Nuveen Multi-Market Income Fund - Common Stock, par value $0.01 per share (JMM)

Historical Holders from Q3 2014 to Q3 2025

Symbol
JMM on NYSE
Type / Class
Equity / Common Stock, par value $0.01 per share
Shares outstanding
9,454,923
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
6,800,111
Holdings value
$42,774,641
% of all portfolios
0%
Number of holders
15
Number of buys
9
Number of sells
-7
Average buys %
+0%
Average sells %
-0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of Nuveen Multi-Market Income Fund - Common Stock, par value $0.01 per share (JMM)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
1607 Capital Partners, LLC 3.88% $2,307,493 366,851 1607 Capital Partners, LLC 30 Sep 2025

Institutional Holders of Nuveen Multi-Market Income Fund - Common Stock, par value $0.01 per share (JMM)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 6,800,111 $42,774,641 +$700,842 $6.29 15
2025 Q2 6,688,864 $42,006,265 +$1,353,317 $6.28 17
2025 Q1 6,539,205 $40,675,075 +$220,316 $6.22 14
2024 Q4 6,637,097 $40,153,988 +$1,555,697 $6.05 16
2024 Q3 6,244,552 $39,715,246 +$979,009 $6.36 12
2024 Q2 6,092,461 $36,372,583 -$1,490,702 $5.97 13
2024 Q1 6,339,486 $38,600,079 +$148,358 $6.09 14
2023 Q4 6,317,011 $37,333,147 +$885,970 $5.91 14
2023 Q3 6,167,745 $34,601,973 +$206,114 $5.61 14
2023 Q2 6,130,350 $35,556,734 +$56,514 $5.8 16
2023 Q1 6,120,631 $35,531,801 +$258,075 $5.8 18
2022 Q4 6,076,249 $35,668,082 +$185,558 $5.87 15
2022 Q3 6,046,403 $35,623,602 +$127,713 $5.9 17
2022 Q2 6,049,587 $36,998,980 +$661,085 $6.1 18
2022 Q1 5,939,998 $38,617,700 +$218,547 $6.5 19
2021 Q4 5,894,608 $44,679,644 +$253,243 $7.58 21
2021 Q3 5,861,440 $44,009,512 +$615,307 $7.51 20
2021 Q2 5,779,907 $43,149,435 +$450,261 $7.46 23
2021 Q1 5,721,805 $41,576,077 +$284,374 $7.26 27
2020 Q4 5,683,502 $40,865,942 +$2,658,895 $7.2 27
2020 Q3 5,307,675 $37,054,566 +$666,504 $6.98 22
2020 Q2 5,213,047 $35,971,420 +$850,513 $6.9 23
2020 Q1 5,093,615 $31,090,985 +$1,389,568 $6.1 23
2019 Q4 4,864,262 $35,994,320 +$863,435 $7.4 22
2019 Q3 4,748,584 $34,907,230 +$337,333 $7.35 22
2019 Q2 4,706,931 $34,505,194 +$98,058 $7.33 22
2019 Q1 4,694,559 $33,205,731 +$325,061 $7.07 22
2018 Q4 4,648,813 $31,848,330 +$1,786,354 $6.85 20
2018 Q3 4,386,333 $30,777,484 +$954,631 $7.02 25
2018 Q2 4,248,438 $29,753,454 +$491,276 $7 20
2018 Q1 4,177,105 $30,115,998 +$337,669 $7.21 23
2017 Q4 4,129,583 $31,467,000 +$165,870 $7.62 18
2017 Q3 4,107,812 $31,186,000 +$120,248 $7.59 18
2017 Q2 4,092,474 $30,654,000 +$405,711 $7.49 19
2017 Q1 4,039,848 $29,853,000 +$1,178,042 $7.39 19
2016 Q4 3,880,491 $28,328,000 +$202,139 $7.3 19
2016 Q3 3,850,664 $28,890,000 +$1,629,659 $7.5 19
2016 Q2 3,633,902 $27,180,000 +$979,667 $7.48 18
2016 Q1 3,504,578 $25,257,000 +$1,232,002 $7.21 20
2015 Q4 3,334,132 $23,671,000 +$1,301,138 $7.1 21
2015 Q3 3,151,531 $21,901,000 -$85,559 $6.95 23
2015 Q2 3,147,326 $22,829,000 +$3,776,032 $7.21 23
2015 Q1 2,638,701 $19,986,000 -$374,222 $7.58 24
2014 Q4 2,685,373 $20,600,000 +$1,541,515 $7.67 23
2014 Q3 2,529,240 $19,096,000 +$18,804,000 $7.55 21