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<PAGE> PAGE 10
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<PAGE> PAGE 12
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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 21
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<PAGE> PAGE 22
074 I000500 0
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028 A010700 4829
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<PAGE> PAGE 23
028 G030700 0
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<PAGE> PAGE 24
048 I020700 0.000
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<PAGE> PAGE 25
070 F010700 N
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<PAGE> PAGE 26
072 V000700 23
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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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<PAGE> PAGE 39
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<PAGE> PAGE 40
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<PAGE> PAGE 41
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<PAGE> PAGE 42
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062 H001200 0.0
062 I001200 0.0
062 J001200 0.0
062 K001200 0.0
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062 M001200 0.0
062 N001200 0.0
062 O001200 0.0
062 P001200 98.2
062 Q001200 0.0
062 R001200 0.0
063 A001200 0
063 B001200 15.3
064 A001200 Y
064 B001200 N
066 A001200 N
067 001200 N
068 A001200 N
068 B001200 N
069 001200 N
070 A011200 Y
070 A021200 N
070 B011200 N
070 B021200 N
070 C011200 N
070 C021200 N
070 D011200 N
070 D021200 N
070 E011200 Y
070 E021200 Y
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
<PAGE> PAGE 43
070 N011200 N
070 N021200 N
070 O011200 N
070 O021200 N
070 P011200 N
070 P021200 N
070 Q011200 N
070 Q021200 N
070 R011200 N
070 R021200 N
071 A001200 38419
071 B001200 20980
071 C001200 43987
071 D001200 48
072 A001200 12
072 B001200 2351
072 C001200 0
072 D001200 0
072 E001200 0
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072 H001200 0
072 I001200 23
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072 K001200 0
072 L001200 11
072 M001200 2
072 N001200 4
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072 P001200 0
072 Q001200 0
072 R001200 8
072 S001200 7
072 T001200 159
072 U001200 0
072 V001200 0
072 W001200 10
072 X001200 428
072 Y001200 48
072 Z001200 1971
072AA001200 124
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072CC011200 91
072CC021200 0
072DD011200 1236
072DD021200 736
072EE001200 290
073 A011200 0.0000
073 A021200 0.0000
073 B001200 0.0900
073 C001200 0.0300
<PAGE> PAGE 44
074 A001200 81
074 B001200 0
074 C001200 100
074 D001200 54593
074 E001200 0
074 F001200 0
074 G001200 0
074 H001200 0
074 I001200 0
074 J001200 20
074 K001200 0
074 L001200 993
074 M001200 0
074 N001200 55787
074 O001200 0
074 P001200 0
074 Q001200 0
074 R011200 0
074 R021200 0
074 R031200 0
074 R041200 170
074 S001200 0
074 T001200 55617
074 U011200 2583
074 U021200 1561
074 V011200 0.00
074 V021200 0.00
074 W001200 0.0000
074 X001200 777
074 Y001200 4140
075 A001200 0
075 B001200 44635
076 001200 0.00
028 A011300 1808
028 A021300 0
028 A031300 0
028 A041300 196
028 B011300 2897
028 B021300 280
028 B031300 0
028 B041300 342
028 C011300 12207
028 C021300 128
028 C031300 0
028 C041300 7930
028 D011300 3161
028 D021300 0
028 D031300 0
028 D041300 3420
028 E011300 6088
028 E021300 154
<PAGE> PAGE 45
028 E031300 0
028 E041300 610
028 F011300 3536
028 F021300 317
028 F031300 0
028 F041300 773
028 G011300 29698
028 G021300 879
028 G031300 0
028 G041300 13271
028 H001300 24443
029 001300 Y
030 A001300 222
030 B001300 4.00
030 C001300 0.00
031 A001300 0
031 B001300 0
032 001300 0
033 001300 222
034 001300 Y
035 001300 24
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 240
044 001300 0
045 001300 Y
046 001300 N
047 001300 Y
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048 A011300 0
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048 B011300 0
048 B021300 0.000
048 C011300 0
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<PAGE> PAGE 46
048 E021300 0.000
048 F011300 0
048 F021300 0.000
048 G011300 0
048 G021300 0.000
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 0.3
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 2.0
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062 N001300 0.0
062 O001300 97.7
062 P001300 0.0
062 Q001300 0.0
062 R001300 0.0
063 A001300 0
063 B001300 15.3
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
<PAGE> PAGE 47
070 B011300 N
070 B021300 N
070 C011300 N
070 C021300 N
070 D011300 N
070 D021300 N
070 E011300 N
070 E021300 N
070 F011300 N
070 F021300 N
070 G011300 Y
070 G021300 Y
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
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<PAGE> PAGE 48
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<PAGE> PAGE 49
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SIGNATURE PAUL BROOK
TITLE CONTROLLER
[ARTICLE] 6
[CIK] 0000775370
[NAME] SMITH BARNEY MUNI FUNDS
[SERIES]
[NUMBER] 1
[NAME] NATIONAL PORTFOLIO, CLASS A
<TABLE>
<S> <C>
[PERIOD-TYPE] YEAR
[FISCAL-YEAR-END] MAR-31-1999
[PERIOD-END] MAR-31-1999
[INVESTMENTS-AT-COST] 428,603,753
[INVESTMENTS-AT-VALUE] 458,799,339
[RECEIVABLES] 8,695,638
[ASSETS-OTHER] 33,251
[OTHER-ITEMS-ASSETS] 0
[TOTAL-ASSETS] 467,528,228
[PAYABLE-FOR-SECURITIES] 7,754,101
[SENIOR-LONG-TERM-DEBT] 0
[OTHER-ITEMS-LIABILITIES] 297,105
[TOTAL-LIABILITIES] 8,051,206
[SENIOR-EQUITY] 0
[PAID-IN-CAPITAL-COMMON] 428,890,717
[SHARES-COMMON-STOCK] 28,956,051
[SHARES-COMMON-PRIOR] 26,183,648
[ACCUMULATED-NII-CURRENT] (6,771)
[OVERDISTRIBUTION-NII] 0
[ACCUMULATED-NET-GAINS] 100,490
[OVERDISTRIBUTION-GAINS] 0
[ACCUM-APPREC-OR-DEPREC] 30,492,586
[NET-ASSETS] 459,477,022
[DIVIDEND-INCOME] 0
[INTEREST-INCOME] 25,814,539
[OTHER-INCOME] 0
[EXPENSES-NET] 3,161,692
[NET-INVESTMENT-INCOME] 22,652,847
[REALIZED-GAINS-CURRENT] 2,183,729
[APPREC-INCREASE-CURRENT] (2,091,457)
[NET-CHANGE-FROM-OPS] 22,745,119
[EQUALIZATION] 0
