a_managedmuniinctrust.htm
UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
 
FORM N-Q
 
QUARTERLY SCHEDULE OF PORTFOLIO HOLDINGS OF REGISTERED MANAGEMENT 
INVESTMENT COMPANY
 
Investment Company Act file number: (811- 05740)   
 
Exact name of registrant as specified in charter:  Putnam Managed Municipal Income Trust 
 
Address of principal executive offices: One Post Office Square, Boston, Massachusetts 02109 
 
Name and address of agent for service:  Beth S. Mazor, Vice President 
  One Post Office Square 
  Boston, Massachusetts 02109 
 
Copy to:  John W. Gerstmayr, Esq. 
  Ropes & Gray LLP 
  One International Place 
  Boston, Massachusetts 02110 
 
Registrant’s telephone number, including area code:  (617) 292-1000 
 
Date of fiscal year end: October 31, 2008     
 
Date of reporting period: January 31, 2008     

Item 1. Schedule of Investments:


Putnam Managed Municipal Income Trust
The fund's portfolio
1/31/08 (Unaudited)

Key to abbreviations       
AMBAC - AMBAC Indemnity Corporation       
COP -- Certificate of Participation       
FGIC -- Financial Guaranty Insurance Company       
FHA Insd. -- Federal Housing Administration Insured       
FHLMC Coll. -- Federal Home Loan Mortgage Corporation Collateralized       
FNMA Coll. -- Federal National Mortgage Association Collateralized       
FRN -- Floating Rate Notes       
FRB -- Floating Rate Bond       
FSA -- Financial Security Assurance       
GNMA Coll. -- Government National Mortgage Association Collateralized       
G.O. Bonds -- General Obligation Bonds       
MBIA -- MBIA Insurance Company       
PSFG -- Permanent School Fund Guaranteed       
Radian Insd. -- Radian Group Insured       
U.S. Govt. Coll. -- U.S. Government Collateralized       
VRDN -- Variable Rate Demand Notes       
 
MUNICIPAL BONDS AND NOTES (151.9%)(a)       
    Principal   
  Rating(RAT)  amount  Value 

Alabama (0.5%)       
Butler, Indl. Dev. Board Solid Waste Disp. Rev. Bonds       
(GA. Pacific Corp.), 5 3/4s, 9/1/28  B  $950,000  $841,273 
Sylacauga, Hlth. Care Auth. Rev. Bonds (Coosa Valley       
Med. Ctr.), Ser. A, 6s, 8/1/25  B/P  650,000  639,639 
      1,480,912 

 
Arizona (4.6%)       
Apache Cnty., Indl. Dev. Auth. Poll. Control Rev.       
Bonds (Tucson Elec. Pwr. Co.), Ser. B, 5 7/8s, 3/1/33  Baa3  1,000,000  957,640 
AZ Hlth. Fac. Auth. Hosp. Syst. Rev. Bonds (John C.       
Lincoln Hlth. Network), 6 3/8s, 12/1/37 (Prerefunded)  BBB  1,000,000  1,167,430 
Casa Grande, Indl. Dev. Auth. Rev. Bonds (Casa Grande       
Regl. Med. Ctr.), Ser. A, 7 5/8s, 12/1/29  BB-/P  1,800,000  1,892,052 
Cochise Cnty., Indl. Dev. Auth. Rev. Bonds (Sierra       
Vista Regl. Hlth. Ctr.), Ser. A, 6.2s, 12/1/21  BB+/P  470,000  482,408 
Coconino Cnty., Poll. Control Rev. Bonds       
(Tuscon/Navajo Elec. Pwr.), Ser. A, 7 1/8s, 10/1/32  Baa3  3,000,000  3,032,820 
Glendale, Wtr. & Swr. Rev. Bonds, AMBAC, 5s, 7/1/28  Aaa  2,000,000  2,028,260 
Pima Cnty., Indl. Dev. Auth. Rev. Bonds (Horizon       
Cmnty. Learning Ctr.), 5.05s, 6/1/25  BBB  815,000  763,924 
Salt Verde, Fin. Corp. Gas Rev. Bonds, 5s, 12/1/32  Aa3  3,000,000  2,828,940 
Scottsdale, Indl. Dev. Auth. Hosp. Rev. Bonds       
(Scottsdale Hlth. Care), 5.8s, 12/1/31 (Prerefunded)  A3  1,000,000  1,121,230 
      14,274,704 

 
Arkansas (3.1%)       
AR State Hosp. Dev. Fin. Auth. Rev. Bonds (Washington       
Regl. Med. Ctr.), 7 3/8s, 2/1/29 (Prerefunded)  Baa2  4,600,000  5,039,024 
Baxter Cnty., Hosp. Rev. Bonds, 5s, 9/1/22  Baa2  750,000  734,025 
Independence Cnty., Poll. Control Rev. Bonds (Entergy       
AR, Inc.), 5s, 1/1/21  A-  1,000,000  1,000,850 
Little Rock G.O. Bonds (Cap. Impt.), FSA, 3.95s, 4/1/19  Aaa  565,000  573,622 
Springdale, Sales & Use Tax Rev. Bonds, FSA       
4.05s, 7/1/26  Aaa  1,000,000  1,030,960 
4s, 7/1/27  Aaa  790,000  801,937 
Washington Cnty., Hosp. Rev. Bonds (Regl. Med. Ctr.),       
Ser. B, 5s, 2/1/25  Baa2  500,000  484,965 
      9,665,383 

 
California (10.2%)       
ABAG Fin. Auth. COP (American Baptist Homes), Ser. A,       
6.2s, 10/1/27  BBB-  345,000  349,068 
CA Hlth. Fac. Fin. Auth. Rev. Bonds       
AMBAC, 5.293s, 7/1/17  Aaa  3,400,000  3,405,916 
(CA-NV Methodist), 5s, 7/1/26  A+  500,000  507,520 
CA Muni. Fin. Auth. COP (Cmnty. Hosp. Central CA),       
5 1/4s, 2/1/27  Baa2  2,250,000  2,158,628 
CA Poll. Control Fin. Auth. Solid Waste Disp. Rev.       
Bonds (Waste Management, Inc.), Ser. A-2, 5.4s, 4/1/25  BBB  1,200,000  1,177,548 
CA Statewide Cmntys., Dev. Auth. COP (The Internext       
Group), 5 3/8s, 4/1/30  BBB  3,950,000  3,832,804 
CA Statewide Cmntys., Dev. Auth. Rev. Bonds (Thomas       
Jefferson School of Law), Ser. B, 4 7/8s, 10/1/31       
(Prerefunded)  BBB-  1,465,000  1,598,022 
Cathedral City, Impt. Board Act of 1915 Special Assmt.       
Bonds (Cove Impt. Dist.), Ser. 04-02       
5.05s, 9/2/35  BB+/P  395,000  352,968 
5s, 9/2/30  BB+/P  250,000  225,573 
Chula Vista, Cmnty. Fac. Dist. Special Tax Rev. Bonds       
(No. 07-1 Otay Ranch Village Eleven), 5.8s, 9/1/28  BB-/P  300,000  295,665 
Chula Vista, Indl. Dev. Rev. Bonds (San Diego Gas),       


