Delaware National High-Yield Municipal Bond Fund

Holdings as of 06/30/2010 (all share classes)

Portfolio holdings are as of the date noted above and are subject to change at any time. Holdings may not be representative of current or future investments and may not include the entire investment portfolio. Holdings information is made available to the public 30 calendar days after the most recent quarter-end.

Holdings data is for informational purposes only, and is not intended as a recommendation, offer, or solicitation for the purchase or sale of any specific security. By accessing the portfolio holdings, you agree not to reproduce, distribute or disseminate the portfolio holdings, in whole or part. In no event shall the Delaware Family of Funds or its affiliates have any liability relating to the use of the portfolio holdings.

Unlike the Fund's regulatory filings, the portfolio data and its presentation in this document is not required to conform to Generally Accepted Accounting Principles (GAAP) and Securities and Exchange Commission (SEC) presentation requirements. Therefore, it may differ from that provided in the complete portfolio of investments in the annual and semiannual report to shareholders filed with the SEC on Form N-CSR, and the complete portfolio of investments filed in the first and third quarter on Form N-Q.

SEC description # Holdings Portfolio % Market value Income rate Maturity date Nasdaq symbol
ALHAMBRA CALIF REV 1,000,000.000.71$1,046,520.007.6201/01/2040ALHGEN
ALLEGHENY CNTY PA HOSP DEV AUT 700,000.000.47$700,000.000.2806/01/2035ALLMED
ALLEGHENY CNTY PA INDL DEV AUT 1,000,000.000.72$1,064,690.006.8805/01/2030ALLDEV
APPLE VY MINN ECONOMIC DEV 1,000,000.000.66$983,300.006.0001/01/2040APPMED
BALTIMORE MD CONVENTION CTR 1,000,000.000.55$819,560.005.8809/01/2039BALFAC
BEAVER CNTY PA INDL DEV AUTH P 1,000,000.000.70$1,036,260.007.1206/01/2028BEAPOL
BEXAR CNTY TEX HEALTH FACS DEV 1,000,000.000.68$1,000,370.005.8807/01/2030BEXMED
BEXAR CNTY TEX HEALTH FACS DEV 1,000,000.000.75$1,115,170.006.3007/01/2032BEXMED
BOWLING GREEN OHIO STUDENT HSG 1,250,000.000.83$1,226,637.506.0006/01/2045BOWHSG
BRANSON MO REGL ARPT TRANSN DE 500,000.000.18$272,225.006.0007/01/2037BRAAPT
BRAZOS RIVER AUTH TEX POLLUTN 1,000,000.000.32$482,720.006.3007/01/2032BRAPOL
BRAZOS TEX HBR INDL DEV CORP 190,000.000.13$188,122.805.9005/01/2038BRADEV
BREVARD CNTY FLA HEALTH FACS 1,000,000.000.74$1,103,720.007.0004/01/2039BREMED
BROOKLYN ARENA LOCAL DEV CORP 1,000,000.000.73$1,080,150.006.5007/15/2030BRKDEV
BUCKEYE OHIO TOB SETTLEMENT 1,000,000.000.53$788,240.006.5006/01/2047BUCGEN