[DISTRIBUTIONS-OF-INCOME] 20,765,816
[DISTRIBUTIONS-OF-GAINS] 5,665,019
[DISTRIBUTIONS-OTHER] 0
[NUMBER-OF-SHARES-SOLD] 5,972,128
[NUMBER-OF-SHARES-REDEEMED] 4,199,657
[SHARES-REINVESTED] 999,932
[NET-CHANGE-IN-ASSETS] 52,325,345
[ACCUMULATED-NII-PRIOR] 302,433
[ACCUMULATED-GAINS-PRIOR] 4,285,154
[OVERDISTRIB-NII-PRIOR] 0
[OVERDIST-NET-GAINS-PRIOR] 0
[GROSS-ADVISORY-FEES] 1,976,562
[INTEREST-EXPENSE] 0
[GROSS-EXPENSE] 3,161,692
[AVERAGE-NET-ASSETS] 393,246,870
[PER-SHARE-NAV-BEGIN] 14.16
[PER-SHARE-NII] 00.74
[PER-SHARE-GAIN-APPREC] 00.03
[PER-SHARE-DIVIDEND] 00.75
[PER-SHARE-DISTRIBUTIONS] 00.21
[RETURNS-OF-CAPITAL] 0
[PER-SHARE-NAV-END] 13.97
[EXPENSE-RATIO] 00.66
[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] YEAR
[FISCAL-YEAR-END] MAR-31-1999
[PERIOD-END] MAR-31-1999
[INVESTMENTS-AT-COST] 428,603,753
[INVESTMENTS-AT-VALUE] 458,799,339
[RECEIVABLES] 8,695,638
[ASSETS-OTHER] 33,251
[OTHER-ITEMS-ASSETS] 0
[TOTAL-ASSETS] 467,528,228
[PAYABLE-FOR-SECURITIES] 7,754,101
[SENIOR-LONG-TERM-DEBT] 0
[OTHER-ITEMS-LIABILITIES] 297,105
[TOTAL-LIABILITIES] 8,051,206
[SENIOR-EQUITY] 0
[PAID-IN-CAPITAL-COMMON] 428,890,717
[SHARES-COMMON-STOCK] 2,611,236
[SHARES-COMMON-PRIOR] 1,434,762
[ACCUMULATED-NII-CURRENT] (6,771)
[OVERDISTRIBUTION-NII] 0
[ACCUMULATED-NET-GAINS] 100,490
[OVERDISTRIBUTION-GAINS] 0
[ACCUM-APPREC-OR-DEPREC] 30,492,586
[NET-ASSETS] 459,477,022
[DIVIDEND-INCOME] 0
[INTEREST-INCOME] 25,814,539
[OTHER-INCOME] 0
[EXPENSES-NET] 3,161,692
[NET-INVESTMENT-INCOME] 22,652,847
[REALIZED-GAINS-CURRENT] 2,183,729
[APPREC-INCREASE-CURRENT] (2,091,457)
[NET-CHANGE-FROM-OPS] 22,745,119
[EQUALIZATION] 0
[DISTRIBUTIONS-OF-INCOME] 1,399,226
[DISTRIBUTIONS-OF-GAINS] 447,827
[DISTRIBUTIONS-OTHER] 0
[NUMBER-OF-SHARES-SOLD] 1,355,808
[NUMBER-OF-SHARES-REDEEMED] 251,968
[SHARES-REINVESTED] 72,634
[NET-CHANGE-IN-ASSETS] 52,325,345
[ACCUMULATED-NII-PRIOR] 302,433
[ACCUMULATED-GAINS-PRIOR] 4,285,154
[OVERDISTRIB-NII-PRIOR] 0
[OVERDIST-NET-GAINS-PRIOR] 0
[GROSS-ADVISORY-FEES] 1,976,562
[INTEREST-EXPENSE] 0
[GROSS-EXPENSE] 3,161,692
[AVERAGE-NET-ASSETS] 28,883,137
[PER-SHARE-NAV-BEGIN] 14.16
[PER-SHARE-NII] 00.67
[PER-SHARE-GAIN-APPREC] 00.02
[PER-SHARE-DIVIDEND] 00.68
[PER-SHARE-DISTRIBUTIONS] 00.21
[RETURNS-OF-CAPITAL] 0
[PER-SHARE-NAV-END] 13.96
[EXPENSE-RATIO] 01.16
[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 L
<TABLE>
<S> <C>
[PERIOD-TYPE] YEAR
[FISCAL-YEAR-END] MAR-31-1999
[PERIOD-END] MAR-31-1999
[INVESTMENTS-AT-COST] 428,603,753
[INVESTMENTS-AT-VALUE] 458,799,339
[RECEIVABLES] 8,695,638
[ASSETS-OTHER] 33,251
[OTHER-ITEMS-ASSETS] 0
[TOTAL-ASSETS] 467,528,228
[PAYABLE-FOR-SECURITIES] 7,754,101
[SENIOR-LONG-TERM-DEBT] 0
[OTHER-ITEMS-LIABILITIES] 297,105
[TOTAL-LIABILITIES] 8,051,206
[SENIOR-EQUITY] 0
[PAID-IN-CAPITAL-COMMON] 428,890,717
[SHARES-COMMON-STOCK] 1,325,875
[SHARES-COMMON-PRIOR] 1,126,590
[ACCUMULATED-NII-CURRENT] (6,771)
[OVERDISTRIBUTION-NII] 0
[ACCUMULATED-NET-GAINS] 100,490
[OVERDISTRIBUTION-GAINS] 0
[ACCUM-APPREC-OR-DEPREC] 30,492,586
[NET-ASSETS] 459,477,022
[DIVIDEND-INCOME] 0
[INTEREST-INCOME] 25,814,539
[OTHER-INCOME] 0
[EXPENSES-NET] 3,161,692
[NET-INVESTMENT-INCOME] 22,652,847
[REALIZED-GAINS-CURRENT] 2,183,729
[APPREC-INCREASE-CURRENT] (2,091,457)
[NET-CHANGE-FROM-OPS] 22,745,119
[EQUALIZATION] 0
[DISTRIBUTIONS-OF-INCOME] 797,008
[DISTRIBUTIONS-OF-GAINS] 255,548
[DISTRIBUTIONS-OTHER] 0
[NUMBER-OF-SHARES-SOLD] 361,021
[NUMBER-OF-SHARES-REDEEMED] 211,749
[SHARES-REINVESTED] 50,013
[NET-CHANGE-IN-ASSETS] 52,325,345
[ACCUMULATED-NII-PRIOR] 302,433
[ACCUMULATED-GAINS-PRIOR] 4,285,154
[OVERDISTRIB-NII-PRIOR] 0
[OVERDIST-NET-GAINS-PRIOR] 0
[GROSS-ADVISORY-FEES] 1,976,562
[INTEREST-EXPENSE] 0
[GROSS-EXPENSE] 3,161,692
[AVERAGE-NET-ASSETS] 17,247,796
[PER-SHARE-NAV-BEGIN] 14.16
[PER-SHARE-NII] 00.65
[PER-SHARE-GAIN-APPREC] 00.02
[PER-SHARE-DIVIDEND] 00.65
[PER-SHARE-DISTRIBUTIONS] 00.21
[RETURNS-OF-CAPITAL] 0
[PER-SHARE-NAV-END] 13.97
[EXPENSE-RATIO] 01.24
[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] YEAR
[FISCAL-YEAR-END] MAR-31-1999
[PERIOD-END] MAR-31-1999
[INVESTMENTS-AT-COST] 710,151,953
[INVESTMENTS-AT-VALUE] 754,548,483
[RECEIVABLES] 11,835,160
[ASSETS-OTHER] 3,741
[OTHER-ITEMS-ASSETS] 0
[TOTAL-ASSETS] 766,387,384
[PAYABLE-FOR-SECURITIES] 0
[SENIOR-LONG-TERM-DEBT] 0
[OTHER-ITEMS-LIABILITIES] 764,037
[TOTAL-LIABILITIES] 764,037
[SENIOR-EQUITY] 0
[PAID-IN-CAPITAL-COMMON] 721,001,968
[SHARES-COMMON-STOCK] 40,591,507
[SHARES-COMMON-PRIOR] 39,839,756
[ACCUMULATED-NII-CURRENT] (7,407)
[OVERDISTRIBUTION-NII] 0
[ACCUMULATED-NET-GAINS] 232,256
[OVERDISTRIBUTION-GAINS] 0
[ACCUM-APPREC-OR-DEPREC] 44,396,530
[NET-ASSETS] 765,623,347
[DIVIDEND-INCOME] 0
[INTEREST-INCOME] 43,044,305
[OTHER-INCOME] 0
[EXPENSES-NET] 6,450,938
[NET-INVESTMENT-INCOME] 36,593,367
[REALIZED-GAINS-CURRENT] 5,085,143
[APPREC-INCREASE-CURRENT] (1,673,251)
[NET-CHANGE-FROM-OPS] 40,005,259
[EQUALIZATION] 0
[DISTRIBUTIONS-OF-INCOME] 27,491,284
[DISTRIBUTIONS-OF-GAINS] 11,063,591
[DISTRIBUTIONS-OTHER] 0
[NUMBER-OF-SHARES-SOLD] 6,136,857
[NUMBER-OF-SHARES-REDEEMED] 7,094,852
[SHARES-REINVESTED] 1,709,746
[NET-CHANGE-IN-ASSETS] 6,370,367
[ACCUMULATED-NII-PRIOR] (4,874)
[ACCUMULATED-GAINS-PRIOR] 10,354,781
[OVERDISTRIB-NII-PRIOR] 0
[OVERDIST-NET-GAINS-PRIOR] 0
[GROSS-ADVISORY-FEES] 3,811,463
[INTEREST-EXPENSE] 0
[GROSS-EXPENSE] 6,450,938
[AVERAGE-NET-ASSETS] 555,599,075
[PER-SHARE-NAV-BEGIN] 13.91
[PER-SHARE-NII] 00.68
[PER-SHARE-GAIN-APPREC] 00.07
[PER-SHARE-DIVIDEND] 00.70
[PER-SHARE-DISTRIBUTIONS] 00.27
[RETURNS-OF-CAPITAL] 0
[PER-SHARE-NAV-END] 13.69
[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] 2
[NAME] NEW YORK PORTFOLIO, CLASS B
<TABLE>
<S> <C>
[PERIOD-TYPE] YEAR
[FISCAL-YEAR-END] MAR-31-1999
[PERIOD-END] MAR-31-1999
[INVESTMENTS-AT-COST] 710,151,953
[INVESTMENTS-AT-VALUE] 754,548,483
[RECEIVABLES] 11,835,160
[ASSETS-OTHER] 3,741
[OTHER-ITEMS-ASSETS] 0
[TOTAL-ASSETS] 766,387,384
[PAYABLE-FOR-SECURITIES] 0
[SENIOR-LONG-TERM-DEBT] 0
[OTHER-ITEMS-LIABILITIES] 764,037
[TOTAL-LIABILITIES] 764,037
[SENIOR-EQUITY] 0
[PAID-IN-CAPITAL-COMMON] 721,001,968
