EX-99.K.3 10 d24391dex99k3.htm SECOND AMENDMENT AND UPDATED SCHEDULE A Second Amendment and updated Schedule A

SECOND AMENDMENT TO TRANSFER AGENCY AND SERVICE AGREEMENT

This Second Amendment (“Amendment”) is entered into and effective as of this the 26th day of February, 2018, and hereby amends that certain Transfer Agency and Service Agreement by and among each Nuveen closed-end investment companies listed on Schedule A attached hereto, as may be amended from time to time (“Schedule A”) {each such investment company, a “Fund”), and Computershare Inc., (“Computershare”) and its fully owned subsidiary Computershare Trust Company, N.A., (“Trust Company”, and together with Computershare, “Transfer Agent”) dated June 15, 2017 (the “Agreement”). Capitalized terms used but not otherwise defined herein shall have the meanings ascribed to such terms in the Agreement.

WHEREAS, the Funds and Transfer Agent are parties to the Agreement; and

WHEREAS, the Funds and Transfer Agent desire to amend the Agreement upon the terms and conditions set forth herein;

NOW THEREFORE, for good and valuable consideration, the receipt and adequacy of which are hereby acknowledged, the parties hereby agree as follows:

 

  1.

Amendment to the Agreement. The Fee and Service Schedule for Stock Transfer Services (the “Schedule’’) of the Agreement is hereby amended by deleting Section 4 “Preferred Share Services” in its entirety and replacing it with the following new Section 4:

“4, PREFERRED SHARES SERVICES

Issuance of Preferred Shares. The parties acknowledge that certain Funds intend to issue series of preferred shares to be designated as MuniFund Term Preferred (“MTP”) Shares, Variable Rate MuniFund Term Preferred (“VMTP’’) Shares, Variable Rate Term Preferred (“VRTP”) Shares, Term Preferred Shares (“TPS”), or Adjustable Rate MuniFund Term Preferred Share (“AMTP” and collectively with MTP, VMTP, VRTP, and TPS, the “Preferred Shares”), pursuant to a Statement Establishing and Fixing the Rights and Preferences of the applicable Shares (each, a “Statement”), a copy of which shall be provided to Transfer Agent by the Fund. In connection with such Statement, Transfer Agent has agreed to perform the obligations of Redemption and Paying Agent as described in such Statement and provide the Services solely as set forth herein in Sections 3 and 4, as applicable.

MTP, VMTP. VRPT, TPS, and AMTP Funds (per Fund)**

 

$xxxxx

   Monthly Administrative Fee

$xxxxx

   Monthly Fee per Additional Series of Shares

$xxxxx

   Per Cusip - Full Redemption

$xxxxx

   Per Cusip - Partial Redemption

 

**

If at any time Shares of any Fund are not held by The Depository Trust Company (“DTC”) as the sole registered Shareholder in book-entry form through the Direct Registration System (“DRS”), Transfer Agent shall have the right to propose an amendment to the foregoing fees to reflect the additional costs related to providing the Services contemplated hereby with respect to additional registered holders of such Shares or shall have the right to terminate its Services hereunder with respect to such Shares of such Fund only, upon 90 days’ prior written notice. In addition, if such amendment is not acceptable to such Fund, it may terminate Transfer Agent’s services with respect to such Shares of such Fund only, on 90 days’ prior written notice.

Distribution and Redemption Services for MTP. VMTP, VRTP. TPS. and AMTP Issuing Term Preferred Shares

 

   

Maintain a registered Account for DTC (including in its nominee name, Cede & Co.) for each series of Shares issued by a Fund in book entry form through ORS

   

Provide dividend disbursing services consisting of effecting wire transfer of dividend payments to DTC on payable date. For each dividend, the applicable Fund shall provide Transfer Agent with the dividend record and payable date as well as the dividend rate per Share. All funds for the payment of dividends must be received by 11:00 A.M. Eastern Time on the payable date via Federal Funds Wire.


   

Upon notification that Shares will be redeemed/liquidated, Transfer Agent shall designate a project manager to carry out redemption duties, Including document review, review of communication materials, project management, and on-going project updates and reporting. (For each Fund redemption, Transfer Agent shall be provided with a written Instruction from the Fund setting forth the date of redemption/payable date and the amount to be paid per Share).

   

Coordinate the redemption with OTC, and if requested by a Fund, supply the Fund’s Notice of Redemption to OTC or other holders of such Fund’s Shares.

   

On the redemption date, debit the registered Shareholder(s) DRS account for the Shares to be redeemed and make payment according to Instructions received from the Fund, including Instructions concerning the redemption price to be paid per Share. All funds for redemption payments must be received by the Trust Company, via Federal Funds Wire by 12:00 Noon, Eastern Time, on the redemption date.

