SMITH BARNEY MUNI FUNDS
NSAR-A, 1997-12-02
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<PAGE>      PAGE  1
000 A000000 09/30/97
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002 A000000 388 GREENWICH ST.
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<PAGE>      PAGE  2
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008 A00AA01 SMITH BARNEY MUTUAL FUNDS MANAGEMENT INC.
008 B00AA01 A
008 C00AA01 801-3389
008 D01AA01 NEW YORK
008 D02AA01 NY
008 D03AA01 10013
010 A00AA01 SMITH BARNEY MUTUAL FUNDS MANAGEMENT INC.
010 B00AA01 801-14437
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010 C02AA01 NY
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011 A00AA01 SMITH BARNEY
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013 A00AA01 KPMG PEAT MARWICK LLP
013 B01AA01 NEW YORK
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013 B03AA01 10154
015 A00AA01 PNC BANK
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<PAGE>      PAGE  4
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<PAGE>      PAGE  5
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<PAGE>      PAGE  6
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<PAGE>      PAGE  7
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<PAGE>      PAGE  8
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<PAGE>      PAGE  9
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<PAGE>      PAGE  10
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<PAGE>      PAGE  11
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<PAGE>      PAGE  12
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<PAGE>      PAGE  13
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<PAGE>      PAGE  14
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<PAGE>      PAGE  15
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<PAGE>      PAGE  16
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<PAGE>      PAGE  18
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<PAGE>      PAGE  19
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<PAGE>      PAGE  20
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<PAGE>      PAGE  21
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<PAGE>      PAGE  22
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<PAGE>      PAGE  23
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<PAGE>      PAGE  24
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<PAGE>      PAGE  25
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<PAGE>      PAGE  26
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<PAGE>      PAGE  27
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<PAGE>      PAGE  28
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<PAGE>      PAGE  29
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<PAGE>      PAGE  30
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<PAGE>      PAGE  31
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<PAGE>      PAGE  32
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<PAGE>      PAGE  33
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<PAGE>      PAGE  34
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<PAGE>      PAGE  35
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<PAGE>      PAGE  36
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<PAGE>      PAGE  37
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<PAGE>      PAGE  38
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070 G011100 N
070 G021100 N
070 H011100 N
070 H021100 N
070 I011100 N
070 I021100 N
070 J011100 Y
070 J021100 N
070 K011100 N
070 K021100 N
070 L011100 N
070 L021100 N
070 M011100 N
070 M021100 N
070 N011100 N
070 N021100 N
070 O011100 N
070 O021100 N
070 P011100 N
070 P021100 N
070 Q011100 N
070 Q021100 N
070 R011100 N
070 R021100 N
071 A001100         0
071 B001100       592
071 C001100      6968
071 D001100    0
072 A001100  6
072 B001100      230
072 C001100        0
072 D001100        0
072 E001100        0
072 F001100       17
072 G001100        0
072 H001100        0
072 I001100        8
072 J001100        0
072 K001100        0
072 L001100        3
072 M001100        1
072 N001100        2
072 O001100        0
<PAGE>      PAGE  39
072 P001100        0
072 Q001100        0
072 R001100        6
072 S001100        2
072 T001100       17
072 U001100        0
072 V001100        0
072 W001100        4
072 X001100       60
072 Y001100       22
072 Z001100      192
072AA001100       19
072BB001100        0
072CC011100      274
072CC021100        0
072DD011100       82
072DD021100      108
072EE001100        0
073 A011100   0.0000
073 A021100   0.0000
073 B001100   0.0000
073 C001100   0.0000
074 A001100       20
074 B001100        0
074 C001100      500
074 D001100     6680
074 E001100        0
074 F001100        0
074 G001100        0
074 H001100        0
074 I001100        0
074 J001100        5
074 K001100       19
074 L001100      118
074 M001100        0
074 N001100     7342
074 O001100        0
074 P001100        1
074 Q001100        0
074 R011100        0
074 R021100        0
074 R031100        0
074 R041100       16
074 S001100        0
074 T001100     7325
074 U011100      242
074 U021100      335
074 V011100     0.00
074 V021100     0.00
074 W001100   0.0000
074 X001100      244
<PAGE>      PAGE  40
074 Y001100     1039
075 A001100        0
075 B001100     7459
076  001100     0.00
028 A011200       910
028 A021200        73
028 A031200         0
028 A041200       592
028 B011200       360
028 B021200         0
028 B031200         0
028 B041200       263
028 C011200       311
028 C021200       145
028 C031200         0
028 C041200       348
028 D011200       378
028 D021200        73
028 D031200         0
028 D041200       155
028 E011200       348
028 E021200         0
028 E031200         0
028 E041200       171
028 F011200       528
028 F021200       146
028 F031200         0
028 F041200       169
028 G011200      2835
028 G021200       437
028 G031200         0
028 G041200      1698
028 H001200      1445
029  001200 Y
030 A001200     29
030 B001200  4.50
030 C001200  0.00
031 A001200      0
031 B001200      0
032  001200      0
033  001200     29
034  001200 Y
035  001200      7
036 A001200 Y
036 B001200      0
037  001200 N
038  001200      0
039  001200 N
040  001200 Y
041  001200 Y
042 A001200   0
<PAGE>      PAGE  41
042 B001200   0
042 C001200   0
042 D001200   0
042 E001200   0
042 F001200   0
042 G001200   0
042 H001200   0
043  001200     49
044  001200      0
045  001200 Y
046  001200 N
047  001200 Y
048  001200  0.450
048 A011200        0
048 A021200 0.000
048 B011200        0
048 B021200 0.000
048 C011200        0
048 C021200 0.000
048 D011200        0
048 D021200 0.000
048 E011200        0
048 E021200 0.000
048 F011200        0
048 F021200 0.000
048 G011200        0
048 G021200 0.000
048 H011200        0
048 H021200 0.000
048 I011200        0
048 I021200 0.000
048 J011200        0
048 J021200 0.000
048 K011200        0
048 K021200 0.000
055 A001200 Y
055 B001200 N
056  001200 N
057  001200 N
058 A001200 N
059  001200 Y
060 A001200 N
060 B001200 N
061  001200     1000
062 A001200 Y
062 B001200   0.0
062 C001200   0.0
062 D001200   0.0
062 E001200   0.4
062 F001200   0.0
062 G001200   0.0
<PAGE>      PAGE  42
062 H001200   0.0
062 I001200   0.0
062 J001200   0.0
062 K001200   0.0
062 L001200  -1.8
062 M001200   0.0
062 N001200   0.0
062 O001200 101.4
062 P001200   0.0
062 Q001200   0.0
062 R001200   0.0
063 A001200   0
063 B001200 22.7
064 A001200 Y
064 B001200 N
066 A001200 N
067  001200 N
068 A001200 N
068 B001200 N
069  001200 N
070 A011200 N
070 A021200 N
070 B011200 N
070 B021200 N
070 C011200 N
070 C021200 N
070 D011200 N
070 D021200 N
070 E011200 N
070 E021200 N
070 F011200 N
070 F021200 N
070 G011200 N
070 G021200 N
070 H011200 N
070 H021200 N
070 I011200 N
070 I021200 N
070 J011200 N
070 J021200 N
070 K011200 N
070 K021200 N
070 L011200 N
070 L021200 N
070 M011200 N
070 M021200 N
070 N011200 N
070 N021200 N
070 O011200 N
070 O021200 N
070 P011200 N
<PAGE>      PAGE  43
070 P021200 N
070 Q011200 N
070 Q021200 N
070 R011200 N
070 R021200 N
071 A001200     10179
071 B001200      4303
071 C001200     25701
071 D001200   17
072 A001200  6
072 B001200      770
072 C001200        0
072 D001200        0
072 E001200        0
072 F001200       60
072 G001200        0
072 H001200        0
072 I001200       11
072 J001200        1
072 K001200        0
072 L001200        5
072 M001200        1
072 N001200        3
072 O001200        0
072 P001200        0
072 Q001200        0
072 R001200        6
072 S001200        2
072 T001200       49
072 U001200        0
072 V001200        0
072 W001200        4
072 X001200      142
072 Y001200       45
072 Z001200      673
072AA001200       69
072BB001200        0
072CC011200     1581
072CC021200        0
072DD011200      409
072DD021200      276
072EE001200        0
073 A011200   0.0000
073 A021200   0.0000
073 B001200   0.0000
073 C001200   0.0000
074 A001200       22
074 B001200        0
074 C001200      100
074 D001200    28703
074 E001200        0
<PAGE>      PAGE  44
074 F001200        0
074 G001200        0
074 H001200        0
074 I001200        0
074 J001200        0
074 K001200        0
074 L001200      481
074 M001200        0
074 N001200    29306
074 O001200      972
074 P001200       21
074 Q001200        0
074 R011200        0
074 R021200        0
074 R031200        0
074 R041200       30
074 S001200        0
074 T001200    28283
074 U011200     1215
074 U021200      916
074 V011200     0.00
074 V021200     0.00
074 W001200   0.0000
074 X001200      592
074 Y001200     2959
075 A001200        0
075 B001200    26678
076  001200     0.00
028 A011300       214
028 A021300       100
028 A031300         0
028 A041300       389
028 B011300       571
028 B021300       101
028 B031300         0
028 B041300       441
028 C011300       984
028 C021300       102
028 C031300         0
028 C041300       369
028 D011300       464
028 D021300       103
028 D031300         0
028 D041300       809
028 E011300       589
028 E021300       102
028 E031300         0
028 E041300       202
028 F011300       923
028 F021300       102
028 F031300         0
<PAGE>      PAGE  45
028 F041300      1068
028 G011300      3745
028 G021300       610
028 G031300         0
028 G041300      3278
028 H001300       828
029  001300 Y
030 A001300     23
030 B001300  4.00
030 C001300  0.00
031 A001300      0
031 B001300      0
032  001300      0
033  001300     23
034  001300 Y
035  001300     13
036 A001300 Y
036 B001300      0
037  001300 N
038  001300      0
039  001300 N
040  001300 Y
041  001300 Y
042 A001300   0
042 B001300   0
042 C001300   0
042 D001300   0
042 E001300   0
042 F001300   0
042 G001300   0
042 H001300   0
043  001300     87
044  001300      0
045  001300 Y
046  001300 N
047  001300 Y
048  001300  0.450
048 A011300        0
048 A021300 0.000
048 B011300        0
048 B021300 0.000
048 C011300        0
048 C021300 0.000
048 D011300        0
048 D021300 0.000
048 E011300        0
048 E021300 0.000
048 F011300        0
048 F021300 0.000
048 G011300        0
048 G021300 0.000
<PAGE>      PAGE  46
048 H011300        0
048 H021300 0.000
048 I011300        0
048 I021300 0.000
048 J011300        0
048 J021300 0.000
048 K011300        0
048 K021300 0.000
055 A001300 Y
055 B001300 N
056  001300 N
057  001300 N
058 A001300 N
059  001300 N
060 A001300 Y
060 B001300 N
061  001300     1000
062 A001300 Y
062 B001300   0.0
062 C001300   0.0
062 D001300   0.0
062 E001300   0.0
062 F001300   0.0
062 G001300   0.0
062 H001300   0.0
062 I001300   0.0
062 J001300   0.0
062 K001300   0.0
062 L001300  -0.9
062 M001300   0.0
062 N001300   0.0
062 O001300 100.9
062 P001300   0.0
062 Q001300   0.0
062 R001300   0.0
063 A001300   0
063 B001300 22.1
064 A001300 Y
064 B001300 N
066 A001300 N
067  001300 N
068 A001300 N
068 B001300 N
069  001300 N
070 A011300 N
070 A021300 N
070 B011300 N
070 B021300 N
070 C011300 N
070 C021300 N
070 D011300 N
<PAGE>      PAGE  47
070 D021300 N
070 E011300 Y
070 E021300 N
070 F011300 N
070 F021300 N
070 G011300 N
070 G021300 N
070 H011300 N
070 H021300 N
070 I011300 N
070 I021300 N
070 J011300 N
070 J021300 N
070 K011300 N
070 K021300 N
070 L011300 N
070 L021300 N
070 M011300 N
070 M021300 N
070 N011300 N
070 N021300 N
070 O011300 N
070 O021300 N
070 P011300 N
070 P021300 N
070 Q011300 N
070 Q021300 N
070 R011300 N
070 R021300 N
071 A001300     16485
071 B001300     13016
071 C001300     38017
071 D001300   34
072 A001300  6
072 B001300     1144
072 C001300        0
072 D001300        0
072 E001300        0
072 F001300       86
072 G001300        0
072 H001300        0
072 I001300       12
072 J001300        1
072 K001300        0
072 L001300        0
072 M001300        2
072 N001300        4
072 O001300        0
072 P001300        0
072 Q001300        0
072 R001300        4
<PAGE>      PAGE  48
072 S001300        3
072 T001300       87
072 U001300        0
072 V001300       11
072 W001300        8
072 X001300      218
072 Y001300       86
072 Z001300     1012
072AA001300        0
072BB001300     1049
072CC011300        0
072CC021300        0
072DD011300      408
072DD021300      545
072EE001300        0
073 A011300   0.0000
073 A021300   0.0000
073 B001300   0.0000
073 C001300   0.0000
074 A001300       53
074 B001300        0
074 C001300        0
074 D001300    39861
074 E001300        0
074 F001300        0
074 G001300        0
074 H001300        0
074 I001300        0
074 J001300       65
074 K001300        0
074 L001300      704
074 M001300        0
074 N001300    40683
074 O001300     1144
074 P001300        0
074 Q001300        0
074 R011300        0
074 R021300        0
074 R031300        0
074 R041300       33
074 S001300        0
074 T001300    39506
074 U011300     1126
074 U021300     1683
074 V011300     0.00
074 V021300     0.00
074 W001300   0.0000
074 X001300      925
074 Y001300     4533
075 A001300        0
075 B001300    38237
<PAGE>      PAGE  49
076  001300     0.00
SIGNATURE   THOMAS M. REYNOLDS                           
TITLE       CONTROLLER          
 