[SHARES-COMMON-STOCK] 14,006,486
[SHARES-COMMON-PRIOR] 14,009,746
[ACCUMULATED-NII-CURRENT] (7,407)
[OVERDISTRIBUTION-NII] 0
[ACCUMULATED-NET-GAINS] 232,256
[OVERDISTRIBUTION-GAINS] 0
[ACCUM-APPREC-OR-DEPREC] 44,396,530
[NET-ASSETS] 765,623,347
[DIVIDEND-INCOME] 0
[INTEREST-INCOME] 43,044,305
[OTHER-INCOME] 0
[EXPENSES-NET] 6,450,938
[NET-INVESTMENT-INCOME] 36,593,367
[REALIZED-GAINS-CURRENT] 5,085,143
[APPREC-INCREASE-CURRENT] (1,673,251)
[NET-CHANGE-FROM-OPS] 40,005,259
[EQUALIZATION] 0
[DISTRIBUTIONS-OF-INCOME] 8,511,068
[DISTRIBUTIONS-OF-GAINS] 3,861,603
[DISTRIBUTIONS-OTHER] 0
[NUMBER-OF-SHARES-SOLD] 1,502,683
[NUMBER-OF-SHARES-REDEEMED] 2,064,796
[SHARES-REINVESTED] 558,853
[NET-CHANGE-IN-ASSETS] 6,370,367
[ACCUMULATED-NII-PRIOR] (4,874)
[ACCUMULATED-GAINS-PRIOR] 10,354,781
[OVERDISTRIB-NII-PRIOR] 0
[OVERDIST-NET-GAINS-PRIOR] 0
[GROSS-ADVISORY-FEES] 3,811,463
[INTEREST-EXPENSE] 0
[GROSS-EXPENSE] 6,450,938
[AVERAGE-NET-ASSETS] 193,215,193
[PER-SHARE-NAV-BEGIN] 13.89
[PER-SHARE-NII] 00.61
[PER-SHARE-GAIN-APPREC] 00.07
[PER-SHARE-DIVIDEND] 00.62
[PER-SHARE-DISTRIBUTIONS] 00.27
[RETURNS-OF-CAPITAL] 0
[PER-SHARE-NAV-END] 13.68
[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 L
<TABLE>
<S> <C>
[PERIOD-TYPE] YEAR
[FISCAL-YEAR-END] MAR-31-1999
[PERIOD-END] MAR-31-1999
[INVESTMENTS-AT-COST] 710,151,953
[INVESTMENTS-AT-VALUE] 754,548,483
[RECEIVABLES] 11,835,160
[ASSETS-OTHER] 3,741
[OTHER-ITEMS-ASSETS] 0
[TOTAL-ASSETS] 766,387,384
[PAYABLE-FOR-SECURITIES] 0
[SENIOR-LONG-TERM-DEBT] 0
[OTHER-ITEMS-LIABILITIES] 764,037
[TOTAL-LIABILITIES] 764,037
[SENIOR-EQUITY] 0
[PAID-IN-CAPITAL-COMMON] 721,001,968
[SHARES-COMMON-STOCK] 1,333,068
[SHARES-COMMON-PRIOR] 764,632
[ACCUMULATED-NII-CURRENT] (7,407)
[OVERDISTRIBUTION-NII] 0
[ACCUMULATED-NET-GAINS] 232,256
[OVERDISTRIBUTION-GAINS] 0
[ACCUM-APPREC-OR-DEPREC] 44,396,530
[NET-ASSETS] 765,623,347
[DIVIDEND-INCOME] 0
[INTEREST-INCOME] 43,044,305
[OTHER-INCOME] 0
[EXPENSES-NET] 6,450,938
[NET-INVESTMENT-INCOME] 36,593,367
[REALIZED-GAINS-CURRENT] 5,085,143
[APPREC-INCREASE-CURRENT] (1,673,251)
[NET-CHANGE-FROM-OPS] 40,005,259
[EQUALIZATION] 0
[DISTRIBUTIONS-OF-INCOME] 593,548
[DISTRIBUTIONS-OF-GAINS] 282,474
[DISTRIBUTIONS-OTHER] 0
[NUMBER-OF-SHARES-SOLD] 648,457
[NUMBER-OF-SHARES-REDEEMED] 127,053
[SHARES-REINVESTED] 47,032
[NET-CHANGE-IN-ASSETS] 6,370,367
[ACCUMULATED-NII-PRIOR] (4,874)
[ACCUMULATED-GAINS-PRIOR] 10,354,781
[OVERDISTRIB-NII-PRIOR] 0
[OVERDIST-NET-GAINS-PRIOR] 0
[GROSS-ADVISORY-FEES] 3,811,463
[INTEREST-EXPENSE] 0
[GROSS-EXPENSE] 6,450,938
[AVERAGE-NET-ASSETS] 13,495,709
[PER-SHARE-NAV-BEGIN] 13.88
[PER-SHARE-NII] 00.60
[PER-SHARE-GAIN-APPREC] 00.07
[PER-SHARE-DIVIDEND] 00.61
[PER-SHARE-DISTRIBUTIONS] 00.27
[RETURNS-OF-CAPITAL] 0
[PER-SHARE-NAV-END] 13.67
[EXPENSE-RATIO] 01.27
[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] YEAR
[FISCAL-YEAR-END] MAR-31-1999
[PERIOD-END] MAR-31-1999
[INVESTMENTS-AT-COST] 394,247,469
[INVESTMENTS-AT-VALUE] 404,727,273
[RECEIVABLES] 6,462,295
[ASSETS-OTHER] 85,201
[OTHER-ITEMS-ASSETS] 0
[TOTAL-ASSETS] 411,274,769
[PAYABLE-FOR-SECURITIES] 11,781,296
[SENIOR-LONG-TERM-DEBT] 0
[OTHER-ITEMS-LIABILITIES] 1,166,760
[TOTAL-LIABILITIES] 12,948,056
[SENIOR-EQUITY] 0
[PAID-IN-CAPITAL-COMMON] 390,016,356
[SHARES-COMMON-STOCK] 45,855,575
[SHARES-COMMON-PRIOR] 38,002,227
[ACCUMULATED-NII-CURRENT] (2,187)
[OVERDISTRIBUTION-NII] 0
[ACCUMULATED-NET-GAINS] (2,167,260)
[OVERDISTRIBUTION-GAINS] 0
[ACCUM-APPREC-OR-DEPREC] 10,479,804
[NET-ASSETS] 398,326,713
[DIVIDEND-INCOME] 0
[INTEREST-INCOME] 17,690,647
[OTHER-INCOME] 0
[EXPENSES-NET] 2,397,352
[NET-INVESTMENT-INCOME] 15,293,295
[REALIZED-GAINS-CURRENT] 1,463,568
[APPREC-INCREASE-CURRENT] (986,611)
[NET-CHANGE-FROM-OPS] 15,770,252
[EQUALIZATION] 0
[DISTRIBUTIONS-OF-INCOME] 13,423,926
[DISTRIBUTIONS-OF-GAINS] 0
[DISTRIBUTIONS-OTHER] 134,568
[NUMBER-OF-SHARES-SOLD] 14,845,279
[NUMBER-OF-SHARES-REDEEMED] 8,138,352
[SHARES-REINVESTED] 1,146,421
[NET-CHANGE-IN-ASSETS] 110,111,935
[ACCUMULATED-NII-PRIOR] 380,377
[ACCUMULATED-GAINS-PRIOR] (3,630,828)
[OVERDISTRIB-NII-PRIOR] 0
[OVERDIST-NET-GAINS-PRIOR] 0
[GROSS-ADVISORY-FEES] 1,625,157
[INTEREST-EXPENSE] 0
[GROSS-EXPENSE] 2,397,352
[AVERAGE-NET-ASSETS] 277,533,344
[PER-SHARE-NAV-BEGIN] 6.76
[PER-SHARE-NII] 0.32
[PER-SHARE-GAIN-APPREC] 0.03
[PER-SHARE-DIVIDEND] 0.33
[PER-SHARE-DISTRIBUTIONS] 0
[RETURNS-OF-CAPITAL] 0
[PER-SHARE-NAV-END] 6.78
[EXPENSE-RATIO] 0.72
[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 L
<TABLE>
<S> <C>
[PERIOD-TYPE] YEAR
[FISCAL-YEAR-END] MAR-31-1999
[PERIOD-END] MAR-31-1999
[INVESTMENTS-AT-COST] 394,247,469
[INVESTMENTS-AT-VALUE] 404,727,273
[RECEIVABLES] 6,462,295
[ASSETS-OTHER] 85,201
[OTHER-ITEMS-ASSETS] 0
[TOTAL-ASSETS] 411,274,769
[PAYABLE-FOR-SECURITIES] 11,781,296
[SENIOR-LONG-TERM-DEBT] 0
[OTHER-ITEMS-LIABILITIES] 1,166,760
[TOTAL-LIABILITIES] 12,948,056
[SENIOR-EQUITY] 0
[PAID-IN-CAPITAL-COMMON] 390,016,356
[SHARES-COMMON-STOCK] 6,160,566
[SHARES-COMMON-PRIOR] 4,604,348
[ACCUMULATED-NII-CURRENT] (2,187)
[OVERDISTRIBUTION-NII] 0
[ACCUMULATED-NET-GAINS] (2,167,260)
[OVERDISTRIBUTION-GAINS] 0
[ACCUM-APPREC-OR-DEPREC] 10,479,804
[NET-ASSETS] 398,326,713
[DIVIDEND-INCOME] 0
[INTEREST-INCOME] 17,690,647
[OTHER-INCOME] 0
[EXPENSES-NET] 2,397,352
[NET-INVESTMENT-INCOME] 15,293,295
[REALIZED-GAINS-CURRENT] 1,463,568
[APPREC-INCREASE-CURRENT] (986,611)
[NET-CHANGE-FROM-OPS] 15,770,252
[EQUALIZATION] 0
[DISTRIBUTIONS-OF-INCOME] 1,574,191
[DISTRIBUTIONS-OF-GAINS] 0
[DISTRIBUTIONS-OTHER] 17,130
[NUMBER-OF-SHARES-SOLD] 2,424,398
[NUMBER-OF-SHARES-REDEEMED] 1,020,319
[SHARES-REINVESTED] 152,139
[NET-CHANGE-IN-ASSETS] 110,111,935
[ACCUMULATED-NII-PRIOR] 380,377
[ACCUMULATED-GAINS-PRIOR] (3,630,828)
[OVERDISTRIB-NII-PRIOR] 0
[OVERDIST-NET-GAINS-PRIOR] 0
[GROSS-ADVISORY-FEES] 1,625,157
[INTEREST-EXPENSE] 0
[GROSS-EXPENSE] 2,397,352
[AVERAGE-NET-ASSETS] 35,363,385
[PER-SHARE-NAV-BEGIN] 6.76
[PER-SHARE-NII] 0.31
[PER-SHARE-GAIN-APPREC] 0.03
[PER-SHARE-DIVIDEND] 0.31
[PER-SHARE-DISTRIBUTIONS] 0
[RETURNS-OF-CAPITAL] 0
[PER-SHARE-NAV-END] 6.79
