<SEC-DOCUMENT>0001410368-18-000261.txt : 20180227
<SEC-HEADER>0001410368-18-000261.hdr.sgml : 20180227
<ACCEPTANCE-DATETIME>20180227170420
ACCESSION NUMBER:		0001410368-18-000261
CONFORMED SUBMISSION TYPE:	NSAR-B
PUBLIC DOCUMENT COUNT:		3
CONFORMED PERIOD OF REPORT:	20171231
FILED AS OF DATE:		20180227
DATE AS OF CHANGE:		20180227
EFFECTIVENESS DATE:		20180227

FILER:

	COMPANY DATA:	
		COMPANY CONFORMED NAME:			CREDIT SUISSE ASSET MANAGEMENT INCOME FUND INC
		CENTRAL INDEX KEY:			0000810766
		IRS NUMBER:				232451535
		STATE OF INCORPORATION:			MD
		FISCAL YEAR END:			1231

	FILING VALUES:
		FORM TYPE:		NSAR-B
		SEC ACT:		1940 Act
		SEC FILE NUMBER:	811-05012
		FILM NUMBER:		18646172

	BUSINESS ADDRESS:	
		STREET 1:		ONE MADISON AVENUE
		CITY:			NEW YORK
		STATE:			NY
		ZIP:			10010
		BUSINESS PHONE:		212-325-2000