Ser. B, 5s, 12/1/27  A1  1,065,000  1,033,636 
Corona, COP (Vista Hosp. Syst.), zero %, 7/1/29 (In       
default) (F)(NON)  D/P  10,775,000  118,525 
Folsom, Special Tax Rev. Bonds (Cmnty. Facs. Dist. No.       
10), 5 7/8s, 9/1/28 (Prerefunded)  AAA/P  750,000  805,868 
Gilroy, Rev. Bonds (Bonfante Gardens Park), 8s, 11/1/25  B-/P  770,000  752,775 
Golden State Tobacco Securitization Corp. Rev. Bonds       
Ser. 03-A1, 6 3/4s, 6/1/39 (Prerefunded)  Aaa  850,000  1,004,292 
Ser. B, FHLMC Coll., 5 5/8s, 6/1/38 (Prerefunded)  Aaa  2,500,000  2,829,675 
Ser. A-1, 5s, 6/1/33  BBB+/F  1,000,000  878,800 
Ser. 03 A-1, 5s, 6/1/21 (Prerefunded)  Aaa  85,000  85,803 
Orange Cnty., Cmnty. Fac. Dist. Special Tax Bonds (No.       
02-1 Ladera Ranch), Ser. A, 5.55s, 8/15/33  BBB/P  650,000  631,852 
Port Oakland, Rev. Bonds, Ser. L, FGIC, 5 3/8s, 11/1/27  Aaa  3,000,000  3,075,930 
Poway, Unified School Dist. Cmnty. Facs. Special Tax       
Bonds (Dist. No. 14- Area A), 5 1/8s, 9/1/26  BB-/P  850,000  745,748 
Roseville, Natural Gas Fin. Auth. Rev. Bonds, 5s,       
2/15/12  A1  400,000  415,796 
Sacramento, Special Tax (North Natomas Cmnty. Fac.),       
Ser. 4-C, 6s, 9/1/33  BBB/P  1,250,000  1,270,938 
San Diego, Assn. of Bay Area Governments Fin. Auth.       
For Nonprofit Corps. Rev. Bonds (San Diego Hosp.),       
Ser. A, 6 1/8s, 8/15/20  A-  500,000  522,210 
Santaluz, Cmnty. Facs. Dist. No. 2 Special Tax Rev.       
Bonds (Impt. Area No. 1), Ser. B, 6 3/8s, 9/1/30  BBB/P  2,420,000  2,420,774 
Thousand Oaks, Cmnty. Fac. Dist. Special Tax Rev.       
Bonds (Marketplace 94-1), zero %, 9/1/14  B/P  2,480,000  1,495,118 
      31,991,452 

 
Colorado (2.7%)       
CO Hlth. Fac. Auth. Rev. Bonds       
(Christian Living Cmntys.), Ser. A, 5 3/4s, 1/1/26  BB-/P  200,000  192,636 
(Evangelical Lutheran), 5 1/4s, 6/1/23  A3  1,000,000  1,036,060 
(Evangelical Lutheran), 5 1/4s, 6/1/21  A3  660,000  691,667 
(Evangelical Lutheran), 5s, 6/1/29  A3  420,000  409,223 
CO Pub. Hwy. Auth. Rev. Bonds (E-470 Pub. Hwy.), Ser. B       
zero %, 9/1/35 (Prerefunded)  Aaa  15,500,000  2,206,115 
zero %, 9/1/34 (Prerefunded)  Aaa  16,500,000  2,534,070 
Denver, City & Cnty. Arpt. Rev. Bonds, Ser. D, AMBAC,       
7 3/4s, 11/15/13  Aaa  930,000  1,053,616 
Denver, City & Cnty. Special Fac. Arpt. Rev. Bonds       
(United Airlines), Ser. A, 5 1/4s, 10/1/32  B  225,000  192,857 
      8,316,244 

 
Connecticut (0.3%)       
CT State Hlth. & Edl. Fac. Auth. VRDN (Yale U.), Ser.       
V-1, 1.6s, 7/1/36  VMIG1  1,000,000  1,000,000 

 
Delaware (0.2%)       
 
Sussex Cnty., Rev. Bonds (First Mtge. - Cadbury       
Lewes), Ser. A, 5.9s, 1/1/26  B/P  350,000  339,031 
      339,031 

 
District of Columbia (0.1%)       
DC Tobacco Settlement Fin. Corp. Rev. Bonds, Ser. A,       
zero %, 6/15/46  BBB/F  5,000,000  361,050 

 
Florida (10.6%)       
Fishhawk, Cmnty. Dev. Dist. II Rev. Bonds, Ser. A,       
6 1/8s, 5/1/34  BB-/P  475,000  484,177 
FL Hsg. Fin. Corp. Rev. Bonds, Ser. G, 5 3/4s, 1/1/37  Aa1  1,480,000  1,570,102 
Fleming Island, Plantation Cmnty. Dev. Dist. Special       
Assmt. Bonds, Ser. B, 7 3/8s, 5/1/31 (Prerefunded)  AAA  750,000  838,635 
Gateway Svcs. Cmnty., Dev. Dist. Special Assmt. Bonds       
(Stoneybrook), 5 1/2s, 7/1/08  BB+/P  10,000  9,983 
Halifax, Hosp. Med. Ctr. Rev. Bonds, Ser. A, 5 1/4s,       
6/1/21  BBB+  3,200,000  3,234,144 
Heritage Harbor, South Cmnty. Dev. Distr. Rev. Bonds,       
Ser. A, 6 1/2s, 5/1/34  BB/P  475,000  495,929 
Heritage Isle at Viera, Cmnty. Dev. Dist. Special       
Assmt., Ser. B, 5s, 11/1/09  BB/P  100,000  98,314 
Highlands Cnty., Hlth. Fac. Auth. Rev. Bonds       
(Adventist Hlth.), Ser. A, 5s, 11/15/21  A1  1,000,000  1,035,090 
(Hosp. Adventist Hlth.), Ser. A, 5s, 11/15/20  A1  1,000,000  1,041,770 
Jacksonville, Econ. Dev. Comm. Hlth. Care Fac. Rev.       
Bonds (Proton Therapy Inst.), Class A, 6s, 9/1/17  BB/P  500,000  506,510 
Jacksonville, Econ. Dev. Comm. Indl. Dev. Rev. Bonds       
(Gerdau Ameristeel US, Inc.), 5.3s, 5/1/37  Ba1  600,000  519,516 
Jacksonville, Hlth. Fac. Auth. Rev. Bonds (Brooks       
Hlth. Syst.), 5s, 11/1/27  A  2,500,000  2,450,650 
Lee Cnty., Indl. Dev. Auth. Hlth. Care Fac. Rev. Bonds       
(Alliance Cmnty.), Ser. C, 5 1/2s, 11/15/29       
(Prerefunded)  AAA  1,000,000  1,065,170 
(Shell Pt./Alliance Oblig. Group), 5 1/8s, 11/15/36  BBB-  475,000  417,734 
(Shell Pt./Alliance Cmnty.), 5s, 11/15/22  BBB-  1,000,000  944,950 
Miami Beach, Hlth. Fac. Auth. Hosp. Rev. Bonds (Mount       
Sinai Med. Ctr.), Ser. A, 6.7s, 11/15/19  Ba1  1,335,000  1,387,172 
Miami-Dade Cnty., Aviation Rev. Bonds (Miami Intl.       


Arpt.), Ser. C, FSA, 5 1/4s, 10/1/18  Aaa  5,000,000  5,504,700 
Palm Coast Pk. Cmnty. Dev. Dist. Special Assmt. Bonds,       
5.7s, 5/1/37  BB-/P  1,000,000  830,450 
Port St. Lucie, Special Assmt. Bonds (Southwest       
Annexation Dist. 1-B), MBIA, 5s, 7/1/27  Aaa  800,000  807,136 
Reunion West, Cmnty. Dev. Dist. Special Assmt. Bonds,       
6 1/4s, 5/1/36  BB-/P  1,485,000  1,351,870 
Six Mile Creek, Cmnty. Dev. Dist. Rev. Bonds, 5.65s,       
5/1/22  BB-/P  900,000  738,603 
South Miami, Hlth. Fac. Auth. Rev. Bonds (Baptist       
Hlth.), 5 1/4s, 11/15/33 (Prerefunded)  Aaa  1,500,000  1,663,365 
South Miami, Hlth. Fac. Hosp. Rev. Bonds (Baptist       
Hlth. South FL Group), 5s, 8/15/27  Aa3  1,000,000  1,012,840 
South Village, Cmnty. Dev. Dist. Rev. Bonds, Ser. A,       
5.7s, 5/1/35  BB-/P  485,000  407,667 
Split Pine, Cmnty. Dev. Dist. Special Assmt. Bonds,       
Ser. A, 5 1/4s, 5/1/39  BB-/P  1,150,000  921,438 
Tampa Bay, Cmnty. Dev. Dist. Special Assmt. Bonds (New       
Port), Ser. A, 5 7/8s, 5/1/38  BB-/P  450,000  294,584 
Tolomato, Cmnty. Dev. Dist. Special Assmt. Bonds       
6.55s, 5/1/27  BB-/P  500,000  487,675 
5.4s, 5/1/37  BB-/P  325,000  261,973 
Verano Ctr. Cmnty. Dev. Dist. Special Assmt. Bonds       
(Cmnty. Infrastructure)       
Ser. A, 5 3/8s, 5/1/37  BB-/P  750,000  569,190 
Ser. B, 5s, 11/1/13  BB-/P  470,000  420,603 
Wentworth Estates, Cmnty. Dev. Dist. Special Assmt.       
Bonds, Ser. A, 5 5/8s, 5/1/37  BB-/P  725,000  532,658 
World Commerce Cmnty. Dev. Dist. Special Assmt., Ser.       
A-1       
6 1/2s, 5/1/36  BB-/P  950,000  891,737 
6 1/4s, 5/1/22  BB-/P  530,000  497,638 
      33,293,973 

