Skip to main content
TOOLS
Login to access your documents and resources.
Welcome to Nuveen
Select your preferred site so we can tailor your experience.
Select Region...
  • Americas
  • Asia Pacific
  • Europe, Middle East, Africa
location select
Select Location...
  • Canada
  • Latin America
  • United States
  • Australia
  • Hong Kong
  • Japan
  • Mainland China
  • Malaysia
  • New Zealand
  • Singapore
  • South Korea
  • Taiwan
  • Thailand
  • Other
  • Abu Dhabi Global Market (ADGM)
  • Austria
  • Belgium
  • Denmark
  • Finland
  • France
  • Germany
  • Ireland
  • Italy
  • Luxembourg
  • Netherlands
  • Norway
  • Spain
  • Sweden
  • Switzerland
  • United Kingdom
  • Other
location select
Select Site...
  • Institutional Investor
  • Individual Investor
  • Financial Professional
  • Global Cities REIT (GCREIT)
  • Green Capital
  • Private Capital Income Fund (PCAP)
location select

CLO issuance

At-a-glance
TARGET SIZE: $400 to $500 million
TYPICAL FUNDRAISE TIMING: 12-18 months
TYPICAL TERM: 10 years following fundraise period
DISTRIBUTIONS: Quarterly

Overview

Seeks to primarily provide investors with majority positions in the equity of newly issued Nuveen-managed CLOs via one investment. The strategy seeks to generate attractive total return and current cash flow potential, a benefit of locked, term financing.

Strategy highlights

  • Structural protections: Risk mitigation and capital preservation guardrails during times of market volatility and dislocations
  • Vintage diversification: Programmatic and opportunistic purchases of Nuveen-managed CLO equity.
  • Partnership: Alignment of interests with Nuveen’s parent, TIAA, as a substantial co-investor.

Our integrated team has a cycle-tested track record of managing CLOs and investing in CLO securities.

— Himani Trivedi, Head of structured credit, lead portfolio manager

DEDICATED TEAM

Integrated team and leveraged finance platform fosters real-time information flow and collaboration between CLO specialists, research analysts and traders to help uncover relative value opportunities

EXPERIENCE

Successfully managed through multiple credit cycles and market environments in the primary and secondary CLO markets.

ACTIVE MANAGEMENT

We believe delivering positive outcomes for our clients stems on active management of both risks and opportunities requiring continuous evaluation of top-down macroeconomic factors and daily re-underwriting of fundamental credit risk and relative value

Related articles

FIXED INCOME WEEKLY COMMENTARY

Oil price spike sends Treasury yields surging

Oil-driven inflation fears sparked a rate selloff. See how yields, credit and municipals are positioned heading into year-end.
The Lead

The business of private credit: What middle market lenders learned about building lasting portfolios

Explore insights from Nuveen experts on middle market lenders learnings around building long term lasting portfolio strategies.
The Lead

The business of private credit: What makes the core middle market resilient across cycles

Explore the reasons for middle market resilience through financial cycles and its relevance to private credit strategies to inform your allocation planning.

Contact us

Castle.Proxies.IPersonProxy?.Name
  • London
  • Abu Dhabi
  • Amsterdam
  • Copenhagen
  • Frankfurt
  • Hong Kong
  • Tokyo
  • Luxembourg
  • Madrid
  • Milan
  • Paris
  • Shanghai
  • Singapore
  • Stockholm
  • Sydney
  • Vienna
  • Zurich