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N-Q 1 c56433nvq.htm FORM N-Q nvq PAGEBREAK

UNITED STATES SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

FORM N-Q

QUARTERLY SCHEDULE OF PORTFOLIO HOLDINGS OF REGISTERED MANAGEMENT INVESTMENT COMPANIES

Investment Company Act file number 811-6537

Van Kampen Trust For Investment Grade New York Municipals

(Exact name of registrant as specified in charter)

522 Fifth Avenue, New York, New York 10036

(Address of principal executive offices) (Zip code)

Edward C. Wood III 522 Fifth Avenue, New York, New York 10036

(Name and address of agent for service)

Registrant’s telephone number, including area code: 212-762-4000

Date of fiscal year end: 10/31

Date of reporting period: 1/31/10

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TOC /TOC link2 "Item 1. Schedule of Investments"

Item 1. Schedule of Investments.

The Trust’s schedule of investments as of the close of the reporting period prepared pursuant to Rule 12-12 of Regulation S-X is as follows:

Van Kampen Trust for Investment Grade New York Municipals Portfolio of Investments § January 31, 2010 (Unaudited)

Par
Amount
(000) Description Coupon Maturity Value
Municipal Bonds 171.8%
New York 163.2%
$ 1,000 Albany, NY Indl Dev Agy Civic
Fac Rev Saint Peters Hosp
Proj, Ser D 5.750 % 11/15/27 $ 1,015,580
1,000 Amherst, NY Indl Dev Agy Civic
Fac Rev UBF Fac Student
Hsg, Ser A (AMBAC Insd) 5.750 08/01/25 1,030,620
1,000 Amherst, NY Indl Dev Agy Civic
Fac Rev UBF Fac Student
Hsg, Ser B (AMBAC Insd) 5.750 08/01/30 1,023,600
6,700 Brooklyn Arena Loc Dev Corp
NY Barclays Ctr Proj * 07/15/34 1,323,920
825 Brooklyn Arena Loc Dev Corp
NY Barclays Ctr Proj 6.250 07/15/40 849,370
825 Brooklyn Arena Loc Dev Corp
NY Barclays Ctr Proj 6.375 07/15/43 845,996
950 Dutchess Cnty, NY Indl Dev Agy
Civic Fac Rev Elant Fishkill
Inc, Ser A 5.250 01/01/37 690,127
2,400 East Rochester, NY Hsg Auth
Rev Sr Living Woodland Vlg
Proj Rfdg 5.500 08/01/33 1,957,032
1,000 Erie Cnty, NY Pub Impt, Ser C
(AMBAC Insd) (Prerefunded @
7/01/10) 5.500 07/01/29 1,032,760
2,150 Essex Cnty, NY Indl Dev Agy
Rev Intl Paper Rfdg, Ser A
(AMT) 5.200 12/01/23 2,041,167
1,500 Hempstead Town, NY Indl Dev
Agy Civic Fac Rev Adelphi
Univ Civic Fac 5.000 10/01/30 1,528,815

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Van Kampen Trust for Investment Grade New York Municipals Portfolio of Investments § January 31, 2010 (Unaudited) continued

Par
Amount
(000) Description Coupon Maturity Value
New York (continued)
$ 2,000 Hempstead Town, NY Indl Dev
Agy Civic Fac Rev Adelphi
Univ Civic Fac 5.500 % 06/01/32 $ 2,032,700
1,655 Hempstead Town, NY Loc Dev
Corp Rev Molloy College Proj 5.750 07/01/39 1,659,684
2,000 Islip, NY Res Recovery Agy Rev
1985 Fac, Ser B (AMBAC
Insd) (AMT) 7.250 07/01/11 2,155,840
1,500 Long Island Pwr Auth NY Elec
Sys Rev Gen, Ser B 5.000 12/01/35 1,516,950
1,975 Long Island Pwr Auth NY Elec
Sys Rev Gen, Ser E 5.000 12/01/17 2,169,063
1,860 Long Island Pwr Auth NY Elec
Sys Rev, Ser A 6.250 04/01/33 2,144,580
1,000 Long Island Pwr Auth NY Elec
Sys Rev, Ser A (AMBAC
Insd) 5.000 09/01/34 1,011,390
1,620 Madison Cnty, NY Indl Dev Agy
Civic Fac Rev Colgate Univ
Proj, Ser A (AMBAC Insd) 5.000 07/01/35 1,646,066
750 Madison Cnty, NY Indl Dev Agy
Civic Fac Rev Oneida Hlth Sys
Inc Proj, Ser A 5.500 02/01/32 669,277
1,000 Madison Cnty, NY Indl Dev Agy
Morrisville St College Fndtn,
Ser A (CIFG Insd) 5.000 06/01/28 955,970
1,535 Metropolitan Trans Auth NY
Dedicated Tax Fd, Ser B 5.250 11/15/27 1,668,376
4,000 Metropolitan Trans Auth NY Rev
Rfdg, Ser A (AMBAC Insd) 5.500 11/15/19 4,340,080
10,000 Metropolitan Trans Auth NY Rev,
Ser B (BHAC Insd) (a) 5.000 11/15/31 10,386,200