   

Hold or cause to be held all funds deposited with Trust Company by a Fund for payment to the holders of the Shares in trust for the benefit of such holders. All interest earned on such funds shall accrue solely for the benefit of such Fund.

   

Accept Instructions from the applicable Fund with respect to the investment or reinvestment of any funds consisting of cash deposited prior to the applicable payment date therefor in cash or cash equivalents (short-term), provided that the proceeds of any such investment will be available as same day funds at the opening of business on the applicable payment date.

   

In the event of an overpayment of funds by a Fund as a result of an error in calculation or a decrease in the dividend rate on the Shares while funds are being held, cause any such funds paid to Transfer Agent In accordance with the foregoing but not applied by Transfer Agent to the payment of dividends, redemption payments or other payments on the Shares, including Interest earned on such moneys while so held, to be repaid to the applicable Fund as soon as possible after the date on which such funds were to have been so applied, upon the instruction of such Fund. Transfer Agent shall have the right to request an opinion of counsel and/or certification from an officer of the Fund that such return of funds Is in compliance with the Statement Establishing and Fixing the Rights and Preference of Shares for the applicable Fund and applicable law, as well as such other documentation concerning the overpayment as may be reasonably requested.”

 

  2.

Limited Effect. Except as expressly modified herein, the Agreement and the Fee Schedule shall continue to be and shall remain, In full force and effect and the valid and binding obligation of the parties thereto in accordance with its terms.

 

  3.

Counterparts. This Amendment may be executed in any number of counterparts and each of such counterparts shall for all purposes be deemed to be an original, and all such counterparts shall together constitute but one and the same instrument. A signature to this Amendment executed and/or transmitted electronically shall have the same authority, effect, and enforceability as an original signature.

[Remainder of this page is le Intentionally blank.]


IN WITNESS WHEREOF, the parties hereto have caused this Amendment to be executed by their respective officers, hereunto duly agreed and authorized, as of the Effective Date.

 

Computershare Inc. and

Computershare Trust Company, N.A.

On Behalf of Both Entities:

  

On behalf of each of the Nuveen

closed-end investment companies

listed on Schedule A attached hereto:

 

By:  

/s/ Tina M. Lazar

Name:

 

Tina M. Lazar

Title:

 

Vice President

 

By:  

/s/ Dennis V. Moccia

Name:

 

Dennis V. Moccia

Title:

 

Manager, Contract Administration


Schedule A

NUVEEN CLOSED-END FUNDS

 