	MAIL ADDRESS:	
		STREET 1:		ONE MADISON AVENUE
		CITY:			NEW YORK
		STATE:			NY
		ZIP:			10010

	FORMER COMPANY:	
		FORMER CONFORMED NAME:	CSAM INCOME FUND
		DATE OF NAME CHANGE:	19990830

	FORMER COMPANY:	
		FORMER CONFORMED NAME:	BEA INCOME FUND INC
		DATE OF NAME CHANGE:	19950828

	FORMER COMPANY:	
		FORMER CONFORMED NAME:	CS FIRST BOSTON INCOME FUND INC
		DATE OF NAME CHANGE:	19950420
</SEC-HEADER>
<DOCUMENT>
<TYPE>NSAR-B
<SEQUENCE>1
<FILENAME>th96.answer.fil
<DESCRIPTION>ANSWER FILE
<TEXT>
<PAGE>      PAGE  1
000 B000000 12/31/2017
000 C000000 0000810766
000 D000000 N
000 E000000 NF
000 F000000 Y
000 G000000 N
000 H000000 N
000 I000000 6.1
000 J000000 A
001 A000000 CSAM INCOME FUND
001 B000000 811-05012
001 C000000 8002931232
002 A000000 ELEVEN MADISON AVE
002 B000000 NEW YORK
002 C000000 NY
002 D010000 10010
003  000000 N
004  000000 N
005  000000 N
006  000000 N
007 A000000 N
007 B000000  0
007 C010100  1
008 A000001 CREDIT SUISSE ASSET MANAGEMENT, LLC
008 B000001 A
008 C000001 801-37170
008 D010001 NEW YORK
008 D020001 NY
008 D030001 10010
008 D040001 3626
010 A000001 STATE STREET BANK AND TRUST CO.
010 B000001 812-12992
010 C010001 BOSTON
010 C020001 MA
010 C030001 02111
010 A000002 CREDIT SUISSE ASSET MANAGEMENT, LLC
010 B000002 801-37170
010 C010002 NEW YORK
010 C020002 NY
010 C030002 10010
010 C040002 3629
011 A000001 CREDIT SUISSE SECURITIES (USA) LLC
011 B000001 8-00422
011 C010001 NEW YORK
011 C020001 NY
011 C030001 10010
011 C040001 3629
012 A000001 COMPUTERSHARE TRUST COMPANY, N.A.
012 B000001 84-00000
012 C010001 College Station
012 C020001 TX
<PAGE>      PAGE  2
012 C030001 77842
012 C040001 3170
013 A000001 KPMG LLP
013 B010001 NEW YORK
013 B020001 NY
013 B030001 10154
014 A000001 CREDIT SUISSE SECURITIES (USA) LLC
014 B000001 8-00000
014 A000002 CREDIT SUISSE CAPITAL LLC
014 B000002 8-00000
014 A000003 WAKE USA LLC
014 B000003 8-00000
014 A000004 CS  PRIME SECURITIES SERVICES (USA) LLC
014 B000004 8-800000
014 A000005 CREDIT SUISSE (AUSTRALIA), LTD.
014 B000005 8-00000
014 A000006 CREDIT SUISSE EQUITIES (AUSTRALIA), LTD.
014 B000006 8-00000
014 A000007 CS INVESTMENS SERVICES (AUSTRALIA), LTD.
014 B000007 8-00000
014 A000008 CS (BRASIL) SA CORR DE TITL E VALS MOBIL
014 B000008 8-00000
014 A000009 CS HEDGING-GRIFFO CORRETORA DE VALORES S.A.
014 B000009 8-00000
014 A000010 CREDIT SUISSE SECURITIES (CANADA), INC.
014 B000010 8-00000
014 A000011 CREDIT SUISSE (GIBRALTAR), LTD.
014 B000011 8-00000
014 A000012 CREDIT SUISSE (HONG KONG), LTD.
014 B000012 8-00000
014 A000013 CREDIT SUISSE SECURITIES (HONG KONG), LTD.
014 B000013 8-00000
014 A000014 PT CREDIT SUISSE SECURITIES INDONESIA
014 B000014 8-00000
014 A000015 CREDIT SUISSE ISTANBUL MENKUL DEGERLER A.S.
014 B000015 8-00000
014 A000016 CREDIT SUISSE (ITALY) S.P.A.
014 B000016 8-00000
014 A000017 CREDIT SUISSE SECURITIES (JAPAN), LTD.
014 B000017 8-00000
014 A000018 CS FUND SERVICES (LUXEMBOURG) S.A.
014 B000018 8-00000
014 A000019 CREDIT SUISSE SECURITIES (MALAYSIA) SDN BHD
014 B000019 8-800000
014 A000020 CASA DE BOLSA CS (MEXICO), S.A. DE C.V.
014 B000020 8-000000
014 A000021 CREDIT SUISSE SECURITIES (PHILIPPINES), INC.
014 B000021 8-00000
014 A000022 CJSC BANK CREDIT SUISSE (MOSCOW)
014 B000022 8-00000
014 A000023 CREDIT SUISSE SECURITIES (MOSCOW) LLC
<PAGE>      PAGE  3
014 B000023 8-00000
014 A000024 CS SECURITIES SOCIEDAD DE VALORES S.A.
014 B000024 8-0000
014 A000025 CREDIT SUISSE AG
014 B000025 8-00000
014 A000026 CREDIT SUISSE SECURITIES (THAILAND), LTD.
014 B000026 8-00000
014 A000027 CREDIT SUISSE SECURITIES (EUROPE), LTD.
014 B000027 8-00000
014 A000028 CS SECURITIES (INDIA) PRIVATE, LTD.
014 B000028 8-00000
014 A000029 CS SECURITIES (SINGAPORE) PTE, LTD.
014 B000029 8-00000
014 A000030 CREDIT SUISSE (SINGAPORE), LTD.
014 B000030 8-00000
014 A000031 CREDIT SUISSE PRINCIPAL INVESTMENTS, LTD.
014 B000031 8-00000
015 A000001 STATE STREET BANK & TRUST CO.
015 B000001 C
015 C010001 BOSTON
015 C020001 MA
015 C030001 02110
015 E010001 X
018  000000 Y
019 A000000 Y
019 B000000   10
019 C000000 CREDITSUIS
021  000000        0
022 A000001 JP MORGAN SECURITIES INC.
022 B000001 13-3112953
022 C000001     30261
022 D000001     12993
022 A000002 BANK OF AMERICA SECURITIES LLC
022 B000002 56-2058405
022 C000002     25162
022 D000002      6003
022 A000003 BARCLAY CAPITAL, INC.
022 B000003 13-3297824
022 C000003     17772
022 D000003      7150
022 A000004 MORGAN & STANLEY CO., INC.
022 B000004 13-2655998
022 C000004     16572
022 D000004      7014
022 A000005 WELLS FARGO BANK N.A.
022 B000005 41-0449260
022 C000005     13125
022 D000005      3996
022 A000006 GOLDMAN SACHS & CO
022 B000006 13-5108880
022 C000006     10712
<PAGE>      PAGE  4
022 D000006      5649
022 A000007 JEFFERIES & CO.
022 B000007 95-2622900
022 C000007      9588
022 D000007      6036
022 A000008 CITIGROUP GLOBAL MARKETS
022 B000008 13-3082694
022 C000008     10339
022 D000008      2997
022 A000009 DEUTSCHE BANK SECURITIES
022 B000009 13-3124068
022 C000009      7301
022 D000009      3520
022 A000010 MITSUBISHI UFJ SECURITIES (USA), INC.
022 B000010 13-3498732
022 C000010      1750
022 D000010      5070
023 C000000    2034349
023 D000000      75475
024  000000 N
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026 A000000 N
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<PAGE>      PAGE  5
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<PAGE>      PAGE  7
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074 V020000     0.00
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075 B000000   186964
076  000000     3.31
077 A000000 Y
077 B000000 Y
077 C000000 N
077 D000000 N
077 E000000 N
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077 H000000 N
077 I000000 N
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077 M000000 N
077 N000000 N
077 O000000 Y
077 P000000 N
077 Q010000 N
077 Q020000 N
077 Q030000 N
078  000000 N
080 A000000 St. Paul Fire and Marine Insruance Company
080 C000000     8925
081 A000000 Y
081 B000000  10
082 A000000 Y
082 B000000       25
083 A000000 N
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084 A000000 N
084 B000000        0
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086 E020000      0
086 F010000      0
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087 A020000 224916106
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088 D000000 N
SIGNATURE   ESTHER CHEUNG
TITLE       TREASURER

