Nuveen Multi-Market Income Fund - COM (JMM)

Historical Portfolio Holders from Q3 2014 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / COM
Shares, excl. options Q3 2024
6.24M
Holdings value Q3 2024
$39.7M
Value change Q3 2024
+$979K
Grand Portfolio weight change Q3 2024
+0%
Number of holders
12
Number of buys Q3 2024
6
Number of sells Q3 2024
-7
Average buys Q3 2024 %
+0%
Average sells Q3 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 Q3 6.24M $39.7M +$979K $6.36 12
2024 Q2 6.09M $36.4M -$1.49M $5.97 13
2024 Q1 6.34M $38.6M +$148K $6.09 14
2023 Q4 6.32M $37.3M +$886K $5.91 14
2023 Q3 6.17M $34.6M +$207K $5.61 14
2023 Q2 6.13M $35.6M +$56K $5.80 15
2023 Q1 6.12M $35.5M +$258K $5.81 18
2022 Q4 6.08M $35.7M +$186K $5.87 15
2022 Q3 6.05M $35.6M +$128K $5.90 17
2022 Q2 6.05M $37M +$661K $6.10 18
2022 Q1 5.94M $38.6M +$219K $6.50 19
2021 Q4 5.89M $44.7M +$253K $7.58 21
2021 Q3 5.86M $44M +$615K $7.51 20
2021 Q2 5.78M $43.1M +$450K $7.46 23
2021 Q1 5.72M $41.6M +$284K $7.26 27
2020 Q4 5.68M $40.9M +$2.66M $7.20 27
2020 Q3 5.31M $37.1M +$667K $6.98 22
2020 Q2 5.21M $36M +$851K $6.90 23
2020 Q1 5.09M $31.1M +$1.39M $6.10 23
2019 Q4 4.86M $36M +$863K $7.40 22
2019 Q3 4.75M $34.9M +$337K $7.35 22
2019 Q2 4.71M $34.5M +$98.1K $7.33 22
2019 Q1 4.69M $33.2M +$325K $7.07 22
2018 Q4 4.65M $31.8M +$1.79M $6.85 20
2018 Q3 4.39M $30.8M +$955K $7.02 25
2018 Q2 4.25M $29.8M +$491K $7.00 20
2018 Q1 4.18M $30.1M +$338K $7.21 23
2017 Q4 4.13M $31.5M +$166K $7.62 18
2017 Q3 4.11M $31.2M +$120K $7.59 18
2017 Q2 4.09M $30.7M +$406K $7.49 19
2017 Q1 4.04M $29.9M +$1.18M $7.39 19
2016 Q4 3.88M $28.3M +$202K $7.30 19
2016 Q3 3.85M $28.9M +$1.63M $7.50 19
2016 Q2 3.63M $27.2M +$980K $7.48 18
2016 Q1 3.5M $25.3M +$1.23M $7.21 20
2015 Q4 3.33M $23.7M +$1.3M $7.10 21
2015 Q3 3.15M $21.9M -$85.6K $6.95 23
2015 Q2 3.15M $22.8M +$3.78M $7.21 23
2015 Q1 2.64M $20M -$374K $7.58 24
2014 Q4 2.69M $20.6M +$1.54M $7.67 23
2014 Q3 2.53M $19.1M +$18.8M $7.55 21