[ARTICLE] 6
[CIK] 0000775370
[NAME] SMITH BARNEY MUNI FUNDS
[SERIES]
   [NUMBER] 1
   [NAME] NATIONAL PORTFOLIO, CLASS A
<TABLE>
<S>                             <C>
[PERIOD-TYPE]                   6-MOS
[FISCAL-YEAR-END]                          MAR-31-1998
[PERIOD-END]                               SEP-30-1997
[INVESTMENTS-AT-COST]                      364,820,897
[INVESTMENTS-AT-VALUE]                     397,003,263
[RECEIVABLES]                                8,602,569
[ASSETS-OTHER]                                       0
[OTHER-ITEMS-ASSETS]                                 0
[TOTAL-ASSETS]                             405,605,832
[PAYABLE-FOR-SECURITIES]                    20,297,868
[SENIOR-LONG-TERM-DEBT]                              0
[OTHER-ITEMS-LIABILITIES]                      294,374
[TOTAL-LIABILITIES]                         20,592,242
[SENIOR-EQUITY]                                      0
[PAID-IN-CAPITAL-COMMON]                   348,397,643
[SHARES-COMMON-STOCK]                       25,110,881
[SHARES-COMMON-PRIOR]                       25,835,550
[ACCUMULATED-NII-CURRENT]                      746,797
[OVERDISTRIBUTION-NII]                               0
[ACCUMULATED-NET-GAINS]                      3,686,784
[OVERDISTRIBUTION-GAINS]                             0
[ACCUM-APPREC-OR-DEPREC]                    32,182,366
[NET-ASSETS]                               385,013,590
[DIVIDEND-INCOME]                                    0
[INTEREST-INCOME]                           12,373,506
[OTHER-INCOME]                                       0
[EXPENSES-NET]                               1,387,086
[NET-INVESTMENT-INCOME]                     10,986,420
[REALIZED-GAINS-CURRENT]                     5,313,736
[APPREC-INCREASE-CURRENT]                   10,067,966
[NET-CHANGE-FROM-OPS]                       26,368,122
[EQUALIZATION]                                       0
[DISTRIBUTIONS-OF-INCOME]                   10,203,080
[DISTRIBUTIONS-OF-GAINS]                             0
[DISTRIBUTIONS-OTHER]                                0
[NUMBER-OF-SHARES-SOLD]                      2,041,784
[NUMBER-OF-SHARES-REDEEMED]                  3,134,745
[SHARES-REINVESTED]                            368,292
[NET-CHANGE-IN-ASSETS]                      26,368,122
[ACCUMULATED-NII-PRIOR]                        703,137
[ACCUMULATED-GAINS-PRIOR]                  (1,626,952)
[OVERDISTRIB-NII-PRIOR]                              0
[OVERDIST-NET-GAINS-PRIOR]                           0
[GROSS-ADVISORY-FEES]                          864,084
[INTEREST-EXPENSE]                                   0
[GROSS-EXPENSE]                              1,387,086
[AVERAGE-NET-ASSETS]                       354,605,751
[PER-SHARE-NAV-BEGIN]                            13.60
[PER-SHARE-NII]                                  00.41
[PER-SHARE-GAIN-APPREC]                          00.55
[PER-SHARE-DIVIDEND]                             00.40
[PER-SHARE-DISTRIBUTIONS]                            0
[RETURNS-OF-CAPITAL]                                 0
[PER-SHARE-NAV-END]                              14.16
[EXPENSE-RATIO]                                  00.67
[AVG-DEBT-OUTSTANDING]                               0
[AVG-DEBT-PER-SHARE]                                 0
</TABLE>


[ARTICLE] 6
[CIK] 0000775370
[NAME] SMITH BARNEY MUNI FUNDS
[SERIES]
   [NUMBER] 1
   [NAME] NATIONAL PORTFOLIO, CLASS B
<TABLE>
<S>                             <C>
[PERIOD-TYPE]                   6-MOS
[FISCAL-YEAR-END]                          MAR-31-1998
[PERIOD-END]                               SEP-30-1997
[INVESTMENTS-AT-COST]                      364,820,897
[INVESTMENTS-AT-VALUE]                     397,003,263
[RECEIVABLES]                                8,602,569
[ASSETS-OTHER]                                       0
[OTHER-ITEMS-ASSETS]                                 0
[TOTAL-ASSETS]                             405,605,832
[PAYABLE-FOR-SECURITIES]                    20,297,868
[SENIOR-LONG-TERM-DEBT]                              0
[OTHER-ITEMS-LIABILITIES]                      294,374
[TOTAL-LIABILITIES]                         20,592,242
[SENIOR-EQUITY]                                      0
[PAID-IN-CAPITAL-COMMON]                   348,397,643
[SHARES-COMMON-STOCK]                        1,017,180
[SHARES-COMMON-PRIOR]                          932,399
[ACCUMULATED-NII-CURRENT]                      746,797
[OVERDISTRIBUTION-NII]                               0
[ACCUMULATED-NET-GAINS]                      3,686,784
[OVERDISTRIBUTION-GAINS]                             0
[ACCUM-APPREC-OR-DEPREC]                    32,182,366
[NET-ASSETS]                               385,013,590
[DIVIDEND-INCOME]                                    0
[INTEREST-INCOME]                           12,373,506
[OTHER-INCOME]                                       0
[EXPENSES-NET]                               1,387,086
[NET-INVESTMENT-INCOME]                     10,986,420
[REALIZED-GAINS-CURRENT]                     5,313,736
[APPREC-INCREASE-CURRENT]                   10,067,966
[NET-CHANGE-FROM-OPS]                       26,368,122
[EQUALIZATION]                                       0
[DISTRIBUTIONS-OF-INCOME]                      357,230
[DISTRIBUTIONS-OF-GAINS]                             0
[DISTRIBUTIONS-OTHER]                                0
[NUMBER-OF-SHARES-SOLD]                         93,406
[NUMBER-OF-SHARES-REDEEMED]                     25,054
[SHARES-REINVESTED]                             16,429
[NET-CHANGE-IN-ASSETS]                      26,368,122
[ACCUMULATED-NII-PRIOR]                        703,137
[ACCUMULATED-GAINS-PRIOR]                  (1,626,952)
[OVERDISTRIB-NII-PRIOR]                              0
[OVERDIST-NET-GAINS-PRIOR]                           0
[GROSS-ADVISORY-FEES]                          864,084
[INTEREST-EXPENSE]                                   0
[GROSS-EXPENSE]                              1,387,086
[AVERAGE-NET-ASSETS]                        13,604,017
[PER-SHARE-NAV-BEGIN]                            13.61
[PER-SHARE-NII]                                  00.36
[PER-SHARE-GAIN-APPREC]                          00.55
[PER-SHARE-DIVIDEND]                             00.36
[PER-SHARE-DISTRIBUTIONS]                            0
[RETURNS-OF-CAPITAL]                                 0
[PER-SHARE-NAV-END]                              14.16
[EXPENSE-RATIO]                                  01.35
[AVG-DEBT-OUTSTANDING]                               0
[AVG-DEBT-PER-SHARE]                                 0
</TABLE>


[ARTICLE] 6
[CIK] 0000775370
[NAME] SMITH BARNEY MUNI FUNDS
[SERIES]
   [NUMBER] 1
   [NAME] NATIONAL PORTFOLIO, CLASS C
<TABLE>
<S>                             <C>
[PERIOD-TYPE]                   6-MOS
[FISCAL-YEAR-END]                          MAR-31-1998
[PERIOD-END]                               SEP-30-1997
[INVESTMENTS-AT-COST]                      364,820,897
[INVESTMENTS-AT-VALUE]                     397,003,263
[RECEIVABLES]                                8,602,569
[ASSETS-OTHER]                                       0
[OTHER-ITEMS-ASSETS]                                 0
[TOTAL-ASSETS]                             405,605,832
[PAYABLE-FOR-SECURITIES]                    20,297,868
[SENIOR-LONG-TERM-DEBT]                              0
[OTHER-ITEMS-LIABILITIES]                      294,374
[TOTAL-LIABILITIES]                         20,592,242
[SENIOR-EQUITY]                                      0
[PAID-IN-CAPITAL-COMMON]                   348,397,643
[SHARES-COMMON-STOCK]                        1,061,444
[SHARES-COMMON-PRIOR]                        1,096,879
[ACCUMULATED-NII-CURRENT]                      746,797
[OVERDISTRIBUTION-NII]                               0
[ACCUMULATED-NET-GAINS]                      3,686,784
[OVERDISTRIBUTION-GAINS]                             0
[ACCUM-APPREC-OR-DEPREC]                    32,182,366
[NET-ASSETS]                               385,013,590
[DIVIDEND-INCOME]                                    0
[INTEREST-INCOME]                           12,373,506
[OTHER-INCOME]                                       0
[EXPENSES-NET]                               1,387,086
[NET-INVESTMENT-INCOME]                     10,986,420
[REALIZED-GAINS-CURRENT]                     5,313,736
[APPREC-INCREASE-CURRENT]                   10,067,966
[NET-CHANGE-FROM-OPS]                       26,368,122
[EQUALIZATION]                                       0
[DISTRIBUTIONS-OF-INCOME]                      382,450
[DISTRIBUTIONS-OF-GAINS]                             0
[DISTRIBUTIONS-OTHER]                                0
[NUMBER-OF-SHARES-SOLD]                         24,333
[NUMBER-OF-SHARES-REDEEMED]                     76,862
[SHARES-REINVESTED]                             17,094
[NET-CHANGE-IN-ASSETS]                      26,368,122
[ACCUMULATED-NII-PRIOR]                        703,137
[ACCUMULATED-GAINS-PRIOR]                  (1,626,952)
[OVERDISTRIB-NII-PRIOR]                              0
[OVERDIST-NET-GAINS-PRIOR]                           0
[GROSS-ADVISORY-FEES]                          864,084
[INTEREST-EXPENSE]                                   0
[GROSS-EXPENSE]                              1,387,086
[AVERAGE-NET-ASSETS]                        14,810,522
[PER-SHARE-NAV-BEGIN]                            13.59
[PER-SHARE-NII]                                  00.35
[PER-SHARE-GAIN-APPREC]                          00.55
[PER-SHARE-DIVIDEND]                             00.36
[PER-SHARE-DISTRIBUTIONS]                            0
[RETURNS-OF-CAPITAL]                                 0
[PER-SHARE-NAV-END]                              14.13
[EXPENSE-RATIO]                                  01.48
[AVG-DEBT-OUTSTANDING]                               0
[AVG-DEBT-PER-SHARE]                                 0
</TABLE>