 
Georgia (1.2%)       
Fulton Cnty., Res. Care Fac. Rev. Bonds       
(Canterbury Court), Class A, 6 1/8s, 2/15/34  B+/P  425,000  418,204 
(First Mtge. - Lenbrook), Ser. A, 5s, 7/1/17  B/P  1,370,000  1,324,050 
GA Med. Ctr. Hosp. Auth. Rev. Bonds, MBIA, 6.367s,       
8/1/10  Aaa  1,400,000  1,404,368 
Med. Ctr. Hosp. Auth. Rev. Bonds (Spring Harbor Green       
Island), 5 1/4s, 7/1/27  B+/P  375,000  337,039 
Rockdale Cnty., Dev. Auth. Rev. Bonds (Visy Paper),       
Ser. A, 6 1/8s, 1/1/34  B+/P  400,000  383,224 
      3,866,885 

 
Hawaii (0.5%)       
HI Dept. of Trans. Special Fac. Rev. Bonds       
(Continental Airlines, Inc.), 7s, 6/1/20  B  1,565,000  1,583,436 

 
Idaho (0.7%)       
ID Hsg. & Fin. Assn. Rev. Bonds (Single Fam. Mtge.),       
Ser. C-2, FHA Insd., 5.15s, 7/1/29  Aaa  635,000  638,016 
Madison Cnty., Hosp. COP, 5 1/4s, 9/1/20  BBB-  1,480,000  1,463,853 
      2,101,869 

 
Illinois (4.7%)       
Chicago, G.O. Bonds, Ser. A, AMBAC       
5 5/8s, 1/1/39 (Prerefunded)  Aaa  3,395,000  3,815,267 
5 5/8s, 1/1/39  Aaa  105,000  114,750 
Du Page Cnty., Special Svc. Area No. 31 Special Tax       
Bonds (Monarch Landing)       
5 5/8s, 3/1/36  BB-/P  100,000  89,238 
5.4s, 3/1/16  BB-/P  260,000  256,508 
IL Dev. Fin. Auth. Hosp. Rev. Bonds (Adventist Hlth.       
Syst./Sunbelt Obligation), 5.65s, 11/15/24       
(Prerefunded)  A1  3,250,000  3,474,998 
IL Fin. Auth. Rev. Bonds       
(Monarch Landing, Inc.), Ser. A, 7s, 12/1/27  B/P  700,000  706,825 
(Three Crowns Pk. Plaza), Ser. A, 5 7/8s, 2/15/26  B+/P  1,000,000  959,760 
(Landing At Plymouth Place), Ser. A, 5.35s, 5/15/15  B+/P  600,000  603,900 
IL Fin. Auth. Solid Waste Disposal (Waste Mgmt.,       
Inc.), Ser. A, 5.05s, 8/1/29  BBB  250,000  225,995 
IL Hlth. Fac. Auth. Rev. Bonds (St. Benedict), Ser.       
03A-1, 6.9s, 11/15/33  B/P  500,000  453,830 
IL State Toll Hwy. Auth. Rev. Bonds, Ser. A-1, FSA,       
5s, 1/1/23  Aaa  3,750,000  4,007,025 
      14,708,096 

 
Indiana (1.2%)       
Anderson, Econ. Dev. Rev. Bonds (Anderson U.), 5s,       
10/1/28  BBB-/F  375,000  353,321 
IN Bk. Special Program Gas Rev. Bonds, Ser. A, 5 1/4s,       
10/15/21  Aa2  325,000  343,551 
IN State Dev. Fin. Auth. Env. Impt. Rev. Bonds (USX       
Corp.), 5.6s, 12/1/32  Baa1  2,500,000  2,539,100 
St. Joseph Cnty., Econ. Dev. Rev. Bonds (Holy Cross       
Village Notre Dame), Ser. A, 5 3/4s, 5/15/15  B/P  455,000  468,018 
      3,703,990 


Iowa (3.1%)       
IA Fin. Auth. Hlth. Care Fac. Rev. Bonds (Care       
Initiatives)       
9 1/4s, 7/1/25 (Prerefunded)  AAA  2,510,000  3,067,396 
Ser. A, 5 1/4s, 7/1/17  BBB-  1,040,000  1,054,768 
Ser. A, 5s, 7/1/19  BBB-  1,840,000  1,806,990 
Ser. A, 5 1/2s, 7/1/25  BBB-  650,000  639,958 
IA Fin. Auth. Retirement Cmnty. Rev. Bonds (Friendship       
Haven), Ser. A       
6 1/8s, 11/15/32  BB/P  200,000  200,544 
6s, 11/15/24  BB/P  200,000  200,612 
Tobacco Settlement Auth. of IA Rev. Bonds       
Ser. B, 5.6s, 6/1/34  BBB  2,250,000  2,111,670 
Ser. C, 5 3/8s, 6/1/38  BBB  750,000  677,108 
      9,759,046 

 
Kentucky (0.6%)       
KY Econ. Dev. Fin. Auth. Hlth. Syst. Rev. Bonds       
(Norton Hlth. Care), Ser. A       
6 1/2s, 10/1/20  A-/F  1,040,000  1,087,913 
6 1/2s, 10/1/20 (Prerefunded)  AAA/P  675,000  750,614 
      1,838,527 

 
Louisiana (2.1%)       
LA Local Govt. Env. Fac. Cmnty. Dev. Auth. Rev. Bonds       
(Hlth. Care - St. James Place), Ser. A, 7s, 11/1/26       
(Prerefunded)  AAA/P  400,000  439,100 
(St. James Place), Ser. A, 7s, 11/1/20 (Prerefunded)  AAA/P  1,000,000  1,097,750 
Tangipahoa Parish Hosp. Svcs. Rev. Bonds (North Oaks       
Med. Ctr.), Ser. A, 5s, 2/1/25  A  500,000  505,875 
Tobacco Settlement Fin. Corp. Rev. Bonds, Ser. 01-B,       
5 7/8s, 5/15/39  BBB  1,800,000  1,760,760 
W. Feliciana Parish, Poll. Control Rev. Bonds (Gulf       
States Util. Co.), Ser. C, 7s, 11/1/15  BBB  2,750,000  2,757,618 
      6,561,103 

 
Maine (1.0%)       
ME State Hsg. Auth. Rev. Bonds, Ser. D-2-AMT, 5s,       
11/15/27  Aa1  1,190,000  1,198,401 
Rumford, Solid Waste Disp. Rev. Bonds (Boise Cascade       
Corp.), 6 7/8s, 10/1/26  Ba3  2,000,000  2,060,160 
      3,258,561 

 
Maryland (2.2%)       
Baltimore Cnty., Rev. Bonds (Oak Crest Village, Inc.),       
Ser. A, 5s, 1/1/27  BBB+  2,000,000  1,931,120 
MD State Hlth. & Higher Edl. Fac. Auth. Rev. Bonds       
(Medstar Hlth.), 5 3/4s, 8/15/15  A3  1,000,000  1,084,120 
(King Farm Presbyterian Cmnty.), Ser. A, 5 1/4s, 1/1/27  B/P  710,000  645,014 
(Edenwald), Ser. A, 5.2s, 1/1/24  BB/P  300,000  284,133 
(King Farm Presbyterian Cmnty.), Ser. B, 4 3/4s, 1/1/13  B/P  1,000,000  987,920 
MD State Indl. Dev. Fin. Auth. Econ. Dev. Rev. Bonds       
(Our Lady of Good Counsel School), Ser. A, 6s, 5/1/35  B/P  200,000  199,764 
Westminster, Econ. Dev. Rev. Bonds (Carroll Lutheran       
Village), Ser. A, 5 7/8s, 5/1/21  BB/P  1,850,000  1,866,613 
      6,998,684 