BUTLER CNTY PA HOSP AUTH HOSP 900,000.000.69$1,017,081.007.1207/01/2029BUTMED
CALIFORNIA STATEWIDE CMNTYS 500,000.000.37$543,525.007.2511/15/2041CASDEV
CALIFORNIA STATEWIDE CMNTYS 1,000,000.000.56$837,460.005.5011/01/2038CASDEV
CALIFORNIA STATEWIDE CMNTYS 1,000,000.000.68$1,001,320.006.0007/01/2040CASEDU
CALIFORNIA STATEWIDE CMNTYS DE 1,000,000.000.64$952,490.005.6208/01/2034CASDEV
CAPITAL AREA CULTURAL ED FACS 1,000,000.000.68$1,006,810.006.1204/01/2045CPAEDU
CASH -2,179,816.38-1.47-$2,179,816.380.0012/15/2038US-CASH
CASS CNTY TEX INDL DEV CORP EN 1,000,000.000.68$1,003,930.006.0009/01/2025CASDEV
CHATHAM CNTY GA HOSP AUTH REV 750,000.000.51$753,285.006.1201/01/2024CHAMED
CHATTANOOGA TENN HEALTH EDL & 1,000,000.000.62$922,010.006.0010/01/2035CHAMED
CHESTER CNTY PA HEALTH & ED FA 2,000,000.001.32$1,961,860.005.0005/15/2040CHEMED
CHICAGO ILL TAX INCREMENT 750,000.000.52$765,922.505.9512/15/2012CHIGEN
CLAYTON CNTY GA DEV AUTH SPL F 1,000,000.000.70$1,040,310.009.0006/01/2035CYTDEV
CLEVELAND-CUYAHOGA CNTY OHIO P 1,000,000.000.57$850,590.006.2505/01/2038CLETRN
CLIFTON TEX HIGHER ED FIN CORP 1,000,000.000.68$1,003,730.006.2512/01/2045CLIEDU
CLOQUET MINN POLLUTN CTL REV 750,000.000.48$715,275.005.9010/01/2026CLOPOL
COLORADO EDL & CULTURAL FACS 800,000.000.54$800,000.000.1504/01/2034COSEDU
COLORADO HEALTH FACS AUTH REV 500,000.000.30$438,120.005.7501/01/2037COSMED
COLUMBUS CNTY N C INDL FACS & 1,000,000.000.69$1,016,930.005.7005/01/2034COLPOL
CONNECTICUT ST HEALTH & EDL 1,400,000.000.95$1,405,474.005.0007/01/2030CTSHGR
DE SOTO PARISH LA ENVIRONMENTA 1,650,000.001.13$1,671,202.506.3502/01/2025DESENV
EAST ROCHESTER N Y HSG AUTH RE 500,000.000.29$424,795.005.5008/01/2033ERTHSG
FARMS NEW KENT VA CMNTY DEV 1,000,000.000.52$767,760.005.8003/01/2036FRMDEV
GAINESVILLE & HALL CNTY GA DEV 1,000,000.000.69$1,017,350.007.2511/15/2029GAIDEV
GEORGIA ST 1,000,000.000.81$1,195,110.005.0007/01/2020GAS
GOLDEN ST TOB SECURITIZATION 4,400,000.002.14$3,164,920.005.7506/01/2047GLDGEN
GUAM GOVT 1,565,000.001.14$1,682,938.406.7511/15/2029GMSFAC
GULF COAST WASTE DISP AUTH TEX 285,000.000.17$252,529.952.3001/01/2026GULPOL
GULF COAST WASTE DISP AUTH TEX 550,000.000.33$487,338.502.3001/01/2042GULPOL
GULF COAST WASTE DISP AUTH TEX 1,000,000.000.68$1,011,040.006.6504/01/2032FULUTL
HAMDEN CONN FAC REV 1,000,000.000.71$1,049,650.007.7501/01/2043HAMFAC
HAWAII PAC HEALTH SPL PURP REV 1,250,000.000.83$1,233,725.005.5007/01/2040HISMED
HAWAII ST DEPT BUDGET & FIN 970,000.000.71$1,056,834.406.5007/01/2039HISGEN
HAWAII ST DEPT BUDGET & FIN SP 1,000,000.000.76$1,121,190.009.0011/15/2044HISGEN
HENDERSON NEV LOC IMPT DISTS 660,000.000.20$298,821.605.3009/01/2035HENGEN