[ARTICLE] 6
[CIK] 0000775370
[NAME] SMITH BARNEY MUNI FUNDS
[SERIES]
   [NUMBER] 2
   [NAME] NEW YORK PORTFOLIO, CLASS A
<TABLE>
<S>                             <C>
[PERIOD-TYPE]                   6-MOS
[FISCAL-YEAR-END]                          MAR-31-1998
[PERIOD-END]                               SEP-30-1997
[INVESTMENTS-AT-COST]                      691,774,991
[INVESTMENTS-AT-VALUE]                     737,860,241
[RECEIVABLES]                               31,069,836
[ASSETS-OTHER]                                  18,506
[OTHER-ITEMS-ASSETS]                                 0
[TOTAL-ASSETS]                             768,948,583
[PAYABLE-FOR-SECURITIES]                    20,026,727
[SENIOR-LONG-TERM-DEBT]                              0
[OTHER-ITEMS-LIABILITIES]                      543,799
[TOTAL-LIABILITIES]                         20,570,526
[SENIOR-EQUITY]                                      0
[PAID-IN-CAPITAL-COMMON]                   701,180,075
[SHARES-COMMON-STOCK]                       39,593,749
[SHARES-COMMON-PRIOR]                       40,326,533
[ACCUMULATED-NII-CURRENT]                       40,260
[OVERDISTRIBUTION-NII]                               0
[ACCUMULATED-NET-GAINS]                      1,152,992
[OVERDISTRIBUTION-GAINS]                             0
[ACCUM-APPREC-OR-DEPREC]                    46,085,250
[NET-ASSETS]                               748,378,057
[DIVIDEND-INCOME]                                    0
[INTEREST-INCOME]                           22,736,615
[OTHER-INCOME]                                       0
[EXPENSES-NET]                               3,166,082
[NET-INVESTMENT-INCOME]                     19,570,533
[REALIZED-GAINS-CURRENT]                     7,637,062
[APPREC-INCREASE-CURRENT]                   23,865,599
[NET-CHANGE-FROM-OPS]                       51,073,194
[EQUALIZATION]                                       0
[DISTRIBUTIONS-OF-INCOME]                   14,827,107
[DISTRIBUTIONS-OF-GAINS]                             0
[DISTRIBUTIONS-OTHER]                                0
[NUMBER-OF-SHARES-SOLD]                     27,160,134
[NUMBER-OF-SHARES-REDEEMED]                 45,971,683
[SHARES-REINVESTED]                          8,962,666
[NET-CHANGE-IN-ASSETS]                      22,580,480
[ACCUMULATED-NII-PRIOR]                        235,328
[ACCUMULATED-GAINS-PRIOR]                  (6,484,070)
[OVERDISTRIB-NII-PRIOR]                              0
[OVERDIST-NET-GAINS-PRIOR]                           0
[GROSS-ADVISORY-FEES]                        1,851,753
[INTEREST-EXPENSE]                                   0
[GROSS-EXPENSE]                              3,166,082
[AVERAGE-NET-ASSETS]                       538,706,988
[PER-SHARE-NAV-BEGIN]                            13.16
[PER-SHARE-NII]                                  00.37
[PER-SHARE-GAIN-APPREC]                          00.57
[PER-SHARE-DIVIDEND]                             00.37
[PER-SHARE-DISTRIBUTIONS]                            0
[RETURNS-OF-CAPITAL]                                 0
[PER-SHARE-NAV-END]                              13.73
[EXPENSE-RATIO]                                  00.71
[AVG-DEBT-OUTSTANDING]                               0
[AVG-DEBT-PER-SHARE]                                 0
</TABLE>


[ARTICLE] 6
[CIK] 0000775370
[NAME] SMITH BARNEY MUNI FUNDS
[SERIES]
   [NUMBER] 2
   [NAME] NEW YORK PORTFOLIO, CLASS B
<TABLE>
<S>                             <C>
[PERIOD-TYPE]                   6-MOS
[FISCAL-YEAR-END]                          MAR-31-1998
[PERIOD-END]                               SEP-30-1997
[INVESTMENTS-AT-COST]                      691,774,991
[INVESTMENTS-AT-VALUE]                     737,860,241
[RECEIVABLES]                               31,069,836
[ASSETS-OTHER]                                  18,506
[OTHER-ITEMS-ASSETS]                                 0
[TOTAL-ASSETS]                             768,948,583
[PAYABLE-FOR-SECURITIES]                    20,026,727
[SENIOR-LONG-TERM-DEBT]                              0
[OTHER-ITEMS-LIABILITIES]                      543,799
[TOTAL-LIABILITIES]                         20,570,526
[SENIOR-EQUITY]                                      0
[PAID-IN-CAPITAL-COMMON]                   701,180,075
[SHARES-COMMON-STOCK]                       14,129,729
[SHARES-COMMON-PRIOR]                       14,057,541
[ACCUMULATED-NII-CURRENT]                       40,260
[OVERDISTRIBUTION-NII]                               0
[ACCUMULATED-NET-GAINS]                      1,152,992
[OVERDISTRIBUTION-GAINS]                             0
[ACCUM-APPREC-OR-DEPREC]                    46,085,250
[NET-ASSETS]                               748,378,057
[DIVIDEND-INCOME]                                    0
[INTEREST-INCOME]                           22,736,615
[OTHER-INCOME]                                       0
[EXPENSES-NET]                               3,166,082
[NET-INVESTMENT-INCOME]                     19,570,533
[REALIZED-GAINS-CURRENT]                     7,637,062
[APPREC-INCREASE-CURRENT]                   23,865,599
[NET-CHANGE-FROM-OPS]                       51,073,194
[EQUALIZATION]                                       0
[DISTRIBUTIONS-OF-INCOME]                    4,764,252
[DISTRIBUTIONS-OF-GAINS]                             0
[DISTRIBUTIONS-OTHER]                                0
[NUMBER-OF-SHARES-SOLD]                      8,781,724
[NUMBER-OF-SHARES-REDEEMED]                 10,642,217
[SHARES-REINVESTED]                          2,860,298
[NET-CHANGE-IN-ASSETS]                      22,580,480
[ACCUMULATED-NII-PRIOR]                        235,328
[ACCUMULATED-GAINS-PRIOR]                  (6,484,070)
[OVERDISTRIB-NII-PRIOR]                              0
[OVERDIST-NET-GAINS-PRIOR]                           0
[GROSS-ADVISORY-FEES]                        1,851,753
[INTEREST-EXPENSE]                                   0
[GROSS-EXPENSE]                              3,166,082
[AVERAGE-NET-ASSETS]                       189,894,207
[PER-SHARE-NAV-BEGIN]                            13.15
[PER-SHARE-NII]                                  00.33
[PER-SHARE-GAIN-APPREC]                          00.58
[PER-SHARE-DIVIDEND]                             00.34
[PER-SHARE-DISTRIBUTIONS]                            0
[RETURNS-OF-CAPITAL]                                 0
[PER-SHARE-NAV-END]                              13.72
[EXPENSE-RATIO]                                  01.23
[AVG-DEBT-OUTSTANDING]                               0
[AVG-DEBT-PER-SHARE]                                 0
</TABLE>


[ARTICLE] 6
[CIK] 0000775370
[NAME] SMITH BARNEY MUNI FUNDS
[SERIES]
   [NUMBER] 2
   [NAME] NEW YORK PORTFOLIO, CLASS C
<TABLE>
<S>                             <C>
[PERIOD-TYPE]                   6-MOS
[FISCAL-YEAR-END]                          MAR-31-1998
[PERIOD-END]                               SEP-30-1997
[INVESTMENTS-AT-COST]                      691,774,991
[INVESTMENTS-AT-VALUE]                     737,860,241
[RECEIVABLES]                               31,069,836
[ASSETS-OTHER]                                  18,506
[OTHER-ITEMS-ASSETS]                                 0
[TOTAL-ASSETS]                             768,948,583
[PAYABLE-FOR-SECURITIES]                    20,026,727
[SENIOR-LONG-TERM-DEBT]                              0
[OTHER-ITEMS-LIABILITIES]                      543,799
[TOTAL-LIABILITIES]                         20,570,526
[SENIOR-EQUITY]                                      0
[PAID-IN-CAPITAL-COMMON]                   701,180,075
[SHARES-COMMON-STOCK]                          779,291
[SHARES-COMMON-PRIOR]                          765,360
[ACCUMULATED-NII-CURRENT]                       40,260
[OVERDISTRIBUTION-NII]                               0
[ACCUMULATED-NET-GAINS]                      1,152,992
[OVERDISTRIBUTION-GAINS]                             0
[ACCUM-APPREC-OR-DEPREC]                    46,085,250
[NET-ASSETS]                               748,378,057
[DIVIDEND-INCOME]                                    0
[INTEREST-INCOME]                           22,736,615
[OTHER-INCOME]                                       0
[EXPENSES-NET]                               3,166,082
[NET-INVESTMENT-INCOME]                     19,570,533
[REALIZED-GAINS-CURRENT]                     7,637,062
[APPREC-INCREASE-CURRENT]                   23,865,599
[NET-CHANGE-FROM-OPS]                       51,073,194
[EQUALIZATION]                                       0
[DISTRIBUTIONS-OF-INCOME]                      254,762
[DISTRIBUTIONS-OF-GAINS]                             0
[DISTRIBUTIONS-OTHER]                                0
[NUMBER-OF-SHARES-SOLD]                      1,218,424
[NUMBER-OF-SHARES-REDEEMED]                  1,188,988
[SHARES-REINVESTED]                            173,049
[NET-CHANGE-IN-ASSETS]                      22,580,480
[ACCUMULATED-NII-PRIOR]                        235,328
[ACCUMULATED-GAINS-PRIOR]                  (6,484,070)
[OVERDISTRIB-NII-PRIOR]                              0
[OVERDIST-NET-GAINS-PRIOR]                           0
[GROSS-ADVISORY-FEES]                        1,851,753
[INTEREST-EXPENSE]                                   0
[GROSS-EXPENSE]                              3,166,082
[AVERAGE-NET-ASSETS]                        10,198,560
[PER-SHARE-NAV-BEGIN]                            13.14
[PER-SHARE-NII]                                  00.33
[PER-SHARE-GAIN-APPREC]                          00.57
[PER-SHARE-DIVIDEND]                             00.34
[PER-SHARE-DISTRIBUTIONS]                            0
[RETURNS-OF-CAPITAL]                                 0
[PER-SHARE-NAV-END]                              13.70
[EXPENSE-RATIO]                                  01.28
[AVG-DEBT-OUTSTANDING]                               0
[AVG-DEBT-PER-SHARE]                                 0
</TABLE>


[ARTICLE] 6
[CIK] 0000775370
[NAME] SMITH BARNEY MUNI FUNDS
[SERIES]
   [NUMBER] 4
   [NAME] LIMITED TERM PORTFOLIO, CLASS A
<TABLE>
<S>                             <C>
[PERIOD-TYPE]                   6-MOS
[FISCAL-YEAR-END]                          MAR-31-1998
[PERIOD-END]                               SEP-30-1997
[INVESTMENTS-AT-COST]                      281,047,652
[INVESTMENTS-AT-VALUE]                     291,340,704
[RECEIVABLES]                                7,002,601
[ASSETS-OTHER]                                  90,362
[OTHER-ITEMS-ASSETS]                                 0
[TOTAL-ASSETS]                             298,433,667
[PAYABLE-FOR-SECURITIES]                    16,182,522
[SENIOR-LONG-TERM-DEBT]                              0
[OTHER-ITEMS-LIABILITIES]                      197,205
[TOTAL-LIABILITIES]                         16,379,727
[SENIOR-EQUITY]                                      0
[PAID-IN-CAPITAL-COMMON]                   276,037,430
[SHARES-COMMON-STOCK]                       37,526,839
[SHARES-COMMON-PRIOR]                       39,683,946
[ACCUMULATED-NII-CURRENT]                      198,328
[OVERDISTRIBUTION-NII]                               0
[ACCUMULATED-NET-GAINS]                        979,605
[OVERDISTRIBUTION-GAINS]                             0
[ACCUM-APPREC-OR-DEPREC]                   (4,474,870)
[NET-ASSETS]                               282,053,940
[DIVIDEND-INCOME]                                    0
[INTEREST-INCOME]                            8,356,386
[OTHER-INCOME]                                       0
[EXPENSES-NET]                               1,082,116
[NET-INVESTMENT-INCOME]                      7,274,270
[REALIZED-GAINS-CURRENT]                       979,605
[APPREC-INCREASE-CURRENT]                    5,938,004
[NET-CHANGE-FROM-OPS]                       14,191,879
[EQUALIZATION]                                       0
[DISTRIBUTIONS-OF-INCOME]                    6,361,839
[DISTRIBUTIONS-OF-GAINS]                             0
[DISTRIBUTIONS-OTHER]                                0
[NUMBER-OF-SHARES-SOLD]                      2,196,594
[NUMBER-OF-SHARES-REDEEMED]                  4,879,627
[SHARES-REINVESTED]                            525,926
[NET-CHANGE-IN-ASSETS]                     (5,965,703)
[ACCUMULATED-NII-PRIOR]                          4,290
[ACCUMULATED-GAINS-PRIOR]                  (5,454,475)
[OVERDISTRIB-NII-PRIOR]                              0
[OVERDIST-NET-GAINS-PRIOR]                           0
[GROSS-ADVISORY-FEES]                          706,227
[INTEREST-EXPENSE]                                   0
[GROSS-EXPENSE]                              1,082,116
[AVERAGE-NET-ASSETS]                       252,345,647
[PER-SHARE-NAV-BEGIN]                             6.54
[PER-SHARE-NII]                                   0.17
[PER-SHARE-GAIN-APPREC]                           0.17
[PER-SHARE-DIVIDEND]                              0.17
[PER-SHARE-DISTRIBUTIONS]                            0
[RETURNS-OF-CAPITAL]                                 0
[PER-SHARE-NAV-END]                               6.71
[EXPENSE-RATIO]                                   0.74
[AVG-DEBT-OUTSTANDING]                               0
[AVG-DEBT-PER-SHARE]                                 0
</TABLE>