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Van Kampen Trust for Investment Grade New York Municipals Portfolio of Investments § January 31, 2010 (Unaudited) continued

Par
Amount
(000) Description Coupon Maturity Value
New York (continued)
$ 1,500 Montgomery Cnty, NY Indl Dev
Agy Lease Rev HFM Boces,
Ser A (Syncora Gtd) 5.000 % 07/01/34 $ 1,321,140
2,935 Nassau Cnty, NY Gen Impt, Ser
C (AGL Insd) 5.000 10/01/27 3,180,601
5,000 Nassau Cnty, NY Indl Dev Agy
Continuing Care Retirement
Amsterdam at Harborside, Ser
A 6.700 01/01/43 4,507,950
5,000 New York City Indl Dev Agy
Civic Fac Rev Polytechnic
Univ Proj (ACA Insd) 5.250 11/01/37 4,291,900
2,000 New York City Indl Dev Agy Rev
Liberty 7 World Trade Ctr Proj,
Ser B 6.750 03/01/15 2,030,860
3,375 New York City Indl Dev Agy Rev
Liberty Iac/Interactive Corp. 5.000 09/01/35 2,694,397
2,000 New York City Indl Dev Agy Rev
Queens Baseball Stadium
Pilot (AGL Insd) 6.500 01/01/46 2,228,960
2,000 New York City Indl Dev Agy Rev
Queens Baseball Stadium
Pilot (AMBAC Insd) 5.000 01/01/36 1,849,660
2,445 New York City Indl Dev Agy Spl
Fac Rev NY Stk Exchange
Proj Rfdg, Ser A 5.000 05/01/21 2,626,566
500 New York City Indl Dev Agy Spl
Fac Rev NY Stk Exchange
Proj Rfdg, Ser A 5.000 05/01/25 523,735
1,500 New York City Indl Dev Agy Spl
Fac Rev NY Stk Exchange
Proj Rfdg, Ser A 5.000 05/01/29 1,563,090

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Van Kampen Trust for Investment Grade New York Municipals Portfolio of Investments § January 31, 2010 (Unaudited) continued

Par
Amount
(000) Description Coupon Maturity Value
New York (continued)
$ 3,710 New York City Indl Dev Agy Spl
Fac Rev Term One Group
Assn Proj (AMT) (b) 5.500 % 01/01/19 $ 3,794,365
3,000 New York City Indl Dev Agy Spl
Fac Rev Term One Group
Assn Proj (AMT) (b) 5.500 01/01/20 3,054,420
5,750 New York City Indl Dev Agy Spl
Fac Rev Term One Group
Assn Proj (AMT) (b) 5.500 01/01/21 5,839,642
1,320 New York City Indl Dev Civic Fac
Rev YMCA Gtr NY Proj 5.800 08/01/16 1,322,231
1,500 New York City Muni Wtr Fin Auth
Wtr & Swr Rev, Ser FF-2 5.500 06/15/40 1,644,915
10,000 New York City Muni Wtr Fin Auth
Wtr & Swr Sys Rev, Ser C (a) 5.000 06/15/31 10,317,900
12,000 New York City Muni Wtr Fin Auth
Wtr & Swr Sys Rev, Ser D (a) 5.000 06/15/37 12,288,960
3,300 New York City, Ser F1 5.500 11/15/28 3,607,428
2,000 New York City, Ser G 5.000 12/01/25 2,098,760
1,300 New York City, Ser G 5.000 12/01/26 1,361,854
10,000 New York City, Subser I-1 (a) 5.000 02/01/26 10,567,000
10,000 New York City, Subser L-1 (a) 5.000 04/01/27 10,533,900
1,500 New York City Tr Cultural Res
Rev Carnegie Hall, Ser A 5.000 12/01/39 1,511,505
10,890 New York City Transitional
Cultural Res Rev Amern
Museum Nat History Rfdg, Ser
A (NATL Insd) (a) 5.000 07/01/44 11,031,679
2,950 New York City Transitional Fin
Auth Bldg Aid Rev Fiscal 2009,
Ser S-1 5.500 07/15/38 3,155,615

