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Total Assets Under Management:
$150.2 billion
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Now, more than ever, advisors to institutional and high-net-worth investors are
turning to Nuveen Investments to help them secure their long-term investment goals.
We take seriously, the trust they place with our team and our ability to manage
their assets through a full range of market conditions. Unified by a commitment
to help our customers secure their investment goals, Nuveen Investments, through
its independent investment teams, continues to pioneer new and innovative investment
management solutions to the institutional and high-net-worth markets. |
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$37.4 billion
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We continue to be a leader in the separately managed accounts market, where portfolios
are individually tailored and actively managed to meet an investor’s specific investment
needs. Within this market, we are known for managing high-quality customized portfolios
that seek to provide consistent, risk-adjusted returns over time. Our clients have
access to a full range of investment choices offered through our boutique affiliates.
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Our managed account strategies include: |
- Tax Exempt and Taxable Fixed Income
- Value Equities
- Growth Equities
- Core Equities
- Global and International Equities
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$46.8 billion
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Millions of investors are preparing to enter retirement, and their ability to construct
diversified, income-producing investment portfolios is becoming increasingly important.
As a leading sponsor of closed-end funds, Nuveen Investments draws upon its deeply
specialized and independent investment teams to help provide investors the tools
they need to address their long-term income needs. |
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Our closed-end fund strategies include: |
- Equity - Domestic, Global, REIT and Equity Option
- Debt - Floating Rate, Global and Preferred Securities
- Municipal - National and State-Specific
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$23.5 billion
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At Nuveen Investments, we take the long-term view in helping investors make disciplined
choices that strike the right balance between risk and reward. With a wide range
of institutional-caliber resources and investment solutions, we seek to provide
the core building blocks of a well-constructed portfolio. Each of our distinct asset
managers is unified by a disciplined investment philosophy, deep specialization
and market knowledge, and a focus on risk management. Together, these shared characteristics
form the backdrop of our core approach to investing.
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Our mutual fund strategies include: |
- Value, Growth and Core Equities
- Global and International Equities
- Quantitative and Enhanced Equities
- Targeted Asset Allocation
- Taxable Fixed-Income
- Municipal Bonds - National and State-Specific
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$42.6 billion
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Nuveen Investments' multi-boutique model delivers quality portfolio solutions through
our independent investment teams: HydePark, NWQ, Nuveen, Santa Barbara, Symphony,
Tradewinds, and Winslow Capital. Together these deeply specialized teams, each with
a unique style and process, provide our customers broad and deep investment expertise
in growth and value equities, international and global equity strategies, fixed
income and market-neutral alternative investments and enhanced equity strategies.
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*assets under management as of
June 30, 2010 |
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All investments carry a certain degree of risk including the possible loss of
principal and there is no assurance that an investment will provide positive performance
over any period of time. In addition, closed-end funds may trade at a discount to
their net asset value. Past performance is no guarantee of future results. Performance
results will vary depending on market conditions and the composition of the underlying
portfolio. Since no one manager is suitable for all types of investors, it is important
to review investment objectives, risk tolerance, tax liability, and liquidity needs
before choosing a suitable investment or manager. |
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