[ARTICLE] 6
[CIK] 0000775370
[NAME] SMITH BARNEY MUNI FUNDS
[SERIES]
   [NUMBER] 4
   [NAME] LIMITED TERM PORTFOLIO, CLASS C
<TABLE>
<S>                             <C>
[PERIOD-TYPE]                   6-MOS
[FISCAL-YEAR-END]                          MAR-31-1998
[PERIOD-END]                               SEP-30-1997
[INVESTMENTS-AT-COST]                      281,047,652
[INVESTMENTS-AT-VALUE]                     291,340,704
[RECEIVABLES]                                7,002,601
[ASSETS-OTHER]                                  90,362
[OTHER-ITEMS-ASSETS]                                 0
[TOTAL-ASSETS]                             298,433,667
[PAYABLE-FOR-SECURITIES]                    16,182,522
[SENIOR-LONG-TERM-DEBT]                              0
[OTHER-ITEMS-LIABILITIES]                      197,205
[TOTAL-LIABILITIES]                         16,379,727
[SENIOR-EQUITY]                                      0
[PAID-IN-CAPITAL-COMMON]                   276,037,430
[SHARES-COMMON-STOCK]                        4,506,326
[SHARES-COMMON-PRIOR]                        4,331,676
[ACCUMULATED-NII-CURRENT]                      198,328
[OVERDISTRIBUTION-NII]                               0
[ACCUMULATED-NET-GAINS]                        979,605
[OVERDISTRIBUTION-GAINS]                             0
[ACCUM-APPREC-OR-DEPREC]                   (4,474,870)
[NET-ASSETS]                               282,053,940
[DIVIDEND-INCOME]                                    0
[INTEREST-INCOME]                            8,356,386
[OTHER-INCOME]                                       0
[EXPENSES-NET]                               1,082,116
[NET-INVESTMENT-INCOME]                      7,274,270
[REALIZED-GAINS-CURRENT]                       979,605
[APPREC-INCREASE-CURRENT]                    5,938,004
[NET-CHANGE-FROM-OPS]                       14,191,879
[EQUALIZATION]                                       0
[DISTRIBUTIONS-OF-INCOME]                      709,813
[DISTRIBUTIONS-OF-GAINS]                             0
[DISTRIBUTIONS-OTHER]                                0
[NUMBER-OF-SHARES-SOLD]                        439,356
[NUMBER-OF-SHARES-REDEEMED]                    338,234
[SHARES-REINVESTED]                             73,528
[NET-CHANGE-IN-ASSETS]                     (5,965,703)
[ACCUMULATED-NII-PRIOR]                          4,290
[ACCUMULATED-GAINS-PRIOR]                  (5,454,475)
[OVERDISTRIB-NII-PRIOR]                              0
[OVERDIST-NET-GAINS-PRIOR]                           0
[GROSS-ADVISORY-FEES]                          706,227
[INTEREST-EXPENSE]                                   0
[GROSS-EXPENSE]                              1,082,116
[AVERAGE-NET-ASSETS]                        29,340,435
[PER-SHARE-NAV-BEGIN]                             6.54
[PER-SHARE-NII]                                   0.16
[PER-SHARE-GAIN-APPREC]                           0.16
[PER-SHARE-DIVIDEND]                              0.16
[PER-SHARE-DISTRIBUTIONS]                            0
[RETURNS-OF-CAPITAL]                                 0
[PER-SHARE-NAV-END]                               6.70
[EXPENSE-RATIO]                                   0.99
[AVG-DEBT-OUTSTANDING]                               0
[AVG-DEBT-PER-SHARE]                                 0
</TABLE>


[ARTICLE] 6
[CIK] 0000775370
[NAME] SMITH BARNEY MUNI FUNDS
[SERIES]
   [NUMBER] 5
   [NAME] CALIFORNIA MONEY MARKET PORTFOLIO, CLASS A
<TABLE>
<S>                             <C>
[PERIOD-TYPE]                   6-MOS
[FISCAL-YEAR-END]                          MAR-31-1998
[PERIOD-END]                               SEP-30-1998
[INVESTMENTS-AT-COST]                    1,503,675,407
[INVESTMENTS-AT-VALUE]                   1,503,675,407
[RECEIVABLES]                               10,948,822
[ASSETS-OTHER]                                       0
[OTHER-ITEMS-ASSETS]                           115,375
[TOTAL-ASSETS]                           1,514,739,604
[PAYABLE-FOR-SECURITIES]                    11,400,000
[SENIOR-LONG-TERM-DEBT]                              0
[OTHER-ITEMS-LIABILITIES]                    2,880,993
[TOTAL-LIABILITIES]                         14,280,993
[SENIOR-EQUITY]                                      0
[PAID-IN-CAPITAL-COMMON]                   150,758,721
[SHARES-COMMON-STOCK]                    1,500,161,543
[SHARES-COMMON-PRIOR]                    1,400,427,069
[ACCUMULATED-NII-CURRENT]                            0
[OVERDISTRIBUTION-NII]                               0
[ACCUMULATED-NET-GAINS]                      (206,930)
[OVERDISTRIBUTION-GAINS]                             0
[ACCUM-APPREC-OR-DEPREC]                             0
[NET-ASSETS]                             1,500,458,611
[DIVIDEND-INCOME]                                    0
[INTEREST-INCOME]                           26,529,030
[OTHER-INCOME]                                       0
[EXPENSES-NET]                               4,635,213
[NET-INVESTMENT-INCOME]                     21,893,817
[REALIZED-GAINS-CURRENT]                      (20,365)
[APPREC-INCREASE-CURRENT]                            0
[NET-CHANGE-FROM-OPS]                       21,873,452
[EQUALIZATION]                                       0
[DISTRIBUTIONS-OF-INCOME]                   21,847,539
[DISTRIBUTIONS-OF-GAINS]                             0
[DISTRIBUTIONS-OTHER]                                0
[NUMBER-OF-SHARES-SOLD]                  3,291,716,817
[NUMBER-OF-SHARES-REDEEMED]              3,212,789,689
[SHARES-REINVESTED]                         20,807,346
[NET-CHANGE-IN-ASSETS]                      92,906,325
[ACCUMULATED-NII-PRIOR]                              0
[ACCUMULATED-GAINS-PRIOR]                    (127,964)
[OVERDISTRIB-NII-PRIOR]                              0
[OVERDIST-NET-GAINS-PRIOR]                           0
[GROSS-ADVISORY-FEES]                        3,632,267
[INTEREST-EXPENSE]                                   0
[GROSS-EXPENSE]                              4,635,213
[AVERAGE-NET-ASSETS]                     1,449,928,811
[PER-SHARE-NAV-BEGIN]                             1.00
[PER-SHARE-NII]                                  0.015
[PER-SHARE-GAIN-APPREC]                              0
[PER-SHARE-DIVIDEND]                             0.015
[PER-SHARE-DISTRIBUTIONS]                            0
[RETURNS-OF-CAPITAL]                                 0
[PER-SHARE-NAV-END]                               1.00
[EXPENSE-RATIO]                                   0.64
[AVG-DEBT-OUTSTANDING]                               0
[AVG-DEBT-PER-SHARE]                                 0
</TABLE>


[ARTICLE] 6
[CIK] 0000775370
[NAME] SMITH BARNEY MUNI FUNDS
[SERIES]
   [NUMBER] 5
   [NAME] CALIFORNIA MONEY MARKET PORTFOLIO, CLASS Y
<TABLE>
<S>                             <C>
[PERIOD-TYPE]                   6-MOS
[FISCAL-YEAR-END]                          MAR-31-1998
[PERIOD-END]                               SEP-30-1998
[INVESTMENTS-AT-COST]                    1,503,675,407
[INVESTMENTS-AT-VALUE]                   1,503,675,407
[RECEIVABLES]                               10,948,822
[ASSETS-OTHER]                                       0
[OTHER-ITEMS-ASSETS]                           115,375
[TOTAL-ASSETS]                           1,514,739,604
[PAYABLE-FOR-SECURITIES]                    11,400,000
[SENIOR-LONG-TERM-DEBT]                              0
[OTHER-ITEMS-LIABILITIES]                    2,880,993
[TOTAL-LIABILITIES]                         14,280,993
[SENIOR-EQUITY]                                      0
[PAID-IN-CAPITAL-COMMON]                   150,758,721
[SHARES-COMMON-STOCK]                          597,178
[SHARES-COMMON-PRIOR]                        7,404,962
[ACCUMULATED-NII-CURRENT]                            0
[OVERDISTRIBUTION-NII]                               0
[ACCUMULATED-NET-GAINS]                      (206,930)
[OVERDISTRIBUTION-GAINS]                             0
[ACCUM-APPREC-OR-DEPREC]                             0
[NET-ASSETS]                             1,500,458,611
[DIVIDEND-INCOME]                                    0
[INTEREST-INCOME]                           26,529,030
[OTHER-INCOME]                                       0
[EXPENSES-NET]                               4,635,213
[NET-INVESTMENT-INCOME]                     21,893,817
[REALIZED-GAINS-CURRENT]                      (20,365)
[APPREC-INCREASE-CURRENT]                            0
[NET-CHANGE-FROM-OPS]                       21,873,452
[EQUALIZATION]                                       0
[DISTRIBUTIONS-OF-INCOME]                       46,278
[DISTRIBUTIONS-OF-GAINS]                             0
[DISTRIBUTIONS-OTHER]                                0
[NUMBER-OF-SHARES-SOLD]                     23,242,600
[NUMBER-OF-SHARES-REDEEMED]                 30,097,543
[SHARES-REINVESTED]                             47,159
[NET-CHANGE-IN-ASSETS]                      92,906,325
[ACCUMULATED-NII-PRIOR]                              0
[ACCUMULATED-GAINS-PRIOR]                    (127,964)
[OVERDISTRIB-NII-PRIOR]                              0
[OVERDIST-NET-GAINS-PRIOR]                           0
[GROSS-ADVISORY-FEES]                        3,632,267
[INTEREST-EXPENSE]                                   0
[GROSS-EXPENSE]                              4,635,213
[AVERAGE-NET-ASSETS]                         3,063,354
[PER-SHARE-NAV-BEGIN]                             1.00
[PER-SHARE-NII]                                  0.016
[PER-SHARE-GAIN-APPREC]                              0
[PER-SHARE-DIVIDEND]                             0.016
[PER-SHARE-DISTRIBUTIONS]                            0
[RETURNS-OF-CAPITAL]                                 0
[PER-SHARE-NAV-END]                               1.00
[EXPENSE-RATIO]                                   0.54
[AVG-DEBT-OUTSTANDING]                               0
[AVG-DEBT-PER-SHARE]                                 0
</TABLE>


