
767
23,780
(c),(d)
Public
Finance
Authority
of
Wisconsin,
Conference
Center
and
Hotel
Revenue
Bonds,
Lombard
Public
Facilities
Corporation,
Second
Tier
Series
2018B
0
.000
01/01/47
696
23,609
(c),(d)
Public
Finance
Authority
of
Wisconsin,
Conference
Center
and
Hotel
Revenue
Bonds,
Lombard
Public
Facilities
Corporation,
Second
Tier
Series
2018B
0
.000
01/01/48
649
23,439
(c),(d)
Public
Finance
Authority
of
Wisconsin,
Conference
Center
and
Hotel
Revenue
Bonds,
Lombard
Public
Facilities
Corporation,
Second
Tier
Series
2018B
0
.000
01/01/49
602
23,100
(c),(d)
Public
Finance
Authority
of
Wisconsin,
Conference
Center
and
Hotel
Revenue
Bonds,
Lombard
Public
Facilities
Corporation,
Second
Tier
Series
2018B
0
.000
01/01/50
548
25,308
(c),(d)
Public
Finance
Authority
of
Wisconsin,
Conference
Center
and
Hotel
Revenue
Bonds,
Lombard
Public
Facilities
Corporation,
Second
Tier
Series
2018B
0
.000
01/01/51
564
640,263
(c),(d)
Public
Finance
Authority
of
Wisconsin,
Conference
Center
and
Hotel
Revenue
Bonds,
Lombard
Public
Facilities
Corporation,
Second
Tier
Series
2018B
3
.750
07/01/51
427,547
25,138
(c),(d)
Public
Finance
Authority
of
Wisconsin,
Conference
Center
and
Hotel
Revenue
Bonds,
Lombard
Public
Facilities
Corporation,
Second
Tier
Series
2018B
0
.000
01/01/52
518
24,798
(c),(d)
Public
Finance
Authority
of
Wisconsin,
Conference
Center
and
Hotel
Revenue
Bonds,
Lombard
Public
Facilities
Corporation,
Second
Tier
Series
2018B
0
.000
01/01/53
481
24,628
(c),(d)
Public
Finance
Authority
of
Wisconsin,
Conference
Center
and
Hotel
Revenue
Bonds,
Lombard
Public
Facilities
Corporation,
Second
Tier
Series
2018B
0
.000
01/01/54
447
24,289
(c),(d)
Public
Finance
Authority
of
Wisconsin,
Conference
Center
and
Hotel
Revenue
Bonds,
Lombard
Public
Facilities
Corporation,
Second
Tier
Series
2018B
0
.000
01/01/55
415
23,949
(c),(d)
Public
Finance
Authority
of
Wisconsin,
Conference
Center
and
Hotel
Revenue
Bonds,
Lombard
Public
Facilities
Corporation,
Second
Tier
Series
2018B
0
.000
01/01/56
386
23,780
(c),(d)
Public
Finance
Authority
of
Wisconsin,
Conference
Center
and
Hotel
Revenue
Bonds,
Lombard
Public
Facilities
Corporation,
Second
Tier
Series
2018B
0
.000
01/01/57
359
23,439
(c),(d)
Public
Finance
Authority
of
Wisconsin,
Conference
Center
and
Hotel
Revenue
Bonds,
Lombard
Public
Facilities
Corporation,
Second
Tier
Series
2018B
0
.000
01/01/58
334
23,270
(c),(d)
Public
Finance
Authority
of
Wisconsin,
Conference
Center
and
Hotel
Revenue
Bonds,
Lombard
Public
Facilities
Corporation,
Second
Tier
Series
2018B
0
.000
01/01/59
313
23,100
(c),(d)
Public
Finance
Authority
of
Wisconsin,
Conference
Center
and
Hotel
Revenue
Bonds,
Lombard
Public
Facilities
Corporation,
Second
Tier
Series
2018B
0
.000
01/01/60
290
22,761
(c),(d)
Public
Finance
Authority
of
Wisconsin,
Conference
Center
and
Hotel
Revenue
