Nuveen Municipal Credit Income Fund - COM SH BEN INT (NZF)

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM SH BEN INT
Shares, excl. options Q2 2024
50.5M
Holdings value Q2 2024
$623M
Value change Q2 2024
-$23.6M
Grand Portfolio weight change Q2 2024
0%
Number of holders
249
Number of buys Q2 2024
50
Number of sells Q2 2024
-36
Average buys Q2 2024 %
+0.001%
Average sells Q2 2024 %
-0.001%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 13.9M $181M +$25.4M $13.10 111
2024 Q2 50.5M $623M -$23.6M $12.35 249
2024 Q1 52.3M $639M +$481K $12.24 242
2023 Q4 51.4M $607M -$5.99M $11.82 246
2023 Q3 49.3M $514M +$41.4M $10.43 236
2023 Q2 46.1M $538M +$156M $11.66 241
2023 Q1 32.5M $389M +$32.9M $11.95 206
2022 Q4 29.7M $359M +$48.9M $12.08 212
2022 Q3 25.3M $288M +$6.73M $11.37 189
2022 Q2 24.7M $310M +$102M $12.56 199
2022 Q1 16.6M $242M +$14.9M $14.61 172
2021 Q4 15.6M $266M +$2.6M $17.10 174
2021 Q3 14.9M $250M -$4.5M $16.72 159
2021 Q2 15.2M $262M +$7.41M $17.21 153
2021 Q1 14.8M $240M +$1.98M $16.16 151
2020 Q4 14.2M $229M -$6.29M $16.12 156
2020 Q3 14.5M $214M -$2.86M $14.69 148
2020 Q2 14.6M $216M +$1.02M $14.76 147
2020 Q1 14.3M $202M -$2.28M $14.07 153
2019 Q4 14.4M $235M -$2.07M $16.37 146
2019 Q3 14.4M $234M -$1.08M $16.23 131
2019 Q2 14.4M $227M -$11.5M $15.75 127
2019 Q1 15.2M $230M -$18M $15.07 135
2018 Q4 16.5M $221M +$28.1M $13.42 142
2018 Q3 14.3M $206M +$1.5M $14.41 139
2018 Q2 14.2M $203M +$5.35M $14.33 132
2018 Q1 13.9M $196M -$3.43M $14.14 132
2017 Q4 14.1M $215M -$25.9M $15.24 137
2017 Q3 15.4M $235M -$3.04M $15.21 122
2017 Q2 15.6M $233M -$21.9M $14.92 121
2017 Q1 17.1M $246M -$16.2M $14.39 119
2016 Q4 18.2M $257M +$480K $14.14 120
2016 Q3 18.1M $285M -$46.1M $15.74 118
2016 Q2 21M $335M +$136M $15.92 125
2016 Q1 9.72M $146M -$12.5M $14.97 60
2015 Q4 10.8M $154M +$1.03M $14.36 57
2015 Q3 10.6M $143M +$1.17M $13.56 58
2015 Q2 10.5M $140M +$6.93M $13.36 54
2015 Q1 10M $142M -$5.97M $14.19 61
2014 Q4 10.3M $143M -$4.47M $13.78 66
2014 Q3 10.6M $144M +$328K $13.67 64
2014 Q2 10.6M $145M +$22.2M $13.68 56
2014 Q1 8.94M $117M +$17.9M $13.10 60