[ARTICLE] 6
[CIK] 0000775370
[NAME] SMITH BARNEY MUNI FUNDS
[SERIES]
   [NUMBER] 7
   [NAME] FLORIDA PORTFOLIO, CLASS A
<TABLE>
<S>                             <C>
[PERIOD-TYPE]                   6-MOS
[FISCAL-YEAR-END]                          MAR-31-1998
[PERIOD-END]                               SEP-30-1997
[INVESTMENTS-AT-COST]                      181,058,989
[INVESTMENTS-AT-VALUE]                     193,873,809
[RECEIVABLES]                                4,460,900
[ASSETS-OTHER]                                 185,748
[OTHER-ITEMS-ASSETS]                                 0
[TOTAL-ASSETS]                             198,520,457
[PAYABLE-FOR-SECURITIES]                     2,396,144
[SENIOR-LONG-TERM-DEBT]                              0
[OTHER-ITEMS-LIABILITIES]                      116,129
[TOTAL-LIABILITIES]                          2,512,273
[SENIOR-EQUITY]                                      0
[PAID-IN-CAPITAL-COMMON]                   181,873,443
[SHARES-COMMON-STOCK]                        9,755,633
[SHARES-COMMON-PRIOR]                        9,673,455
[ACCUMULATED-NII-CURRENT]                       45,042
[OVERDISTRIBUTION-NII]                               0
[ACCUMULATED-NET-GAINS]                      1,364,963
[OVERDISTRIBUTION-GAINS]                             0
[ACCUM-APPREC-OR-DEPREC]                    12,814,820
[NET-ASSETS]                               196,008,184
[DIVIDEND-INCOME]                                    0
[INTEREST-INCOME]                            5,937,484
[OTHER-INCOME]                                       0
[EXPENSES-NET]                                 890,155
[NET-INVESTMENT-INCOME]                      5,047,329
[REALIZED-GAINS-CURRENT]                     1,629,984
[APPREC-INCREASE-CURRENT]                    5,795,978
[NET-CHANGE-FROM-OPS]                       12,473,291
[EQUALIZATION]                                       0
[DISTRIBUTIONS-OF-INCOME]                    3,596,247
[DISTRIBUTIONS-OF-GAINS]                             0
[DISTRIBUTIONS-OTHER]                                0
[NUMBER-OF-SHARES-SOLD]                        811,323
[NUMBER-OF-SHARES-REDEEMED]                    826,573
[SHARES-REINVESTED]                             97,428
[NET-CHANGE-IN-ASSETS]                      10,293,804
[ACCUMULATED-NII-PRIOR]                          5,728
[ACCUMULATED-GAINS-PRIOR]                    (265,021)
[OVERDISTRIB-NII-PRIOR]                              0
[OVERDIST-NET-GAINS-PRIOR]                           0
[GROSS-ADVISORY-FEES]                          462,923
[INTEREST-EXPENSE]                                   0
[GROSS-EXPENSE]                                890,155
[AVERAGE-NET-ASSETS]                       130,463,366
[PER-SHARE-NAV-BEGIN]                            13.16
[PER-SHARE-NII]                                  00.37
[PER-SHARE-GAIN-APPREC]                          00.52
[PER-SHARE-DIVIDEND]                             00.37
[PER-SHARE-DISTRIBUTIONS]                            0
[RETURNS-OF-CAPITAL]                                 0
[PER-SHARE-NAV-END]                              13.69
[EXPENSE-RATIO]                                  00.76
[AVG-DEBT-OUTSTANDING]                               0
[AVG-DEBT-PER-SHARE]                                 0
</TABLE>


[ARTICLE] 6
[CIK] 0000775370
[NAME] SMITH BARNEY MUNI FUNDS
[SERIES]
   [NUMBER] 7
   [NAME] FLORIDA PORTFOLIO, CLASS B
<TABLE>
<S>                             <C>
[PERIOD-TYPE]                   6-MOS
[FISCAL-YEAR-END]                          MAR-31-1998
[PERIOD-END]                               SEP-30-1997
[INVESTMENTS-AT-COST]                      181,058,989
[INVESTMENTS-AT-VALUE]                     193,873,809
[RECEIVABLES]                                4,460,900
[ASSETS-OTHER]                                 185,748
[OTHER-ITEMS-ASSETS]                                 0
[TOTAL-ASSETS]                             198,520,457
[PAYABLE-FOR-SECURITIES]                     2,396,144
[SENIOR-LONG-TERM-DEBT]                              0
[OTHER-ITEMS-LIABILITIES]                      116,129
[TOTAL-LIABILITIES]                          2,512,273
[SENIOR-EQUITY]                                      0
[PAID-IN-CAPITAL-COMMON]                   181,873,443
[SHARES-COMMON-STOCK]                        4,026,652
[SHARES-COMMON-PRIOR]                        3,899,854
[ACCUMULATED-NII-CURRENT]                       45,042
[OVERDISTRIBUTION-NII]                               0
[ACCUMULATED-NET-GAINS]                      1,364,963
[OVERDISTRIBUTION-GAINS]                             0
[ACCUM-APPREC-OR-DEPREC]                    12,814,820
[NET-ASSETS]                               196,008,184
[DIVIDEND-INCOME]                                    0
[INTEREST-INCOME]                            5,937,484
[OTHER-INCOME]                                       0
[EXPENSES-NET]                                 890,155
[NET-INVESTMENT-INCOME]                      5,047,329
[REALIZED-GAINS-CURRENT]                     1,629,984
[APPREC-INCREASE-CURRENT]                    5,795,978
[NET-CHANGE-FROM-OPS]                       12,473,291
[EQUALIZATION]                                       0
[DISTRIBUTIONS-OF-INCOME]                    1,313,839
[DISTRIBUTIONS-OF-GAINS]                             0
[DISTRIBUTIONS-OTHER]                                0
[NUMBER-OF-SHARES-SOLD]                        313,292
[NUMBER-OF-SHARES-REDEEMED]                    233,921
[SHARES-REINVESTED]                             47,427
[NET-CHANGE-IN-ASSETS]                      10,293,804
[ACCUMULATED-NII-PRIOR]                          5,728
[ACCUMULATED-GAINS-PRIOR]                    (265,021)
[OVERDISTRIB-NII-PRIOR]                              0
[OVERDIST-NET-GAINS-PRIOR]                           0
[GROSS-ADVISORY-FEES]                          462,923
[INTEREST-EXPENSE]                                   0
[GROSS-EXPENSE]                                890,155
[AVERAGE-NET-ASSETS]                        53,341,613
[PER-SHARE-NAV-BEGIN]                            13.14
[PER-SHARE-NII]                                  00.33
[PER-SHARE-GAIN-APPREC]                          00.53
[PER-SHARE-DIVIDEND]                             00.33
[PER-SHARE-DISTRIBUTIONS]                            0
[RETURNS-OF-CAPITAL]                                 0
[PER-SHARE-NAV-END]                              13.67
[EXPENSE-RATIO]                                  01.29
[AVG-DEBT-OUTSTANDING]                               0
[AVG-DEBT-PER-SHARE]                                 0
</TABLE>


[ARTICLE] 6
[CIK] 0000775370
[NAME] SMITH BARNEY MUNI FUNDS
[SERIES]
   [NUMBER] 7
   [NAME] FLORIDA PORTFOLIO, CLASS C
<TABLE>
<S>                             <C>
[PERIOD-TYPE]                   6-MOS
[FISCAL-YEAR-END]                          MAR-31-1998
[PERIOD-END]                               SEP-30-1997
[INVESTMENTS-AT-COST]                      181,058,989
[INVESTMENTS-AT-VALUE]                     193,873,809
[RECEIVABLES]                                4,460,900
[ASSETS-OTHER]                                 185,748
[OTHER-ITEMS-ASSETS]                                 0
[TOTAL-ASSETS]                             198,520,457
[PAYABLE-FOR-SECURITIES]                     2,396,144
[SENIOR-LONG-TERM-DEBT]                              0
[OTHER-ITEMS-LIABILITIES]                      116,129
[TOTAL-LIABILITIES]                          2,512,273
[SENIOR-EQUITY]                                      0
[PAID-IN-CAPITAL-COMMON]                   181,873,443
[SHARES-COMMON-STOCK]                          546,191
[SHARES-COMMON-PRIOR]                          540,908
[ACCUMULATED-NII-CURRENT]                       45,042
[OVERDISTRIBUTION-NII]                               0
[ACCUMULATED-NET-GAINS]                      1,364,963
[OVERDISTRIBUTION-GAINS]                             0
[ACCUM-APPREC-OR-DEPREC]                    12,814,820
[NET-ASSETS]                               196,008,184
[DIVIDEND-INCOME]                                    0
[INTEREST-INCOME]                            5,937,484
[OTHER-INCOME]                                       0
[EXPENSES-NET]                                 890,155
[NET-INVESTMENT-INCOME]                      5,047,329
[REALIZED-GAINS-CURRENT]                     1,629,984
[APPREC-INCREASE-CURRENT]                    5,795,978
[NET-CHANGE-FROM-OPS]                       12,473,291
[EQUALIZATION]                                       0
[DISTRIBUTIONS-OF-INCOME]                      176,557
[DISTRIBUTIONS-OF-GAINS]                             0
[DISTRIBUTIONS-OTHER]                                0
[NUMBER-OF-SHARES-SOLD]                         58,833
[NUMBER-OF-SHARES-REDEEMED]                     60,222
[SHARES-REINVESTED]                              6,672
[NET-CHANGE-IN-ASSETS]                      10,293,804
[ACCUMULATED-NII-PRIOR]                          5,728
[ACCUMULATED-GAINS-PRIOR]                    (265,021)
[OVERDISTRIB-NII-PRIOR]                              0
[OVERDIST-NET-GAINS-PRIOR]                           0
[GROSS-ADVISORY-FEES]                          462,923
[INTEREST-EXPENSE]                                   0
[GROSS-EXPENSE]                                890,155
[AVERAGE-NET-ASSETS]                         7,435,270
[PER-SHARE-NAV-BEGIN]                            13.14
[PER-SHARE-NII]                                  00.33
[PER-SHARE-GAIN-APPREC]                          00.52
[PER-SHARE-DIVIDEND]                             00.32
[PER-SHARE-DISTRIBUTIONS]                            0
[RETURNS-OF-CAPITAL]                                 0
[PER-SHARE-NAV-END]                              13.67
[EXPENSE-RATIO]                                  01.33
[AVG-DEBT-OUTSTANDING]                               0
[AVG-DEBT-PER-SHARE]                                 0
</TABLE>


[ARTICLE] 6
[CIK] 0000775370
[NAME] SMITH BARNEY MUNI FUNDS
[SERIES]
   [NUMBER] 8
   [NAME] NEW YORK MONEY MARKET PORTFOLIO
<TABLE>
<S>                             <C>
[PERIOD-TYPE]                   6-MOS
[FISCAL-YEAR-END]                          MAR-31-1998
[PERIOD-END]                               SEP-30-1997
[INVESTMENTS-AT-COST]                      974,281,919
[INVESTMENTS-AT-VALUE]                     974,281,919
[RECEIVABLES]                               21,203,091
[ASSETS-OTHER]                                  24,964
[OTHER-ITEMS-ASSETS]                                 0
[TOTAL-ASSETS]                             995,509,974
[PAYABLE-FOR-SECURITIES]                             0
[SENIOR-LONG-TERM-DEBT]                              0
[OTHER-ITEMS-LIABILITIES]                    1,933,418
[TOTAL-LIABILITIES]                          1,933,418
[SENIOR-EQUITY]                                      0
[PAID-IN-CAPITAL-COMMON]                   933,800,207
[SHARES-COMMON-STOCK]                      993,800,207
[SHARES-COMMON-PRIOR]                      937,374,396
[ACCUMULATED-NII-CURRENT]                            0
[OVERDISTRIBUTION-NII]                               0
[ACCUMULATED-NET-GAINS]                      (223,651)
[OVERDISTRIBUTION-GAINS]                             0
[ACCUM-APPREC-OR-DEPREC]                             0
[NET-ASSETS]                               993,576,556
[DIVIDEND-INCOME]                                    0
[INTEREST-INCOME]                           18,100,938
[OTHER-INCOME]                                       0
[EXPENSES-NET]                               3,176,149
[NET-INVESTMENT-INCOME]                     14,924,789
[REALIZED-GAINS-CURRENT]                        36,000
[APPREC-INCREASE-CURRENT]                            0
[NET-CHANGE-FROM-OPS]                       14,960,789
[EQUALIZATION]                                       0
[DISTRIBUTIONS-OF-INCOME]                   14,924,789
[DISTRIBUTIONS-OF-GAINS]                             0
[DISTRIBUTIONS-OTHER]                                0
[NUMBER-OF-SHARES-SOLD]                  1,929,781,829
[NUMBER-OF-SHARES-REDEEMED]              1,887,519,075
[SHARES-REINVESTED]                         14,163,057
[NET-CHANGE-IN-ASSETS]                      56,461,811
[ACCUMULATED-NII-PRIOR]                              0
[ACCUMULATED-GAINS-PRIOR]                    (259,651)
[OVERDISTRIB-NII-PRIOR]                              0
[OVERDIST-NET-GAINS-PRIOR]                           0
[GROSS-ADVISORY-FEES]                        2,433,508
[INTEREST-EXPENSE]                                   0
[GROSS-EXPENSE]                              3,176,149
[AVERAGE-NET-ASSETS]                       974,628,766
[PER-SHARE-NAV-BEGIN]                             1.00
[PER-SHARE-NII]                                  0.015
[PER-SHARE-GAIN-APPREC]                              0
[PER-SHARE-DIVIDEND]                             0.015
[PER-SHARE-DISTRIBUTIONS]                            0
[RETURNS-OF-CAPITAL]                                 0
[PER-SHARE-NAV-END]                               1.00
[EXPENSE-RATIO]                                   0.66
[AVG-DEBT-OUTSTANDING]                               0
[AVG-DEBT-PER-SHARE]                                 0
</TABLE>


