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GLOBAL INCOME PLUS FUND ASSET ALLOCATION

 GLOBAL INCOME PLUS FUND ASSET ALLOCATION
 NEW YORK, May 19 /PRNewswire/ -- Following is the asset allocation


as a percent of total market value for Global Income Plus Fund Inc. (updated as of April 30, 1992):
 Australian Dollar Bonds 8.2 pct.
 Canadian Dollar Bonds 6.6
 US$ Money Market 4.5 US$ Total
 US$ Bonds 20.9 25.4 pct.
 Mexican Peso Tsy Bills 5.4
 Mexican Gov't US$ Bonds 2.6
 British Pound Gilts and CDs 7.2
 Danish Krona Bonds 4.7
 French Franc Bonds 4.8
 German Mark Bonds 7.2
 Irish Punt Bonds 8.4
 Italian Lira Bonds 4.7
 Spanish Peseta Bonds 10.0
 Swedish Krona Tsy Bills 4.8
 Total EMS 51.8
 EMS Cross Hedged Exposure 25.8 Total EMS
 EMS Unhedged Exposure 26.0 51.8 pct.
 Total 100.0
 Following is the Maturity Asset Allocation as a percent of total market value:
 1 Year
 or less 1-5 Years 5-15 Years 15+ Years
 Maturity Maturity Maturity Maturity Total
 16.6 pct. 17.3 pct. 59.6 pct. 6.5 pct. 100.0 pct.
 All information above is unaudited. Information prepared by Mitchell Hutchins Asset Management Inc.
 -0- 5/19/92
 /CONTACT: Fred Maudsley, 201-902-8316, for Global Income Plus Fund/ CO: Global Income Plus Fund Inc. ST: New York IN: FIN SU:


PS-CK -- NY066 -- 1838 05/19/92 12:40 EDT
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Publication:PR Newswire
Date:May 19, 1992
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