Bonds,
Lombard
Public
Facilities
Corporation,
Second
Tier
Series
2018B
0
.000
01/01/61
268
22,590
(c),(d)
Public
Finance
Authority
of
Wisconsin,
Conference
Center
and
Hotel
Revenue
Bonds,
Lombard
Public
Facilities
Corporation,
Second
Tier
Series
2018B
0
.000
01/01/62
251
22,250
(c),(d)
Public
Finance
Authority
of
Wisconsin,
Conference
Center
and
Hotel
Revenue
Bonds,
Lombard
Public
Facilities
Corporation,
Second
Tier
Series
2018B
0
.000
01/01/63
233
22,081
(c),(d)
Public
Finance
Authority
of
Wisconsin,
Conference
Center
and
Hotel
Revenue
Bonds,
Lombard
Public
Facilities
Corporation,
Second
Tier
Series
2018B
0
.000
01/01/64
220
Portfolio
of
Investments
July
31,
2025
(continued)
NMZ
PRINCIPAL
DESCRIPTION
RATE
MATURITY
VALUE
WISCONSIN
(continued)
$
21,911
(c),(d)
Public
Finance
Authority
of
Wisconsin,
Conference
Center
and
Hotel
Revenue
Bonds,
Lombard
Public
Facilities
Corporation,
Second
Tier
Series
2018B
0
.000
%
01/01/65
$
204
21,571
(c),(d)
Public
Finance
Authority
of
Wisconsin,
Conference
Center
and
Hotel
Revenue
Bonds,
Lombard
Public
Facilities
Corporation,
Second
Tier
Series
2018B
0
.000
01/01/66
185
280,946
(c),(d)
Public
Finance
Authority
of
Wisconsin,
Conference
Center
and
Hotel
Revenue
Bonds,
Lombard
Public
Facilities
Corporation,
Second
Tier
Series
2018B
0
.000
01/01/67
2,178
4,700,000
(d)
Public
Finance
Authority
of
Wisconsin,
Contract
Revenue
Bonds,
Mercer
Crossing
Public
Improvement
District
Project,
Series
2017
7
.000
03/01/47
4,765,428
4,000,000
(d)
Public
Finance
Authority
of
Wisconsin,
Education
Revenue
Bonds,
Casa
Esperanza
Montessori,
Series
2021A
4
.500
06/01/56
2,865,040
1,000,000
(d)
Public
Finance
Authority
of
Wisconsin,
Education
Revenue
Bonds,
Corvian
Community
School,
North
Carolina
Series
2023A
6
.250
06/15/53
944,763
1,500,000
(d)
Public
Finance
Authority
of
Wisconsin,
Education
Revenue
Bonds,
Pioneer
Springs
Community
School,
Series
2020A
6
.250
06/15/40
1,405,208
1,000,000
(d)
Public
Finance
Authority
of
Wisconsin,
Education
Revenue
Bonds,
The
Capitol
Encore
Academy,
Series
2021A
5
.000
06/01/56
781,208
500,000
Public
Finance
Authority
of
Wisconsin,
Educational
Facilities
Revenue
Bonds,
Cincinnati
Classical
Academy,
Series
2024A
6
.000
06/15/64
471,173
2,000,000
(c),(d)
Public
Finance
Authority
of
Wisconsin,
Educational
Facilities
Revenue
Bonds,
Lake
Erie
College,
Series
2019A
5
.875
10/01/54
1,237,352
1,875,000
(d)
Public
Finance
Authority
of
Wisconsin,
Educational
Facilities
Revenue
Bonds,
Lindenwood
Education
system,
Series
2025A
5
.500
06/01/40
1,892,358
1,550,000
(d)
Public
Finance
Authority
of
Wisconsin,
Educational
Facility
Revenue
Bonds,
LEAD
Academy
Project,
Series
2021
5
.000
08/01/51
1,059,938
3,000,000
Public
Finance
Authority
of
Wisconsin,
Educational
Facility
Revenue
Bonds,
Lenoir-Rhyne
University,
Refunding
Series
2022
5
.125