[ARTICLE] 6
[CIK] 0000775370
[NAME] SMITH BARNEY MUNI FUNDS
[SERIES]
   [NUMBER] 11
   [NAME] OHIO PORTFOLIO, CLASS A
<TABLE>
<S>                             <C>
[PERIOD-TYPE]                   6-MOS
[FISCAL-YEAR-END]                          MAR-31-1998
[PERIOD-END]                               SEP-30-1997
[INVESTMENTS-AT-COST]                        6,696,403
[INVESTMENTS-AT-VALUE]                       7,179,896
[RECEIVABLES]                                  142,816
[ASSETS-OTHER]                                  19,915
[OTHER-ITEMS-ASSETS]                                 0
[TOTAL-ASSETS]                               7,342,627
[PAYABLE-FOR-SECURITIES]                             0
[SENIOR-LONG-TERM-DEBT]                              0
[OTHER-ITEMS-LIABILITIES]                       17,345
[TOTAL-LIABILITIES]                             17,345
[SENIOR-EQUITY]                                      0
[PAID-IN-CAPITAL-COMMON]                     6,781,705
[SHARES-COMMON-STOCK]                          241,947
[SHARES-COMMON-PRIOR]                          249,880
[ACCUMULATED-NII-CURRENT]                       19,483
[OVERDISTRIBUTION-NII]                               0
[ACCUMULATED-NET-GAINS]                         40,601
[OVERDISTRIBUTION-GAINS]                             0
[ACCUM-APPREC-OR-DEPREC]                       483,493
[NET-ASSETS]                                 7,325,282
[DIVIDEND-INCOME]                                    0
[INTEREST-INCOME]                              229,866
[OTHER-INCOME]                                       0
[EXPENSES-NET]                                  37,770
[NET-INVESTMENT-INCOME]                        192,096
[REALIZED-GAINS-CURRENT]                        19,120
[APPREC-INCREASE-CURRENT]                      274,084
[NET-CHANGE-FROM-OPS]                          485,300
[EQUALIZATION]                                       0
[DISTRIBUTIONS-OF-INCOME]                       81,956
[DISTRIBUTIONS-OF-GAINS]                             0
[DISTRIBUTIONS-OTHER]                                0
[NUMBER-OF-SHARES-SOLD]                              0
[NUMBER-OF-SHARES-REDEEMED]                    157,948
[SHARES-REINVESTED]                             58,911
[NET-CHANGE-IN-ASSETS]                       3,213,460
[ACCUMULATED-NII-PRIOR]                         17,697
[ACCUMULATED-GAINS-PRIOR]                       21,481
[OVERDISTRIB-NII-PRIOR]                              0
[OVERDIST-NET-GAINS-PRIOR]                           0
[GROSS-ADVISORY-FEES]                           16,831
[INTEREST-EXPENSE]                                   0
[GROSS-EXPENSE]                                 37,770
[AVERAGE-NET-ASSETS]                         3,060,172
[PER-SHARE-NAV-BEGIN]                            12.23
[PER-SHARE-NII]                                  00.34
[PER-SHARE-GAIN-APPREC]                          00.50
[PER-SHARE-DIVIDEND]                             00.34
[PER-SHARE-DISTRIBUTIONS]                            0
[RETURNS-OF-CAPITAL]                                 0
[PER-SHARE-NAV-END]                              12.73
[EXPENSE-RATIO]                                  00.70
[AVG-DEBT-OUTSTANDING]                               0
[AVG-DEBT-PER-SHARE]                                 0
</TABLE>


[ARTICLE] 6
[CIK] 0000775370
[NAME] SMITH BARNEY MUNI FUNDS
[SERIES]
   [NUMBER] 11
   [NAME] OHIO PORTFOLIO, CLASS B
<TABLE>
<S>                             <C>
[PERIOD-TYPE]                   6-MOS
[FISCAL-YEAR-END]                          MAR-31-1998
[PERIOD-END]                               SEP-30-1997
[INVESTMENTS-AT-COST]                        6,696,403
[INVESTMENTS-AT-VALUE]                       7,179,896
[RECEIVABLES]                                  142,816
[ASSETS-OTHER]                                  19,915
[OTHER-ITEMS-ASSETS]                                 0
[TOTAL-ASSETS]                               7,342,627
[PAYABLE-FOR-SECURITIES]                             0
[SENIOR-LONG-TERM-DEBT]                              0
[OTHER-ITEMS-LIABILITIES]                       17,345
[TOTAL-LIABILITIES]                             17,345
[SENIOR-EQUITY]                                      0
[PAID-IN-CAPITAL-COMMON]                     6,781,705
[SHARES-COMMON-STOCK]                          266,682
[SHARES-COMMON-PRIOR]                          295,546
[ACCUMULATED-NII-CURRENT]                       19,483
[OVERDISTRIBUTION-NII]                               0
[ACCUMULATED-NET-GAINS]                         40,601
[OVERDISTRIBUTION-GAINS]                             0
[ACCUM-APPREC-OR-DEPREC]                       483,493
[NET-ASSETS]                                 7,325,282
[DIVIDEND-INCOME]                                    0
[INTEREST-INCOME]                              229,866
[OTHER-INCOME]                                       0
[EXPENSES-NET]                                  37,770
[NET-INVESTMENT-INCOME]                        192,096
[REALIZED-GAINS-CURRENT]                        19,120
[APPREC-INCREASE-CURRENT]                      274,084
[NET-CHANGE-FROM-OPS]                          485,300
[EQUALIZATION]                                       0
[DISTRIBUTIONS-OF-INCOME]                       87,642
[DISTRIBUTIONS-OF-GAINS]                             0
[DISTRIBUTIONS-OTHER]                                0
[NUMBER-OF-SHARES-SOLD]                              0
[NUMBER-OF-SHARES-REDEEMED]                    417,677
[SHARES-REINVESTED]                             54,814
[NET-CHANGE-IN-ASSETS]                       3,213,460
[ACCUMULATED-NII-PRIOR]                         17,697
[ACCUMULATED-GAINS-PRIOR]                       21,481
[OVERDISTRIB-NII-PRIOR]                              0
[OVERDIST-NET-GAINS-PRIOR]                           0
[GROSS-ADVISORY-FEES]                           16,831
[INTEREST-EXPENSE]                                   0
[GROSS-EXPENSE]                                 37,770
[AVERAGE-NET-ASSETS]                         3,554,621
[PER-SHARE-NAV-BEGIN]                            12.20
[PER-SHARE-NII]                                  00.31
[PER-SHARE-GAIN-APPREC]                          00.49
[PER-SHARE-DIVIDEND]                             00.31
[PER-SHARE-DISTRIBUTIONS]                            0
[RETURNS-OF-CAPITAL]                                 0
[PER-SHARE-NAV-END]                              12.69
[EXPENSE-RATIO]                                  01.22
[AVG-DEBT-OUTSTANDING]                               0
[AVG-DEBT-PER-SHARE]                                 0
</TABLE>


[ARTICLE] 6
[CIK] 0000775370
[NAME] SMITH BARNEY MUNI FUNDS
[SERIES]
   [NUMBER] 11
   [NAME] OHIO PORTFOLIO, CLASS C
<TABLE>
<S>                             <C>
[PERIOD-TYPE]                   6-MOS
[FISCAL-YEAR-END]                          MAR-31-1998
[PERIOD-END]                               SEP-30-1997
[INVESTMENTS-AT-COST]                        6,696,403
[INVESTMENTS-AT-VALUE]                       7,179,896
[RECEIVABLES]                                  142,816
[ASSETS-OTHER]                                  19,915
[OTHER-ITEMS-ASSETS]                                 0
[TOTAL-ASSETS]                               7,342,627
[PAYABLE-FOR-SECURITIES]                             0
[SENIOR-LONG-TERM-DEBT]                              0
[OTHER-ITEMS-LIABILITIES]                       17,345
[TOTAL-LIABILITIES]                             17,345
[SENIOR-EQUITY]                                      0
[PAID-IN-CAPITAL-COMMON]                     6,781,705
[SHARES-COMMON-STOCK]                           67,939
[SHARES-COMMON-PRIOR]                           67,336
[ACCUMULATED-NII-CURRENT]                       19,483
[OVERDISTRIBUTION-NII]                               0
[ACCUMULATED-NET-GAINS]                         40,601
[OVERDISTRIBUTION-GAINS]                             0
[ACCUM-APPREC-OR-DEPREC]                       483,493
[NET-ASSETS]                                 7,325,282
[DIVIDEND-INCOME]                                    0
[INTEREST-INCOME]                              229,866
[OTHER-INCOME]                                       0
[EXPENSES-NET]                                  37,770
[NET-INVESTMENT-INCOME]                        192,096
[REALIZED-GAINS-CURRENT]                        19,120
[APPREC-INCREASE-CURRENT]                      274,084
[NET-CHANGE-FROM-OPS]                          485,300
[EQUALIZATION]                                       0
[DISTRIBUTIONS-OF-INCOME]                       20,712
[DISTRIBUTIONS-OF-GAINS]                             0
[DISTRIBUTIONS-OTHER]                                0
[NUMBER-OF-SHARES-SOLD]                              0
[NUMBER-OF-SHARES-REDEEMED]                      5,647
[SHARES-REINVESTED]                             13,129
[NET-CHANGE-IN-ASSETS]                       3,213,460
[ACCUMULATED-NII-PRIOR]                         17,697
[ACCUMULATED-GAINS-PRIOR]                       21,481
[OVERDISTRIB-NII-PRIOR]                              0
[OVERDIST-NET-GAINS-PRIOR]                           0
[GROSS-ADVISORY-FEES]                           16,831
[INTEREST-EXPENSE]                                   0
[GROSS-EXPENSE]                                 37,770
[AVERAGE-NET-ASSETS]                           844,076
[PER-SHARE-NAV-BEGIN]                            12.21
[PER-SHARE-NII]                                  00.33
[PER-SHARE-GAIN-APPREC]                          00.46
[PER-SHARE-DIVIDEND]                             00.31
[PER-SHARE-DISTRIBUTIONS]                            0
[RETURNS-OF-CAPITAL]                                 0
[PER-SHARE-NAV-END]                              12.69
[EXPENSE-RATIO]                                  01.26
[AVG-DEBT-OUTSTANDING]                               0
[AVG-DEBT-PER-SHARE]                                 0
</TABLE>


[ARTICLE] 6
[CIK] 0000775370
[NAME] SMITH BARNEY MUNI FUNDS
[SERIES]
   [NUMBER] 12
   [NAME] GEORGIA PORTFOLIO, CLASS A
<TABLE>
<S>                             <C>
[PERIOD-TYPE]                   6-MOS
[FISCAL-YEAR-END]                          MAR-31-1998
[PERIOD-END]                               SEP-30-1997
[INVESTMENTS-AT-COST]                       26,784,378
[INVESTMENTS-AT-VALUE]                      28,803,288
[RECEIVABLES]                                  480,721
[ASSETS-OTHER]                                  22,381
[OTHER-ITEMS-ASSETS]                                 0
[TOTAL-ASSETS]                              29,306,390
[PAYABLE-FOR-SECURITIES]                       971,783
[SENIOR-LONG-TERM-DEBT]                              0
[OTHER-ITEMS-LIABILITIES]                       51,282
[TOTAL-LIABILITIES]                          1,023,065
[SENIOR-EQUITY]                                      0
[PAID-IN-CAPITAL-COMMON]                    26,209,965
[SHARES-COMMON-STOCK]                        1,215,065
[SHARES-COMMON-PRIOR]                        1,161,885
[ACCUMULATED-NII-CURRENT]                            0
[OVERDISTRIBUTION-NII]                        (14,028)
[ACCUMULATED-NET-GAINS]                         68,478
[OVERDISTRIBUTION-GAINS]                             0
[ACCUM-APPREC-OR-DEPREC]                     2,018,910
[NET-ASSETS]                                28,283,325
[DIVIDEND-INCOME]                                    0
[INTEREST-INCOME]                              770,099
[OTHER-INCOME]                                       0
[EXPENSES-NET]                                  97,272
[NET-INVESTMENT-INCOME]                        672,827
[REALIZED-GAINS-CURRENT]                        69,827
[APPREC-INCREASE-CURRENT]                    1,581,239
[NET-CHANGE-FROM-OPS]                        2,323,411
[EQUALIZATION]                                       0
[DISTRIBUTIONS-OF-INCOME]                      408,800
[DISTRIBUTIONS-OF-GAINS]                             0
[DISTRIBUTIONS-OTHER]                                0
[NUMBER-OF-SHARES-SOLD]                      1,445,526
[NUMBER-OF-SHARES-REDEEMED]                  1,006,524
[SHARES-REINVESTED]                            251,331
[NET-CHANGE-IN-ASSETS]                       3,213,460
[ACCUMULATED-NII-PRIOR]                          2,571
[ACCUMULATED-GAINS-PRIOR]                        (867)
[OVERDISTRIB-NII-PRIOR]                              0
[OVERDIST-NET-GAINS-PRIOR]                           0
[GROSS-ADVISORY-FEES]                           60,151
[INTEREST-EXPENSE]                                   0
[GROSS-EXPENSE]                                 97,272
[AVERAGE-NET-ASSETS]                        15,299,350
[PER-SHARE-NAV-BEGIN]                            12.48
[PER-SHARE-NII]                                  00.34
[PER-SHARE-GAIN-APPREC]                          00.80
[PER-SHARE-DIVIDEND]                             00.35
[PER-SHARE-DISTRIBUTIONS]                            0
[RETURNS-OF-CAPITAL]                                 0
[PER-SHARE-NAV-END]                              13.27
[EXPENSE-RATIO]                                  00.50
[AVG-DEBT-OUTSTANDING]                               0
[AVG-DEBT-PER-SHARE]                                 0
</TABLE>