[EXPENSE-RATIO] 0.94
[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 Y
<TABLE>
<S> <C>
[PERIOD-TYPE] YEAR
[FISCAL-YEAR-END] MAR-31-1999
[PERIOD-END] MAR-31-1999
[INVESTMENTS-AT-COST] 394,247,469
[INVESTMENTS-AT-VALUE] 404,727,273
[RECEIVABLES] 6,462,295
[ASSETS-OTHER] 85,201
[OTHER-ITEMS-ASSETS] 0
[TOTAL-ASSETS] 411,274,769
[PAYABLE-FOR-SECURITIES] 11,781,296
[SENIOR-LONG-TERM-DEBT] 0
[OTHER-ITEMS-LIABILITIES] 1,166,760
[TOTAL-LIABILITIES] 12,948,056
[SENIOR-EQUITY] 0
[PAID-IN-CAPITAL-COMMON] 390,016,356
[SHARES-COMMON-STOCK] 6,695,697
[SHARES-COMMON-PRIOR] 0
[ACCUMULATED-NII-CURRENT] (2,187)
[OVERDISTRIBUTION-NII] 0
[ACCUMULATED-NET-GAINS] (2,167,260)
[OVERDISTRIBUTION-GAINS] 0
[ACCUM-APPREC-OR-DEPREC] 10,479,804
[NET-ASSETS] 398,326,713
[DIVIDEND-INCOME] 0
[INTEREST-INCOME] 17,690,647
[OTHER-INCOME] 0
[EXPENSES-NET] 2,397,352
[NET-INVESTMENT-INCOME] 15,293,295
[REALIZED-GAINS-CURRENT] 1,463,568
[APPREC-INCREASE-CURRENT] (986,611)
[NET-CHANGE-FROM-OPS] 15,770,252
[EQUALIZATION] 0
[DISTRIBUTIONS-OF-INCOME] 677,742
[DISTRIBUTIONS-OF-GAINS] 0
[DISTRIBUTIONS-OTHER] 5,873
[NUMBER-OF-SHARES-SOLD] 7,128,561
[NUMBER-OF-SHARES-REDEEMED] 485,477
[SHARES-REINVESTED] 52,583
[NET-CHANGE-IN-ASSETS] 110,111,935
[ACCUMULATED-NII-PRIOR] 380,377
[ACCUMULATED-GAINS-PRIOR] (3,630,828)
[OVERDISTRIB-NII-PRIOR] 0
[OVERDIST-NET-GAINS-PRIOR] 0
[GROSS-ADVISORY-FEES] 1,625,157
[INTEREST-EXPENSE] 0
[GROSS-EXPENSE] 2,397,352
[AVERAGE-NET-ASSETS] 33,383,653
[PER-SHARE-NAV-BEGIN] 6.82
[PER-SHARE-NII] 0.12
[PER-SHARE-GAIN-APPREC] 0.02
[PER-SHARE-DIVIDEND] 0.14
[PER-SHARE-DISTRIBUTIONS] 0
[RETURNS-OF-CAPITAL] 0
[PER-SHARE-NAV-END] 6.78
[EXPENSE-RATIO] 0.53
[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] YEAR
[FISCAL-YEAR-END] MAR-31-1999
[PERIOD-END] MAR-31-1999
[INVESTMENTS-AT-COST] 2,110,209,519
[INVESTMENTS-AT-VALUE] 2,110,209,519
[RECEIVABLES] 29,388,561
[ASSETS-OTHER] 0
[OTHER-ITEMS-ASSETS] 384,371
[TOTAL-ASSETS] 2,139,979,451
[PAYABLE-FOR-SECURITIES] 0
[SENIOR-LONG-TERM-DEBT] 0
[OTHER-ITEMS-LIABILITIES] 3,480,956
[TOTAL-LIABILITIES] 3,480,956
[SENIOR-EQUITY] 0
[PAID-IN-CAPITAL-COMMON] 2,134,362,908
[SHARES-COMMON-STOCK] 2,136,590,247
[SHARES-COMMON-PRIOR] 1,851,443,245
[ACCUMULATED-NII-CURRENT] 0
[OVERDISTRIBUTION-NII] 0
[ACCUMULATED-NET-GAINS] (1,006)
[OVERDISTRIBUTION-GAINS] 0
[ACCUM-APPREC-OR-DEPREC] 0
[NET-ASSETS] 2,136,498,495
[DIVIDEND-INCOME] 0
[INTEREST-INCOME] 61,440,871
[OTHER-INCOME] 0
[EXPENSES-NET] 12,325,358
[NET-INVESTMENT-INCOME] 49,115,513
[REALIZED-GAINS-CURRENT] 153,566
[APPREC-INCREASE-CURRENT] 0
[NET-CHANGE-FROM-OPS] 49,269,079
[EQUALIZATION] 0
[DISTRIBUTIONS-OF-INCOME] 49,115,457
[DISTRIBUTIONS-OF-GAINS] 0
[DISTRIBUTIONS-OTHER] 0
[NUMBER-OF-SHARES-SOLD] 8,107,803,549
[NUMBER-OF-SHARES-REDEEMED] 7,808,481,271
[SHARES-REINVESTED] 47,691,799
[NET-CHANGE-IN-ASSETS] 343,756,933
[ACCUMULATED-NII-PRIOR] 0
[ACCUMULATED-GAINS-PRIOR] 0
[OVERDISTRIB-NII-PRIOR] 0
[OVERDIST-NET-GAINS-PRIOR] 0
[GROSS-ADVISORY-FEES] 9,619,316
[INTEREST-EXPENSE] 0
[GROSS-EXPENSE] 12,325,358
[AVERAGE-NET-ASSETS] 1,925,774,501
[PER-SHARE-NAV-BEGIN] 1.000
[PER-SHARE-NII] 0.026
[PER-SHARE-GAIN-APPREC] 0
[PER-SHARE-DIVIDEND] 0.026
[PER-SHARE-DISTRIBUTIONS] 0
[RETURNS-OF-CAPITAL] 0
[PER-SHARE-NAV-END] 1.000
[EXPENSE-RATIO] 0.640
[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] YEAR
[FISCAL-YEAR-END] MAR-31-1999
[PERIOD-END] MAR-31-1999
[INVESTMENTS-AT-COST] 2,110,209,519
[INVESTMENTS-AT-VALUE] 2,110,209,519
[RECEIVABLES] 29,388,561
[ASSETS-OTHER] 0
[OTHER-ITEMS-ASSETS] 384,371
[TOTAL-ASSETS] 2,139,979,451
[PAYABLE-FOR-SECURITIES] 0
[SENIOR-LONG-TERM-DEBT] 0
[OTHER-ITEMS-LIABILITIES] 3,480,956
[TOTAL-LIABILITIES] 3,480,956
[SENIOR-EQUITY] 0
[PAID-IN-CAPITAL-COMMON] 2,134,362,908
[SHARES-COMMON-STOCK] 2,435
[SHARES-COMMON-PRIOR] 2,404
[ACCUMULATED-NII-CURRENT] 0
[OVERDISTRIBUTION-NII] 0
[ACCUMULATED-NET-GAINS] (1,006)
[OVERDISTRIBUTION-GAINS] 0
[ACCUM-APPREC-OR-DEPREC] 0
[NET-ASSETS] 2,136,498,495
[DIVIDEND-INCOME] 0
[INTEREST-INCOME] 61,440,871
[OTHER-INCOME] 0
[EXPENSES-NET] 12,325,358
[NET-INVESTMENT-INCOME] 49,115,513
[REALIZED-GAINS-CURRENT] 153,566
[APPREC-INCREASE-CURRENT] 0
[NET-CHANGE-FROM-OPS] 49,269,079
[EQUALIZATION] 0
[DISTRIBUTIONS-OF-INCOME] 56
[DISTRIBUTIONS-OF-GAINS] 0
[DISTRIBUTIONS-OTHER] 0
[NUMBER-OF-SHARES-SOLD] 8,477
[NUMBER-OF-SHARES-REDEEMED] 3,422,447
[SHARES-REINVESTED] 3,260
[NET-CHANGE-IN-ASSETS] 343,756,933
[ACCUMULATED-NII-PRIOR] 0
[ACCUMULATED-GAINS-PRIOR] 0
[OVERDISTRIB-NII-PRIOR] 0
[OVERDIST-NET-GAINS-PRIOR] 0
[GROSS-ADVISORY-FEES] 9,619,316
[INTEREST-EXPENSE] 0
[GROSS-EXPENSE] 12,325,358
[AVERAGE-NET-ASSETS] 58,556
[PER-SHARE-NAV-BEGIN] 1.000
[PER-SHARE-NII] 0.026
[PER-SHARE-GAIN-APPREC] 0
[PER-SHARE-DIVIDEND] 0.026
[PER-SHARE-DISTRIBUTIONS] 0
[RETURNS-OF-CAPITAL] 0
[PER-SHARE-NAV-END] 1.000
[EXPENSE-RATIO] 0.510
[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] YEAR
[FISCAL-YEAR-END] MAR-31-1999
[PERIOD-END] MAR-31-1999
[INVESTMENTS-AT-COST] 217,772,370
[INVESTMENTS-AT-VALUE] 232,193,747
[RECEIVABLES] 5,699,552
[ASSETS-OTHER] 10,639
[OTHER-ITEMS-ASSETS] 0
[TOTAL-ASSETS] 237,903,938
[PAYABLE-FOR-SECURITIES] 0
[SENIOR-LONG-TERM-DEBT] 0
[OTHER-ITEMS-LIABILITIES] 192,156
[TOTAL-LIABILITIES] 192,156
[SENIOR-EQUITY] 0
[PAID-IN-CAPITAL-COMMON] 223,565,987
[SHARES-COMMON-STOCK] 11,638,176
[SHARES-COMMON-PRIOR] 10,380,268
[ACCUMULATED-NII-CURRENT] (9,378)
[OVERDISTRIBUTION-NII] 0
[ACCUMULATED-NET-GAINS] (266,204)
[OVERDISTRIBUTION-GAINS] 0
[ACCUM-APPREC-OR-DEPREC] 14,421,377
[NET-ASSETS] 237,711,782
[DIVIDEND-INCOME] 0
[INTEREST-INCOME] 12,714,158
[OTHER-INCOME] 0
[EXPENSES-NET] 2,005,421
[NET-INVESTMENT-INCOME] 10,708,737
[REALIZED-GAINS-CURRENT] 38,595
[APPREC-INCREASE-CURRENT] 546,213
[NET-CHANGE-FROM-OPS] 11,293,545
[EQUALIZATION] 0
[DISTRIBUTIONS-OF-INCOME] 7,473,889
[DISTRIBUTIONS-OF-GAINS] 930,434
[DISTRIBUTIONS-OTHER] 87,656
[NUMBER-OF-SHARES-SOLD] 3,713,071
[NUMBER-OF-SHARES-REDEEMED] 2,712,400
[SHARES-REINVESTED] 257,237
[NET-CHANGE-IN-ASSETS] 26,826,079
[ACCUMULATED-NII-PRIOR] (7,566)
[ACCUMULATED-GAINS-PRIOR] 1,100,269