 
Massachusetts (11.0%)       
Boston, Indl. Dev. Fin. Auth. Rev. Bonds (Springhouse,       
Inc.), 6s, 7/1/28  BB-/P  600,000  597,864 
MA State Dev. Fin. Agcy. Rev. Bonds       
(Lasell Village), Ser. A, 6 3/8s, 12/1/25 (Prerefunded)  BB/P  555,000  585,081 
(Linden Ponds, Inc.), Ser. A, 5 3/4s, 11/15/35  BB/P  330,000  304,273 
(Linden Ponds, Inc.), Ser. A, 5 1/2s, 11/15/22  BB/P  390,000  377,329 
(Wheelock College), Ser. C, 5 1/4s, 10/1/29  BBB  1,150,000  1,126,609 
MA State Dev. Fin. Agcy. Higher Ed. Rev. Bonds       
(Emerson College), Ser. A, 5s, 1/1/18  A-  420,000  440,278 
MA State Dev. Fin. Agcy. Hlth. Care Fac. Rev. Bonds       
(Adventcare), Ser. A, 6.65s, 10/15/28  B/P  650,000  625,924 
MA State Hlth. & Edl. Fac. Auth. Rev. Bonds       
(Civic Investments/HPHC), Ser. A, 9s, 12/15/15       
(Prerefunded)  BBB-/P  1,745,000  2,154,290 
(Norwood Hosp.), Ser. C, 7s, 7/1/14 (Prerefunded)  Ba2  1,185,000  1,424,619 
(Jordan Hosp.), Ser. E, 6 3/4s, 10/1/33  BB+  1,200,000  1,253,004 
(UMass Memorial), Ser. C, 6 5/8s, 7/1/32  Baa2  2,225,000  2,290,504 
(UMass Memorial), Ser. C, 6 1/2s, 7/1/21  Baa2  1,875,000  1,954,819 
(Caritas Christi Oblig. Group), Ser. A, 5 1/4s, 7/1/08  BBB  1,500,000  1,507,605 
(Milford Regl. Med.), Ser. E, 5s, 7/15/22  Baa3  1,750,000  1,690,570 
(Partners Hlth. Care Syst.), Ser. F, 5s, 7/1/21  Aa2  500,000  523,270 
MA State Hsg. Fin. Agcy. Rev. Bonds (Rental Mtge.),       
Ser. A, AMBAC, 5 1/2s, 7/1/40  Aaa  15,290,000  15,426,081 
MA State Indl. Fin. Agcy. Rev. Bonds       
(1st Mtge. Stone Institution & Newton), 7.9s, 1/1/24  BB-/P  500,000  502,130 
(1st Mtge. Berkshire Retirement), Ser. A, 6 5/8s,       
7/1/16  BBB-  1,550,000  1,559,006 
      34,343,256 


Michigan (5.0%)       
Detroit, Swr. Disp. FRN, Ser. D, FSA, 3.768s, 7/1/32  Aaa  2,445,000  1,872,626 
Flint, Hosp. Bldg. Auth. Rev. Bonds (Hurley Med.       
Ctr.), 6s, 7/1/20  Ba1  275,000  277,250 
Garden City, Hosp. Fin. Auth. Rev. Bonds (Garden       
City), Ser. A, 5 3/4s, 9/1/17  Ba1  185,000  185,603 
Kentwood, Economic Dev. Rev. Bonds (Holland Home),       
Ser. A, 5s, 11/15/22  BB-/P  300,000  285,810 
MI State Hosp. Fin. Auth. Rev. Bonds       
(Oakwood Hosp.), Ser. A, 6s, 4/1/22  A2  1,500,000  1,600,260 
(Midmichigan Hlth. Oblig. Group), Ser. A, 5s, 4/15/26  A1  2,665,000  2,668,358 
(Chelsea Cmnty. Hosp. Oblig.), 5s, 5/15/25  BBB  755,000  719,658 
(Hosp. Sparrow), 5s, 11/15/23  A1  2,270,000  2,285,550 
MI State Hsg. Dev. Auth. Rev. Bonds, Ser. A, 3.9s,       
6/1/30  AA+  1,380,000  1,380,138 
Monroe Cnty., Hosp. Fin. Auth. Rev. Bonds (Mercy       
Memorial Hosp.), 5 1/2s, 6/1/20  Baa3  1,000,000  974,610 
Warren Cons. School Dist. G.O. Bonds, FSA, 5 3/8s,       
5/1/18 (Prerefunded)  Aaa  2,975,000  3,279,491 
      15,529,354 

 
Minnesota (2.0%)       
Cohasset, Poll. Control Rev. Bonds (Allete, Inc.),       
4.95s, 7/1/22  A-  2,000,000  2,018,480 
Inver Grove Heights, Nursing Home Rev. Bonds       
(Presbyterian Homes Care), 5 3/8s, 10/1/26  B/P  500,000  475,930 
MN State Hsg. Fin. Agcy. Rev. Bonds (Residential       
Hsg.), Ser. H, 4.15s, 1/1/12  Aa1  750,000  757,793 
Northfield, Hosp. Rev. Bonds, 5 1/2s, 11/1/18  BBB-  1,140,000  1,184,768 
Sauk Rapids Hlth. Care & Hsg. Fac. Rev. Bonds (Good       
Shepherd Lutheran Home), 6s, 1/1/34  B+/P  400,000  386,724 
St. Paul, Hsg. & Redev. Auth. Hosp. Rev. Bonds       
(Healtheast), 6s, 11/15/35  Baa3  1,000,000  1,004,200 
St. Paul, Port Auth. Lease Rev. Bonds (Regions Hosp.       
Pkg. Ramp), Ser. 1, 5s, 8/1/36  BBB-/P  625,000  530,413 
      6,358,308 

 
Mississippi (1.3%)       
Lowndes Cnty., Solid Waste Disp. & Poll. Control Rev.       
Bonds (Weyerhaeuser Co.), Ser. B, 6.7s, 4/1/22  Baa2  1,500,000  1,680,030 
MS Bus. Fin. Corp. Poll. Control Rev. Bonds (Syst.       
Energy Resources, Inc.), 5.9s, 5/1/22  BBB  1,250,000  1,253,425 
MS Home Corp. Rev. Bonds (Single Fam. Mtge.), Ser.       
B-2, GNMA Coll., FNMA Coll., 6.45s, 12/1/33  Aaa  805,000  858,830 
MS Hosp. Equip. & Fac. Auth. Rev. Bonds (Hosp. South       
Central), 5 1/4s, 12/1/21  BBB+  250,000  251,560 
      4,043,845 

 
Missouri (1.8%)       
Cape Girardeau Cnty., Indl. Dev. Auth. Hlth. Care Fac.       
Rev. Bonds (St. Francis Med. Ctr.), Ser. A, 5 1/2s,       
6/1/32  A+  1,750,000  1,791,125 
Kansas City, Indl. Dev. Auth. Hlth. Fac. Rev. Bonds       
(First Mtge. Bishop Spencer), Ser. A, 6 1/2s, 1/1/35  BB-/P  1,500,000  1,541,790 
MO State Hlth. & Edl. Fac. Auth. Rev. Bonds (BJC Hlth.       
Syst.), 5 1/4s, 5/15/32  Aa2  1,450,000  1,463,166 
MO State Hsg. Dev. Comm. Mtge. Rev. Bonds (Single Fam.       
Home Ownership Loan), Ser. B, GNMA Coll., FNMA Coll.       
4.4s, 9/1/14  AAA  390,000  395,994 
4.3s, 9/1/13  AAA  380,000  386,965 
      5,579,040 

 
Montana (1.3%)       
Forsyth, Poll. Control VRDN (Pacific Corp.), 1.9s,       
1/1/18  P-1  3,700,000  3,700,000 
MT Fac. Fin. Auth. Rev. Bonds (Sr. Living St. Johns       
Lutheran), Ser. A, 6s, 5/15/25  B+/P  350,000  347,732 
      4,047,732 

 
Nebraska (--%)       
Kearney, Indl. Dev. Rev. Bonds       
(Great Platte River), 8s, 9/1/12  CCC/P  61,716  13,578 
(Brookhaven), zero %, 9/1/12  CCC/P  791,466  15,829 
      29,407 

 
Nevada (3.3%)       
Clark Cnty., Impt. Dist. Special Assmt. Bonds       
(Summerlin No. 142), 6 3/8s, 8/1/23  BB-/P  980,000  985,400 
(Summerlin No. 151), 5s, 8/1/16  BB-/P  1,010,000  957,076 
Clark Cnty., Indl. Dev. Rev. Bonds (Southwest Gas       
Corp.), Ser. C, AMBAC, 5.95s, 12/1/38  Aaa  5,000,000  5,291,100 
Clark Cnty., School Dist. VRDN, Ser. A, FSA, 1.7s,       
6/15/21  VMIG1  300,000  300,000 
Henderson, Local Impt. Dist. Special Assmt. Bonds       
(No. T-17), 5s, 9/1/18  BB-/P  275,000  248,680 
(No. T-18), 5s, 9/1/16  BB-/P  1,425,000  1,319,693 
(No. T-16), 5 1/8s, 3/1/25  BB/P  485,000  383,359 
Las Vegas, Local Impt. Board Special Assmt. (Dist. No.       


