Global Partners Income Fund as of March 31, 2001

Apr 11, 2001, 01:00 ET from Global Partners Income Fund Inc.

    NEW YORK, April 11 /PRNewswire/ -- Global Partners Income Fund Inc.
 (NYSE:   GDF) as of March 31, 2001.
     Investment Objective: The Fund seeks to maintain a high level of current
 income. As a secondary objective, the Fund seeks capital appreciation.
 
     Portfolio Composition*
     Asset Allocations:
     High Yield             46.1%
     Emerging Market Debt   52.1
     Cash                    1.8
 
     High Yield Allocation:
     US                     41.6%
     Canada                  1.6
     UK                      1.3
     Bahamas                 0.7
     Australia               0.3
     France                  0.3
     Bermuda                 0.3
 
     High Yield Ratings Breakdown:
     BBB                     1.6%
     BB                     16.8
     B                      25.0
     CCC                     1.8
     CC                      0.3
     C                       0.3
     D                       0.3
 
     Top Five High Yield Industries:
     Energy                  7.1%
     Cable & Other Media     5.7
     Services/Other          4.6
     Gaming                  3.7
     Telecommunications      2.5
 
     Emerging Market Debt Countries:
     Brazil                  9.2%
     Venezuela               8.4
     Russia                  8.1
     Argentina               6.7
     Mexico                  5.5
     Algeria                 2.7
     Bulgaria                2.4
     Ecuador                 2.1
     Philippines             1.5
     Peru                    1.3
 
     Currency Allocation:
     US Dollar:              100%
 
     Treasury Duration:      6.7 years
     Spread Duration:        6.6 years
     Average Maturity:      17.9 years
     Average Life:          16.7 years
 
     *Portfolio holdings and weightings are subject to change at any time.
 
 
     Inception Date:      October 28, 1993
     Total Net Assets:    $162,963,000
     Leverag               31.7%
     Market Price:        $11.17
     NAV:                 $11.03
 
     Dividend Rate:       $0.11875
     Frequency:            Monthly
 
     Global Partners Income Fund Inc. is a non-diversified investment
 management company traded on the New York Stock Exchange under the symbol
 "GDF." PIMCO Advisors LP is the Investment Manager. Salomon Brothers Asset
 Management Inc, a wholly owned subsidiary of Salomon Smith Barney Holding
 Inc., serves as the Fund's Investment Adviser.
 
     For more information, call 1-888-777-0102.
 
 

SOURCE Global Partners Income Fund Inc.
    NEW YORK, April 11 /PRNewswire/ -- Global Partners Income Fund Inc.
 (NYSE:   GDF) as of March 31, 2001.
     Investment Objective: The Fund seeks to maintain a high level of current
 income. As a secondary objective, the Fund seeks capital appreciation.
 
     Portfolio Composition*
     Asset Allocations:
     High Yield             46.1%
     Emerging Market Debt   52.1
     Cash                    1.8
 
     High Yield Allocation:
     US                     41.6%
     Canada                  1.6
     UK                      1.3
     Bahamas                 0.7
     Australia               0.3
     France                  0.3
     Bermuda                 0.3
 
     High Yield Ratings Breakdown:
     BBB                     1.6%
     BB                     16.8
     B                      25.0
     CCC                     1.8
     CC                      0.3
     C                       0.3
     D                       0.3
 
     Top Five High Yield Industries:
     Energy                  7.1%
     Cable & Other Media     5.7
     Services/Other          4.6
     Gaming                  3.7
     Telecommunications      2.5
 
     Emerging Market Debt Countries:
     Brazil                  9.2%
     Venezuela               8.4
     Russia                  8.1
     Argentina               6.7
     Mexico                  5.5
     Algeria                 2.7
     Bulgaria                2.4
     Ecuador                 2.1
     Philippines             1.5
     Peru                    1.3
 
     Currency Allocation:
     US Dollar:              100%
 
     Treasury Duration:      6.7 years
     Spread Duration:        6.6 years
     Average Maturity:      17.9 years
     Average Life:          16.7 years
 
     *Portfolio holdings and weightings are subject to change at any time.
 
 
     Inception Date:      October 28, 1993
     Total Net Assets:    $162,963,000
     Leverag               31.7%
     Market Price:        $11.17
     NAV:                 $11.03
 
     Dividend Rate:       $0.11875
     Frequency:            Monthly
 
     Global Partners Income Fund Inc. is a non-diversified investment
 management company traded on the New York Stock Exchange under the symbol
 "GDF." PIMCO Advisors LP is the Investment Manager. Salomon Brothers Asset
 Management Inc, a wholly owned subsidiary of Salomon Smith Barney Holding
 Inc., serves as the Fund's Investment Adviser.
 
     For more information, call 1-888-777-0102.
 
 SOURCE  Global Partners Income Fund Inc.