HENRICO CNTY VA 500,000.000.40$597,065.005.0007/15/2019HEN
IDAHO HSG & FIN ASSN 1,000,000.000.79$1,167,820.009.5007/01/2039IDSHSG
ILLINOIS FIN AUTH REV 1,000,000.000.72$1,066,210.007.0008/15/2044ILSGEN
ILLINOIS FIN AUTH REV 1,000,000.000.78$1,154,980.007.7508/15/2034ILSGEN
ILLINOIS HEALTH FACS AUTH REV 1,000,000.000.65$962,850.005.6201/01/2028ILSMED
INDIANA ST FIN AUTH 1,000,000.000.69$1,025,180.006.0012/01/2026INSENV
INDIANA ST FIN AUTH REV 1,000,000.000.71$1,054,120.007.0010/01/2039INSFIN
INDIANA ST FIN AUTH REV 1,000,000.000.80$1,191,730.009.0007/01/2039INSFIN
IOWA HIGHER ED LN AUTH REV 1,500,000.001.02$1,509,270.006.0009/01/2039IASSTD
KENTUCKY ECONOMIC DEV FIN AUTH 1,000,000.000.70$1,040,700.006.5003/01/2045KYSDEV
LANCASTER CALIF REDEV AGY TAX 500,000.000.38$558,085.006.8808/01/2039LANDEV
LANCASTER CNTY PA HOSP AUTH RE 725,000.000.48$718,134.256.3807/01/2030LANMED
LEBANON CNTY PA HEALTH FACS 1,000,000.000.58$865,230.005.3012/15/2026LEBMED
LONG TERM RECEIVABLES -271,515.49-0.18-$271,515.490.00N/ASECNCAHUS
LOUISIANA LOC GOVT 1,500,000.001.03$1,531,800.006.5008/01/2029LASGOV
M-S-R ENERGY AUTH CALIF 1,000,000.000.73$1,077,240.006.5011/01/2039MSRPWR
MANCHESTER MO TAX INCREMENT & 1,250,000.000.85$1,262,262.506.8811/01/2039MANGEN
MARIETTA GA DEV AUTH REV 1,000,000.000.67$991,380.007.0006/15/2039MARDEV
MARYLAND ST ECONOMIC DEV CORP 930,000.000.64$942,331.805.7506/01/2033MDSDEV
MARYLAND ST ECONOMIC DEV CORP 1,000,000.000.69$1,021,170.005.7506/01/2035MDSDEV
MARYLAND ST HEALTH & HIGHER 1,000,000.000.64$954,570.005.7507/01/2038MDSMED
MARYLAND ST HEALTH & HIGHER 1,000,000.000.69$1,016,940.006.1207/01/2045MDSMED
MARYLAND ST HEALTH & HIGHER 1,170,000.000.34$503,076.605.5007/01/2038MDSMED
MASSACHUSETTS ST HEALTH & EDL 1,000,000.000.67$997,090.006.1210/01/2029MASMED
MASSACHUSETTS ST HEALTH & EDL 1,000,000.000.70$1,030,920.005.6210/15/2040MASMED
MEDFORD ORE HOSP FACS AUTH REV 1,000,000.000.68$1,006,100.005.0008/01/2040MFDMED
MICHIGAN PUB EDL FACS AUTH REV 1,000,000.000.70$1,032,380.007.0012/01/2039MISEDU
MICHIGAN TOB SETTLEMENT FIN 555,000.000.27$405,299.856.0006/01/2048MISGEN
MIDDLESEX CNTY N J IMPT AUTH 500,000.000.19$281,825.005.0001/01/2032MSXGEN
MIDDLESEX CNTY N J IMPT AUTH 870,000.000.33$490,671.305.1201/01/2037MSXGEN
MINNEAPOLIS & ST PAUL MINN HSG 1,800,000.001.22$1,800,000.000.1411/15/2035MINMED
MINNESOTA ST HIGHER ED FACS 1,000,000.000.66$972,590.005.5005/01/2037MNSHGR
MISSISSIPPI BUSINESS FIN CORP 900,000.000.61$901,161.005.9005/01/2022MSSDEV
MISSOURI ST DEV FIN BRD INFRAS 720,000.000.49$730,080.005.5012/01/2024MOSDEV
MONTANA FAC FIN AUTH REV 1,250,000.000.89$1,315,912.505.2501/01/2040MTSFIN
