Nuveen Credit Strategies Income Fund - COM SHS (JQC)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM SHS
Shares, excl. options Q2 2024
42M
Holdings value Q2 2024
$233M
Value change Q2 2024
-$19M
Grand Portfolio weight change Q2 2024
0%
Number of holders
141
Number of buys Q2 2024
65
Number of sells Q2 2024
-57
Average buys Q2 2024 %
+0%
Average sells Q2 2024 %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q2 42M $233M -$19M $5.55 141
2024 Q1 45.7M $255M -$23.2M $5.57 146
2023 Q4 50.1M $262M -$20.9M $5.22 159
2023 Q3 52.1M $264M -$10.4M $5.06 152
2023 Q2 39.3M $199M -$851K $5.05 146
2023 Q1 53.6M $274M -$7.52M $5.11 150
2022 Q4 55.6M $283M -$4.67M $5.09 149
2022 Q3 57.4M $293M -$1.67M $5.11 144
2022 Q2 57.8M $300M +$90.8M $5.20 153
2022 Q1 49M $303M +$23.3M $6.18 149
2021 Q4 45M $292M +$25.2M $6.49 143
2021 Q3 40.8M $268M +$14.3M $6.56 126
2021 Q2 38.5M $260M -$27M $6.75 127
2021 Q1 42.6M $277M -$33M $6.50 126
2020 Q4 47.5M $300M -$23.3M $6.33 133
2020 Q3 51.6M $303M -$4.8M $5.91 123
2020 Q2 52.5M $307M -$1.69M $5.84 120
2020 Q1 52.6M $299M -$22.1M $5.67 122
2019 Q4 54.2M $416M -$8.69M $7.67 129
2019 Q3 55.2M $413M -$64M $7.48 121
2019 Q2 65.8M $521M -$8.09M $7.92 129
2019 Q1 67M $518M -$9.45M $7.73 136
2018 Q4 69.6M $515M +$58.8M $7.40 140
2018 Q3 62.1M $495M +$40.2M $7.97 125
2018 Q2 56.8M $452M +$33.3M $7.95 134
2018 Q1 52.6M $418M +$37.5M $7.94 129
2017 Q4 47.6M $391M +$30.3M $8.22 122
2017 Q3 42.6M $361M -$862K $8.49 103
2017 Q2 43.9M $378M -$6.34M $8.61 109
2017 Q1 41M $356M -$3.31M $8.69 105
2016 Q4 41.4M $366M -$1.65M $8.85 116
2016 Q3 42.8M $364M -$5.15M $8.48 112
2016 Q2 44.8M $361M -$2.22M $8.08 116
2016 Q1 44.4M $351M +$9.08M $7.91 120
2015 Q4 44.8M $351M +$9.86M $7.84 121
2015 Q3 43.2M $344M +$13.5M $7.98 104
2015 Q2 41.5M $357M +$13.7M $8.61 95
2015 Q1 40.3M $365M +$13.3M $9.05 100
2014 Q4 37.9M $332M +$46.1M $8.77 107
2014 Q3 33M $295M +$20.9M $8.93 94
2014 Q2 29.9M $281M +$38.3M $9.36 91
2014 Q1 25.7M $245M +$17M $9.51 89