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Van Kampen Trust for Investment Grade New York Municipals Portfolio of Investments § January 31, 2010 (Unaudited) continued

Par
Amount
(000) Description Coupon Maturity Value
New York (continued)
$ 1,350 New York City Transitional Fin
Auth Bldg Aid Rev Fiscal 2009,
Ser S-2 6.000 % 07/15/33 $ 1,515,793
4,500 New York City Transitional Fin
Auth Bldg Aid Rev Fiscal 2009,
Ser S-3 5.250 01/15/27 4,815,045
1,000 New York City Transitional Fin
Auth Bldg Aid Rev Fiscal 2009,
Ser S-3 5.250 01/15/39 1,045,030
1,000 New York St Dorm Auth Lease
Rev Master Boces Pgm, Ser A
(AGM Insd) 5.250 08/15/17 1,056,510
2,200 New York St Dorm Auth Rev
Catholic Hlth L.I. Oblig Group 5.000 07/01/27 2,077,614
2,000 New York St Dorm Auth Rev
Catholic Hlth L.I. Oblig Group 5.100 07/01/34 1,837,800
3,000 New York St Dorm Auth Rev
City Univ Cons Third, Ser 1
(FGIC Insd) 5.250 07/01/25 3,038,580
3,125 New York St Dorm Auth Rev
City Univ Sys Cons, Ser A 5.625 07/01/16 3,532,469
2,500 New York St Dorm Auth Rev
Cons City Univ Sys Second
Gen, Ser A 5.750 07/01/13 2,696,850
1,670 New York St Dorm Auth Rev
Dept Ed 5.250 07/01/19 1,801,863
2,500 New York St Dorm Auth Rev
Dept Hlth, Ser A (CIFG Insd) 5.000 07/01/25 2,565,500
2,300 New York St Dorm Auth Rev
Hosp (NATL Insd) 5.000 08/01/33 2,321,689
2,340 New York St Dorm Auth Rev
Insd Brooklyn Law Sch, Ser B
(Syncora Gtd) 5.375 07/01/23 2,370,116

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Van Kampen Trust for Investment Grade New York Municipals Portfolio of Investments § January 31, 2010 (Unaudited) continued

Par
Amount
(000) Description Coupon Maturity Value
New York (continued)
$ 1,000 New York St Dorm Auth Rev
Insd John T Mather Mem Hosp
Rfdg (Connie Lee Insd) 6.500 % 07/01/10 $ 1,013,040
1,720 New York St Dorm Auth Rev
Insd John T Mather Mem Hosp
Rfdg (Connie Lee Insd) 6.500 07/01/11 1,788,250
3,750 New York St Dorm Auth Rev
Mem Sloan Kettering Cancer
Center (NATL Insd) 5.500 07/01/23 4,350,900
6,000 New York St Dorm Auth Rev
Non St Supported Debt Court
Fac Lease NYC Issue, Ser A
(AMBAC Insd) 5.500 05/15/30 6,499,560
2,000 New York St Dorm Auth Rev
Non St Supported Debt Insd
Providence Rest (ACA Insd) 5.000 07/01/35 1,293,260
2,525 New York St Dorm Auth Rev
Non St Supported Debt Insd
Providence Rest (ACA Insd) 5.125 07/01/30 1,771,010
600 New York St Dorm Auth Rev
Non St Supported Debt
Insd-pratt Inst, Ser C (AGL
Insd) 5.125 07/01/39 615,534
2,000 New York St Dorm Auth Rev
Non St Supported Debt L.I.
Jewish, Ser A 5.000 11/01/34 1,925,640
4,000 New York St Dorm Auth Rev
Non St Supported Debt L.I.
Jewish, Ser A 5.000 11/01/26 4,002,640
1,750 New York St Dorm Auth Rev
Non St Supported Debt Mount
Sinai Sch Of Medicine 5.125 07/01/39 1,740,708