04/01/52
2,686,124
335,000
Public
Finance
Authority
of
Wisconsin,
Exempt
Facilities
Revenue
Bonds,
National
Gypsum
Company
Project,
Refunding
Series
2016,
(AMT)
4
.000
08/01/35
314,701
5,000,000
Public
Finance
Authority
of
Wisconsin,
Hotel
Revenue
Bonds,
Grand
Hyatt
San
Antonio
Hotel
Acquisition
Project,
Senior
Lien
Series
2022A
5
.000
02/01/62
4,620,400
6,665,000
(d)
Public
Finance
Authority
of
Wisconsin,
Hotel
Revenue
Bonds,
Grand
Hyatt
San
Antonio
Hotel
Acquisition
Project,
Subordinate
Lien
Series
2022B
6
.000
02/01/62
6,756,687
1,665,000
(c),(d)
Public
Finance
Authority
of
Wisconsin,
Limited
Obligation
Grant
Revenue
Bonds,
American
Dream
@
Meadowlands
Project,
Series
2017A
6
.250
08/01/27
1,610,888
1,000,000
(c),(d)
Public
Finance
Authority
of
Wisconsin,
Limited
Obligation
Grant
Revenue
Bonds,
American
Dream
@
Meadowlands
Project,
Series
2017A
6
.750
08/01/31
897,500
3,000,000
(d)
Public
Finance
Authority
of
Wisconsin,
Limited
Obligation
PILOT
Revenue
Bonds,
American
Dream
@
Meadowlands
Project,
Series
2017
6
.750
12/01/42
2,850,000
20,835,000
(d)
Public
Finance
Authority
of
Wisconsin,
Limited
Obligation
PILOT
Revenue
Bonds,
American
Dream
@
Meadowlands
Project,
Series
2017
7
.000
12/01/50
19,793,250
3,500,000
(c),(d)
Public
Finance
Authority
of
Wisconsin,
Revenue
Bonds,
Alabama
Gulf
Coast
Zoo,
Series
2018A
6
.500
09/01/48
2,100,000
500,000
(c),(d)
Public
Finance
Authority
of
Wisconsin,
Revenue
Bonds,
Alabama
Proton
Therapy
Center,
Senior
Series
2017A
7
.000
10/01/47
50,000
4,415,000
(c),(d)
Public
Finance
Authority
of
Wisconsin,
Revenue
Bonds,
Procure
Proton
Therapy
Center,
Senior
Series
2018A
6
.950
07/01/38
3,090,500
6,585,000
(c),(d)
Public
Finance
Authority
of
Wisconsin,
Revenue
Bonds,
Procure
Proton
Therapy
Center,
Senior
Series
2018A
7
.000
07/01/48
4,609,500
1,060,000
Public
Finance
Authority
of
Wisconsin,
Revenue
Bonds,
Roseman
University
of
Health
Sciences,
Series
2015
5
.875
04/01/45
1,026,027
PRINCIPAL
DESCRIPTION
RATE
MATURITY
VALUE
WISCONSIN
(continued)
$
1,000,000
Public
Finance
Authority
of
Wisconsin,
Revenue
Bonds,
SearStone
Retirement
Community,
Series
2023A
5
.000
%
06/01/37
$
986,646
4,000,000
Public
Finance
Authority
of
Wisconsin,
Revenue
Bonds,
SearStone
Retirement
Community,
Series
2023A
5
.000
06/01/52
3,363,773
1,000,000
(c),(d)
Public
Finance
Authority
of
Wisconsin,
Senior
Revenue
Bonds,
Maryland
Proton
Treatment
Center,
Series
2018A-1
6
.125
01/01/33
450,000
2,000,000
(c),(d)
Public
Finance
Authority
of
Wisconsin,
Senior
Revenue
Bonds,
Maryland
Proton
Treatment
Center,
Series
2018A-1
6
.250
01/01/38
900,000
3,500,000
(c),(d)
Public
Finance
Authority
of
Wisconsin,
Senior
Revenue
Bonds,
Maryland
Proton
Treatment
Center,
Series
2018A-1
6
.375
01/01/48
1,575,000
285,000
(a),(c)
Public
Finance
Authority
of
Wisconsin,
Wisconsin
Revenue
Note,
