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Nuveen

Nuveen by the numbers

Nuveen by the numbers

Established leadership

Nuveen is one of the world's largest investment managers offering scale in all major asset classes. We are privately owned, which enables us to stay focused on achieving successful long-term outcomes across investment vehicles through ever-changing markets.

$1.2 trillion in assets under management1

Nuveen assets pie chart 
1 As of 31 Mar 2024. Nuveen assets under management (AUM) is inclusive of underlying investment specialists. Totals may not equal 100% due to rounding.
2 As of 31 Mar 2024. Multi-asset AUM includes target date and other multi asset strategies. Underlying asset categories included in target date funds are $28B fixed income, $71B equities and $2B real estate.
Nuveen by the numbers stats 
 
Before investing, carefully consider fund investment objectives, risks, charges and expenses. For this and other information that should be read carefully, please request a prospectus or summary prospectus from your financial professional or Nuveen at 866.803.6372.
2 Nuveen, Morningstar Direct as of 31 Mar 2024. Based on total net assets of U.S. open-end funds for Nuveen Funds, excluding exchange-traded funds, money market funds and fund of funds. Based on a review of 631 fund families and 100 fund families with municipal offerings.
3 Nuveen, Morningstar Direct as of 31 Mar 2024. Based on total managed assets of closed-end funds.
4 Cerulli Associates, The Cerulli Report, U.S. Managed Accounts 2023. Data as of 31 Dec 2022, updated annually; most recent data available. Based on total assets, which includes proprietary program assets, but does not include model separate accounts.
5 Pensions & Investments, 03 Oct 2023. Rankings based total worldwide farmland assets under management for the 12 months ending 30 Jun 2023 as reported by each responding asset manager.
6 ANREV/INREV/NCREIF Fund Manager Survey 2023. Survey illustrated rankings of 116 fund managers globally by AUM as at 31 Dec 2022.

Important information on risk

Past performance is no guarantee of future results. All investments carry a certain degree of risk, including the loss of principal. Certain products and services may not be available to all entities or persons. There is no guarantee that the Fund's investment objectives will be achieved.

Responsible investing incorporates Environmental Social Governance (ESG) factors that may affect exposure to issuers, sectors, industries, limiting the type and number of investment opportunities available, which could result in excluding investments that perform well.

Investors should be aware that alternative investments are speculative, subject to substantial risks including the risks associated with limited liquidity, the potential use of leverage, potential short sales and concentrated investments and may involve complex tax structures and investment strategies. Alternative investments may be illiquid, there may be no liquid secondary market or ready purchasers for such securities, they may not be required to provide periodic pricing or valuation information to investors, there may be delays in distributing tax information to investors, they are not subject to the same regulatory requirements as other types of pooled investment vehicles, and they may be subject to high fees and expenses, which will reduce profits.

Aerial view of the ocean shore

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