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Nuveen's multi-asset strategies, managed by the Nuveen Solutions team, draw on over 150 Nuveen strategies that span public and private markets, traditional and alternative asset classes to deliver outcome-oriented insights, packaged products and customized mandates.
*As of 31 Dec 2019. Nuveen assets under management (AUM) is inclusive of underlying affiliates. Multi-asset includes fixed income, equity and alternatives assets within target date, target risk and other multi-asset products.
$63B in assets under management*

Multi-asset strategies

Target date


Overlay strategies

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122 years of unparalleled market insight — and counting.
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Multi-Sector strategies seek total return by actively managing a diversified portfolio of securities from U.S. and non U.S. issuers. Accounts may use an approach which seeks to offer a higher return potential by investing nontraditional fixed income sectors, such as high yield, emerging market debt and non-dollar-denominated bonds. Multi-Sector Fixed strategies may also employ additional emphasis on income from higher yielding and higher risk sectors and targets a client base willing to accept significant volatility or tracking error in order to attempt to achieve higher longer term returns.