Distributions Highlight Nuveen’s Broad Range of Strategies for
Income-Seeking Investors
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Regular Monthly Tax-Exempt and Taxable Fund Distributions
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Five Funds Declare Monthly Cash-Flow Based Distributions
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Two Funds Declare Regular Quarterly Cash-Flow Based Distributions
Nuveen Investments, a leading global provider of investment services to
institutions as well as individual investors, today announced that
several closed-end funds declared regular monthly distributions. These
funds represent investment strategies for investors seeking diversified
sources of cash flow to prepare for and sustain their retirement income
needs. For further information regarding fund distributions including
earnings, undistributed net investment income, and notices please visit http://www.nuveen.com/cef.
The following dates apply to today's monthly distribution declarations
for the following tax-exempt and taxable closed-end funds:
Record Date
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July 15, 2015
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Ex-Dividend Date
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July 13, 2015
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Payable Date
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August 3, 2015
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Reinvest Date
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August 3, 2015
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Monthly Tax-Exempt Municipal Distributions
Monthly distributions from Nuveen's municipal bond closed-end funds are
generally exempt from regular Federal income taxes, and monthly
distributions of single-state municipal funds are also generally exempt
from state and, in some cases, local income taxes for in-state
residents. Unless otherwise stated in the funds' objectives, monthly
distributions of the municipal funds may be subject to the Federal
Alternative Minimum Tax for some shareholders.*
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Monthly Tax-Exempt Distribution
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Per Share
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Change From
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Amount
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Previous Month
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Ticker
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Exchange
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Fund Name
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NXP
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NYSE
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Select Tax-Free Income Portfolio
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$.0475
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-
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NXQ
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NYSE
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Select Tax-Free Income Portfolio 2
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$.0445
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-
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NXR
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NYSE
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Select Tax-Free Income Portfolio 3
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$.0470
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-
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NUV
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NYSE
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Municipal Value Fund
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$.0325
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-
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NUW
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NYSE
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AMT-Free Municipal Value Fund
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$.0650
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-
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NMI
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NYSE
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Municipal Income Fund
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$.0415
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-
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NIM
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NYSE
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Select Maturities Municipal Fund
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$.0275
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-
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Leveraged Funds
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National
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NPI
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NYSE
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Premium Income Municipal Fund
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$.0685
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-
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NPP
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NYSE
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Performance Plus Municipal Fund
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$.0730
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-
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NMA
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NYSE
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Municipal Advantage Fund
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$.0660
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-
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NMO
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NYSE
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Municipal Market Opportunity Fund
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$.0635
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-
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NQI
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NYSE
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Quality Municipal Fund
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$.0570
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-
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NQS
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NYSE
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Select Quality Municipal Fund
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$.0665
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-
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NQU
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NYSE
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Quality Income Municipal Fund
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$.0685
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-
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NIO
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NYSE
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Municipal Opportunity Fund
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$.0730
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-
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NPF
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NYSE
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Premier Municipal Income Fund
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$.0685
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-
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NPM
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NYSE
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Premium Income Municipal Fund 2
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$.0720
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-
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NPT
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NYSE
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Premium Income Municipal Fund 4
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$.0680
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-
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NEA
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NYSE
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AMT-Free Municipal Income Fund
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$.0645
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-
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NAD
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NYSE
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Dividend Advantage Municipal Fund
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$.0710
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-
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NXZ
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NYSE MKT
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Dividend Advantage Municipal Fund 2
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$.0680
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-
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NZF
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NYSE MKT
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Dividend Advantage Municipal Fund 3
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$.0665
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-
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NVG
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NYSE MKT
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Dividend Advantage Municipal Income Fund
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$.0630
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-
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NMZ
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NYSE MKT
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Municipal High Income Opportunity Fund
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$.0760
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-
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NEV
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NYSE
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Enhanced Municipal Value Fund
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$.0800
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-
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NID
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NYSE
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Intermediate Duration Municipal Term Fund
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$.0570
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-
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NIQ
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NYSE
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Intermediate Duration Quality Municipal Term Fund
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$.0495
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-
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NQM
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NYSE
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Investment Quality Municipal Fund
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$.0820
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-
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California
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NAC
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NYSE
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CA Dividend Advantage Municipal Fund
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$.0760
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-
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NKX
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NYSE
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CA AMT-Free Municipal Income Fund
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$.0720
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-
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NCA
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NYSE
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CA Municipal Value Fund
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$.0390
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-
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NVX
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NYSE MKT
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CA Dividend Advantage Municipal Fund 2
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$.0700
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-
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NZH
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NYSE MKT
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CA Dividend Advantage Municipal Fund 3
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$.0670
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-
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NXC
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NYSE
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CA Select Tax-Free Income Portfolio
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$.0545
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-
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NCB