[OVERDISTRIB-NII-PRIOR] 0
[OVERDIST-NET-GAINS-PRIOR] 0
[GROSS-ADVISORY-FEES] 1,109,500
[INTEREST-EXPENSE] 0
[GROSS-EXPENSE] 2,005,421
[AVERAGE-NET-ASSETS] 159,330,580
[PER-SHARE-NAV-BEGIN] 13.74
[PER-SHARE-NII] 00.69
[PER-SHARE-GAIN-APPREC] 00.06
[PER-SHARE-DIVIDEND] 00.69
[PER-SHARE-DISTRIBUTIONS] 00.09
[RETURNS-OF-CAPITAL] 00.01
[PER-SHARE-NAV-END] 13.70
[EXPENSE-RATIO] 00.73
[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] YEAR
[FISCAL-YEAR-END] MAR-31-1999
[PERIOD-END] MAR-31-1999
[INVESTMENTS-AT-COST] 217,772,370
[INVESTMENTS-AT-VALUE] 232,193,747
[RECEIVABLES] 5,699,552
[ASSETS-OTHER] 10,639
[OTHER-ITEMS-ASSETS] 0
[TOTAL-ASSETS] 237,903,938
[PAYABLE-FOR-SECURITIES] 0
[SENIOR-LONG-TERM-DEBT] 0
[OTHER-ITEMS-LIABILITIES] 192,156
[TOTAL-LIABILITIES] 192,156
[SENIOR-EQUITY] 0
[PAID-IN-CAPITAL-COMMON] 223,565,987
[SHARES-COMMON-STOCK] 4,827,049
[SHARES-COMMON-PRIOR] 4,323,835
[ACCUMULATED-NII-CURRENT] (9,378)
[OVERDISTRIBUTION-NII] 0
[ACCUMULATED-NET-GAINS] (266,204)
[OVERDISTRIBUTION-GAINS] 0
[ACCUM-APPREC-OR-DEPREC] 14,421,377
[NET-ASSETS] 237,711,782
[DIVIDEND-INCOME] 0
[INTEREST-INCOME] 12,714,158
[OTHER-INCOME] 0
[EXPENSES-NET] 2,005,421
[NET-INVESTMENT-INCOME] 10,708,737
[REALIZED-GAINS-CURRENT] 38,595
[APPREC-INCREASE-CURRENT] 546,213
[NET-CHANGE-FROM-OPS] 11,293,545
[EQUALIZATION] 0
[DISTRIBUTIONS-OF-INCOME] 2,774,710
[DISTRIBUTIONS-OF-GAINS] 430,558
[DISTRIBUTIONS-OTHER] 36,409
[NUMBER-OF-SHARES-SOLD] 1,226,118
[NUMBER-OF-SHARES-REDEEMED] 833,357
[SHARES-REINVESTED] 110,453
[NET-CHANGE-IN-ASSETS] 26,826,079
[ACCUMULATED-NII-PRIOR] (7,566)
[ACCUMULATED-GAINS-PRIOR] 1,100,269
[OVERDISTRIB-NII-PRIOR] 0
[OVERDIST-NET-GAINS-PRIOR] 0
[GROSS-ADVISORY-FEES] 1,109,500
[INTEREST-EXPENSE] 0
[GROSS-EXPENSE] 2,005,421
[AVERAGE-NET-ASSETS] 66,058,649
[PER-SHARE-NAV-BEGIN] 13.73
[PER-SHARE-NII] 00.62
[PER-SHARE-GAIN-APPREC] 00.06
[PER-SHARE-DIVIDEND] 00.62
[PER-SHARE-DISTRIBUTIONS] 00.09
[RETURNS-OF-CAPITAL] 00.01
[PER-SHARE-NAV-END] 13.69
[EXPENSE-RATIO] 01.24
[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 L
<TABLE>
<S> <C>
[PERIOD-TYPE] YEAR
[FISCAL-YEAR-END] MAR-31-1999
[PERIOD-END] MAR-31-1999
[INVESTMENTS-AT-COST] 217,772,370
[INVESTMENTS-AT-VALUE] 232,193,747
[RECEIVABLES] 5,699,552
[ASSETS-OTHER] 10,639
[OTHER-ITEMS-ASSETS] 0
[TOTAL-ASSETS] 237,903,938
[PAYABLE-FOR-SECURITIES] 0
[SENIOR-LONG-TERM-DEBT] 0
[OTHER-ITEMS-LIABILITIES] 192,156
[TOTAL-LIABILITIES] 192,156
[SENIOR-EQUITY] 0
[PAID-IN-CAPITAL-COMMON] 223,565,987
[SHARES-COMMON-STOCK] 894,368
[SHARES-COMMON-PRIOR] 643,939
[ACCUMULATED-NII-CURRENT] (9,378)
[OVERDISTRIBUTION-NII] 0
[ACCUMULATED-NET-GAINS] (266,204)
[OVERDISTRIBUTION-GAINS] 0
[ACCUM-APPREC-OR-DEPREC] 14,421,377
[NET-ASSETS] 237,711,782
[DIVIDEND-INCOME] 0
[INTEREST-INCOME] 12,714,158
[OTHER-INCOME] 0
[EXPENSES-NET] 2,005,421
[NET-INVESTMENT-INCOME] 10,708,737
[REALIZED-GAINS-CURRENT] 38,595
[APPREC-INCREASE-CURRENT] 546,213
[NET-CHANGE-FROM-OPS] 11,293,545
[EQUALIZATION] 0
[DISTRIBUTIONS-OF-INCOME] 461,950
[DISTRIBUTIONS-OF-GAINS] 71,076
[DISTRIBUTIONS-OTHER] 6,109
[NUMBER-OF-SHARES-SOLD] 334,515
[NUMBER-OF-SHARES-REDEEMED] 105,208
[SHARES-REINVESTED] 21,122
[NET-CHANGE-IN-ASSETS] 26,826,079
[ACCUMULATED-NII-PRIOR] (7,566)
[ACCUMULATED-GAINS-PRIOR] 1,100,269
[OVERDISTRIB-NII-PRIOR] 0
[OVERDIST-NET-GAINS-PRIOR] 0
[GROSS-ADVISORY-FEES] 1,109,500
[INTEREST-EXPENSE] 0
[GROSS-EXPENSE] 2,005,421
[AVERAGE-NET-ASSETS] 12,243,205
[PER-SHARE-NAV-BEGIN] 13.74
[PER-SHARE-NII] 00.61
[PER-SHARE-GAIN-APPREC] 00.05
[PER-SHARE-DIVIDEND] 00.61
[PER-SHARE-DISTRIBUTIONS] 00.09
[RETURNS-OF-CAPITAL] 00.01
[PER-SHARE-NAV-END] 13.69
[EXPENSE-RATIO] 01.31
[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] YEAR
[FISCAL-YEAR-END] MAR-31-1999
[PERIOD-END] MAR-31-1999
[INVESTMENTS-AT-COST] 1,372,463,706
[INVESTMENTS-AT-VALUE] 1,372,463,706
[RECEIVABLES] 9,232,799
[ASSETS-OTHER] 0
[OTHER-ITEMS-ASSETS] 396,181
[TOTAL-ASSETS] 1,382,092,680
[PAYABLE-FOR-SECURITIES] 0
[SENIOR-LONG-TERM-DEBT] 0
[OTHER-ITEMS-LIABILITIES] 2,356,594
[TOTAL-LIABILITIES] 2,356,594
[SENIOR-EQUITY] 0
[PAID-IN-CAPITAL-COMMON] 1,378,450,348
[SHARES-COMMON-STOCK] 1,379,830,178
[SHARES-COMMON-PRIOR] 1,201,691,269
[ACCUMULATED-NII-CURRENT] 0
[OVERDISTRIBUTION-NII] 0
[ACCUMULATED-NET-GAINS] (94,086)
[OVERDISTRIBUTION-GAINS] 0
[ACCUM-APPREC-OR-DEPREC] 0
[NET-ASSETS] 1,379,736,092
[DIVIDEND-INCOME] 0
[INTEREST-INCOME] 40,433,503
[OTHER-INCOME] 0
[EXPENSES-NET] 7,988,447
[NET-INVESTMENT-INCOME] 32,445,056
[REALIZED-GAINS-CURRENT] 110,729
[APPREC-INCREASE-CURRENT] 0
[NET-CHANGE-FROM-OPS] 32,555,785
[EQUALIZATION] 0
[DISTRIBUTIONS-OF-INCOME] 32,445,056
[DISTRIBUTIONS-OF-GAINS] 0
[DISTRIBUTIONS-OTHER] 0
[NUMBER-OF-SHARES-SOLD] 4,688,765,979
[NUMBER-OF-SHARES-REDEEMED] 4,501,713,460
[SHARES-REINVESTED] 31,572,842
[NET-CHANGE-IN-ASSETS] 218,625,361
[ACCUMULATED-NII-PRIOR] 0
[ACCUMULATED-GAINS-PRIOR] 0
[OVERDISTRIB-NII-PRIOR] 0
[OVERDIST-NET-GAINS-PRIOR] 0
[GROSS-ADVISORY-FEES] 6,110,859
[INTEREST-EXPENSE] 0
[GROSS-EXPENSE] 7,988,447
[AVERAGE-NET-ASSETS] 1,222,119,873
[PER-SHARE-NAV-BEGIN] 1.000
[PER-SHARE-NII] 0.027
[PER-SHARE-GAIN-APPREC] 0
[PER-SHARE-DIVIDEND] 0.027
[PER-SHARE-DISTRIBUTIONS] 0
[RETURNS-OF-CAPITAL] 0
[PER-SHARE-NAV-END] 1.000
[EXPENSE-RATIO] 0.650
[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] YEAR
[FISCAL-YEAR-END] MAR-31-1999
[PERIOD-END] MAR-31-1999
[INVESTMENTS-AT-COST] 52,273,597
[INVESTMENTS-AT-VALUE] 54,692,621
[RECEIVABLES] 1,013,221
[ASSETS-OTHER] 80,898
[OTHER-ITEMS-ASSETS] 0
[TOTAL-ASSETS] 55,786,740
[PAYABLE-FOR-SECURITIES] 0
[SENIOR-LONG-TERM-DEBT] 0
[OTHER-ITEMS-LIABILITIES] 169,679
[TOTAL-LIABILITIES] 169,679
[SENIOR-EQUITY] 0
[PAID-IN-CAPITAL-COMMON] 53,305,481
[SHARES-COMMON-STOCK] 2,582,858
[SHARES-COMMON-PRIOR] 1,526,353
[ACCUMULATED-NII-CURRENT] (3,157)
[OVERDISTRIBUTION-NII] 0
[ACCUMULATED-NET-GAINS] (104,287)
[OVERDISTRIBUTION-GAINS] 0
[ACCUM-APPREC-OR-DEPREC] 2,419,024
[NET-ASSETS] 55,617,061
[DIVIDEND-INCOME] 0
[INTEREST-INCOME] 2,351,186
[OTHER-INCOME] 0
[EXPENSES-NET] 380,250
[NET-INVESTMENT-INCOME] 1,970,936