607), 5.9s, 6/1/18  BB-/P  860,000  827,784 
      10,313,092 

 
New Hampshire (1.3%)       
NH Hlth. & Ed. Fac. Auth. Rev. Bonds (Kendal       
at Hanover), Ser. A, 5s, 10/1/18  BBB+  1,275,000  1,282,803 
NH State Bus. Fin. Auth. Rev. Bonds (Alice Peck Day       
Hlth. Syst.), Ser. A, 7s, 10/1/29 (Prerefunded)  BBB-/P  2,565,000  2,813,010 
      4,095,813 

 
New Jersey (4.3%)       
Burlington Cnty., Bridge Comm. Econ. Dev. Rev. Bonds       
(The Evergreens), 5 5/8s, 1/1/38  BB+/P  650,000  606,892 
NJ Econ. Dev. Auth. Rev. Bonds       
(Cedar Crest Village, Inc.), Ser. A, U.S. Govt. Coll.,       
7 1/4s, 11/15/31 (Prerefunded)  BB-/P  1,250,000  1,462,225 
(Newark Arpt. Marriot Hotel), 7s, 10/1/14  Ba1  1,900,000  1,905,510 
(First Mtge. Presbyterian Home), Ser. A, 6 3/8s,       
11/1/31  BB/P  500,000  504,095 
(First Mtge. Lions Gate), Ser. A, 5 7/8s, 1/1/37  B/P  230,000  216,182 
(Cigarette Tax), 5 1/2s, 6/15/24  Baa2  3,000,000  2,895,360 
NJ Econ. Dev. Auth. Retirement Cmnty. Rev. Bonds       
(Seabrook Village, Inc.), 5 1/4s, 11/15/36  BB-/P  700,000  608,237 
NJ Econ. Dev. Auth. Solid Waste Rev. Bonds (Disp.       
Waste Mgt.), 5.3s, 6/1/15  BBB  1,750,000  1,831,078 
NJ Hlth. Care Fac. Fin. Auth. Rev. Bonds       
(United Methodist Homes), Ser. A, 5 3/4s, 7/1/29  BB+  2,250,000  2,206,463 
(Atlantic City Med.), 5 3/4s, 7/1/25  A+  695,000  727,922 
(Atlantic City Med.), 5 3/4s, 7/1/25 (Prerefunded)  A+  555,000  621,667 
      13,585,631 

 
New Mexico (0.6%)       
Farmington, Poll. Control Rev. Bonds (San Juan), Ser.       
B, 4 7/8s, 4/1/33  Baa2  1,200,000  1,073,736 
NM Mtge. Fin. Auth. Rev. Bonds (Single Fam. Mtge.)       
Ser. D-2, GNMA Coll., FNMA Coll., FHLMC Coll., 5.64s,       
9/1/33  AAA  350,000  356,325 
Ser. F2, Class I, GNMA Coll., FNMA Coll., FHLMC Coll.,       
5.6s, 7/1/38  AAA  485,000  517,117 
      1,947,178 

 
New York (16.9%)       
Huntington, Hsg. Auth. Rev. Bonds (Gurwin Jewish Sr.       
Residence), Ser. A, 6s, 5/1/39  B+/P  500,000  472,415 
Livingston Cnty., Indl. Dev. Agcy. Civic Fac. Rev.       
Bonds (Nicholas H. Noyes Memorial Hosp.), 5 3/4s,       
7/1/15  BB  1,330,000  1,374,183 
Nassau Cnty., Indl. Dev. Agcy. Rev. Bonds       
(Keyspan-Glenwood), 5 1/4s, 6/1/27  A-  2,000,000  2,008,140 
Niagara Cnty., Indl. Dev. Agcy. Mandatory Put Bonds       
(Solid Waste Disp.), Ser. A, 5.45s, 11/15/12  Baa2  500,000  508,565 
NY City, G.O. Bonds, Ser. B, 5 1/4s, 12/1/09  AA  10,000,000  10,541,500 
NY City, Indl. Dev. Agcy. Rev. Bonds       
(Staten Island U. Hosp. Project), 6.45s, 7/1/32  B2  1,465,000  1,493,992 
(Liberty-7 World Trade Ctr.), Ser. A, 6 1/4s, 3/1/15  B-/P  1,275,000  1,324,929 
(Queens Baseball Stadium - Pilot), AMBAC, 5s, 1/1/21  Aaa  900,000  948,213 
NY City, Indl. Dev. Agcy. Special Fac. Rev. Bonds       
(American Airlines - JFK Intl. Arpt.), 8s, 8/1/28  B  1,250,000  1,377,250 
(American Airlines - JFK Intl. Arpt.), 7 1/2s, 8/1/16  B  4,880,000  5,167,188 
(British Airways PLC), 5 1/4s, 12/1/32  Ba1  2,425,000  2,035,472 
(Jetblue Airways Corp.), 5s, 5/15/20  B  225,000  191,790 
NY State Dorm. Auth. Rev. Bonds       
(Winthrop-U. Hosp. Assn.), Ser. A, 5 1/2s, 7/1/32  Baa1  900,000  901,611 
(Lenox Hill Hosp. Oblig. Group), 5 1/4s, 7/1/09  Ba2  1,000,000  1,025,840 
(NY U. Hosp. Ctr.), Ser. A, 5s, 7/1/20  Ba2  500,000  504,075 
NY State Energy Research & Dev. Auth. Gas Fac. Rev.       
Bonds (Brooklyn Union Gas), 6.952s, 7/1/26  A+  2,400,000  2,442,744 
Onondaga Cnty., Indl. Dev. Agcy. Rev. Bonds (Solvay       
Paperboard, LLC), 7s, 11/1/30 (acquired 12/9/98, cost       
$2,000,000) (RES)  BB/P  2,000,000  2,031,440 
Port. Auth. NY & NJ Special Oblig. Rev. Bonds       
(Kennedy Intl. Arpt. - 5th Installment), 6 3/4s,       
10/1/19  BB+/P  200,000  201,266 
(JFK Intl. Air Term. - 6), MBIA, 5.9s, 12/1/17  Aaa  15,000,000  15,333,450 
Suffolk Cnty., Indl. Dev. Agcy. Cont. Care Retirement       
Rev. Bonds       
(Peconic Landing), Ser. A, 8s, 10/1/30  BB-/P  1,700,000  1,798,702 
(Jeffersons Ferry), 5s, 11/1/15  BBB-  450,000  459,815 
(Jefferson's Ferry), 4 5/8s, 11/1/16  BBB-  1,000,000  991,080 
      53,133,660 

 
North Carolina (7.5%)       
NC Eastern Muni. Pwr. Agcy. Syst. Rev. Bonds       
Ser. D, 6 3/4s, 1/1/26  Baa1  1,500,000  1,572,990 
Ser. A, 5 3/4s, 1/1/26  Baa1  3,000,000  3,083,640 
NC Hsg. Fin. Agcy. FRN (Homeownership), Ser. 26,       
Class A, 5 1/2s, 1/1/38  Aa2  1,000,000  1,052,980 
NC Med. Care Cmnty. Hlth. Care Fac. Rev. Bonds       
(Presbyterian Homes), 5.4s, 10/1/27  BB/P  2,000,000  1,954,860 