</TEXT>
</DOCUMENT>
<DOCUMENT>
<TYPE>EX-99.77O RULE 10F-3
<SEQUENCE>2
<FILENAME>TH96.10F.txt
<DESCRIPTION>10F 3
<TEXT>
10f-3 securities

Credit Suisse Asset Management Income Fund


Portfolio
Credit Suisse Asset Management Income Fund
Security
CD&R Waterworks Merger
Date Purchased
7/19/2017
Price per Share
100.00
Shares Purchased by the Portfolio
325
Total Principal Purchased by the Portfolio
325,000.00
% of Offering Purchased by the Portfolio
0.14%
Broker
Banc of America Securities
Member
Joint Lead Manager


Portfolio
Credit Suisse Asset Management Income Fund
Security
AT&T Inc
Date Purchased
7/27/2017
Price per Share
99.83
Shares Purchased by the Portfolio
1950
Total Principal Purchased by the Portfolio
1,946,626.50
% of Offering Purchased by the Portfolio
0.04%
Broker
JPMorgan Chase Bank
Member
Joint Lead Manager


Portfolio
Credit Suisse Asset Management Income Fund
Security
AT&T Inc
Date Purchased
7/27/2017
Price per Share
99.83
Shares Purchased by the Portfolio
975
Total Principal Purchased by the Portfolio
973,313.25
% of Offering Purchased by the Portfolio
0.02%
Broker
JPMorgan Chase Bank
Member
Joint Lead Manager


Portfolio
Credit Suisse Asset Management Income Fund
Security
MPT Operating Partnership L.P.
Date Purchased
9/7/2017
Price per Share
100.00
Shares Purchased by the Portfolio
600
Total Principal Purchased by the Portfolio
600,000.00
% of Offering Purchased by the Portfolio
0.04%
Broker
JPMorgan Chase Bank
Member
Joint Lead Manager


Portfolio
Credit Suisse Asset Management Income Fund
Security
Tronox Finance PLC
Date Purchased
9/14/2017
Price per Share
100.00
Shares Purchased by the Portfolio
975
Total Principal Purchased by the Portfolio
975,000.00
% of Offering Purchased by the Portfolio
0.22%
Broker
Citigroup Global Markets
Member
Joint Lead Manager


Portfolio
Credit Suisse Asset Management Income Fund
Security
NextEra Energy Operating Partners, LP
Date Purchased
9/18/2017
Price per Share
100.00
Shares Purchased by the Portfolio
350
Total Principal Purchased by the Portfolio
350,000.00
% of Offering Purchased by the Portfolio
0.06%
Broker
Banc of America Securities
Member
Joint Lead Manager


Portfolio
Credit Suisse Asset Management Income Fund
Security
Multi-Color Corp
Date Purchased
9/20/2017
Price per Share
100.00
Shares Purchased by the Portfolio
1000
Total Principal Purchased by the Portfolio
1,000,000.00
% of Offering Purchased by the Portfolio
0.17%
Broker
Banc of America Securities
Member
Joint Lead Manager


Portfolio
Credit Suisse Asset Management Income Fund
Security
Wind Tre S.p.A.
Date Purchased
10/24/2017
Price per Share
100.00
Shares Purchased by the Portfolio
1550
Total Principal Purchased by the Portfolio
1,550,000.00
% of Offering Purchased by the Portfolio
0.08%
Broker
Banc of America Securities
Member
Joint Lead Manager


Portfolio
Credit Suisse Asset Management Income Fund
Security
Endeavor Energy Resources, L.P.
Date Purchased
11/28/2017
Price per Share
100.00
Shares Purchased by the Portfolio
500
Total Principal Purchased by the Portfolio
500,000.00
% of Offering Purchased by the Portfolio
0.10%
Broker
Goldman Sachs & Co
Member
Joint Lead Manager


Portfolio
Credit Suisse Asset Management Income Fund
Security
Post Holdings Inc
Date Purchased
11/28/2017
Price per Share
100.00
Shares Purchased by the Portfolio
300
Total Principal Purchased by the Portfolio
300,000.00
% of Offering Purchased by the Portfolio
0.03%
Broker
Banc of America Securities
Member
Joint Lead Manager