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Van Kampen Trust for Investment Grade New York Municipals Portfolio of Investments § January 31, 2010 (Unaudited) continued

Par
Amount
(000) Description Coupon Maturity Value
New York (continued)
$ 5,000 New York St Dorm Auth Rev
Non St Supported Debt NYU
Hosp Ctr, Ser A 5.000 % 07/01/36 $ 4,480,950
1,000 New York St Dorm Auth Rev
Non St Supported Debt
Orange Regl Med Ctr 6.125 12/01/29 933,140
3,000 New York St Dorm Auth Rev
Non St Supported Debt
Orange Regl Med Ctr 6.500 12/01/21 3,052,050
2,000 New York St Dorm Auth Rev
Non St Supported Debt Sch
Dist Bd Fin Prog, Ser D (AGL
Insd) 5.750 10/01/24 2,215,580
2,870 New York St Dorm Auth Rev
Non St Supported Debt NY
Univ, Ser C 5.000 07/01/38 2,949,298
1,585 New York St Dorm Auth Rev
Secondarily Insd NY Univ, Ser
1 (BHAC Insd) 5.500 07/01/31 1,841,421
2,205 New York St Dorm Auth Rev St
Supported Debt Lease St Univ
Dorm Fac, Ser A 5.000 07/01/25 2,327,377
2,000 New York St Dorm Auth Rev St
Supported Debt Mental Hlth
Svc Fac Impt, Ser A (AGM
Insd) 5.000 02/15/27 2,111,640
2,000 New York St Dorm Auth Rev St
Supported Debt Mental Hlth
Svc, Ser C (AGM Insd) (AMT) 5.250 02/15/28 2,012,260
1,000 New York St Dorm Auth Rev St
Univ Ed Fac 1989 Res (NATL
Insd) (Prerefunded @
5/15/10) 6.000 05/15/15 1,027,310

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Van Kampen Trust for Investment Grade New York Municipals Portfolio of Investments § January 31, 2010 (Unaudited) continued

Par
Amount
(000) Description Coupon Maturity Value
New York (continued)
$ 3,600 New York St Dorm Auth Rev St
Univ Ed Fac, Ser A (NATL
Insd) 5.250 % 05/15/15 $ 4,059,576
5,010 New York St Dorm Auth Rev St
Univ Ed Fac, Ser B 5.250 05/15/19 5,548,826
2,150 New York St Dorm Auth St Pers
Income Tax Rev Ed, Ser B 5.750 03/15/36 2,396,949
300 New York St Environmental Fac
Corp Pollutn Ctl Rev St Wtr
Revolving Fd, Ser A (POL
CTL-SRF Insd) (c) 5.750 06/15/12 335,940
500 New York St Environmental Fac
Corp Pollutn Ctl Rev St Wtr,
Ser 02 (POL CTL-SRF
Insd) (c) 5.750 06/15/12 558,890
95 New York St Environmental Fac
Corp Pollutn Ctl Rev St Wtr,
Ser 02 (POL CTL-SRF Insd) 5.750 06/15/12 105,974
1,000 New York St Environmental Fac
Corp St Clean Wtr & Drinking
Revolving Fd Muni Wtr Proj,
Ser B 5.250 06/15/20 1,082,660
2,100 New York St Environmental Fac
Corp St Clean Wtr & Drinking,
Ser A (a) 5.125 06/15/38 2,214,219
1,555 New York St Mtg Agy Rev
Homeowner Mtg, Ser 145
(AMT) 5.050 10/01/29 1,556,742
840 New York St Mtg Agy Rev
Homeowner Mtg, Ser 71
(AMT) 5.400 04/01/29 841,210
2,500 New York St Twy Auth Gen Rev,
Ser H (NATL Insd) 5.000 01/01/29 2,584,125

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Van Kampen Trust for Investment Grade New York Municipals Portfolio of Investments § January 31, 2010 (Unaudited) continued