NASSAU CNTY N Y TOBACCO SETTLE 525,000.000.27$401,168.255.1206/01/2046NAS
NEW JERSEY ECONOMIC DEV AUTH 965,000.000.64$955,070.155.7506/15/2034NJSDEV
NEW JERSEY ECONOMIC DEV AUTH 1,500,000.001.02$1,513,935.005.8806/01/2042NJSDEV
NEW JERSEY ECONOMIC DEV AUTH S 1,000,000.000.64$952,830.006.4009/15/2023NJSDEV
NEW JERSEY HEALTH CARE FACS FI 860,000.000.60$890,452.606.6207/01/2038NJSMED
NEW JERSEY ST EDL FACS AUTH 750,000.000.51$755,077.505.5007/01/2023NJSEDU
NEW JERSEY ST EDL FACS AUTH 1,000,000.000.77$1,147,800.007.5012/01/2032NJSEDU
NEW YORK N Y CITY INDL DEV AGY 905,000.000.54$807,314.305.5007/01/2028NYCAPT
NEW YORK N Y CITY INDL DEV AGY 1,000,000.000.52$777,980.005.1205/15/2030NYCDEV
NEW YORK N Y CITY INDL DEV AGY 1,000,000.000.70$1,033,620.007.7508/01/2031NYCDEV
NEW YORK N Y CITY INDL DEV AGY 1,200,000.000.70$1,044,948.005.0001/01/204664971PEB7
NEW YORK ST DORM AUTH REVS NON 1,000,000.000.66$973,110.006.2512/01/2037NYSHGR
NEW YORK ST LOC GOVT ASSISTANC 1,000,000.000.78$1,162,930.005.0004/01/2020NYSGEN
NORCO CALIF REDEV AGY TAX ALLO 1,000,000.000.68$1,001,350.006.0003/01/2036NRCDEV
NORTH CAROLINA HSG FIN AGY 950,000.000.66$979,687.505.5507/01/2038NCSHSG
NORTH CAROLINA MED CARE COMMN 1,000,000.000.62$923,810.005.6010/01/2036NCSMED
OHIO CNTY KY POLLUTN CTL REV 1,250,000.000.87$1,284,100.006.0007/15/2031OHCPOL
OHIO ST HIGHER EDL FAC REV 950,000.000.68$1,014,562.005.5012/01/2028OHSHGR
OKLAHOMA CITY OK INDL & CULT F 1,160,000.000.72$1,062,966.006.7501/01/2023OKCDEV
ONONDAGA CNTY N Y INDL DEV 500,000.000.32$467,755.007.2501/01/2032ONODEV
ORANGE CNTY FLA HEALTH FACS AU 1,000,000.000.67$993,000.005.2510/01/2035ORAMED
OREGON ST FACS AUTH REV 1,000,000.000.61$900,010.005.4510/01/2032ORSFAC
OREGON ST FACS AUTH REV 1,000,000.000.68$1,010,980.005.2510/01/2040ORSFAC
PALM DRIVE HEALTH CARE DIST 2,000,000.001.03$1,520,540.005.2504/01/2030PLMMED
PENNSYLVANIA ECONOMIC DEV FING 1,000,000.000.72$1,062,720.006.2510/15/2023PASMED
PENNSYLVANIA ECONOMIC DEV FING 1,000,000.000.76$1,121,600.007.0007/15/2039PASDEV
PENNSYLVANIA ST HIGHER EDL 1,000,000.000.68$1,008,840.006.0007/01/2042PASEDU
PENNSYLVANIA ST HIGHER EDL 1,300,000.000.88$1,309,802.005.8007/01/2030PASEDU
PENNSYLVANIA ST HIGHER EDL 2,400,000.000.97$1,437,000.000.8007/01/2039PASEDU
PETERSBURG IND POLLUTN CTL REV 1,000,000.000.69$1,025,660.006.3811/01/2029PETPOL
PHENIX CITY ALA INDL DEV BRD E 500,000.000.32$481,415.006.3505/15/2035PHEENV
PHILADELPHIA PA AUTH FOR INDL 745,000.000.46$684,751.855.7508/15/2032PHIDEV
PHILADELPHIA PA REDEV AUTH REV 1,500,000.000.79$1,167,645.005.5007/01/2035PHIDEV
PRESCOTT VY ARIZ IMPT DIST SPL 80,000.000.06$84,055.207.9001/01/2012PRVGEN