[REALIZED-GAINS-CURRENT] 123,595
[APPREC-INCREASE-CURRENT] 91,303
[NET-CHANGE-FROM-OPS] 2,185,834
[EQUALIZATION] 0
[DISTRIBUTIONS-OF-INCOME] 1,236,439
[DISTRIBUTIONS-OF-GAINS] 172,535
[DISTRIBUTIONS-OTHER] 62,661
[NUMBER-OF-SHARES-SOLD] 16,271,337
[NUMBER-OF-SHARES-REDEEMED] 2,869,561
[SHARES-REINVESTED] 914,734
[NET-CHANGE-IN-ASSETS] 19,762,462
[ACCUMULATED-NII-PRIOR] (2,139)
[ACCUMULATED-GAINS-PRIOR] 62,463
[OVERDISTRIB-NII-PRIOR] 0
[OVERDIST-NET-GAINS-PRIOR] 0
[GROSS-ADVISORY-FEES] 200,616
[INTEREST-EXPENSE] 0
[GROSS-EXPENSE] 428,313
[AVERAGE-NET-ASSETS] 26,645,522
[PER-SHARE-NAV-BEGIN] 13.43
[PER-SHARE-NII] 00.62
[PER-SHARE-GAIN-APPREC] 00.12
[PER-SHARE-DIVIDEND] 00.62
[PER-SHARE-DISTRIBUTIONS] 00.09
[RETURNS-OF-CAPITAL] 00.03
[PER-SHARE-NAV-END] 13.43
[EXPENSE-RATIO] 00.64
[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] YEAR
[FISCAL-YEAR-END] MAR-31-1999
[PERIOD-END] MAR-31-1999
[INVESTMENTS-AT-COST] 52,273,597
[INVESTMENTS-AT-VALUE] 54,692,621
[RECEIVABLES] 1,013,221
[ASSETS-OTHER] 80,898
[OTHER-ITEMS-ASSETS] 0
[TOTAL-ASSETS] 55,786,740
[PAYABLE-FOR-SECURITIES] 0
[SENIOR-LONG-TERM-DEBT] 0
[OTHER-ITEMS-LIABILITIES] 169,679
[TOTAL-LIABILITIES] 169,679
[SENIOR-EQUITY] 0
[PAID-IN-CAPITAL-COMMON] 53,305,481
[SHARES-COMMON-STOCK] 1,015,909
[SHARES-COMMON-PRIOR] 797,838
[ACCUMULATED-NII-CURRENT] (3,157)
[OVERDISTRIBUTION-NII] 0
[ACCUMULATED-NET-GAINS] (104,287)
[OVERDISTRIBUTION-GAINS] 0
[ACCUM-APPREC-OR-DEPREC] 2,419,024
[NET-ASSETS] 55,617,061
[DIVIDEND-INCOME] 0
[INTEREST-INCOME] 2,351,186
[OTHER-INCOME] 0
[EXPENSES-NET] 380,250
[NET-INVESTMENT-INCOME] 1,970,936
[REALIZED-GAINS-CURRENT] 123,595
[APPREC-INCREASE-CURRENT] 91,303
[NET-CHANGE-FROM-OPS] 2,185,834
[EQUALIZATION] 0
[DISTRIBUTIONS-OF-INCOME] 506,182
[DISTRIBUTIONS-OF-GAINS] 81,005
[DISTRIBUTIONS-OTHER] 28,893
[NUMBER-OF-SHARES-SOLD] 3,530,318
[NUMBER-OF-SHARES-REDEEMED] 957,095
[SHARES-REINVESTED] 375,581
[NET-CHANGE-IN-ASSETS] 19,762,462
[ACCUMULATED-NII-PRIOR] (2,139)
[ACCUMULATED-GAINS-PRIOR] 62,463
[OVERDISTRIB-NII-PRIOR] 0
[OVERDIST-NET-GAINS-PRIOR] 0
[GROSS-ADVISORY-FEES] 200,616
[INTEREST-EXPENSE] 0
[GROSS-EXPENSE] 428,313
[AVERAGE-NET-ASSETS] 12,357,331
[PER-SHARE-NAV-BEGIN] 13.43
[PER-SHARE-NII] 00.56
[PER-SHARE-GAIN-APPREC] 00.10
[PER-SHARE-DIVIDEND] 00.55
[PER-SHARE-DISTRIBUTIONS] 00.09
[RETURNS-OF-CAPITAL] 00.03
[PER-SHARE-NAV-END] 13.42
[EXPENSE-RATIO] 01.15
[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 L
<TABLE>
<S> <C>
[PERIOD-TYPE] YEAR
[FISCAL-YEAR-END] MAR-31-1999
[PERIOD-END] MAR-31-1999
[INVESTMENTS-AT-COST] 52,273,597
[INVESTMENTS-AT-VALUE] 54,692,621
[RECEIVABLES] 1,013,221
[ASSETS-OTHER] 80,898
[OTHER-ITEMS-ASSETS] 0
[TOTAL-ASSETS] 55,786,740
[PAYABLE-FOR-SECURITIES] 0
[SENIOR-LONG-TERM-DEBT] 0
[OTHER-ITEMS-LIABILITIES] 169,679
[TOTAL-LIABILITIES] 169,679
[SENIOR-EQUITY] 0
[PAID-IN-CAPITAL-COMMON] 53,305,481
[SHARES-COMMON-STOCK] 544,712
[SHARES-COMMON-PRIOR] 346,007
[ACCUMULATED-NII-CURRENT] (3,157)
[OVERDISTRIBUTION-NII] 0
[ACCUMULATED-NET-GAINS] (104,287)
[OVERDISTRIBUTION-GAINS] 0
[ACCUM-APPREC-OR-DEPREC] 2,419,024
[NET-ASSETS] 55,617,061
[DIVIDEND-INCOME] 0
[INTEREST-INCOME] 2,351,186
[OTHER-INCOME] 0
[EXPENSES-NET] 380,250
[NET-INVESTMENT-INCOME] 1,970,936
[REALIZED-GAINS-CURRENT] 123,595
[APPREC-INCREASE-CURRENT] 91,303
[NET-CHANGE-FROM-OPS] 2,185,834
[EQUALIZATION] 0
[DISTRIBUTIONS-OF-INCOME] 229,333
[DISTRIBUTIONS-OF-GAINS] 36,805
[DISTRIBUTIONS-OTHER] 13,276
[NUMBER-OF-SHARES-SOLD] 2,826,332
[NUMBER-OF-SHARES-REDEEMED] 374,893
[SHARES-REINVESTED] 227,004
[NET-CHANGE-IN-ASSETS] 19,762,462
[ACCUMULATED-NII-PRIOR] (2,139)
[ACCUMULATED-GAINS-PRIOR] 62,463
[OVERDISTRIB-NII-PRIOR] 0
[OVERDIST-NET-GAINS-PRIOR] 0
[GROSS-ADVISORY-FEES] 200,616
[INTEREST-EXPENSE] 0
[GROSS-EXPENSE] 428,313
[AVERAGE-NET-ASSETS] 5,632,395
[PER-SHARE-NAV-BEGIN] 13.41
[PER-SHARE-NII] 00.55
[PER-SHARE-GAIN-APPREC] 00.12
[PER-SHARE-DIVIDEND] 00.55
[PER-SHARE-DISTRIBUTIONS] 00.09
[RETURNS-OF-CAPITAL] 00.03
[PER-SHARE-NAV-END] 13.41
[EXPENSE-RATIO] 01.20
[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] YEAR
[FISCAL-YEAR-END] MAR-31-1999
[PERIOD-END] MAR-31-1999
[INVESTMENTS-AT-COST] 63,501,376
[INVESTMENTS-AT-VALUE] 65,987,331
[RECEIVABLES] 2,567,904
[ASSETS-OTHER] 56,004
[OTHER-ITEMS-ASSETS] 0
[TOTAL-ASSETS] 68,611,239
[PAYABLE-FOR-SECURITIES] 1,000,000
[SENIOR-LONG-TERM-DEBT] 0
[OTHER-ITEMS-LIABILITIES] 168,706
[TOTAL-LIABILITIES] 1,168,706
[SENIOR-EQUITY] 0
[PAID-IN-CAPITAL-COMMON] 64,859,022
[SHARES-COMMON-STOCK] 2,360,035
[SHARES-COMMON-PRIOR] 1,177,980
[ACCUMULATED-NII-CURRENT] 3,903
[OVERDISTRIBUTION-NII] 0
[ACCUMULATED-NET-GAINS] 93,653
[OVERDISTRIBUTION-GAINS] 0
[ACCUM-APPREC-OR-DEPREC] 2,485,955
[NET-ASSETS] 67,442,533
[DIVIDEND-INCOME] 0
[INTEREST-INCOME] 2,860,246
[OTHER-INCOME] 0
[EXPENSES-NET] 428,347
[NET-INVESTMENT-INCOME] 2,431,899
[REALIZED-GAINS-CURRENT] 207,244
[APPREC-INCREASE-CURRENT] (40,052)
[NET-CHANGE-FROM-OPS] 2,599,091
[EQUALIZATION] 0
[DISTRIBUTIONS-OF-INCOME] 1,087,246
[DISTRIBUTIONS-OF-GAINS] 239,692
[DISTRIBUTIONS-OTHER] 0
[NUMBER-OF-SHARES-SOLD] 2,220,491
[NUMBER-OF-SHARES-REDEEMED] 1,113,160
[SHARES-REINVESTED] 74,724
[NET-CHANGE-IN-ASSETS] 24,490,219
[ACCUMULATED-NII-PRIOR] 96,710
[ACCUMULATED-GAINS-PRIOR] 493,549
[OVERDISTRIB-NII-PRIOR] 0
[OVERDIST-NET-GAINS-PRIOR] 0
[GROSS-ADVISORY-FEES] 235,522
[INTEREST-EXPENSE] 0
[GROSS-EXPENSE] 558,320
[AVERAGE-NET-ASSETS] 21,039,968
[PER-SHARE-NAV-BEGIN] 13.54
[PER-SHARE-NII] 00.66
[PER-SHARE-GAIN-APPREC] 00.08
[PER-SHARE-DIVIDEND] 00.69
[PER-SHARE-DISTRIBUTIONS] 00.15
[RETURNS-OF-CAPITAL] 0
[PER-SHARE-NAV-END] 13.44
[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] 13
[NAME] PENNSYLVANIA PORTFOLIO. CLASS B
<TABLE>
<S> <C>
[PERIOD-TYPE] YEAR
[FISCAL-YEAR-END] MAR-31-1999
[PERIOD-END] MAR-31-1999
[INVESTMENTS-AT-COST] 63,501,376
[INVESTMENTS-AT-VALUE] 65,987,331
[RECEIVABLES] 2,567,904
[ASSETS-OTHER] 56,004
[OTHER-ITEMS-ASSETS] 0
[TOTAL-ASSETS] 68,611,239
[PAYABLE-FOR-SECURITIES] 1,000,000
[SENIOR-LONG-TERM-DEBT] 0
[OTHER-ITEMS-LIABILITIES] 168,706
[TOTAL-LIABILITIES] 1,168,706