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NYSE MKT
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CA Municipal Value Fund 2
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$.0650
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-
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New York
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NRK
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NYSE
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NY AMT-Free Municipal Income Fund
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$.0585
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-
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NAN
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NYSE
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NY Dividend Advantage Municipal Fund
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$.0665
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.0015
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NXN
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NYSE
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NY Select Tax-Free Income Portfolio
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$.0460
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-
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NNY
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NYSE
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NY Municipal Value Fund
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$.0325
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-
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NYV
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NYSE MKT
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NY Municipal Value Fund 2
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$.0525
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-
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Other State Funds
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NAZ
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NYSE
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AZ Premium Income Municipal Fund
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$.0665
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-
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NTC
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NYSE
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CT Premium Income Municipal Fund
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$.0570
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-
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NKG
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NYSE
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GA Dividend Advantage Municipal Fund 2
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$.0535
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-
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NMT
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NYSE
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MA Premium Income Municipal Fund
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$.0590
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-
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NMY
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NYSE
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MD Premium Income Municipal Fund
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$.0555
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-
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NUM
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NYSE
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MI Quality Income Municipal Fund
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$.0640
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-
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NMS
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NYSE
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MN Municipal Income Fund
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$.0690
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-
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NOM
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NYSE MKT
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MO Premium Income Municipal Fund
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$.0610
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-
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NNC
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NYSE
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NC Premium Income Municipal Fund
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$.0490
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-
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NXJ
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NYSE
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NJ Dividend Advantage Municipal Fund
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$.0680
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-
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NJV
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NYSE MKT
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NJ Municipal Value Fund
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$.0490
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-
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NUO
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NYSE
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OH Quality Income Municipal Fund
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$.0700
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-
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NQP
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NYSE
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PA Investment Quality Municipal Fund
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$.0690
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-
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NPN
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NYSE MKT
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PA Municipal Value Fund
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$.0520
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-
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NTX
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NYSE
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TX Quality Income Municipal Fund
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$.0545
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-
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NPV
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|
NYSE
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VA Premium Income Municipal Fund
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$.0610
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-
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Monthly Taxable Distributions
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Monthly Taxable Distribution Per Share
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Change From
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Ticker
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Exchange
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Fund Name
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Amount
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Previous Month
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Preferred Securities
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JTP
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NYSE
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|
Quality Preferred Income Fund
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$.0550
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-
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JPS
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NYSE
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Quality Preferred Income Fund 2
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$.0580
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-
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JHP
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NYSE
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Quality Preferred Income Fund 3
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$.0560
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-
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JPC
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|
NYSE
|
|
|
Preferred Income Opportunities Fund
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|
$.0670
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-
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JPI
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|
NYSE
|
|
|
Preferred and Income Term Fund
|
|
|
$.1625
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-
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Floating Rate: Corporate Loans
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NSL
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NYSE
|
|
|
Senior Income Fund
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|
$.0350
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-
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JFR
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NYSE
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|
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Floating Rate Income Fund
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$.0600
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-
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JRO
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NYSE
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|
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Floating Rate Income Opportunity Fund
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|
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$.0630
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-
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JSD
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|
NYSE
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|
Short Duration Credit Opportunities Fund
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|
$.0970
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-
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JQC
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NYSE
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|
Credit Strategies Income Fund
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$.0500
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-
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Mortgage-Backed Securities
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|
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JMM
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NYSE
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|
Multi-Market Income Fund
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$.0400
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-
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Taxable Municipal
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NBB
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NYSE
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|
Build America Bond Fund
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|
$.1120
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-
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NBD
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NYSE
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|
Build America Bond Opportunity Fund
|
|
|
$.1085
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-
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Global Equity
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JGH
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NYSE
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Global High Income Fund
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|
$.1320
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-
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Monthly Cash-Flow-Based Distributions
Each of the five taxable funds listed immediately below have adopted a
cash-flow based distribution program. Potential distribution sources
include net investment income, realized gains and return of capital. If
a distribution includes anything other than net investment income, the
fund provides a notice of the best estimate of its distribution sources
at the time of payment which may be viewed at: www.nuveen.com/CEFdistributions.
These estimates may not match the final tax characterization (for the
full year's distributions) contained in shareholders’ 1099-DIV forms
after the end of the year.
Under a cash-flow based distribution approach, each fund seeks to
maintain an attractive and stable regular distribution amount based on
the fund’s net cash flow received from portfolio investments. Fund
distributions are not intended to include expected portfolio
appreciation; each fund may invest in securities which have cash flow
that ultimately may be fully or partially treated as gains or return of
capital for tax purposes. You should not draw any conclusions about a
fund’s past or future investment performance from its current
distribution rate.