(Deerfield), Ser. A, 5s, 11/1/23  A-/P  750,000  748,320 
(Pines at Davidson), Ser. A, 5s, 1/1/16  A-/F  545,000  571,433 
(Novant Hlth. Oblig. Group), Ser. A, 5s, 11/1/14  Aa3  10,000,000  10,741,000 
(Pines at Davidson), Ser. A, 4.85s, 1/1/26  A-/F  1,270,000  1,218,552 
NC Med. Care Comm. Retirement Fac. Rev. Bonds       
(First Mtge.), Ser. A-05, 5 1/2s, 10/1/35  BB+/P  1,040,000  975,458 
(First Mtge.), Ser. A-05, 5 1/4s, 10/1/25  BB+/P  600,000  566,958 
(First Mtge. United Methodist), Ser. C, 5 1/4s, 10/1/24  BB+/P  150,000  142,635 
NC State Muni. Pwr. Agcy. Rev. Bonds (No. 1, Catawba       
Elec.), Ser. B, 6 1/2s, 1/1/20  A3  1,000,000  1,061,870 
      23,690,696 

 
Ohio (3.9%)       
Buckeye, Tobacco Settlement Fin. Auth. Rev. Bonds,       
Ser. A-2       
5 3/4s, 6/1/34  BBB  5,400,000  5,201,226 
5 1/8s, 6/1/24  BBB  1,930,000  1,862,604 
Coshocton Cnty., Env. 144A Rev. Bonds (Smurfit-Stone       
Container Corp.), 5 1/8s, 8/1/13  CCC+  1,400,000  1,358,014 
Cuyahoga Cnty., Rev. Bonds, Ser. A       
6s, 1/1/16  Aa3  1,280,000  1,424,320 
6s, 1/1/15  Aa3  2,000,000  2,234,840 
      12,081,004 

 
Oklahoma (5.3%)       
OK City Arpt. Trust Rev. Bonds Jr. Lien 27th Ser.,       
Ser. A, FSA, 5s, 7/1/18 (Prerefunded)  Aaa  3,150,000  3,349,395 
OK Dev. Fin. Auth. Rev. Bonds (Hillcrest Hlth. Care       
Syst.), Ser. A, U.S. Govt. Coll., 5 5/8s, 8/15/29       
(Prerefunded)  Aaa  1,575,000  1,670,587 
OK Hsg. Fin. Agcy. Single Family Mtge. Rev. Bonds       
(Homeownership Loan), Ser. C, GNMA Coll., FNMA Coll.,       
5.95s, 3/1/37  Aaa  2,930,000  3,135,657 
OK State Indl. Dev. Auth. Rev. Bonds (Hlth. Syst.),       
Ser. A, MBIA       
5 3/4s, 8/15/29 (Prerefunded)  Aaa  4,045,000  4,301,210 
5 3/4s, 8/15/29 (Prerefunded)  Aaa  2,955,000  3,142,170 
Tulsa, Muni. Arpt. Trust Rev. Bonds, Ser. B, 5.65s,       
12/1/35  B  1,000,000  995,770 
      16,594,789 

 
Oregon (1.0%)       
Multnomah Cnty., Hosp. Fac. Auth. Rev. Bonds       
(Terwilliger Plaza)       
6 1/2s, 12/1/29  BB-/P  1,900,000  1,917,632 
Ser. A, 5 1/4s, 12/1/26  BB-/P  510,000  462,881 
OR State Hsg. & Cmnty. Svcs. Dept. Rev. Bonds (Single       
Family Mtge.), Ser. K, 5 5/8s, 7/1/29  Aa2  605,000  613,803 
      2,994,316 

 
Pennsylvania (4.7%)       
Allegheny Cnty., Hosp. Dev. Auth. Rev. Bonds (Hlth.       
Syst.-West PA), Ser. A, 5 3/8s, 11/15/40  Ba2  1,870,000  1,635,839 
Allegheny Cnty., Indl. Dev. Auth. Rev. Bonds (Env.       
Impt.), 5 1/2s, 11/1/16  Baa3  1,250,000  1,293,713 
Bucks Cnty., Indl. Dev. Auth. Retirement Cmnty. Rev.       
Bonds (Ann's Choice, Inc.), Ser. A       
6 1/8s, 1/1/25  BB/P  610,000  607,731 
5.3s, 1/1/14  BB/P  690,000  691,001 
5.2s, 1/1/13  BB/P  1,000,000  1,000,810 
Carbon Cnty., Indl. Dev. Auth. Rev. Bonds (Panther       
Creek Partners), 6.65s, 5/1/10  BBB-  1,795,000  1,837,613 
Erie-Western PA Port Auth. Rev. Bonds, 6 1/4s, 6/15/10  BB+/F  385,000  387,422 
Lancaster Cnty., Hosp. Auth. Rev. Bonds (Brethren       
Village), Ser. A, 6 3/8s, 7/1/30  BB-/P  400,000  400,952 
Lebanon Cnty., Hlth. Facs. Rev. Bonds (Pleasant View       
Retirement), Ser. A, 5.3s, 12/15/26  BB-/P  500,000  465,020 
Lehigh Cnty., Gen. Purpose Auth. Rev. Bonds (Lehigh       
Valley Hosp. Hlth. Network), Ser. A, 5 1/4s, 7/1/32  A1  1,000,000  1,010,330 
Monroe Cnty., Hosp. Auth. Rev. Bonds (Pocono Med.       
Ctr.), 6s, 1/1/43 (Prerefunded)  BBB+  500,000  580,905 
Montgomery Cnty., Indl. Auth. Resource Recvy. Rev.       
Bonds (Whitemarsh Cont Care), 6 1/4s, 2/1/35  B-/P  700,000  689,234 
PA Econ. Dev. Fin. Auth. Exempt Fac. Rev. Bonds       
(Reliant Energy), Ser. B, 6 3/4s, 12/1/36  B2  650,000  668,389 
PA State Higher Edl. Fac. Auth. Rev. Bonds (Widener       
U.), 5.4s, 7/15/36  BBB+  1,000,000  1,006,990 
Philadelphia, Hosp. & Higher Ed. Fac. Auth. Rev. Bonds       
(Graduate Hlth. Syst.), 7 1/4s, 7/1/10 (In default)       
(NON)  D/P  2,715,067  272 
Sayre, Hlth. Care Fac. Auth. Rev. Bonds (Guthrie       
Hlth.), Ser. A       
5 7/8s, 12/1/31 (Prerefunded)  A  1,390,000  1,562,277 
5 7/8s, 12/1/31  A  410,000  425,883 
Wilkes-Barre, Fin. Auth. (Wilkes U.), 5s, 3/1/22  BBB  560,000  564,452 
      14,828,833 

 
Puerto Rico (2.5%)       
Cmnwlth. of PR, Hwy. & Trans. Auth. Rev. Bonds       


FGIC, 5 1/2s, 7/1/13  Aaa  1,035,000  1,133,439 
5s, 7/1/28  BBB  590,000  578,873 
Cmnwlth. of PR, Pub. Bldg. Auth. Rev. Bonds (Govt.       
Fac.), Ser. N       
5 1/2s, 7/1/20  Baa3  4,250,000  4,593,103 
5s, 7/1/14  Baa3  1,500,000  1,600,560 
      7,905,975 

 
South Carolina (2.0%)       
Lexington Cnty. Hlth. Svcs. Dist. Inc. Hosp. Rev.       
Bonds, 5 1/2s, 5/1/37 (Prerefunded)  A+  1,000,000  1,138,790 
SC Hosp. Auth. Rev. Bonds (Med. U.), Ser. A, 6 1/2s,       
8/15/32 (Prerefunded)  AAA  1,250,000  1,452,313 
SC Jobs Econ. Dev. Auth. Hosp. Fac. Rev. Bonds       
(Palmetto Hlth.), Ser. A, 7 3/8s, 12/15/21       
(Prerefunded)  BBB+/P  1,000,000  1,152,990 
SC Tobacco Settlement Rev. Mgmt. Auth. Rev. Bonds,       
Ser. B       
6 3/8s, 5/15/30  BBB  1,300,000  1,322,386 
6s, 5/15/22  BBB  1,195,000  1,222,401 
      6,288,880 