Par
Amount
(000) Description Coupon Maturity Value
New York (continued)
$ 2,000 New York St Twy Auth Second
Gen Hwy & Brdg Tr Fd, Ser B 5.000 % 04/01/27 $ 2,133,160
1,250 New York St Urban Dev Corp
Rev Correctional Fac Rfdg 5.500 01/01/13 1,323,288
4,650 New York St Urban Dev Corp
Rev Correctional Fac Rfdg,
Ser A 5.500 01/01/14 4,996,937
2,000 New York St Urban Dev Corp
Rev Svc Contract, Ser B 5.250 01/01/25 2,146,140
3,570 Niagara Falls, NY Frontier Auth
Trans Arpt Rev Buffalo
Niagara Intl Arpt, Ser A (NATL
Insd) (AMT) 5.625 04/01/29 3,576,712
1,060 Niagara Falls, NY Wtr Treatment
Plant (NATL Insd) (AMT) 7.250 11/01/10 1,115,703
1,520 Oneida Cnty, NY Indl Dev Agy
Civic Fac Saint Elizabeth Med,
Ser B 6.000 12/01/19 1,430,518
35,000 Port Auth NY & NJ Cons
144th (a) 5.000 10/01/35 36,098,650
2,000 Port Auth NY & NJ Spl Oblig
Rev Spl Proj JFK Intl Arpt
Term 6 (NATL Insd) (AMT) 5.750 12/01/22 2,050,960
2,500 Port Auth NY & NJ Spl Oblig
Rev Spl Proj JFK Intl Arpt
Term 6 (NATL Insd) (AMT) 5.750 12/01/25 2,499,750
10,000 Porth Auth NY & NJ Cons
152nd (a) 5.000 11/01/25 10,026,100
1,000 Rockland Cnty, NY Solid Waste
Mgmt Auth, Ser B (AMBAC
Insd) (AMT) 5.125 12/15/28 980,390

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Van Kampen Trust for Investment Grade New York Municipals Portfolio of Investments § January 31, 2010 (Unaudited) continued

Par
Amount
(000) Description Coupon Maturity Value
New York (continued)
$ 1,000 Saratoga Cnty, NY Indl Dev Agy
Civic Fac Rev Saratoga Hosp
Proj, Ser B 5.125 % 12/01/27 $ 957,640
1,500 Seneca Cnty, NY Indl Dev Agy
Solid Waste Disp Rev Seneca
Meadows Inc Proj (GTY
AGMT) (AMT) (b)(d) 6.625 10/01/35 1,501,170
1,250 Sodus, NY Ctr Sch Dist Rfdg
(NATL Insd) 5.125 06/15/17 1,356,663
2,085 Suffolk Cnty, NY Indl Dev Agy
Civic Fac Rev Eastrn Long
Island Hosp Assn (d) 5.375 01/01/27 1,561,582
15 Triborough Brdg & Tunl Auth NY
Rev Gen Purp, Ser A 5.000 01/01/32 15,166
2,340 Tsasc, Inc NY, Ser 1 5.000 06/01/34 1,935,905
10,000 Tsasc, Inc NY, Ser 1 5.125 06/01/42 8,071,600
1,000 United Nations Dev Corp NY
Rev Rfdg, Ser A 5.000 07/01/25 1,052,140
1,360 Warren & Washington Cnty, NY
Indl Dev Agy Civic Fac Rev
Glens Falls Hosp Proj, Ser A
(AGM Insd) 5.000 12/01/35 1,344,345
5,000 Westchester Cnty, NY Indl Dev
Agy Continuing Care
Retirement Mtg Kendal on
Hudson Proj, Ser A
(Prerefunded @ 1/01/13) 6.500 01/01/34 5,754,750
7,000 Westchester Tob Asset Sec
Corp NY 5.125 06/01/45 5,616,590
352,101,593
Guam 0.6%
750 Guam Govt Ltd Oblig Rev Sect
30, Ser A 5.625 12/01/29 758,123

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Van Kampen Trust for Investment Grade New York Municipals Portfolio of Investments § January 31, 2010 (Unaudited) continued