The following dates apply to today's monthly cash-flow based
distribution declarations for the following closed-end funds:
Record Date
|
|
|
July 15, 2015
|
|
|
|
Ex-Dividend Date
|
|
|
July 13, 2015
|
|
|
|
Payable Date
|
|
|
August 3, 2015
|
|
|
|
Reinvest Date
|
|
|
August 3, 2015
|
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|
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|
Monthly Distribution Per Share
|
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Change From
|
Ticker
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|
Exchange
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Fund Name
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Amount
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Previous Month
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Preferred Securities
|
|
|
|
|
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|
JPW
|
|
|
NYSE
|
|
|
Flexible Investment Income Fund
|
|
|
$.1260
|
|
|
-
|
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Mortgage-Backed Securities
|
|
|
|
|
|
|
JLS
|
|
|
NYSE
|
|
|
Mortgage Opportunity Term Fund
|
|
|
$.1265
|
|
|
-
|
JMT
|
|
|
NYSE
|
|
|
Mortgage Opportunity Term Fund 2
|
|
|
$.1275
|
|
|
-
|
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|
Real Assets
|
|
|
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JRI
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|
|
NYSE
|
|
|
Real Asset Income and Growth
|
|
|
$.1345
|
|
|
-
|
DRA
|
|
|
NYSE
|
|
|
Diversified Real Asset Income Fund
|
|
|
$.1390
|
|
|
-
|
Quarterly Cash-Flow-Based Distributions
The two taxable funds listed immediately below have adopted a cash-flow
based distribution program. Potential distribution sources include net
investment income, realized gains and return of capital. If a
distribution includes anything other than net investment income, the
fund provides a notice of the best estimate of its distribution sources
at the time of payment that time which may be viewed at: www.nuveen.com/CEFdistributions.
These estimates may not match the final tax characterization (for the
full year’s distributions) contained in shareholders’ 1099-DIV forms
after the end of the year.
Under a cash-flow based distribution approach, each fund seeks to
maintain an attractive and stable regular distribution amount based on
the fund’s net cash flow received from portfolio investments. Fund
distributions are not intended to include expected portfolio
appreciation; however, the funds each invest in securities which have
cash flow that ultimately may be fully or partially treated as gains or
return of capital for tax purposes. You should not draw any conclusions
about a fund’s past or future investment performance from its current
distribution rate.
The following dates apply to the distribution for the Nuveen MLP
Funds.
|
|
|
|
|
|
|
|
Record Date
|
|
|
|
|
|
July 15, 2015
|
Ex-Dividend Date
|
|
|
|
|
|
July 13, 2015
|
Payable Date
|
|
|
|
|
|
August 17, 2015
|
Reinvest Date
|
|
|
|
|
|
August 17, 2015
|
|
|
|
|
|
|
|
|
|
Quarterly Distribution Per Share
|
|
|
|
|
|
|
|
|
|
|
|
|
Change From
|
Ticker
|
|
|
Exchange
|
|
|
Closed-End Funds:
|
|
|
Amount
|
|
|
Previous Quarter
|
JMF
|
|
|
NYSE
|
|
|
Energy MLP Total Return Fund
|
|
|
$.3370
|
|
|
.0020
|
JMLP
|
|
|
NYSE
|
|
|
All Cap Energy MLP Opportunities Fund
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Nuveen Investments provides high-quality investment services designed to
help secure the long-term goals of institutional and individual
investors as well as the consultants and financial advisors who serve
them. Nuveen Investments markets a wide range of specialized investment
solutions which provide investors access to capabilities of its
high-quality boutique investment affiliates—Nuveen Asset Management,
LLC, Symphony Asset Management LLC, NWQ Investment Management Company,
LLC, Santa Barbara Asset Management, LLC, Tradewinds Global Investors,
LLC, Winslow Capital Management, LLC and Gresham Investment Management
LLC, all of which are registered investment advisers and independent
investment subsidiaries of Nuveen Investments, Inc. Funds distributed by
Nuveen Securities, LLC, a subsidiary of Nuveen Investments, Inc. Nuveen
Investments operates as a separate subsidiary within TIAA-CREF, which is
a leading provider of retirement and financial services in the academic,
research, medical and cultural fields. In total, Nuveen Investments
managed approximately $233 billion as of March 31, 2015. For more
information, please visit the Nuveen Investments website at www.nuveen.com.
* Nuveen does not provide tax advice; consult a professional tax advisor
regarding your specific tax situation.
8772-INV-O-06/16
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