 
South Dakota (0.8%)       
SD Edl. Enhancement Funding Corp. SD Tobacco Rev.       
Bonds, Ser. B, 6 1/2s, 6/1/32  BBB  2,000,000  2,037,480 
SD Hsg. Dev. Auth. Rev. Bonds (Home Ownership Mtge.),       
Ser. J, 4 1/2s, 5/1/17  MIG1  500,000  517,480 
      2,554,960 

 
Tennessee (3.5%)       
Johnson City, Hlth. & Edl. Fac. Board Hosp. Rev. Bonds       
(First Mtge. Mountain States Hlth.), Ser. A, 7 1/2s,       
7/1/33  Baa1  3,700,000  4,526,284 
Johnson City, Hlth. & Edl. Facs. Board Retirement Fac.       
Rev. Bonds (Appalachian Christian Village), Ser. A,       
6 1/4s, 2/15/32  BB-/P  600,000  591,912 
Shelby Cnty., Hlth. Edl. & Hsg. Fac. Hosp. Board Rev.       
Bonds (Methodist Hlth. Care)       
6 1/2s, 9/1/26 (Prerefunded)  AAA  1,255,000  1,454,118 
6 1/2s, 9/1/26 (Prerefunded)  AAA  745,000  863,202 
Sullivan Cnty., Hlth. Edl. & Hsg. Hosp. Fac. Board       
Rev. Bonds (Wellmont Hlth. Syst.), Ser. C, 5s, 9/1/22  BBB+  450,000  450,293 
TN Energy Acquisition Corp. Gas Rev. Bonds, Ser. A,       
5 1/4s, 9/1/22  Aa3  3,000,000  3,067,470 
      10,953,279 

 
Texas (12.3%)       
Abilene, Hlth. Fac. Dev. Corp. Rev. Bonds (Sears       
Methodist Retirement), Ser. A       
7s, 11/15/33  BB-/P  600,000  623,136 
5 7/8s, 11/15/18  BB-/P  20,000  20,173 
Brazoria Cnty., Brazos River Harbor Naval Dist. (Dow       
Chemical Co.), Ser. A-3, 5 1/8s, 5/15/33  A3  370,000  350,175 
Brazos River, Auth. Poll. Control Rev. Bonds (TXU       
Energy Co., LLC), 5s, 3/1/41  Caa1  1,000,000  745,610 
Carrollton, Farmers Branch Indpt. School Dist. G.O.       
Bonds, PSFG, 5s, 2/15/17 (Prerefunded)  Aaa  4,655,000  4,964,278 
Fort Worth, Higher Ed. Fin. Corp. Rev. Bonds (Wesleyan       
U.), Ser. A, 6s, 10/1/12  Ba2  550,000  550,787 
Harris Cnty., Rev. Bonds, Ser. B, FSA, 5s, 8/15/32  Aaa  5,500,000  6,033,225 
Harris Cnty., Hlth. Fac. Rev. Bonds (Memorial Hermann       
Hlth. Care), Ser. A, 6 3/8s, 6/1/29 (Prerefunded)  A2  3,000,000  3,386,640 
Houston, Arpt. Syst. Rev. Bonds       
(Continental Airlines, Inc.), Ser. E, 6 3/4s, 7/1/29  B3  3,500,000  3,524,815 
(Special Fac. - Continental Airlines, Inc.), Ser. E,       
6 3/4s, 7/1/21  B3  1,800,000  1,820,286 
(Continental Airlines, Inc.), Ser. C, 5.7s, 7/15/29  B3  2,500,000  2,220,150 
Lufkin, Hlth. Fac. Dev. Corp. Hlth. Syst. Rev. Bonds       
(Memorial Hlth. Syst. of East TX), 5 1/2s, 2/15/32  BBB+  500,000  489,555 
Mission, Econ. Dev. Corp. Solid Waste Disp. Rev. Bonds       
(Allied Waste N.A. Inc.), Ser. A, 5.2s, 4/1/18  B+  500,000  460,920 
Port Corpus Christi Indl. Dev. Corp. Rev. Bonds       
(Valero), Ser. C, 5.4s, 4/1/18  BBB  815,000  820,982 
Sam Rayburn Muni. Pwr. Agcy. Rev. Bonds, 6s, 10/1/21  Baa2  2,500,000  2,623,650 
San Antonio, Arpt. Syst. Rev. Bonds, FSA, 5 1/4s,       
7/1/32  Aaa  1,415,000  1,451,903 
Tarrant Cnty., Cultural Ed. Fac. Fin. Corp. Rev. Bonds       
(Northwest Sr. Hsg. Edgemere), Ser. A, 5 3/4s, 11/15/16  BB-/P  300,000  303,471 
Tarrant Cnty., Cultural Ed. Fac. Fin. Corp. Retirement       
Fac. Rev. Bonds (Air Force Village), 5 1/8s, 5/15/27  BBB-/P  2,675,000  2,556,471 
Tomball, Hosp. Auth. Rev. Bonds (Tomball Regl. Hosp.)       
6s, 7/1/29  Baa3  2,000,000  2,011,460 
6s, 7/1/25  Baa3  800,000  809,504 
6s, 7/1/19  Baa3  800,000  816,400 
TX State Dept. of Hsg. & Cmnty. Affairs Rev. Bonds       
(Single Fam.), Ser. F, FHA Insd., 5 3/4s, 3/1/37  AAA  1,995,000  2,112,525 
      38,696,116 

 
Utah (0.9%)       


Carbon Cnty., Solid Waste Disp. Rev. Bonds (Laidlaw     
Env.), Ser. A       
7 1/2s, 2/1/10  BB-  750,000  757,448 
7.45s, 7/1/17  BB-/P  600,000  618,696 
Tooele Cnty., Harbor & Term. Dist. Port Fac. Rev.     
Bonds (Union Pacific), Ser. A, 5.7s, 11/1/26  VMIG2  1,500,000  1,517,805 
      2,893,949 

 
Vermont (0.2%)       
VT Hsg. Fin. Agcy. Rev. Bonds, Ser. 19A, FSA, 4.62s,     
5/1/29  Aaa  620,000  621,717 

 
Virginia (1.9%)       
Albemarle Cnty., Indl. Dev. Auth. Res. Care Fac. Rev.     
Bonds (Westminster-Canterbury), 5s, 1/1/24  B+/P  600,000  544,164 
Henrico Cnty., Econ. Dev. Auth. Res. Care Fac. Rev.     
Bonds (Westminster-Canterbury), 5s, 10/1/22  BBB-  600,000  598,110 
Hopewell, Indl. Dev. Auth. Env. Impt. Rev. Bonds     
(Smurfit-Stone Container Corp.), 5 1/4s, 6/1/15  CCC+  500,000  480,855 
James Cnty., Indl. Dev. Auth. Rev. Bonds       
(Williamsburg), Ser. A, 6 1/8s, 3/1/32  BB-/P  1,000,000  1,006,640 
Lynchburg, Indl. Dev. Auth. Res. Care Fac. Rev. Bonds     
(Westminster-Canterbury)       
5s, 7/1/31  BB/P  1,250,000  1,118,338 
4 7/8s, 7/1/21  BB/P  1,000,000  954,910 
Roanoke, Indl. Dev. Auth. Hosp. VRDN (Carilion Hlth.     
Syst.), Ser. C-1, FSA, 1.9s, 7/1/27  VMIG1  895,000  895,000 
Winchester, Indl. Dev. Auth. Res. Care Fac. Rev. Bonds     
(Westminster-Canterbury), Ser. A, 5.2s, 1/1/27  BB/P  500,000  465,255 
      6,063,272 

 
Washington (1.6%)       
Tobacco Settlement Auth. of WA Rev. Bonds       
6 5/8s, 6/1/32  BBB  2,000,000  2,052,360 
6 1/2s, 6/1/26  BBB  1,145,000  1,197,636 
WA State Hlth. Care Fac. Auth. Rev. Bonds       
Ser. C, Radian Insd., 5 3/8s, 8/15/28  AA  500,000  501,655 
(Group Hlth. Coop), Radian Insd., 5s, 12/1/22  AA  1,125,000  1,143,383 
      4,895,034 

 
West Virginia (1.3%)       
Harrison Cnty., Cmnty. Solid Waste Disp. Rev. Bonds     
(Allegheny Energy), Ser. D, 5 1/2s, 10/15/37  Baa2  2,000,000  1,962,520 
Princeton, Hosp. Rev. Bonds (Cmnty. Hosp. Assn.,     
Inc.), 6.1s, 5/1/29  B2  2,250,000  2,210,355 
      4,172,875 

