N-14 8C/A as filed with the Securities and Exchange Commission on November 29, 2006 Securities Act File No. 333-138925 Investment Company Act File No. 811-10573 -------------------------------------------------------------------------------- SECURITIES AND EXCHANGE COMMISSION Washington, D.C. 20549 -------------------------------------------------------------------------------- FORM N-14 REGISTRATION STATEMENT UNDER THE SECURITIES ACT OF 1933 Pre-Effective Amendment No. 1 Post-Effective Amendment No. [__] (Check appropriate box or boxes) -------------------------------------------------------------------------------- Alliance National Municipal Income Fund, Inc. (Exact Name of Registrant as Specified in Charter) (800) 221-5672 (Area Code and Telephone Number) 1345 Avenue of the Americas, New York, New York 10105 (Address of Principal Executive Office) (Zip Code) -------------------------------------------------------------------------------- EMILIE D.WRAPP AllianceBernstein L.P. 1345 Avenue of the Americas New York, New York 10105 (Name and Address of Agent for Service) Copies of communications to: Kathleen K. Clarke Seward & Kissel LLP 1200 G Street, N.W. Washington, D.C. 20005 -------------------------------------------------------------------------------- Approximate Date Of Proposed Public Offering: As soon as practicable after the Registration Statement becomes effective under the Securities Act of 1933. -------------------------------------------------------------------------------- CALCULATION OF REGISTRATION FEE UNDER THE SECURITIES ACT OF 1933: Proposed Proposed Title of Maximum Maximum Amount Securities Amount Offering Aggregate of Being Being Price per Offering Registration Registered Registered(1) Unit Price Fee(2) Common Shares, 11,145,261 $15.15(1) $168,850,704(1) $18,067 Series ($.001 par value) Preferred 1,200 $25,000 $30,000,000 $3,210 Shares, Series M ($.001 par value) Preferred 1,200 $25,000 $30,000,000 $3,210 Shares, Series W ($.001 par value) Preferred 1,200 $25,000 $30,000,000 $3,210 Shares, Series TH ($.001 par value) 1. Estimated solely for the purpose of calculating the filing fee in accordance with Rule 457(f) under the Securities Act of 1933, as amended. 2. Previously paid by wire transfer to the SEC's account at Mellon Bank in Pittsburgh, Pennsylvania in connection with the original registration statement filed on November 22, 2006. The Registrant hereby amends this Registration Statement on such date or dates as may be necessary to delay its effective date until the Registrant shall file a further amendment which specifically states that this Registration Statement shall thereafter become effective in accordance with Section 8(a) of the Securities Act of 1933, as amended, or until the Registration Statement shall become effective on such date as the Securities and Exchange Commission, acting pursuant to said Section 8(a), may determine. ALLIANCE NATIONAL MUNICIPAL INCOME FUND, INC. CONTENTS OF FORM N-14 REGISTRATION STATEMENT Explanatory Note This amendment is being filed solely to make the following revisions to the Registration Statement filed on Form N-14 8C on November 22, 2006: 1. Under the "Summary" portion of the Registration Statement, under the subheading "Comparison of Total Expenses Ratios," the third table under that section is revised to read follows: Net Gross Expense Ratio Expense Ratio ---------------------------------------------------------------------- ACM Municipal Securities 1.43% 1.61% Alliance National Municipal 0.98% 1.38% Combined Fund 0.97% (pro forma) 1.38% (pro forma) ---------------------------------------------------------------------- 2. Under Appendix G, the following replaces in its entirety the tabular data in that Appendix: FYE: 10/31 Alliance (Discount) or National Corresponding Premium to Municipal Sales Price Net Asset Value Net Asset Value -------------------------------------------------------------------------------- Quarter Ended High Low High Low High Low -------------------------------------------------------------------------------- 01/31/04 $14.60 $13.51 $15.60 $14.92 (6.41)% (9.45)% 04/30/04 $14.86 $13.34 $16.04 $14.91 (7.36)% (10.53)% 07/31/04 $13.56 $12.62 $14.95 $14.61 (9.30)% (13.62)% 10/31/04 $14.24 $13.56 $15.46 $14.95 (7.89)% (9.30)% 01/31/05 $14.37 $13.67 $15.74 $15.10 (8.70)% (9.47)% 04/30/05 $14.58 $14.01 $15.79 $15.33 (7.66)% (8.61)% 07/31/05 $15.17 $14.30 $15.68 $15.51 (3.25)% (7.80)% 10/31/05 $15.69 $14.66 $15.67 $15.41 0.13% (4.87)% 01/31/06 $15.94 $14.63 $15.59 $15.23 2.25% (3.94)% 04/30/06 $16.17 $15.41 $15.47 $15.49 4.52% (0.52)% 07/31/06 $16.06 $15.12 $15.38 $15.14 4.42% (0.13)% 10/31/06 $17.02 $15.09 $15.54 $15.58 9.52% (3.15)% FYE: 10/31 ACM (Discount) or Municipal Corresponding Premium to Securities Sales Price Net Asset Value Net Asset Value -------------------------------------------------------------------------------- Quarter Ended High Low High Low High Low -------------------------------------------------------------------------------- 01/31/04 $ 12.45 $11.47 $11.46 $10.98 8.64% 4.46% 04/30/04 $ 12.70 $11.39 $11.42 $11.02 11.21% 3.36% 07/31/04 $ 11.64 $10.60 $10.98 $10.69 6.01% (0.84)% 10/31/04 $ 12.47 $11.64 $11.26 $10.98 10.75% 6.01% 01/31/05 $ 12.10 $10.34 $11.21 $11.33 7.94% (8.74)% 04/30/05 $ 10.96 $10.05 $11.69 $11.20 (6.24)% (10.27)% 07/31/05 $ 11.07 $10.21 $11.45 $11.35 (3.32)% (10.04)% 10/31/05 $ 11.35 $10.18 $11.41 $11.25 (0.53)% (9.51)% 01/31/06 $ 10.83 $10.06 $11.30 $11.21 (4.16)% (10.26)% 04/30/06 $ 11.10 $10.29 $11.26 $11.07 (1.42)% (7.05)% 07/31/06 $ 10.79 $ 9.97 $11.00 $10.92 (1.91)% (8.70)% 10/31/06 $ 10.96 $10.32 $11.37 $11.14 (3.61)% (7.36)% All other portions of the Prospectus/Proxy Statement, Statement of Additional Information and Part C (including signature pages and exhibits) are incorporated by reference from the initial registration statement (File No. 333-138925) filed on November 22, 2006. Please feel free to contact me at 202-737-8833 with any questions. Regards, Michelle C. Roberts, Esq. /s/ Michelle C. Roberts