KDC
Agribusiness
LLC
Project,
Series
2022B
15
.000
12/31/25
28
1,130,000
(d)
Public
Finance
Authority,
Wisconsin,
Revenue
Bonds,
Ocean
Academy
Charter
School,
Series
2021
5
.000
10/15/51
940,259
815,000
(d)
Public
Finance
Authority,
Wisconsin,
Revenue
Bonds,
Ocean
Academy
Charter
School,
Series
2021
5
.000
10/15/56
665,027
1,000,000
(d)
Public
Finance
Authority,
Wisconsin,
Revenue
Bonds,
Two
Step
Project,
Series
2024
0
.000
12/15/34
569,672
4,215,000
(d)
Public
Finance
Authority,
Wisconsin,
Tax
Increment
Revenue
Senior
Bonds,
World
Center
Project
Series
2024A
5
.000
06/01/41
4,104,044
1,000,000
(d)
Public
Finance
Authority,
Wisconsin,
Tax
Increment
Revenue
Subordinate
Bonds,
World
Center
Project
Series
2024B
8
.000
06/15/42
977,547
5,575,000
Public
Finance
Authority,
Wisconsin,
Toll
Revenue
Bonds,
Georgia
SR
400
Express
Lanes
Project,
Senior
Lien
Series
2025,
(UB)
5
.750
12/31/65
5,426,238
1,000,000
(d)
Saint
Croix
Chippewa
Indians
of
Wisconsin,
Revenue
Bonds,
Refunding
Senior
Series
2021
5
.000
09/30/41
859,062
970,000
(g)
Wisconsin
Center
District,
Dedicated
Tax
Revenue
Bonds,
Supported
by
State
Moral
Obligation
Junior
Series
2020D,
(Pre-refunded
12/15/30)
0
.000
12/15/60
248,258
4,030,000
Wisconsin
Center
District,
Dedicated
Tax
Revenue
Bonds,
Supported
by
State
Moral
Obligation
Junior
Series
2020D
-
AGM
Insured
0
.000
12/15/60
602,931
7,250,000
(e)
Wisconsin
Health
and
Educational
Facilities
Authority,
Revenue
Bonds,
Marshfield
Clinic
Health
System,
Inc.,
Series
2017C,
(UB)
5
.000
02/15/47
7,056,042
TOTAL
WISCONSIN
109,834,532
WYOMING
-
0.4%
(0.3%
of
Total
Investments)
5,000,000
(e)
Wyoming
Community
Development
Authority,
Housing
Revenue
Bonds,
2023
Series
3,
(UB)
4
.950
12/01/53
4,887,179
TOTAL
WYOMING
4,887,179
TOTAL
MUNICIPAL
BONDS
(Cost
$2,065,355,693)
1,904,127,579
PRINCIPAL
DESCRIPTION
RATE
MATURITY
VALUE
60423
VARIABLE
RATE
SENIOR
LOAN
INTERESTS
-
0
.0
%
(
0
.0
%
of
Total
Investments)
60423
CAPITAL
GOODS
-
0.0%
(0.0%
of
Total
Investments)
450,367
(a),(c),(i)
KDC
Agribusiness
Fairless
Hills
LLC
12
.000
09/17/25
46
TOTAL
CAPITAL
GOODS
46
PHARMACEUTICALS,
BIOTECHNOLOGY
&
LIFE
SCIENCES
-
0.0%
(0.0%
of
Total
Investments)
60,377
(a)
Tuscan
Gardens
of
Palm
Coast
15
.000
10/12/25
60,377
TOTAL
PHARMACEUTICALS,
BIOTECHNOLOGY
&
LIFE
SCIENCES
60,377
TOTAL
VARIABLE
RATE
SENIOR
LOAN
INTERESTS
(Cost
$510,743)
60,423
TOTAL
LONG-TERM
INVESTMENTS
(Cost
$2,082,868,036)
1,920,272,712
FLOATING
RATE
OBLIGATIONS
-
(40.0)%
(
462,704,000
)
AMTP
SHARES,
NET
-
(30.8)%(j)
(
356,641,356
)
OTHER
ASSETS
&
LIABILITIES,
NET
- 4.9%
56,839,771
NET
ASSETS
APPLICABLE
TO
COMMON
SHARES
-
100%
$
1,157,767,127
Portfolio
of
Investments
July
31,
2025
(continued)
NMZ
All
percentages
shown
in
the
Portfolio
of
Investments
are
based
on
net
assets
applicable
to
common
shares
unless
otherwise
noted.