 
Wisconsin (3.8%)       
Badger, Tobacco Settlement Asset Securitization Corp.     
Rev. Bonds       
7s, 6/1/28  BBB  3,000,000  3,158,940 
6 3/8s, 6/1/32 (SEG)  BBB  4,000,000  4,132,640 
Janesville, Poll. Control Rev. Bonds (General Motors     
Corp.), 5.55s, 4/1/09  B-  350,000  348,499 
WI State Hlth. & Edl. Fac. Auth. Rev. Bonds (Wheaton     
Franciscan), 5 3/4s, 8/15/30 (Prerefunded)  AAA  3,900,000  4,381,275 
      12,021,354 

 
Wyoming (0.3%)       
Sweetwater Cnty., Solid Waste Disp. Rev. Bonds (FMC     
Corp.), 5.6s, 12/1/35  BBB  1,050,000  997,490 

Total municipal bonds and notes (cost $469,390,217)    $476,363,801 
 
PREFERRED STOCKS (2.8%)(a)       
    Shares  Value 

Charter Mac. Equity Trust 144A Ser. A, 6.625% cum.     
pfd. 6/30/09    2,000,000  $2,097,100 
GMAC Muni. Mtge. Trust 144A Ser. A1-3, 5.3%, cum. pfd     
10/31/39    2,500,000  2,627,050 
MuniMae Tax Exempt Bond Subsidiary, LLC 144A Ser. A,     
6.875% cum. pfd. 6/30/40    4,000,000  4,186,400 

 
Total preferred stocks (cost $8,500,000)      $8,910,550 
 
TOTAL INVESTMENTS       

Total investments (cost $477,890,217) (b)      $485,274,351 


FUTURES CONTRACTS OUTSTANDING at 1/31/08 (Unaudited)         
 
  Number of      Expiration  Unrealized 
  contracts  Value  date  (depreciation) 

U.S. Treasury Note 10 yr (Short)  157  $18,324,844  Mar-08  $(628,259) 



NOTES

Portfolio schedule does not reflect assets acquired by the fund in connection with the merger of Putnam High Yield Municipal Trust into the fund on February 19, 2008.

(a) Percentages indicated are based on net assets of $313,564,916.

(RAT) The Moody's or Standard & Poor's ratings indicated are believed to be the most recent ratings available at January 31, 2008 for the securities listed. Ratings are generally ascribed to securities at the time of issuance. While the agencies may from time to time revise such ratings, they undertake no obligation to do so, and the ratings do not necessarily represent what the agencies would ascribe to these securities at January 31, 2008. Securities rated by Putnam are indicated by "/P." Securities rated by Fitch are indicated by "/F."

(b) The aggregate identified cost on a tax basis is $477,347,349, resulting in gross unrealized appreciation and depreciation of $18,395,936 and $10,468,934, respectively, or net unrealized appreciation of $7,927,002.

(NON) Non-income-producing security.

(RES) Restricted, excluding 144A securities, as to public resale. The total market value of restricted securities held at January 31, 2008 was $2,031,440 or 0.6% of net assets.

(SEG) A portion of this security was pledged and segregated with the custodian to cover margin requirements for futures contracts at January 31, 2008.

(F) Is valued at fair value following procedures approved by the Trustees.

144A after the name of an issuer represents securities exempt from registration under Rule 144A under the Securities Act of 1933, as amended. These securities may be resold in transactions exempt from registration, normally to qualified institutional buyers.

The rates shown on VRDN, Mandatory Put Bonds, FRB and FRN are the current interest rates at January 31, 2008.

The dates shown on Mandatory Put Bonds are the next mandatory put dates.

The dates shown on debt obligations other than Mandatory Put Bonds are the original maturity dates.

The fund had the following sector concentrations greater than 10% at January 31, 2008 (as a percentage of net assets):

Health care  64.0% 
Air transportation  14.6 
Housing  12.9 
Utilities  12.9 
Tobacco  10.2 
 
 
The fund had the following insurance concentration greater than 10% at January 31, 2008 (as a percentage of net assets):   
 
AMBAC  10.2% 

Security valuation Tax-exempt bonds and notes are generally valued on the basis of valuations provided by an independent pricing service approved by the Trustees. Such services use information with respect to transactions in bonds, quotations from bond dealers, market transactions in comparable securities and various relationships between securities in determining value. Certain investments and derivatives are also valued at fair value following procedures approved by the Trustees. Such valuations and procedures are reviewed periodically by the Trustees. The fair value of securities is generally determined as the amount that the fund could reasonably expect to realize from an orderly disposition of such securities over a reasonable period of time. By its nature, a fair value price is a good faith estimate of the value of a security at a given point in time and does not reflect an actual market price, which may be different by a material amount.

Security valuation Investments for which market quotations are readily available are valued at the last reported sales price on their principal exchange, or official closing price for certain markets. If no sales are reported -- as in the case of some securities traded over-the-counter -- a security is valued at its last reported bid price. Many securities markets and exchanges outside the U.S. close prior to the close of the New York Stock Exchange and therefore the closing prices for securities in such markets or on such exchanges may not fully reflect events that occur after such close but before the close of the New York Stock Exchange. Accordingly, on certain days, the fund will fair value foreign equity securities taking into account multiple factors, including movements in the U.S. securities markets. The number of days on which fair value prices will be used will depend on market activity and it is possible that fair value prices will be used by the fund to a significant extent.

Futures and options contracts The fund may use futures and options contracts to hedge against changes in the values of securities the fund owns or expects to purchase, or for other investment purposes. The fund may also write options on swaps or securities it owns or in which it may invest to increase its current returns.

The potential risk to the fund is that the change in value of futures and options contracts may not correspond to the change in value of the hedged instruments. In addition, losses may arise from changes in the value of the underlying instruments, if there is an illiquid secondary market for the contracts, or if the counterparty to the contract is unable to perform. Risks may exceed amounts recognized on the statement of assets and liabilities. When the contract is closed, the fund records a realized gain or loss equal to the difference between the value of the contract at the time it was opened and the value at the time it was closed. Realized gains and losses on purchased options are included in realized gains and losses on investment securities. If a written call option is exercised, the premium originally received is recorded as an addition to sales proceeds. If a written put option is exercised, the premium originally received is recorded as a reduction to the cost of investments.

Futures contracts are valued at the quoted daily settlement prices established by the exchange on which they trade. The fund and the broker agree to exchange an amount of cash equal to the daily fluctuation in the value of the futures contract. Such receipts or payments are known as “variation margin.” Exchange traded options are valued at the last sale price or, if no sales are reported, the last bid price for purchased options and the last ask price for written options. Options traded over-the-counter are valued using prices supplied by dealers. Futures and written option


contracts outstanding at period end, if any, are listed after the fund’s portfolio.

For additional information regarding the fund please see the fund's most recent annual or semiannual shareholder report filed on the Securities and Exchange Commission's Web site, www.sec.gov, or visit Putnam's Individual Investor Web site at www.putnaminvestments.com


Item 2. Controls and Procedures:

(a) The registrant's principal executive officer and principal financial officer have concluded, based on their evaluation of the effectiveness of the design and operation of the registrant's disclosure controls and procedures as of a date within 90 days of the filing date of this report, that the design and operation of such procedures are generally effective to provide reasonable assurance that information required to be disclosed by the registrant in this report is recorded, processed, summarized and reported within the time periods specified in the Commission's rules and forms.

(b) Changes in internal control over financial reporting: Not applicable

Item 3. Exhibits:

Separate certifications for the principal executive officer and principal financial officer of the registrant as required by Rule 30a-2(a) under the Investment Company Act of 1940, as amended, are filed herewith.

SIGNATURES

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.

Putnam Managed Municipal Income Trust

By (Signature and Title):

/s/ Janet C. Smith
Janet C. Smith
Principal Accounting Officer
Date: March 31, 2008

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, this report has been signed below by the following persons on behalf of the registrant and in the capacities and on the dates indicated.

By (Signature and Title):

/s/ Charles E. Porter
Charles E. Porter
Principal Executive Officer
Date: March 31, 2008

By (Signature and Title):

/s/ Steven D. Krichmar
Steven D. Krichmar
Principal Financial Officer
Date: March 31, 2008