Unit Trusts

UIT

Nuveen Symphony Low Volatility Equity Portfolio, 3Q 2016



Distributions

Reinvest DateRecord DateDistribution DatePrincipal Distribution (per unit)Income Distribution (per unit)
12/21/201612/10/201612/25/2016$0.0000$0.0525
03/22/201703/10/201703/25/2017$0.0000$0.0540
N/A06/10/201706/25/2017$0.0000$0.0576
N/A09/10/201709/25/2017$0.0000$0.0539

Income distributions will vary with changes in dividends or interest received on the underlying securities and with changes in the trust's fees and expenses. Principal distributions will be made only when the trust receives principal cash and will therefore vary. Both income and principal distributions may be affected by the sale of securities in the portfolio. See the prospectus for a more detailed description of the factors which could affect income and principal distributions.

This page contains historical pricing or historical distributions information for the unit investment trust listed above. It should not be used for federal or state tax purposes, please contact your financial advisor for tax information.

Risk Considerations
Investing involves risk; principal loss is possible. This Trust is unmanaged and there is no guarantee that the Trust’s investment objectives will be achieved.There is no assurance that common stocks will make dividend payments. Dividends are paid only if declared by an issuer's board of directors and the amount of any dividend may vary over time.Stocks of mid-cap companies are often more volatile than those of larger companies as a result of several factors such as limited trading volumes, products or financial resources, management inexperience and less publicly available information. This Trust invests in REITS and real estate companies. The real estate industry is greatly affected by economic downturns or by changes in real estate values, rents, property taxes, interest rates, tax treatment, regulations, or the legal structure of the REIT. Non-U.S. investments involve additional risks, including currency fluctuation, political and economic instability, lack of liquidity and differing legal and accounting standards. These risks are magnified in emerging markets. These and other risk considerations, such as various business, market, and investment risks are described in detail in the Trust’s prospectus.

NOT FDIC INSURED - NOT BANK GUARANTEED - MAY LOSE VALUE
 
Predictive beta is a statistical measure used to estimate the Trust’s price sensitivity compared to the general equity market by integrating current and projected fundamental information and historical price variability of each underlying holding in the portfolio. The computation of predictive beta takes into account each holding’s size, yield, price-to-earnings ratio, and industry exposure, among other factors.
 
The Russell 1000® Index and all other Russell index names are registered trademarks of Russell Investment Group. The Russell 1000® Index measures the price and return performance of approximately the 1000 largest companies, representing roughly 92% of the total U.S. large cap equity market. The portfolio is not sponsored, endorsed, sold or promoted by Russell Investment Group and Russell Investment Group does not make any representation regarding the advisability of investing in the securities. Russell 1000® Index: Copyright Russell Investments 2016.
 
Nuveen Securities, LLC serves as the Trust’s sponsor and Nuveen Fund Advisors, LLC serves as the Trust’s evaluator and supervisor. Symphony Asset Management LLC serves as the portfolio consultant responsible for recommending a portfolio of securities for the Trust. Nuveen Securities, LLC is a registered broker-dealer and Nuveen Fund Advisors, LLC and Symphony Asset Management LLC are registered investment advisers.


Trust Summary

Trust NameNuveen Symphony Low Volatility Equity Portfolio, 3Q 2016
Series Name3Q 2016
Trust SymbolNSV3Q16
Nasdaq SymbolNVNSAX
Trust StatusTerminated
Initial Offer Date08/17/2016
Termination Date11/16/2017
First Income Record Date09/10/2016
Distibution FrequencyQuarterly
Tax StructureRIC
Liquidation Price1$10.8048
Cash CUSIP67079P109
Reinvest CUSIP67079P117
Fee Cash CUSIP67079P125
Fee Reinvest CUSIP67079P133

1. Represents the value per unit that a unitholder would receive if the unitholder redeemed or sold units. This price is equal to the net asset value per unit plus any remaining organization costs and creation & development fee. This price reflects any remaining non-contingent deferred sales charges payable in connection with a liquidation of units.

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