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Insured Municipal Income Fund Inc. - Dividend Declaration and Portfolio Statistics.


NEW YORK New York, state, United States
New York, Middle Atlantic state of the United States. It is bordered by Vermont, Massachusetts, Connecticut, and the Atlantic Ocean (E), New Jersey and Pennsylvania (S), Lakes Erie and Ontario and the Canadian province of
 -- Insured Municipal Income Fund Inc. (NYSE NYSE

See: New York Stock Exchange
: PIF (Program Information File) A data file in Windows 3.x and NT that stores window settings for DOS applications. It allows screen size, fonts and other options to be selected in order to customize the way the DOS app appears under Windows. ), a closed-end closed-end
adj.
Issuing a fixed number of shares that can be traded publicly but are not redeemable by the issuer: a closed-end investment company. 
 management investment company normally investing substantially all of its assets in a diversified diversified (di·verˑ·s  portfolio of tax-exempt tax-ex·empt
adj.
1. Not subject to taxation, as the capital or income of a philanthropic organization.

2. Producing interest that is exempt from income tax: tax-exempt bonds.

n.
 municipal obligations, with common and preferred shares Preferred shares

Preferred shares give investors a fixed dividend from the company's earnings and entitle them to be paid before common shareholders. See: Preferred stock.
 outstanding, today announced that the Fund's Board of Directors has declared a dividend from net investment income of $0.055 per share of common stock. The dividend is payable on March 31, 2005 to common shareholders of record as of March 17, 2005. The ex-dividend date Ex-dividend date

The first day of trading when the buyer of a stock is no longer entitled to the most recently announced dividend payment ( i.e. the trade will settle the day after the record date, too late for the buyer to appear on the shareholder record and receive the dividend.
 is March 15, 2005. Under normal circumstances CIRCUMSTANCES, evidence. The particulars which accompany a fact.
     2. The facts proved are either possible or impossible, ordinary and probable, or extraordinary and improbable, recent or ancient; they may have happened near us, or afar off; they are public or
, the Fund invests at least 80% of its net assets Net assets

The difference between total assets on the one hand and current liabilities and noncapitalized long-term liabilities on the other hand.


net assets

See owners' equity.
 in insured municipal obligations, the income from which is exempt from regular federal income tax.
Portfolio Statistics (% of total portfolio assets) as of February 28,
2005:

Top Ten States                 Top Five Sectors
------------------------------ ---------------------------------------
California               36.3% Power                             21.4%
Texas                    12.6  Water & Sewer                     18.1
New York                  9.6  Escrowed to Maturity              11.3
New Mexico                6.6  Hospital                           5.6
Washington                4.4  Sales Tax                          3.6
                               ---------------------------------------
Illinois                  4.0  Total                             60.0%
Missouri                  3.9
Rhode Island              3.7  Characteristics
                               ---------------------------------------
Nevada                    3.3  Net Asset Value                  $15.19
Georgia                   2.6  Market Price                     $13.11
------------------------------
Total                    87.0%
                               March 2005 Dividend (per         $0.055
                                common share)                   39.89%
                               Leverage**
Credit Quality                 Weighted Average Maturity    13.19 yrs.
------------------------------
AAA/Aaa                  92.2% Weighted Average Duration     4.37 yrs.
A1/P1                     7.8  Weighted Average Coupon           4.92%
------------------------------ ---------------------------------------
Total                   100.0%
                               Price to Date Maturity/Call
                                Distribution
                               ---------------------------------------
                               2005                               7.8%
Yields *                       2006                               0.0
------------------------------
NAV Yield                4.34% 2007                               0.0
Market Yield             5.03% 2008                               0.0
                               2009-2015                         31.6
------------------------------ 2016-2035                         60.6
                               ---------------------------------------
                               Total                            100.0%

*   NAV yield is calculated by multiplying the current month's
    dividend by 12 and dividing by the month-end net asset value.
    Market yield is calculated by multiplying the current month's
    dividend by 12 and dividing by the month-end market price. Prices
    and yields will vary. The Fund is actively managed and its
    portfolio composition will vary over time.
**  As a percentage of total assets.  Leverage may vary.
COPYRIGHT 2005 Business Wire
No portion of this article can be reproduced without the express written permission from the copyright holder.
Copyright 2005, Gale Group. All rights reserved. Gale Group is a Thomson Corporation Company.

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Publication:Business Wire
Geographic Code:1USA
Date:Mar 7, 2005
Words:340
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