Managed Municipals Portfolio as of March 31, 2001

Apr 17, 2001, 01:00 ET from Managed Municipals Portfolio

    NEW YORK, April 17 /PRNewswire/ -- Managed Municipals Portfolio
 (NYSE:   MMU) as of March 31, 2001:
 
     Investment Objective: The Portfolio seeks as high a level of current
 income exempt from Federal income tax as is consistent with preservation of
 principal.
 
     Portfolio Composition
 
     Industry Allocations:
     General Obligation                                 18.2%
     Transportation                                      14.0
     Hospital                                            12.8
     Water & Sewer                                       10.5
     Utilities                                            7.1
     Education                                            5.9
     Industrial Development                               3.6
     Cogeneration Facilities                              3.4
     Pre-Refunded                                         3.0
     Escrowed to Maturity                                 2.4
     Housing                                              2.2
     Government Facilities                                2.0
     Public Facilities                                    1.5
     Misc.                                               10.7
     Cash                                                 2.7
 
     Credit Quality (Higher of S&P or Moody's):
     AAA                                                50.6%
     AA                                                  18.7
     A                                                   16.3
     BBB                                                  5.7
     BB                                                   1.2
     NR                                                   7.5
 
     Portfolio Statistics:
 
     Inception Date:                            June 25, 1992
     Inception Price:                                  $12.00
     Leverage:                                             No
 
     Average Maturity                              22.1 years
     Average Life                                  12.8 years
     Average Price                                     $97.27
     Average Coupon                                     5.46%
     Total Net Assets                          $378.9 million
     Dividend                                 $0.05 per month
                           (Declared quarterly, paid monthly)
     Market Price                                      $10.52
     NAV                                               $11.90
 
     Call Statistics:
     Non-Callable:                                       7.4%
     2001                                                 1.3
     2002                                                15.8
     2003                                                 2.9
     2004                                                 3.0
     2005                                                 3.0
     2006                                                 1.2
     2007                                                 7.3
     2008                                                10.0
     2009                                                17.6
     2010                                                24.9
     2011                                                 8.2
 
     Managed Municipals Portfolio Inc., a non-diversified investment management
 company, is managed by SSB Citi Fund Management LLC., a wholly-owned
 subsidiary of Salomon Smith Barney Holdings Inc.
 
 

SOURCE Managed Municipals Portfolio
    NEW YORK, April 17 /PRNewswire/ -- Managed Municipals Portfolio
 (NYSE:   MMU) as of March 31, 2001:
 
     Investment Objective: The Portfolio seeks as high a level of current
 income exempt from Federal income tax as is consistent with preservation of
 principal.
 
     Portfolio Composition
 
     Industry Allocations:
     General Obligation                                 18.2%
     Transportation                                      14.0
     Hospital                                            12.8
     Water & Sewer                                       10.5
     Utilities                                            7.1
     Education                                            5.9
     Industrial Development                               3.6
     Cogeneration Facilities                              3.4
     Pre-Refunded                                         3.0
     Escrowed to Maturity                                 2.4
     Housing                                              2.2
     Government Facilities                                2.0
     Public Facilities                                    1.5
     Misc.                                               10.7
     Cash                                                 2.7
 
     Credit Quality (Higher of S&P or Moody's):
     AAA                                                50.6%
     AA                                                  18.7
     A                                                   16.3
     BBB                                                  5.7
     BB                                                   1.2
     NR                                                   7.5
 
     Portfolio Statistics:
 
     Inception Date:                            June 25, 1992
     Inception Price:                                  $12.00
     Leverage:                                             No
 
     Average Maturity                              22.1 years
     Average Life                                  12.8 years
     Average Price                                     $97.27
     Average Coupon                                     5.46%
     Total Net Assets                          $378.9 million
     Dividend                                 $0.05 per month
                           (Declared quarterly, paid monthly)
     Market Price                                      $10.52
     NAV                                               $11.90
 
     Call Statistics:
     Non-Callable:                                       7.4%
     2001                                                 1.3
     2002                                                15.8
     2003                                                 2.9
     2004                                                 3.0
     2005                                                 3.0
     2006                                                 1.2
     2007                                                 7.3
     2008                                                10.0
     2009                                                17.6
     2010                                                24.9
     2011                                                 8.2
 
     Managed Municipals Portfolio Inc., a non-diversified investment management
 company, is managed by SSB Citi Fund Management LLC., a wholly-owned
 subsidiary of Salomon Smith Barney Holdings Inc.
 
 SOURCE  Managed Municipals Portfolio