[ARTICLE] 6
[CIK] 0000775370
[NAME] SMITH BARNEY MUNI FUNDS
[SERIES]
   [NUMBER] 12
   [NAME] GEORGIA PORTFOLIO, CLASS B
<TABLE>
<S>                             <C>
[PERIOD-TYPE]                   6-MOS
[FISCAL-YEAR-END]                          MAR-31-1998
[PERIOD-END]                               SEP-30-1997
[INVESTMENTS-AT-COST]                       26,784,378
[INVESTMENTS-AT-VALUE]                      28,803,288
[RECEIVABLES]                                  480,721
[ASSETS-OTHER]                                  22,381
[OTHER-ITEMS-ASSETS]                                 0
[TOTAL-ASSETS]                              29,306,390
[PAYABLE-FOR-SECURITIES]                       971,783
[SENIOR-LONG-TERM-DEBT]                              0
[OTHER-ITEMS-LIABILITIES]                       51,282
[TOTAL-LIABILITIES]                          1,023,065
[SENIOR-EQUITY]                                      0
[PAID-IN-CAPITAL-COMMON]                    26,209,965
[SHARES-COMMON-STOCK]                          645,265
[SHARES-COMMON-PRIOR]                          589,582
[ACCUMULATED-NII-CURRENT]                            0
[OVERDISTRIBUTION-NII]                        (14,028)
[ACCUMULATED-NET-GAINS]                         68,478
[OVERDISTRIBUTION-GAINS]                             0
[ACCUM-APPREC-OR-DEPREC]                     2,018,910
[NET-ASSETS]                                28,283,325
[DIVIDEND-INCOME]                                    0
[INTEREST-INCOME]                              770,099
[OTHER-INCOME]                                       0
[EXPENSES-NET]                                  97,272
[NET-INVESTMENT-INCOME]                        672,827
[REALIZED-GAINS-CURRENT]                        69,827
[APPREC-INCREASE-CURRENT]                    1,581,239
[NET-CHANGE-FROM-OPS]                        2,323,411
[EQUALIZATION]                                       0
[DISTRIBUTIONS-OF-INCOME]                      193,533
[DISTRIBUTIONS-OF-GAINS]                             0
[DISTRIBUTIONS-OTHER]                                0
[NUMBER-OF-SHARES-SOLD]                      1,058,224
[NUMBER-OF-SHARES-REDEEMED]                    459,643
[SHARES-REINVESTED]                            120,658
[NET-CHANGE-IN-ASSETS]                       3,213,460
[ACCUMULATED-NII-PRIOR]                          2,571
[ACCUMULATED-GAINS-PRIOR]                        (867)
[OVERDISTRIB-NII-PRIOR]                              0
[OVERDIST-NET-GAINS-PRIOR]                           0
[GROSS-ADVISORY-FEES]                           60,151
[INTEREST-EXPENSE]                                   0
[GROSS-EXPENSE]                                 97,272
[AVERAGE-NET-ASSETS]                         7,965,173
[PER-SHARE-NAV-BEGIN]                            12.47
[PER-SHARE-NII]                                  00.31
[PER-SHARE-GAIN-APPREC]                          00.80
[PER-SHARE-DIVIDEND]                             00.31
[PER-SHARE-DISTRIBUTIONS]                            0
[RETURNS-OF-CAPITAL]                                 0
[PER-SHARE-NAV-END]                              13.27
[EXPENSE-RATIO]                                  01.02
[AVG-DEBT-OUTSTANDING]                               0
[AVG-DEBT-PER-SHARE]                                 0
</TABLE>


[ARTICLE] 6
[CIK] 0000775370
[NAME] SMITH BARNEY MUNI FUNDS
[SERIES]
   [NUMBER] 12
   [NAME] GEORGIA PORTFOLIO, CLASS C
<TABLE>
<S>                             <C>
[PERIOD-TYPE]                   6-MOS
[FISCAL-YEAR-END]                          MAR-31-1998
[PERIOD-END]                               SEP-30-1997
[INVESTMENTS-AT-COST]                       26,784,378
[INVESTMENTS-AT-VALUE]                      28,803,288
[RECEIVABLES]                                  480,721
[ASSETS-OTHER]                                  22,381
[OTHER-ITEMS-ASSETS]                                 0
[TOTAL-ASSETS]                              29,306,390
[PAYABLE-FOR-SECURITIES]                       971,783
[SENIOR-LONG-TERM-DEBT]                              0
[OTHER-ITEMS-LIABILITIES]                       51,282
[TOTAL-LIABILITIES]                          1,023,065
[SENIOR-EQUITY]                                      0
[PAID-IN-CAPITAL-COMMON]                    26,209,965
[SHARES-COMMON-STOCK]                          271,229
[SHARES-COMMON-PRIOR]                          258,538
[ACCUMULATED-NII-CURRENT]                            0
[OVERDISTRIBUTION-NII]                        (14,028)
[ACCUMULATED-NET-GAINS]                         68,478
[OVERDISTRIBUTION-GAINS]                             0
[ACCUM-APPREC-OR-DEPREC]                     2,018,910
[NET-ASSETS]                                28,283,325
[DIVIDEND-INCOME]                                    0
[INTEREST-INCOME]                              770,099
[OTHER-INCOME]                                       0
[EXPENSES-NET]                                  97,272
[NET-INVESTMENT-INCOME]                        672,827
[REALIZED-GAINS-CURRENT]                        69,827
[APPREC-INCREASE-CURRENT]                    1,581,239
[NET-CHANGE-FROM-OPS]                        2,323,411
[EQUALIZATION]                                       0
[DISTRIBUTIONS-OF-INCOME]                       81,951
[DISTRIBUTIONS-OF-GAINS]                             0
[DISTRIBUTIONS-OTHER]                                0
[NUMBER-OF-SHARES-SOLD]                        331,695
[NUMBER-OF-SHARES-REDEEMED]                    231,913
[SHARES-REINVESTED]                             64,979
[NET-CHANGE-IN-ASSETS]                       3,213,460
[ACCUMULATED-NII-PRIOR]                          2,571
[ACCUMULATED-GAINS-PRIOR]                        (867)
[OVERDISTRIB-NII-PRIOR]                              0
[OVERDIST-NET-GAINS-PRIOR]                           0
[GROSS-ADVISORY-FEES]                           60,151
[INTEREST-EXPENSE]                                   0
[GROSS-EXPENSE]                                 97,272
[AVERAGE-NET-ASSETS]                         3,413,955
[PER-SHARE-NAV-BEGIN]                            12.46
[PER-SHARE-NII]                                  00.31
[PER-SHARE-GAIN-APPREC]                          00.79
[PER-SHARE-DIVIDEND]                             00.31
[PER-SHARE-DISTRIBUTIONS]                            0
[RETURNS-OF-CAPITAL]                                 0
[PER-SHARE-NAV-END]                              13.25
[EXPENSE-RATIO]                                  01.06
[AVG-DEBT-OUTSTANDING]                               0
[AVG-DEBT-PER-SHARE]                                 0
</TABLE>


[ARTICLE] 6
[CIK] 0000775370
[NAME] SMITH BARNEY MUNI FUNDS
[SERIES]
   [NUMBER] 13
   [NAME] PENNSYLVANIA PORTFOLIO, CLASS A
<TABLE>
<S>                             <C>
[PERIOD-TYPE]                   6-MOS
[FISCAL-YEAR-END]                          MAR-31-1998
[PERIOD-END]                               SEP-30-1997
[INVESTMENTS-AT-COST]                       37,673,017
[INVESTMENTS-AT-VALUE]                      39,861,306
[RECEIVABLES]                                  769,156
[ASSETS-OTHER]                                  52,767
[OTHER-ITEMS-ASSETS]                                 0
[TOTAL-ASSETS]                              40,683,229
[PAYABLE-FOR-SECURITIES]                     1,143,737
[SENIOR-LONG-TERM-DEBT]                              0
[OTHER-ITEMS-LIABILITIES]                       33,110
[TOTAL-LIABILITIES]                          1,176,847
[SENIOR-EQUITY]                                      0
[PAID-IN-CAPITAL-COMMON]                    36,988,514
[SHARES-COMMON-STOCK]                        1,126,286
[SHARES-COMMON-PRIOR]                        1,196,551
[ACCUMULATED-NII-CURRENT]                       57,699
[OVERDISTRIBUTION-NII]                               0
[ACCUMULATED-NET-GAINS]                        268,916
[OVERDISTRIBUTION-GAINS]                             0
[ACCUM-APPREC-OR-DEPREC]                     2,188,289
[NET-ASSETS]                                39,506,382
[DIVIDEND-INCOME]                                    0
[INTEREST-INCOME]                            1,143,946
[OTHER-INCOME]                                       0
[EXPENSES-NET]                                 131,408
[NET-INVESTMENT-INCOME]                      1,012,538
[REALIZED-GAINS-CURRENT]                       278,587
[APPREC-INCREASE-CURRENT]                    1,648,888
[NET-CHANGE-FROM-OPS]                        2,940,013
[EQUALIZATION]                                       0
[DISTRIBUTIONS-OF-INCOME]                      407,553
[DISTRIBUTIONS-OF-GAINS]                             0
[DISTRIBUTIONS-OTHER]                                0
[NUMBER-OF-SHARES-SOLD]                         63,238
[NUMBER-OF-SHARES-REDEEMED]                    153,251
[SHARES-REINVESTED]                             22,748
[NET-CHANGE-IN-ASSETS]                       3,064,579
[ACCUMULATED-NII-PRIOR]                          2,321
[ACCUMULATED-GAINS-PRIOR]                      (9,671)
[OVERDISTRIB-NII-PRIOR]                              0
[OVERDIST-NET-GAINS-PRIOR]                           0
[GROSS-ADVISORY-FEES]                                0
[INTEREST-EXPENSE]                                   0
[GROSS-EXPENSE]                                217,639
[AVERAGE-NET-ASSETS]                        15,540,602
[PER-SHARE-NAV-BEGIN]                            12.66
[PER-SHARE-NII]                                  00.37
[PER-SHARE-GAIN-APPREC]                          00.66
[PER-SHARE-DIVIDEND]                             00.35
[PER-SHARE-DISTRIBUTIONS]                            0
[RETURNS-OF-CAPITAL]                                 0
[PER-SHARE-NAV-END]                              13.34
[EXPENSE-RATIO]                                  00.37
[AVG-DEBT-OUTSTANDING]                               0
[AVG-DEBT-PER-SHARE]                                 0
</TABLE>