PROVO UTAH CHARTER SCH REV 1,000,000.000.53$790,050.005.5006/15/2037PROEDU
PUERTO RICO COMWLTH 675,000.000.48$714,426.756.0007/01/2039PRC
PUERTO RICO COMWLTH HWY & TRAN 1,855,000.001.22$1,805,823.955.0007/01/2030745190TR9
PUERTO RICO ELEC PWR AUTH PWR 2,000,000.001.39$2,055,620.005.2507/01/2026PRCPWR
PUERTO RICO ELEC PWR AUTH PWR 3,205,000.002.18$3,222,339.055.2507/01/2040PRCPWR
PUERTO RICO SALES TAX FING 800,000.000.56$833,264.005.7508/01/2037PRCGEN
PUERTO RICO SALES TAX FING 2,030,000.001.11$1,645,254.100.0008/01/2032PRCGEN
RICHLAND CNTY OHIO HOSP FACS R 500,000.000.34$506,705.006.3811/15/2030RICMED
RICHMOND HEIGHTS MO TAX 1,200,000.000.72$1,071,084.005.6211/01/2025RMHGEN
SACRAMENTO CNTY CALIF ARPT SYS 1,000,000.000.72$1,069,370.006.0007/01/2041SACAPT
SALT VERDE FINL CORP GAS REV A 1,000,000.000.59$873,490.005.0012/01/2037SLTPWR
SECURITIZED NET CASH - ACR1 2,204,614.191.49$2,204,614.190.00N/ASECCASHAC
SOUTH CAROLINA JOBS-ECONOMIC 1,000,000.000.67$997,140.005.7508/01/2039SCSMED
SOUTHWESTERN ILL DEV AUTH REV 500,000.000.26$383,170.005.3503/01/2031SWTDEV
ST JOHN BAPTIST PARISH LA REV 1,000,000.000.64$950,560.005.1206/01/2037SJBCTF
ST JOSEPH MO INDL DEV AUTH TAX 500,000.000.31$454,205.005.5011/01/2027STJDEV
ST JOSEPH MO INDL DEV AUTH TAX 1,000,000.000.62$920,510.005.3811/01/2024STJDEV
ST LOUIS MO ARPT REV 1,090,000.000.78$1,161,024.406.6207/01/2034STLAPT
ST LOUIS PARK MINN HEALTH CARE 1,000,000.000.68$1,000,000.005.7507/01/2039SLPMED
ST PAUL MINN HSG & REDEV AUTH 1,000,000.000.66$971,330.006.0011/15/2030STPMED
SUGAR CREEK MO INDL DEV REV 500,000.000.31$463,390.005.6506/01/2037SUGDEV
SWEETWATER CNTY WYO SOLID 1,000,000.000.66$980,300.005.6012/01/2035SWEPOL
TEXAS PRIVATE ACTIVITY SURFACE 1,000,000.000.69$1,020,600.006.8812/31/2039TXSTRN
TEXAS PRIVATE ACTIVITY SURFACE 1,500,000.001.02$1,515,885.007.0006/30/2040TXSTRN
TOBACCO SETTLEMENT FING CORP 1,000,000.000.44$645,650.005.0006/01/2047TOBGEN
TOLEDO LUCAS CNTY OHIO PORT AU 1,000,000.000.65$963,280.006.3811/15/2032TOLDEV
TRAVIS CNTY TEX HEALTH FACS DE 1,000,000.000.68$1,015,200.007.1211/01/2040TRAMED
TROY N Y CAP RESOURCE CORP REV 800,000.000.55$815,512.005.1209/01/2040TRYGEN
UTAH ST CHARTER SCH FIN AUTH 1,290,000.000.87$1,292,786.406.3807/15/2040UTSEDU
WASHINGTON ST HEALTH CARE FACS 1,250,000.000.90$1,338,150.006.0008/15/2039WASMED
WINCHESTER VA INDL DEV AUTH RE 1,000,000.000.61$902,450.005.3001/01/2035WINMED
WINTER GARDEN VLG AT FOWLER 960,000.000.61$900,806.405.6505/01/2037WVGDEV
WYANDOTTE CNTY/KANS CITY KANS 1,090,000.000.39$582,103.600.0006/01/2021WYAGEN
YAVAPAI CNTY ARIZ INDL DEV AUT 1,000,000.000.68$1,006,920.006.0008/01/2033YAVMED