Portfolio
Credit Suisse Asset Management Income Fund
Security
Telenet Finance Luxembourg Notes
Date Purchased
11/29/2017
Price per Share
100.00
Shares Purchased by the Portfolio
1800
Total Principal Purchased by the Portfolio
1,800,000.00
% of Offering Purchased by the Portfolio
0.18%
Broker
Deutsche Bank Securities
Member
Joint Lead Manager


Portfolio
Credit Suisse Asset Management Income Fund
Security
Cleveland-Cliffs Inc
Date Purchased
12/5/2017
Price per Share
99.35
Shares Purchased by the Portfolio
1550
Total Principal Purchased by the Portfolio
1,539,878.50
% of Offering Purchased by the Portfolio
0.39%
Broker
Banc of America Securities
Member
Joint Lead Manager


Portfolio
Credit Suisse Asset Management Income Fund
Security
Trident Merger Sub, Inc
Date Purchased
12/10/2017
Price per Share
100.00
Shares Purchased by the Portfolio
400
Total Principal Purchased by the Portfolio
400,000.00
% of Offering Purchased by the Portfolio
0.15%
Broker
Jefferies & Company
Member
Joint Lead Manager







</TEXT>
</DOCUMENT>
<DOCUMENT>
<TYPE>EX-99.77B ACCT LTTR
<SEQUENCE>3
<FILENAME>TH96.audit.txt
<DESCRIPTION>AUDIT LETTER
<TEXT>

Report of Independent Registered Public
Accounting Firm

The Board of Trustees and Shareholders
Credit Suisse Asset Management Income Fund, Inc.:

In planning and performing our audits of the
financial statements of Credit Suisse Asset
Management Income Fund, Inc. (the "Fund"), as
of and for the year ended December 31, 2017, in
accordance with the standards of the Public
Company Accounting Oversight Board (United
States), we considered the Fund's internal
control over financial reporting, including
controls over safeguarding securities, as a basis
for designing our auditing procedures for the
purpose of expressing our opinion on the
financial statements and to comply with the
requirements of Form N-SAR, but not for the
purpose of expressing an opinion on the
effectiveness of the Fund's internal control over
financial reporting. Accordingly, we express no
such opinion.

Management of the Fund is responsible for
establishing and maintaining effective internal
control over financial reporting.  In fulfilling
this responsibility, estimates and judgments by
management are required to assess the expected
benefits and related costs of controls. A fund's
internal control over financial reporting is a
process designed to provide reasonable
assurance regarding the reliability of financial
reporting and the preparation of financial
statements for external purposes in accordance
with generally accepted accounting principles.
A fund's internal control over financial
reporting includes those policies and procedures
that (1) pertain to the maintenance of records
that, in reasonable detail, accurately and fairly
reflect the transactions and dispositions of the
assets of the fund; (2) provide reasonable
assurance that transactions are recorded as
necessary to permit preparation of financial
statements in accordance with generally
accepted accounting principles, and that receipts
and expenditures of the fund are being made
only in accordance with authorizations of
management and trustees of the fund; and (3)
provide reasonable assurance regarding
prevention or timely detection of unauthorized
acquisition, use, or disposition of the fund's
assets that could have a material effect on the
financial statements.

Because of its inherent limitations, internal
control over financial reporting may not prevent
or detect misstatements. Also, projections of any
evaluation of effectiveness to future periods are
subject to the risk that controls may become
inadequate because of changes in conditions, or
that the degree of compliance with the policies
or procedures may deteriorate.

A deficiency in internal control over financial
reporting exists when the design or operation of
a control does not allow management or
employees, in the normal course of performing
their assigned functions, to prevent or detect
misstatements on a timely basis. A material
weakness is a deficiency, or combination of
deficiencies, in internal control over financial
reporting, such that there is a reasonable
possibility that a material misstatement of the
Fund's annual or interim financial statements
will not be prevented or detected on a timely
basis.

Our consideration of the Fund's internal control
over financial reporting was for the limited
purpose described in the first paragraph and
would not necessarily disclose all deficiencies in
internal control that might be material
weaknesses under standards established by the
Public Company Accounting Oversight Board
(United States). However, we noted no
deficiencies in the Fund's internal control over
financial reporting and its operation, including
controls over safeguarding securities that we
consider to be a material weakness as defined
above as of December 31, 2017.

This report is intended solely for the
information and use of management and the
Board of Trustees of Credit Suisse Asset
Management Income Fund, Inc. and the Securities
and Exchange Commission and is not intended
to be and should not be used by anyone other
than these specified parties.



/s/KPMG LLP
New York, New York
February 20, 2018










</TEXT>
</DOCUMENT>
</SEC-DOCUMENT>