[ARTICLE] 6
[CIK] 0000775370
[NAME] SMITH BARNEY MUNI FUNDS
[SERIES]
   [NUMBER] 13
   [NAME] PENNSYLVANIA PORTFOLIO, CLASS B
<TABLE>
<S>                             <C>
[PERIOD-TYPE]                   6-MOS
[FISCAL-YEAR-END]                          MAR-31-1998
[PERIOD-END]                               SEP-30-1997
[INVESTMENTS-AT-COST]                       37,673,017
[INVESTMENTS-AT-VALUE]                      39,861,306
[RECEIVABLES]                                  769,156
[ASSETS-OTHER]                                  52,767
[OTHER-ITEMS-ASSETS]                                 0
[TOTAL-ASSETS]                              40,683,229
[PAYABLE-FOR-SECURITIES]                     1,143,737
[SENIOR-LONG-TERM-DEBT]                              0
[OTHER-ITEMS-LIABILITIES]                       33,110
[TOTAL-LIABILITIES]                          1,176,847
[SENIOR-EQUITY]                                      0
[PAID-IN-CAPITAL-COMMON]                    36,988,514
[SHARES-COMMON-STOCK]                        1,327,638
[SHARES-COMMON-PRIOR]                        1,230,812
[ACCUMULATED-NII-CURRENT]                       57,699
[OVERDISTRIBUTION-NII]                               0
[ACCUMULATED-NET-GAINS]                        268,916
[OVERDISTRIBUTION-GAINS]                             0
[ACCUM-APPREC-OR-DEPREC]                     2,188,289
[NET-ASSETS]                                39,506,382
[DIVIDEND-INCOME]                                    0
[INTEREST-INCOME]                            1,143,946
[OTHER-INCOME]                                       0
[EXPENSES-NET]                                 131,408
[NET-INVESTMENT-INCOME]                      1,012,538
[REALIZED-GAINS-CURRENT]                       278,587
[APPREC-INCREASE-CURRENT]                    1,648,888
[NET-CHANGE-FROM-OPS]                        2,940,013
[EQUALIZATION]                                       0
[DISTRIBUTIONS-OF-INCOME]                      398,325
[DISTRIBUTIONS-OF-GAINS]                             0
[DISTRIBUTIONS-OTHER]                                0
[NUMBER-OF-SHARES-SOLD]                        134,024
[NUMBER-OF-SHARES-REDEEMED]                     54,674
[SHARES-REINVESTED]                             17,476
[NET-CHANGE-IN-ASSETS]                       3,064,579
[ACCUMULATED-NII-PRIOR]                          2,321
[ACCUMULATED-GAINS-PRIOR]                      (9,671)
[OVERDISTRIB-NII-PRIOR]                              0
[OVERDIST-NET-GAINS-PRIOR]                           0
[GROSS-ADVISORY-FEES]                                0
[INTEREST-EXPENSE]                                   0
[GROSS-EXPENSE]                                217,639
[AVERAGE-NET-ASSETS]                        16,542,356
[PER-SHARE-NAV-BEGIN]                            12.64
[PER-SHARE-NII]                                  00.33
[PER-SHARE-GAIN-APPREC]                          00.66
[PER-SHARE-DIVIDEND]                             00.31
[PER-SHARE-DISTRIBUTIONS]                            0
[RETURNS-OF-CAPITAL]                                 0
[PER-SHARE-NAV-END]                              13.32
[EXPENSE-RATIO]                                  00.88
[AVG-DEBT-OUTSTANDING]                               0
[AVG-DEBT-PER-SHARE]                                 0
</TABLE>


[ARTICLE] 6
[CIK] 0000775370
[NAME] SMITH BARNEY MUNI FUNDS
[SERIES]
   [NUMBER] 13
   [NAME] PENNSYLVANIA PORTFOLIO, CLASS C
<TABLE>
<S>                             <C>
[PERIOD-TYPE]                   6-MOS
[FISCAL-YEAR-END]                          MAR-31-1998
[PERIOD-END]                               SEP-30-1997
[INVESTMENTS-AT-COST]                       37,673,017
[INVESTMENTS-AT-VALUE]                      39,861,306
[RECEIVABLES]                                  769,156
[ASSETS-OTHER]                                  52,767
[OTHER-ITEMS-ASSETS]                                 0
[TOTAL-ASSETS]                              40,683,229
[PAYABLE-FOR-SECURITIES]                     1,143,737
[SENIOR-LONG-TERM-DEBT]                              0
[OTHER-ITEMS-LIABILITIES]                       33,110
[TOTAL-LIABILITIES]                          1,176,847
[SENIOR-EQUITY]                                      0
[PAID-IN-CAPITAL-COMMON]                    36,988,514
[SHARES-COMMON-STOCK]                          510,537
[SHARES-COMMON-PRIOR]                          453,441
[ACCUMULATED-NII-CURRENT]                       57,699
[OVERDISTRIBUTION-NII]                               0
[ACCUMULATED-NET-GAINS]                        268,916
[OVERDISTRIBUTION-GAINS]                             0
[ACCUM-APPREC-OR-DEPREC]                     2,188,289
[NET-ASSETS]                                39,506,382
[DIVIDEND-INCOME]                                    0
[INTEREST-INCOME]                            1,143,946
[OTHER-INCOME]                                       0
[EXPENSES-NET]                                 131,408
[NET-INVESTMENT-INCOME]                      1,012,538
[REALIZED-GAINS-CURRENT]                       278,587
[APPREC-INCREASE-CURRENT]                    1,648,888
[NET-CHANGE-FROM-OPS]                        2,940,013
[EQUALIZATION]                                       0
[DISTRIBUTIONS-OF-INCOME]                      146,640
[DISTRIBUTIONS-OF-GAINS]                             0
[DISTRIBUTIONS-OTHER]                                0
[NUMBER-OF-SHARES-SOLD]                         88,767
[NUMBER-OF-SHARES-REDEEMED]                     38,123
[SHARES-REINVESTED]                              6,452
[NET-CHANGE-IN-ASSETS]                       3,064,579
[ACCUMULATED-NII-PRIOR]                          2,321
[ACCUMULATED-GAINS-PRIOR]                      (9,671)
[OVERDISTRIB-NII-PRIOR]                              0
[OVERDIST-NET-GAINS-PRIOR]                           0
[GROSS-ADVISORY-FEES]                                0
[INTEREST-EXPENSE]                                   0
[GROSS-EXPENSE]                                217,639
[AVERAGE-NET-ASSETS]                         6,154,005
[PER-SHARE-NAV-BEGIN]                            12.64
[PER-SHARE-NII]                                  00.33
[PER-SHARE-GAIN-APPREC]                          00.65
[PER-SHARE-DIVIDEND]                             00.31
[PER-SHARE-DISTRIBUTIONS]                            0
[RETURNS-OF-CAPITAL]                                 0
[PER-SHARE-NAV-END]                              13.31
[EXPENSE-RATIO]                                  00.94
[AVG-DEBT-OUTSTANDING]                               0
[AVG-DEBT-PER-SHARE]                                 0
</TABLE>


                     SMITH BARNEY MUNI FUNDS
                          10f-3 REPORT
            April 1, 1997 through September 30, 1997


                                                       % of
Trade                             Par        Purchase  Fund % of
Issuer              Date Selling Dealer      Amount

Price          Assets    Issue

Sarasota County, FL 4/9/97    Morgan Stanley      $  1,000,000
$   98.233     0.53%     0.71%
5.75% due 10/1/2027

Puerto Rico Muni Fin. Ag.     4/11/97   Morgan Stanley
1,000,000      95.744    054  2.18
5.50%  due 7/1/2021

City of NY G.O. Series 1 4/11/97   Sammuel Ramirez & Co.
6,175,000     98.136          0.84 0.68
6.25% due 4/15/2027      Lebenthal & Co.
                    A.G. Edwards & Sons
                    Muriel Seibert Co.
                    Paine Webber
                    Morgan Stanley
                    Artemis Capital
                    Prudential Securities
                    Advest Inc.

Metro Trans. Auth. MTA   4/17/97   Bear Stearns
10,000,000         95.575          1.38 2.53
5.625% due 7/1/2025

Oregon Dept. of Admin.   4/17/97   Bear Stearns
1,000,000     97.995          0.26 1.29
5.80% due 5/1/2024

NYC Muni Water      5/1/97    J.P. Morgan             10,000,000
96.039    1.32 3.01
5.75% due 6/15/2029

NYS Thruway Gen. Rev.    5/7/97    Dillion Read
5,000,000      94.190    1.49 3.29
5.25% due 1/1/2021

Puerto Rico Elec. Pwr  Auth   5/9/97    Bear Stearns
500,000       95.616          1.85 0.35
5.68% due 7/1/2027

Connecticut St. Hlth & Ed.    5/12/97   Roosevelt & Cross
1,000,000     95.616          0.34 3.99
5.50% due 7/1/2014

Connecticut St. Hlth & Ed.    5/12/97   Roosevielt & Cross
900,000        93.785    0.22 3.99
5.50% due 7/1/2020

Orange Cnty FL School Bd.     5/9/97    Paine Webber
3,300,000     94.626          1.67 3.79
5.375% due 8/1/2022

Metro Washington DC Arpt. 5/23/97  Lehman Brothers
3,000,000      95.707    0.76 1.20
5.50% due 10/1/2021

Puerto Rico Bldg. Auth.  6/13/97   Morgan Stanley
1,000,000      94.775    0.49 1.71
5.25% due 7/1/2027

Puerto Rico Public Bldgs.     6/13/97   Morgan Stanley
5,000,000      94.775    0.92 1.71
5.00% due 7/1/2027


NYS Dorm Authority R.I.T.     6/16/97   First Albany
2,000,000      96.161    0.26 3.00
5.25% due 7/1/2022

NYS Mortgage Agency 6/19/97   Lehman Brothers
4,400,000    100.000     0.59 3.96
5.85% due 10/1/2028

Los Angeles Cnty CA Trans     6/20/97   Merrill Lynch
15,000,000        100.624     1.10 3.84
4.50% due 6/30/1998


Tampa Sports Authority   6/24/97   Rauscher Pierce
2,500,000      95.530    1.26 1.68
5.25% due 1/1/2027       Raymond James
                    A.G. Edwards & Sons

Puerto Rico Public Bldgs.     6/24/97   Morgan Stanley
2,750,000      92.691    0.67 1.17
5.25% due 7/1/2021

Allegheny Cnty San. Auth.     6/27/97   Commonwealth Secs.
1,000,000      96.455    2.52 3.33
5.375% due 12.1.2024

Private Colleges & Uni.  7/10/97   Paine Webber
750,000        95.201    2.63 1.07
      Emory University
      5.125% due 11/1/2027

California Hsg. Fin. Agency   7/11/97   Lehman Brothers
1,500,000    100.000     0.53 2.29
5.65% due 8/1/2017

MTA Transit Authority    7/16/97   Merrill Lynch
5,000,000      94.772    0.63 2.90
5.125% due 7/1/2020

Georgia Muni Elec. Auth. 7/17/97   J.P. Morgan
5,000,000      93.530    1.20 1.26
5.00% due 1/1/2026

Pennsylvanian HFA   7/17/97   Paine Webber             1,000,000
100.000   2.54 2.00
5.80% due 101/2029

New York City G.O.  7/24/97   J.P. Morgan              2,500,000
96.790    0.87 3.57
5.25% due 8/1/2016

New York City G.O.  7/24/97   J.P. Morgan            10,000,000
95.816    1.27 3.57
5.25% due 8/1/2020       Siebert Branford Shank
                    Pryor McClendon & Co.
                    Prager & Company
                    Cambridge Partners

Massachusetts State G.O. 7/25/97   Goldman, Sachs & Co.
2,750,000      96.329    0.95 1.20
5.00% due 8/1/2017

Lakeland Cap. Imp. Rev.  7/25/97   Sun Trust
500.000        97.155    0.25 1.11
5.00% due  10/1/2017

Hawaii Hsg. Fin. SFM     7/25/97   Merrill Lynch
1,500,000    100.000     0.39 2.01
5.75% due 7/1/2030

County of Allegheny PA   8/8/97    Morgan Stanley
1,500,000      96.911         2.55
5.250% due 1/1/2016

Orange County       8/21/97   First Albany             3,195,000
95.640         3.61
5.125% due 8/1/2023

NYS Mortgage Homeowner   9/11/97   Advest
5,000,000    100.000          3.96
5.800% due 10/1/2028          Raymond James & Assoc.
                    M.R. Beal

Washington Pub. Pwr. Sup.     9/11/97   Goldman Sachs & Co.
3,285,000      96.650         3.59
5.250% due 7/1/2017

Mass Health Ed. Ptnrs.   9/12/97   J.P. Morgan
2,000,000      97.731         3.97
5.250% due 7/1/2015

New York City Water 9/18/97   Paine Webber           10,000,000
95.420         3.94
5.125% due 1/15/2022

Charlotte Mecklenberg Hosp.   9/18/97   First Union
3,000,000      96.063         1.01
5.125% due 1/15/2022

Jacksonville Health Facilities     9/18/97   W.R. Hough
2,000,000      96.063         1.01
5.250% due 8/15/2027

Washington Public Power  9/22/97   Goldman, Sachs & Co.
6,840,000      96.092         4.02
5.125% due 7/1/2017

Metropolitan Trans Auth. 9/22/97   Prudential Securities
6,450,000      96.660         3.50
5.125% due 7/1/2022      Cambridge Partners
                    Lebenthal & Co.
                    Paine Webber
                    Bear Stearns
                    Roosevelt & Cross

Washington Pub. Pwr. Sup.     9/22/97   Goldman Sachs & Co.
3,000,000      96.092         4.02
5.125% due 7/1/2017





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