Part
F
of
Form
N-PORT
was
prepared
in
accordance
with
U.S.
generally
accepted
accounting
principles
(“U.S.
GAAP”)
and
in
conformity
with
the
applicable
rules
and
regulations
of
the
U.S.
Securities
and
Exchange
Commission
(“SEC”)
related
to
interim
filings.
Part
F
of
Form
N-PORT
does
not
include
all
information
and
footnotes
required
by
U.S.
GAAP
for
complete
financial
statements.
Certain
footnote
disclosures
normally
included
in
financial
statements
prepared
in
accordance
with
U.S.
GAAP
have
been
condensed
or
omitted
from
this
report
pursuant
to
the
rules
of
the
SEC.
For
a
full
set
of
the
Fund’s
notes
to
financial
statements,
please
refer
to
the
Fund’s
most
recently
filed
annual
or
semi-annual
report.
Fair
Value
Measurements
The
Fund’s
investments
in
securities
are
recorded
at
their
estimated
fair
value
utilizing
valuation
methods
approved
by
the
Board
of
Directors/
Trustees.
Fair
value
is
defined
as
the
price
that
would
be
received
upon
selling
an
investment
or
transferring
a
liability
in
an
orderly
transaction
to
an
independent
buyer
in
the
principal
or
most
advantageous
market
for
the
investment.
U.S.
GAAP
establishes
the
three-tier
hierarchy
which
is
used
to
maximize
the
use
of
observable
market
data
and
minimize
the
use
of
unobservable
inputs
and
to
establish
classification
of
fair
value
measurements
for
disclosure
purposes.
Observable
inputs
reflect
the
assumptions
market
participants
would
use
in
pricing
the
asset
or
liability.
Observable
inputs
are
based
on
market
data
obtained
from
sources
independent
of
the
reporting
entity.
Unobservable
inputs
reflect
management’s
assumptions
about
the
assumptions
market
participants
would
use
in
pricing
the
asset
or
liability.
Unobservable
inputs
are
based
on
the
best
information
available
in
the
circumstances.
The
following
is
a
summary
of
the
three-tiered
hierarchy
of
valuation
input
levels.
Level
1
–
Inputs
are
unadjusted
and
prices
are
determined
using
quoted
prices
in
active
markets
for
identical
securities.
Level
2
–
Prices
are
determined
using
other
significant
observable
inputs
(including
quoted
prices
for
similar
securities,
interest
rates,
credit
spreads,
etc.).
Level
3
–
Prices
are
determined
using
significant
unobservable
inputs
(including
management’s
assumptions
in
determining
the
fair
value
of
investments).
The
following
table
summarizes
the
market
value
of
the
Fund's
investments
as
of
the
end
of
the
reporting
period,
based
on
the
inputs
used
to
value
them:
AMT
Alternative
Minimum
Tax
ETF
Exchange-Traded
Fund
IF
Inverse
floating
rate
security
issued
by
a
tender
option
bond
(“TOB”)
trust,
the
interest
rate
on
which
varies
inversely
with
the
Securities
Industry
Financial
Markets
Association
(SIFMA)
short-term
rate,
which
resets
weekly,
or
a
similar
short-term
rate,
and
is
reduced
by
the
expenses
related
to
the
TOB
trust.