[SENIOR-EQUITY] 0
[PAID-IN-CAPITAL-COMMON] 64,859,022
[SHARES-COMMON-STOCK] 1,880,764
[SHARES-COMMON-PRIOR] 1,425,174
[ACCUMULATED-NII-CURRENT] 3,903
[OVERDISTRIBUTION-NII] 0
[ACCUMULATED-NET-GAINS] 93,653
[OVERDISTRIBUTION-GAINS] 0
[ACCUM-APPREC-OR-DEPREC] 2,485,955
[NET-ASSETS] 67,442,533
[DIVIDEND-INCOME] 0
[INTEREST-INCOME] 2,860,246
[OTHER-INCOME] 0
[EXPENSES-NET] 428,347
[NET-INVESTMENT-INCOME] 2,431,899
[REALIZED-GAINS-CURRENT] 207,244
[APPREC-INCREASE-CURRENT] (40,052)
[NET-CHANGE-FROM-OPS] 2,599,091
[EQUALIZATION] 0
[DISTRIBUTIONS-OF-INCOME] 1,018,541
[DISTRIBUTIONS-OF-GAINS] 260,275
[DISTRIBUTIONS-OTHER] 0
[NUMBER-OF-SHARES-SOLD] 619,028
[NUMBER-OF-SHARES-REDEEMED] 219,380
[SHARES-REINVESTED] 55,942
[NET-CHANGE-IN-ASSETS] 24,490,219
[ACCUMULATED-NII-PRIOR] 96,710
[ACCUMULATED-GAINS-PRIOR] 493,549
[OVERDISTRIB-NII-PRIOR] 0
[OVERDIST-NET-GAINS-PRIOR] 0
[GROSS-ADVISORY-FEES] 235,522
[INTEREST-EXPENSE] 0
[GROSS-EXPENSE] 558,320
[AVERAGE-NET-ASSETS] 22,190,586
[PER-SHARE-NAV-BEGIN] 13.52
[PER-SHARE-NII] 00.60
[PER-SHARE-GAIN-APPREC] 00.07
[PER-SHARE-DIVIDEND] 00.62
[PER-SHARE-DISTRIBUTIONS] 00.15
[RETURNS-OF-CAPITAL] 0
[PER-SHARE-NAV-END] 13.42
[EXPENSE-RATIO] 01.01
[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 L
<TABLE>
<S> <C>
[PERIOD-TYPE] YEAR
[FISCAL-YEAR-END] MAR-31-1999
[PERIOD-END] MAR-31-1999
[INVESTMENTS-AT-COST] 63,501,376
[INVESTMENTS-AT-VALUE] 65,987,331
[RECEIVABLES] 2,567,904
[ASSETS-OTHER] 56,004
[OTHER-ITEMS-ASSETS] 0
[TOTAL-ASSETS] 68,611,239
[PAYABLE-FOR-SECURITIES] 1,000,000
[SENIOR-LONG-TERM-DEBT] 0
[OTHER-ITEMS-LIABILITIES] 168,706
[TOTAL-LIABILITIES] 1,168,706
[SENIOR-EQUITY] 0
[PAID-IN-CAPITAL-COMMON] 64,859,022
[SHARES-COMMON-STOCK] 782,313
[SHARES-COMMON-PRIOR] 571,989
[ACCUMULATED-NII-CURRENT] 3,903
[OVERDISTRIBUTION-NII] 0
[ACCUMULATED-NET-GAINS] 93,653
[OVERDISTRIBUTION-GAINS] 0
[ACCUM-APPREC-OR-DEPREC] 2,485,955
[NET-ASSETS] 67,442,533
[DIVIDEND-INCOME] 0
[INTEREST-INCOME] 2,860,246
[OTHER-INCOME] 0
[EXPENSES-NET] 428,347
[NET-INVESTMENT-INCOME] 2,431,899
[REALIZED-GAINS-CURRENT] 207,244
[APPREC-INCREASE-CURRENT] (40,052)
[NET-CHANGE-FROM-OPS] 2,599,091
[EQUALIZATION] 0
[DISTRIBUTIONS-OF-INCOME] 418,919
[DISTRIBUTIONS-OF-GAINS] 107,173
[DISTRIBUTIONS-OTHER] 0
[NUMBER-OF-SHARES-SOLD] 266,841
[NUMBER-OF-SHARES-REDEEMED] 79,975
[SHARES-REINVESTED] 23,458
[NET-CHANGE-IN-ASSETS] 24,490,219
[ACCUMULATED-NII-PRIOR] 96,710
[ACCUMULATED-GAINS-PRIOR] 493,549
[OVERDISTRIB-NII-PRIOR] 0
[OVERDIST-NET-GAINS-PRIOR] 0
[GROSS-ADVISORY-FEES] 235,522
[INTEREST-EXPENSE] 0
[GROSS-EXPENSE] 558,320
[AVERAGE-NET-ASSETS] 9,174,418
[PER-SHARE-NAV-BEGIN] 13.51
[PER-SHARE-NII] 00.60
[PER-SHARE-GAIN-APPREC] 00.06
[PER-SHARE-DIVIDEND] 00.61
[PER-SHARE-DISTRIBUTIONS] 00.15
[RETURNS-OF-CAPITAL] 0
[PER-SHARE-NAV-END] 13.41
[EXPENSE-RATIO] 01.07
[AVG-DEBT-OUTSTANDING] 0
[AVG-DEBT-PER-SHARE] 0
</TABLE>
To the Shareholders and Board of Trustees of
Smith Barney Muni Funds:
In planning and performing our audit of the financial statements
of the California Money Market Portfolio, New York Money Market
Portfolio, New York Portfolio, National Portfolio, Limited Term
Portfolio, Florida Portfolio, Georgia Portfolio and Pennsylvania
Portfolio of the Smith Barney Muni Funds (the "Funds") for the
year ended March 31, 1999, we considered its internal control,
including control activities for safeguarding securities, in
order to determine our auditing procedures for the purpose of
expressing our opinion on the financial statements and to comply
with the requirements of Form N-SAR, not to provide assurance on
the internal control.
The management of the Funds is responsible for establishing and
maintaining internal control. In fulfilling this responsibility,
estimates and judgments by management are required to assess the
expected benefits and related costs of controls. Generally,
controls that are relevant to an audit pertain to the entity's
objective of preparing financial statements for external purposes
that are fairly presented in conformity with generally accepted
accounting principles. Those controls include the safeguarding of
assets against unauthorized acquisition, use, or disposition.
Because of inherent limitations in internal control, errors or
fraud may occur and not be detected. Also, projection of any
evaluation of internal control to future periods is subject to
the risk that it may become inadequate because of changes in
conditions or that the effectiveness of the design and operation
may deteriorate.
Our consideration of the internal control would not necessarily
disclose all matters in the internal control that might be
material weaknesses under standards established by the American
Institute of Certified Public Accountants. A material weakness
is a condition in which the design or operation of one or more of
the internal control components does not reduce to a relatively
low level the risk that misstatements caused by error or fraud in
amounts that would be material in relation to the financial
statements being audited may occur and not be detected within a
timely period by employees in the normal course of performing
their assigned functions. However, we noted no matters involving
the internal control and its operation, including controls for
safeguarding securities that we consider to be material
weaknesses as defined above.
This report is intended solely for the information and use of
management, the Board of Directors of the Funds, and the
Securities and Exchange Commission.
May 12, 1999
SMITH BARNEY MUNI FUNDS
10f-3 REPORT
May 1, 1998 though March 31, 1999
Trade Purchase % of
Issuer Date Selling Dealer Amount
Price Issue
Orlando & Orange Expwy 5/6/98 Paine Webber $5,955,000
$97.895 5.56%
5.00% due 7/1/2016
Georgia Housing 5/7/98 Suntrust Equitable $1,000,000
100.00 2.86
5.30% due 6/1/2017
Pace River Manasota Wtr. 5/8/98 Raymond James
1,000,000 96.240 2.01
5.00% due 10/1/2023
Long Island Power Auth. 5/14/98 Bear Stearns 6,900,000
97.613 4.61
5.125% due 12/1/2022 Dean Witter Reynolds
Fleet/Nostar Securities
First Albany Corp.
