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GLOBAL INCOME PLUS FUND REPORTS ASSET ALLOCATION

 GLOBAL INCOME PLUS FUND REPORTS ASSET ALLOCATION
 NEW YORK, July 9 /PRNewswire/ -- Following is the asset allocation


as a percent of total market value for the Global Income Plus Fund Inc. (NYSE: GLI), as released today by the fund (updated as of June 30, 1992):
 Australian dollar bonds 8.1 pct
 Canadian dollar bonds 6.8
 US$ money market 6.8
 US$ bonds 20.0
 US$ Total 26.8
 Mexico peso Treasury bills 5.0
 Mexican Gov't US$ bonds 2.5
 British pound gilts & CDs 8.8
 Danish krona bonds 2.5
 Finnish markka CDs 1.9
 French franc bonds 5.0
 German mark bonds 6.3
 Irish punt bonds 8.7
 Italian lira bonds 4.7
 Spanish peseta bonds 9.8
 Swedish krona Treasury bills 3.1
 Total EMS 50.8
 EMS cross hedged exposure 27.8
 EMS unhedged exposure 23.0
 Total EMS 50.8
 TOTAL 100.0
 Maturity Asset Allocation as a Percent of Total Market Value
 One year or less maturity 18.6
 One to five years maturity 13.1
 Five to 15 years maturity 58.4
 15 plus years maturity 9.9
 Total 100.0
 All information above is unaudited.
 Information prepared by Mitchell Hutchins Asset Management, Inc.
 -0- 7/9/92
 /CONTACT: Fred Maudsley, 201-902-8316, for Global Income Plus Fund/
 (GLI) CO: Global Income Plus Fund Inc. ST: New York IN: FIN SU:


GK-SM -- NY076 -- 8031 07/09/92 17:08 EDT
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No portion of this article can be reproduced without the express written permission from the copyright holder.
Copyright 1992 Gale, Cengage Learning. All rights reserved.

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Publication:PR Newswire
Date:Jul 9, 1992
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