Par
Amount
(000) Description Coupon Maturity Value
Guam (continued)
$ 500 Guam Govt Ltd Oblig Rev Sect
30, Ser A 5.750 % 12/01/34 $ 507,080
1,265,203
Puerto Rico 5.1%
1,225 Puerto Rico Comwlth
Infrastrucure Fin Auth Spl Tax
Rev Rfdg, Ser C (AMBAC
Insd) 5.500 07/01/27 1,206,074
1,000 Puerto Rico Elec Pwr Auth Rev,
Ser TT 5.000 07/01/37 952,680
1,000 Puerto Rico Elec Pwr Auth Rev,
Ser WW 5.000 07/01/28 989,280
1,500 Puerto Rico Elec Pwr Auth Rev,
Ser WW 5.250 07/01/33 1,499,940
1,000 Puerto Rico Elec Pwr Auth Rev,
Ser WW 5.500 07/01/21 1,055,070
75 Puerto Rico Pub Bldgs Auth Rev
Govt Fac, Ser I (Comwth Gtd)
(Prerefunded @ 7/01/14) 5.250 07/01/33 86,624
2,500 Puerto Rico Sales Tax Fin Corp
Sales Tax Rev First Sub, Ser
A (b) 5.000 08/01/39 2,625,950
945 Puerto Rico Sales Tax Fin Corp
Sales Tax Rev First Sub, Ser
A (e) 5.375 08/01/39 933,282
1,500 Puerto Rico Sales Tax Fin Corp
Sales Tax Rev First Sub, Ser
A 6.375 08/01/39 1,600,725
10,949,625
U.S. Virgin Islands 2.9%
1,500 Virgin Islands Pub Fin Auth Rev
Gross Rcpt Taxes Ln Nt, Ser
A 6.375 10/01/19 1,529,730

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Van Kampen Trust for Investment Grade New York Municipals Portfolio of Investments § January 31, 2010 (Unaudited) continued

Par
Amount
(000) Description Coupon Maturity Value
U.S. Virgin Islands (continued)
$ 3,000 Virgin Islands Pub Fin Auth Rev
Gross Rcpt Taxes Ln Nt, Ser A
(ACA Insd) (Prerefunded @
10/01/10) 6.125 % 10/01/29 $ 3,149,400
1,600 Virgin Islands Pub Fin Auth Rev
Matching Fd Ln Diago, Ser A 6.625 10/01/29 1,689,952
6,369,082
Total Long-Term Investments 171.8% (Cost $366,406,683) 370,685,503
Total Short-Term Investments 1.3% (Cost $2,800,000) 2,800,000
Total Investments 173.1% (Cost $369,206,683) 373,485,503
Liability for Floating Rate Note Obligations Related to Securities Held (30.7%) (Cost ($66,235,000))
(66,235 ) Notes with interest rates ranging from 0.18% to 0.29% at January 31,
2010 and contractual maturities of collateral ranging from 2025 to
2044 (f) (66,235,000 )
Total Net Investments 142.4% (Cost $302,971,683) 307,250,503
Other Assets in Excess of Liabilities 1.3% 2,740,795
Preferred Shares (including accrued distributions) (43.7%) (94,255,693)
Net Assets Applicable to Common Shares 100.0% $ 215,735,605

Percentages are calculated as a percentage of net assets applicable to common shares.

  • Zero coupon bond

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Van Kampen Trust for Investment Grade New York Municipals Portfolio of Investments § January 31, 2010 (Unaudited) continued

(a) Underlying security related to Inverse Floaters entered into by the Trust.
(b) Variable Rate Coupon
(c) Escrowed to Maturity
(d) 144A-Private Placement security which is exempt from registration under Rule 144A of the
Securities Act of 1933, as amended. This security may only be resold in transactions
exempt from registration which are normally those transactions with qualified institutional
buyers.
(e) Security purchased on a when-issued or delayed delivery basis.
(f) Floating rate notes. The interest rate shown reflects the rate in effect at January 31,
2010.

ACA — American Capital Access

AGL — Assured Guaranty Ltd.

AGM — Assured Guaranty Municipal Corp.

AMBAC — AMBAC Indemnity Corp.

AMT — Alternative Minimum Tax

BHAC — Berkshire Hathaway Assurance Corp.

CIFG — CDC IXIS Financial Guaranty

Comwth — Commonwealth of Puerto Rico

Connie Lee — Connie Lee Insurance Co.

FGIC — Financial Guaranty Insurance Co.

GTY AGMT — Guarantee Agreement

NATL — National Public Finance Guarantee Corp.

POL CTL-SRF — State Water Pollution Control Revolving Fund

Syncora Gtd — Syncora Guaranteed Inc.

