The Van Kampen Municipal Closed-End Funds (�Funds�) listed below hereby announce the dates for the partial redemptions of their respective preferred shares. The announced partial redemptions total approximately $120 million of the total outstanding preferred shares issued by the Funds.

This redemption announcement follows the August 18, 2008 press release in which Van Kampen provided information regarding additional refinancing of a portion of the Funds� preferred shares with the use of tender option bonds (TOBs). In light of the continued failed auctions, each Fund�s Board of Trustees approved the use of TOBs as a replacement source of leverage.

The amount of preferred shares being redeemed at this time equates to approximately 5 percent of the original shares issued for each Fund. This partial redemption affects nine of the Firms� closed-end municipal funds.

With respect to this partial redemption, The Depository Trust Company (DTC), the securities� holder of record, will determine how the partial series redemptions will be allocated among each participant broker-dealer account. Each participant broker-dealer, as nominee for underlying beneficial owners (street name shareholders), in turn will determine how redeemed shares are to be allocated among its underlying beneficial owners. The procedures used by various broker-dealers to allocate redeemed shares among beneficial owners may differ from each other as well as from the procedures used by DTC.

Redemption Schedule

Van Kampen Advantage Municipal Income Trust II (NYSE: VKI)

Series � CUSIP Number �

# of Shares

Redeemed

�

Amount

Redeemed

�

Redemption

Date

A � 921-12K-206 � 80 � $2,000,000 � May 21, 2009 B � 921-12K-305 � 80 � $2,000,000 � May 22, 2009 C � 921-12K-404 � 80 � $2,000,000 � May 21, 2009 D � 921-12K-503 � 80 � $2,000,000 � May 21, 2009 E � 921-12K-602 � 70 � $1,750,000 � May 22, 2009 F � 921-12K-701 � 100 � $2,500,000 � May 20, 2009 G � 921-12K-800 � 100 � $2,500,000 � June 29, 2009 H � 921-12K-883 � 100 � $2,500,000 � June 23, 2009 I � 921-12K-875 � 100 � $2,500,000 � July 06, 2009 J � 921-12K-867 � 50 � $1,250,000 � May 19, 2009

Van Kampen California Value Municipal Income Trust (NYSE: VCV)

Series � CUSIP Number �

# of Shares

Redeemed

�

Amount

Redeemed

�

Redemption

Date

A � 921-12B-206 � 120 � $3,000,000 � May 19, 2009 B � 921-12B-305 � 150 � $3,750,000 � June 29, 2009 C � 921-12B-404 � 90 � $2,250,000 � June 23, 2009 D � 921-12B-503 � 40 � $1,000,000 � June 15, 2009

Van Kampen Municipal Opportunity Trust (NYSE: VMO)

Series � CUSIP Number �

# of Shares

Redeemed

�

Amount

Redeemed

�

Redemption

Date

A � 920-935-202 � 150 � $3,750,000 � June 22, 2009 B � 920-935-301 � 150 � $3,750,000 � June 17, 2009 C � 920-935-400 � 100 � $2,500,000 � June 30, 2009 D � 920-935-509 � 100 � $2,500,000 � June 17, 2009 E � 920-935-608 � 100 � $2,500,000 � June 26, 2009 F � 920-935-707 � 80 � $2,000,000 � June 30, 2009

Van Kampen Municipal Trust (NYSE: VKQ)

Series � CUSIP Number �

# of Shares

Redeemed

�

Amount

Redeemed

�

Redemption

Date

A � 920-919-206 � 150 � $3,750,000 � May 21, 2009 B � 920-919-305 � 150 � $3,750,000 � July 06, 2009 C � 920-919-404 � 150 � $3,750,000 � May 19, 2009 D � 920-919-503 � 150 � $3,750,000 � June 30, 2009 E � 920-919-602 � 50 � $1,250,000 � June 29, 2009

Van Kampen Pennsylvania Value Municipal Income Trust (NYSE: VPV)

Series � CUSIP Number �

# of Shares

Redeemed

�

Amount

Redeemed

�

Redemption

Date

A � 921-12T-207 � 90 � $2,250,000 � May 19, 2009 B � 921-12T-306 � 80 � $2,000,000 � June 10, 2009 C � 921-12T-405 � 130 � $3,250,000 � June 30, 2009 D � 921-12T-504 � 140 � $3,500,000 � June 19, 2009

Van Kampen Select Sector Municipal Trust (NYSE: VKL)

Series � CUSIP Number �

# of Shares

Redeemed

�

Amount

Redeemed

�

Redemption

Date

A � 921-12M-202 � 34 � $850,000 � May 21, 2009 B � 921-12M-301 � 34 � $850,000 � June 12, 2009 C � 921-12M-400 � 100 � $2,500,000 � June 24, 2009 D � 921-12M-509 � 90 � $2,250,000 � June 25, 2009

Van Kampen Trust for Insured Municipals (NYSE: VIM)

Series � CUSIP Number �

# of Shares

Redeemed

�

Amount

Redeemed

�

Redemption

Date

A � 920-928-207 � 90 � $2,250,000 � June 10, 2009 B � 920-928-306 � 90 � $2,250,000 � June 09, 2009

Van Kampen Trust for Investment Grade Municipals (NYSE: VGM)

Series � CUSIP Number �

# of Shares

Redeemed

�

Amount

Redeemed

�

Redemption

Date

A � 920-929-205 � 150 � $3,750,000 � July 01, 2009 B � 920-929-304 � 150 � $3,750,000 � June 11, 2009 C � 920-929-403 � 150 � $3,750,000 � June 16, 2009 D � 920-929-502 � 80 � $2,000,000 � June 22, 2009 E � 920-929-601 � 110 � $2,750,000 � July 01, 2009 F � 920-929-700 � 110 � $2,750,000 � June 11, 2009 G � 920-929-809 � 110 � $2,750,000 � June 18, 2009 H � 920-929-882 � 112 � $2,800,000 � June 16, 2009 I � 920-929-874 � 100 � $2,500,000 � July 07, 2009

Van Kampen Trust for Investment Grade New York Municipals (NYSE: VTN)

Series � CUSIP Number �

# of Shares

Redeemed

�

Amount

Redeemed

�

Redemption

Date

A � 920-931-201 � 120 � $3,000,000 � June 30, 2009 B � 920-931-300 � 90 � $2,250,000 � July 02, 2009 C � 920-931-409 � 80 � $2,000,000 � May 19, 2009

Van Kampen Asset Management, the Funds' investment adviser, is a wholly owned subsidiary of Van Kampen Investments Inc. (�Van Kampen�). Van Kampen is one of the nation�s largest investment management companies, with approximately $78 billion in assets under management or supervision, as of March 31, 2009. With roots in money management dating back to 1927, Van Kampen has helped nearly four generations of investors achieve their financial goals. For more information, visit Van Kampen�s website at www.vankampen.com.

Copyright �2009 Van Kampen Funds Inc. All Rights Reserved. Member FINRA/SIPC.

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