PIK
Payment-in-kind
(“PIK”)
security. Depending
on
the
terms
of
the
security,
income
may
be
received
in
the
form
of
cash,
securities,
or
a
combination
of
both. The
PIK
rate
shown,
where
applicable,
represents
the
annualized
rate
of
the
last
PIK
payment
made
by
the
issuer
as
of
the
end
of
the
reporting
period.
UB
Underlying
bond
of
an
inverse
floating
rate
trust
reflected
as
a
financing
transaction.
Inverse
floating
rate
trust
is
a
Recourse
Trust
unless
otherwise
noted.
(a)
For
fair
value
measurement
disclosure
purposes,
investment
classified
as
Level
3.
(b)
Non-income
producing;
issuer
has
not
declared
an
ex-dividend
date
within
the
past
twelve
months.
(c)
Defaulted
security.
A
security
whose
issuer
has
failed
to
fully
pay
principal
and/or
interest
when
due,
or
is
under
the
protection
of
bankruptcy.
(d)
Security
is
exempt
from
registration
under
Rule
144A
of
the
Securities
Act
of
1933,
as
amended.
These
securities
are
deemed
liquid
and
may
be
resold
in
transactions
exempt
from
registration,
which
are
normally
those
transactions
with
qualified
institutional
buyers.
As
of
the
end
of
the
reporting
period,
the
aggregate
value
of
these
securities
is
$549,190,928
or
28.6%
of
Total
Investments.
(e)
Investment,
or
portion
of
investment,
has
been
pledged
to
collateralize
the
net
payment
obligations
for
investments
in
inverse
floating
rate
transactions.
(f)
Step-up
coupon
bond,
a
bond
with
a
coupon
that
increases
("steps
up"),
usually
at
regular
intervals,
while
the
bond
is
outstanding.
The
rate
shown
is
the
coupon
as
of
the
end
of
the
reporting
period.
(g)
Backed
by
an
escrow
or
trust
containing
sufficient
U.S.
Government
or
U.S.
Government
agency
securities,
which
ensure
the
timely
payment
of
principal
and
interest.
(h)
When-issued
or
delayed
delivery
security.
(i)
Senior
loan
received
as
part
of
the
bondholder
funding
agreement
during
June
2023
for
Pennsylvania
Economic
Development
Financing
Authority,
Exempt
Facilities
Revenue
Bonds,
KDC
Agribusiness
Fairless
Hills
LLC
Project,
Series
2020A-1,
10.000%,
12/01/40,
144A,
Pennsylvania
Economic
Development
Financing
Authority,
Exempt
Facilities
Revenue
Bonds,
KDC
Agribusiness
Fairless
Hills
LLC
Project,
Series
2020A-2,
10.000%,
12/01/40,
(AMT),
144A,
Pennsylvania
Economic
Development
Financing
Authority,
Exempt
Facilities
Revenue
Bonds,
KDC
Agribusiness
Fairless
Hills
LLC
Project,
Series
2021A,
10.000%,
12/01/31.
(j)
AMTP
Shares,
Net
as
a
percentage
of
Total
Investments
is
18.6%.
NMZ
Level
1
Level
2
Level
3
Total
Long-Term
Investments:
Common
Stocks
$
–
$
–
$
–
*
$
–
Exchange-Traded
Funds
16,084,710
–
–
16,084,710
Municipal
Bonds
–
1,904,126,910
669
1,904,127,579
Variable
Rate
Senior
Loan
Interests
–
–
60,423
60,423
Unfunded
Commitments**
–
–
2,552,383
2,552,383
Total
$
16,084,710
$
1,904,126,910
$
2,613,475
$
1,922,825,095
*
Value
equals
zero
as
of
the
end
of
the
reporting
period.
**
Unfunded
commitments
are
valued
at
the
unrealized
appreciation
(depreciation)
on
the
commitment.