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Van Kampen Trust for Investment Grade New York Municipals Portfolio of Investments § January 31, 2010 (Unaudited) continued

Security Valuation Municipal bonds are valued by independent pricing services or dealers using the mean of the last reported bid and asked prices or, in the absence of market quotations, at fair value based upon yield data relating to municipal bonds with similar characteristics and general market conditions. Securities which are not valued by independent pricing services or dealers are valued at fair value using procedures established in good faith by the Board of Trustees. Factors considered in making this determination may include, but are not limited to, information obtained by contacting the issuer, analysts, or the appropriate stock exchange (for exchange-traded securities), analysis of the issuer’s financial statements or other available documents and, if necessary, available information concerning other securities in similar circumstances. Futures contracts are valued at the settlement price established each day on the exchange on which they are traded. Short-term securities with remaining maturities of 60 days or less are valued at amortized cost, which approximates fair value.

Fair Value Measurements Financial Accounting Standards Board Accounting Standards Codification (ASC) 820, “ Fair Value Measurements and Disclosures” (ASC 820) (formally known as FAS 157) defines fair value as the price that the Trust would receive to sell an investment or pay to transfer a liability in an orderly transaction with an independent buyer in the principal market, or in the absence of a principal market the most advantageous market for the investment or liability. ASC 820 establishes a three-tier hierarchy to distinguish between (1) inputs that reflect the assumptions market participants would use in pricing an asset or liability developed based on market data obtained from sources independent of the reporting entity (observable inputs) and (2) inputs that reflect the reporting entity’s own assumptions about the assumptions market participants would use in pricing an asset or liability developed based on the best information available in the circumstances (unobservable inputs) and to establish classification of fair value measurements for disclosure purposes. Various inputs are used in determining the value of the Trust’s investments. The inputs are summarized in the three broad levels listed below.

Level 1— quoted prices in active markets for identical investments
Level 2— other significant observable inputs (including quoted prices for similar investments,
interest rates, prepayment speeds, credit risk, etc.)
Level 3— significant unobservable inputs (including the Trust’s own assumptions in determining the
fair value of investments)

The inputs or methodology used for valuing securities are not necessarily an indication of the risk associated with investing in these securities.

The following is a summary of the inputs used as of January 31, 2010 in valuing the Trust’s investments carried at value.

Level 1 Level 2 Level 3
Other
Significant Significant
Observable Unobservable
Investments Quoted Prices Inputs Inputs Total
Investments in an Asset Position:
Municipal Bonds
Securities Issued by states of the United
States and Political Subdivisions of the United
States $ — $ 372,220,300 $ — $ 372,220,300
Seurities
Issued by Foreign Governments — 1,265,203 — 1,265,203
Total Investments in an Asset Position $ — $ 373,485,503 $ — $ 373,485,503

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link2 "Item 2. Controls and Procedures"

Item 2. Controls and Procedures.

(a) The Trust’s principal executive officer and principal financial officer have concluded that the Trust’s disclosure controls and procedures are sufficient to ensure that information required to be disclosed by the Trust in this Form N-Q was recorded, processed, summarized and reported within the time periods specified in the Securities and Exchange Commission’s rules and forms, based upon such officers’ evaluation of these controls and procedures as of a date within 90 days of the filing date of the report.

(b) There were no changes in the Trust’s internal control over financial reporting that occurred during the registrant’s fiscal quarter that has materially affected, or is reasonably likely to materially affect, the Trust’s internal control over financial reporting.

link2 "Item 3. Exhibits"

Item 3. Exhibits.

(a) A certification for the Principal Executive Officer of the registrant is attached hereto as part of EX-99.cert.

(b) A certification for the Principal Financial Officer of the registrant is attached hereto as part of EX-99.cert.

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link1 "SIGNATURES"

SIGNATURES

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.

(Registrant) Van Kampen Trust For Investment Grade New York Municipals

By: Name: /s/ Edward C. Wood III Edward C. Wood III
Title: Principal Executive Officer
Date: March 23, 2010

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, this report has been signed by the following persons on behalf of the registrant and in the capacities and on the dates indicated.

By: Name: /s/ Edward C. Wood III Edward C. Wood III
Title: Principal Executive Officer
Date: March 23, 2010
By: Name: /s/ Stuart N. Schuldt Stuart N. Schuldt
Title: Principal Financial Officer
Date: March 23, 2010

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