William Simon & Sons
J.C. Bradford
ABN Amro
Oppenheimer
Roosevelt & Cross
Paine Webber
Raymond James
David Lerner & Associates
5.25% due 12/1/2026 Bear Stearns 2,000,000 96.841
5.00% due 12/1/2015 4,000,000 98.282
New York City G.O. 6/11/98 Bear Stearns 6,375,000
95.589 1.10
5.00% due 8/1/2023 Fleet/Nostar Securities
M.R. Beal
Samuel A. Ramirez & Co.
Oppenheimer
Paine Webber
Lebenthal & Co.
Morgan Stanley
Advest
Fulton County GA Water 6/12/98 Interstate Johnson 1,000,000
98.773 0.72
5.00% due 1/1/2018
Fulton Country GA Wtr 6/12/98 Interstate Johnson 1,000,000
98.773 0.72
5.00% due 1/1/2018
M.T.A. Commuter 6/16/98 William Simon & Sons 6,945,000 94.527
2.72
4.75% due 7/1/2026 Payor McClendon & Co.
Samuel A. Ramirez & Co.
Lebenthal & Co.
Prager & Co.
Merrill Lynch
Roosevelt & Cross
Puerto Rico Pub. Finance 6/19/98 Paine Webber
1,000,000 98.296 1.45
5.00% due 6/1/2020
Puerto Rico Pub. Finance 6/19/98 Paine Webber
1,000,000 98.296 1.45
5.00% due 6/1/2020
Puerto Rico Pub. Finance 6/19/98 Paine Webber
2,500,000 98.296 1.45
5.00% due 6/1/2020
NYS Mortgage Agency Rev. 6/25/98 Bear Stearns 6,500,000
100.00 11.65
5.35% due 10/1/2018
Dorm City University 7/10/98 Morgan Stanley 7,750,000
94.944 2.84
Lehman Brothers
Goldman Sachs
Oppenheimer
Paine Webber
NYS Dorm Mental Health 7/17/98 Bear Stearns 10,000,000
97.836 6.55
5.00% due 8/15/2027
Emory University 7/31/98 Paine Webber 1,000,000 99.421
1.50
5.00% due 11/1/2015
NYS Enviromental Fac. 8/6/98 Bear Stearns 2,000,000
101.759 0.72
5.25% due 6/15/2014
Phoenic Airport 8/6/98 Bear Stearns 1,500,000
98.264 5.45
5.00% 7/1/2018
Phoenix Civic Airport 8/6/98 Bear Stearns 2,500,000
98.264 5.45
5.00% due 7/1/2018
Massachusetts State G.O. 8/6/98 Paine Webber
3,000,000 97.776 5.23
5.00% due 7/1/2018
New York City G.O. 8/13/98 Lehman Brothers 5,875,000
98.165 2.00
5.00% due 8/15/2014 William Simon & Sons
Bear Stearns
Paine Webber
Roosevelt & Cross
Prudential Securities
Oppenheimer
A.G. Edwards & Sons
Advest
J.P. Morgan
Fleet/Nostar Securities
Lebenthal & Co.
Albany Corp.
Goldman Sachs
Morgan Stanley
M.R. Beal
Siebert Branford Shank
5.00% due 8/15/2028 Prudential Securities 4,975,000 95.807
M.R. Beal
Morgan Stanley
Lebenthal & Co.
Oppenheimer
J.P. Morgan
Pryor McClendon & Co.
Siebert Branford Shank
Massachusetts State G.O. 8/28/98 Merrill Lynch
2,500,000 102.211 3.67
5.25% due 8/1/2016
NC Medcare Pitt Hosp. 8/28/98 Interstate Johnson 7,500,000
93.462 8.93
4.75% due 12/1/2028
Massachusetts State G.O. 8/28/98 Merrill Lynch
3.67
5.00% due 8/1/2016 2,500,000 100.00
0.00% due 8/1/2018 2,503,177 37.330
Puerto Rico Elec Pwr. Auth 9/11/98 Bear Starns 4,000,000 96.616
10.48
4.75% due 7/1/2021
Washington DC Con. Ctr. 9/18/98 Paine Webber 7,500,000
93.921 3.78
4.75% due 10/1/2028
Portland Sewer System 9/25/98 Prudential-Bache 1,000,000
95.967 1.25
4.50% due 6/1/2017
North Texas Tollway 9/30/98 M.R. Beal 3,250,000 95.969
3.23
4.75% due 1/1/2029
Cleveland Electric 10/6/98 Morgan Stanley 9,000,000
100.00 8.58
Ohio State IDR
Beaver County, PA
4.60% due 10/1/2030
NYS Dorm Mental Health 10/16/98 J.P. Morgan 4,000,000 92.290
2.14
4.50% due 8/15/2028
Georgia Muni Electric Auth. 10/16/98 J.P. Morgan 5,000,000
105.910 4.04
5.25% due 1/1/2014
NYC Water Authority 10/22/98 Paine Webber 5,000,000
95.220 7.76
4.75% due 6/15/2031
Long Island Power Authority 10/26/98 Lehman Brothers 6,775,000
103.230 1.09
5.00% due 4/1/2014
Lancaster, PA G.O. 10/29/98 Janny Montgomery Scott 500,000
91.618 2.18
4.500% due 5/1/2028
Connecticut G.O. 10/29/98 Roosevelt & Cross 1,000,000 95.395
0.86
4.50% due 10/15/2017
Washington Healthcare 11/5/98 Paine Webber 1,500,000
102.211 4.68
5.250% due 10/2/2014
San Antonio Elec. Gas Ref. 11/13/98 Paine Webber 2,000,000
102.025 0.41
5.250% due 2/1/2016
4.500% due 2/1/2021 1,500,000 97.771
Mesirow Financial 125,000
Metro Transit 11/13/98 Paine Webber 5,000,000
101.731 1.50
5.125% due 7/1/2014
NYS Dorm Muni Health Fac. 11/13/98 Lehman Brothers 4,000,000
99.051 6.86
5.00% due 1/15/2017
NYC Dorm Muni Health 11/13/98 Lehman Brothers 2,500,000
99.051 6.86
5.000% due 1/15/2017
Massachusetts State Highway 11/19/98 J.P. Morgan 3,586,530 52.627
1.11
0.000% due 1/15/2012
New York City TFA 11/19/98 Lehman Brothers 4,000,000
100.923 2.90
5.000% due 11/15/2015
NYS Dorm Court Facilities 11/20/98 J.P. Morgan 2,000,000
102.450 7.04
5.250% due 8/1/2017
0.000% due 8/1/2019 426,468 35.539
0.000% due 8/1/2020 590,697 33.658
0.000% due 8/1/2021 510,944 31.934
0.000% due 8/1/2022 484,688 30.293
NYS Dorm Courthouse 11/20/98 4,550,000
105.732 3.42
5.000% die 8/1/2007
Puerto Rico Gomwlth. 12/3/98 Morgan Stanley 500,000
105.292 1.46
5.250% due 7/1/2016
Michigan State Building 12/3/98 Morgan Stanley 1,000,000
105.662 15.05
5.250% due 10/15/2012
New Hampshire G.O. 12/4/98 Merrill Lynch 1,000,000
106.616 2.96
5.250% due 10/1/2011
Grapevine-Colleyville 12/7/98 First Southwest 2,551,834
41.519 1.54
0.000% due 8/15/2016
Honolulu Waste Water 12/10/98 Paine Webber 1,147,630
41.732 12.94
0.000% due 7/1/2016
4.500% due 7/1/2028 4,000,000 92.470
Central Puget Sound 12/10/98 Goldman Sachs 2,000,000
95.303 3.29
4.750% due 2/1/2028
5.250% due 2/1/2017 1,000,000 105.268
Empire State Development 12/18/98 Goldman Sachs 7,200,000
102.049 5.10
5.125% due 4/1/2016
Puerto Rico Gomwlth. 12/31/98 Morgan Stanley 1,000,000
105.292 1.46
5.250% due 7/1/2016
Philadelphia, PA Water 1/7/99 First Union Securities 4,000,000
106.616 2.96
5.250% due 10/1/2012
New York City G.O. 1/14/99 Bear Stearns 1,000,000
102.024 0.89
5.125% due 8/1/2013
California HFA 1/15/99 Goldman Sachs 6,865,000
100.000 3.32
3.000% due 2/1/2000
NY Muni Assistance Corp 1/15/99 Merrill Lynch 2,580,000
108.319 2.56
5.250% due 7/1/2008
Houston, Texas 1/20/99 Merrill Lynch 2,353,946
67.064 9.96
0.000% due 2/15/2009
Municipal Assistance Corp 1/29/99 Merrill Lynch 5,000,000
109.050 1.12
5.250% due 7/1/2008
Phoenix G.O. 1/29/99 Prudential Securities 5,000,000
107.747 3.05
5.000% due 7/1/2008
Wisconsin Center Distict 2/5/99 Bear Stearns
3,500,000 104.544 2.78
5.250% 12/15/2023
New York City TFA 2/24/99 Bear Stearns 8,000,000 95.791
14.99
4.750% due 11/1/2023
New York City TFA 2/24/99
5.125% due 11/1/2015 Bear Stearns 2,000,000
102.958
5.125% due 11/1/2012 M.R. Beale 2,290,000 105.425
4,290,000 14.99
NYC Health & Hospital 3/5/99 Paine Webber 3,000,000
101.879 3.82
5.125% due 2/15/2014
NYC Health & Hospital 3/5/99 Paine Webber 3,000,000
97.838 3.82
5.000% due 2/15/2020
NYS Mortgage Authority 3/5/99 Goldman Sachs 5,000,000
100.000 15.26
5.100% due 10/1/2017