Closed-End Funds

CEF

Nuveen California Quality Income Municipal Fund, Inc. (NYSE: NUC)

Effective 10/31/2014 data, certain allocations and calculations have changed to incorporate the fund's full exposure to bonds held in tender option bond (TOB) trusts, and are noted with a *. For more details, please see discussion.


Effective June 9, 2014 the assets of the Nuveen California Performance Plus Municipal Fund, Inc. (NCP), Nuveen California Municipal Market Opportunity Fund, Inc. (NCO) the Nuveen California Investment Quality Municipal Fund, Inc. (NQC) Nuveen California Quality Income Municipal Fund, Inc. (NUC) and the Nuveen California Select Quality Municipal Fund, Inc. (NVC) will be merged into the assets of the Nuveen California Dividend Advantage Municipal Fund (NAC). View details.

Daily Pricing

  Last Change
Share Price (As of 06/06/2014) $15.14 ($0.05)
NAV (As of 06/06/2014) $16.10 $0.01
  Last 52 wk avg
Premium/Discount** -5.96% -3.67%

52 Week High/Low

Share Price Date Price
High 6/6/2013 $16.09
Low 8/19/2013 $13.69
 
NAV Date Price
High 5/31/2014 $16.40
Low 9/11/2013 $14.22
 
Premium/Discount Date Percent
High 6/30/2013 0.78%
Low 4/4/2014 -6.95%

IPO Information

Date11/20/1991
Price$15.00
NAV$14.05
CUSIP670985100
NAV TickerXNUCX

Share Price and NAV History1

Data reflects performance over the previous 12 months

Premium/Discount History1

Data reflects performance over the previous 12 months


An investment in this fund presents a number of risks and is not suitable for all investors. Investors should carefully review and consider potential risks before investing. For more detailed information on the specific risks associated with this fund, please view the Overview tab.

Past performance is no guarantee of future results. Current performance may be higher or lower than the data shown. NAV returns are net of fund expenses, and assume reinvestment of distributions.

NOTES

** The premium/discount is calculated as (most recent price/most recent NAV) -1.

1Data shown represents past performance and is no guarantee of future results. Market price and net asset value (NAV) of a Fund's shares will fluctuate with market conditions. Current performance may be higher or lower than the performance shown.

Fund data is updated daily, monthly, and quarterly, depending on the specific data point. Click HERE for the update schedule.

Frequency Data included
Daily all funds: Market price, NAV, premium/discount, annualized distribution rates on market price and NAV
Monthly all funds: Assets, leverage, expenses, total return performance, distribution amounts, earnings & UNII
Monthly certain funds: Municipal bond fund holdings and portfolio information
Monthly certain funds, with 1-month lag: Taxable fund holdings and portfolio information except JCE, NSL, JFR and JRO; and % AMT for municipal bond funds
Quarterly certain funds: JCE, NSL, JFR, and JRO holdings and portfolio information, tax characteristic estimates for distributions from funds paying quarterly distributions
Quarterly all funds: SEC filings (annual shareholder report, semi-annual shareholder report, or 10-Q filing)

Share Price and NAV History: Since Inception

Premium / Discount History: Since Inception

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