Fund Name

   CPU COY      Cusip

Nuveen Municipal Value Fund

   NUV      670928100

Nuveen CA Municipal Value Fund

   NCA      67062C107

Nuveen NY Municipal Value Fund

   NNY      67062M105

Nuveen Municipal Income Fund

   NMI      67062J102

Nuveen PA Quality Municipal Income Fund

   NQP      670972108

Nuveen MI Quality Income Municipal Fund

   NUM      670979103

Nuveen OH Quality Municipal Income Fund

   NUO      670980101

Nuveen TX Quality Municipal Income Fund

   NTX      670983105

Nuveen Select Tax-Free Income Portfolio

   NXP      67062F100

Nuveen Select Tax-Free Income Portfolio 2

   NXQ      67063C106

Nuveen CA Select Tax-Free Inc Portfolio

   NXC      67063R103

Nuveen NY Select Tax-Free Inc Portfolio

   NXN      67063V104

Nuveen Select Tax-Free Income Portfolio 3

   NXR      67063X100

Nuveen Select Maturities Municipal Fund

   NIM      67061T101

Nuveen AMT-Free Municipal Credit Income Fund

   NVG      67071L106

Nuveen Municipal Credit Income Fund

   NZF      67070X101

Nuveen AMT-Free Municipal Income Fund

   NEA      670657105

Nuveen NY AMT-Free Quality Municipal Income Fund

   NRK      670656107

Nuveen CA AMT-Free Quality Municipal Income Fund

   NKX      670651108

Nuveen Floating Rate Income Fund

   JFR      67072T108

Nuveen Floating Rate Income Opportunity Fund

   JRO      6706EN100

Nuveen AZ Quality Municipal Income Fund

   NAZ      67061W104

Nuveen MD Quality Municipal Income Fund

   NMY      67061Q107

Nuveen MA Quality Municipal Income Fund

   NMT      67061E104

Nuveen VA Quality Municipal Income Fund

   NPV      67064R102

Nuveen CT Quality Municipal Income Fund

   NTC      67060D107

Nuveen MO Quality Municipal Income Fund

   NOM      67060Q108

Nuveen NC Quality Municipal Income Fund

   NNC      67060P100

Nuveen Quality Municipal Income Fund

   NAD      67066V101

Nuveen NY Quality Municipal Income Fund

   NAN      67066X107

Nuveen CA Quality Municipal Income Fund

   NAC      67066Y105

Nuveen Senior Income Fund

   NSL      67067Y104

Nuveen NJ Quality Municipal Income Fund

   NXJ      67069Y102

Nuveen Real Estate Income Fund

   JRS      67071B108

Nuveen GA Quality Municipal Income Fund

   NKG      67072B107

Nuveen Preferred Securities Income Fund

   JPS      67072C105

Nuveen Preferred Income Opportunities Fund

   JPC      67073B106

Nuveen Credit Strategies Income Fund

   JQC      67073D102

Nuveen Diversified Dividend and Income Fund

   JDD      6706EP105

Nuveen Municipal High Income Opportunity Fund

   NMZ      670682103

Nuveen Tax-Advantaged Total Return Strategy Fund

   JTA      67090H102

Nuveen S&P 500 Buy-Write Income Fund

   JPZ      6706ER101

Nuveen S&P 500 Dynamic Overwrite Fund

   JPG      6706EW100

Nuveen Core Equity Alpha Fund

   JCE      67090X107

Nuveen Tax-Advantaged Dividend Growth Fund

   JTD      67073G105

Nuveen Municipal Value Fund 2

   NUW      670695105

Nuveen NY Municipal Value Fund 2

   NYVF      670706100

Nuveen CA Municipal Value Fund 2

   NCB      6706EB106

Nuveen PA Municipal Value Fund

   NPN      67074K105

Nuveen NJ Municipal Value

   NJV      670702109


Nuveen Enhanced Municipal Value Fund

   NEVF      67074M101

Nuveen Mortgage Opportunity Term Fund

   JLS      670735109

Nuveen Mortgage Opportunity Term Fund 2

   JMT      67074R100

Nuveen Build America Bond Fund

   NBB      67074C103

Nuveen Build America Bond Opportunity Fund

   NBDF      67074Q102

Nuveen NASDAQ 100 Dynamic Overwrite Fund

   QQQF      670699107

Nuveen Energy MLP Total Return Fund

   JMF      67074U103

Nuveen Short Duration Credit Opportunities Fund

   JSD      67074X107

Nuveen Real Asset Income and Growth Fund

   JRI      67074Y105

Nuveen Preferred and Income Term Fund

   JPI      67075A106

Nuveen Intermediate Duration Municipal Term Fund

   NID      670671106

Nuveen Intermediate Duration Quality Municipal Term Fund

   NIQ      670677103

Nuveen All Cap Energy MLP Opportunities Fund

   JMLP      67075 E108

Nuveen Multi-Market Income Fund

   JMM      67075J107

Nuveen Emerging Markets Debt 2022 Target Term Fund

   JEMD      25533B108

Nuveen MN Quality Municipal Income Fund

   NMS      670734102

Nuveen Global High Income Fund

   JGH      67075G103

Nuveen Dow 30 Dynamic Overwrite Fund

   DIAX      67075F105

Nuveen High Income 2020 Target Fund

   JHY      67075L102

Nuveen High Income Dec 2018 Target Term

   JHA      67075P103

Nuveen Municipal 2021 Target Term Fund

   NHA      670687102

Nuveen High Income Nov 2021 Target Term

   JHB      67077N106

Nuveen High Income Dec 2019 Target Term

   JHD      6 7076E107

Nuveen Preferred & Income 2022 Term Fund

   JPT      67075T105

Nuveen Credit Opportunity 2022 Target Term Fund

   JCO      67075U102

Nuveen JFRT Term Preferred Shares Series 2027

   JFRT      67072TAD0

Nuveen JROT Term Preferred Shares Series 2027

   JROT      6706ENAC4

Nuveen NADR Var Rate MuniFund Term 2018

   NADR      67066V838

Nuveen Var Rate Munifund Term PFD 2019-1

   NADT      67066V820

Nuveen NEAR Var Rate MuniFund Term 2018

   NEAR      670657840

Nuveen Variable Rate MuniFund Series 2018

   NIQP      670677111

Nuveen NUM Var Rate MuniFund Series 2019

   NUMW      670979806

Nuveen NZF Var Rate MuniFund Term Pfd 2019

   NZFW      67070X853

Nuveen NAD Variable Rate MuniFund Term Pfd 2019

   VNAD      67066V887

Nuveen NAN Variable Rate MuniFund Term Pfd 2019

   VNAN      67066X800

Nuveen NAZ Var Rate MuniFund Pfd 2019

   VNAZ      67061W807

Nuveen NEA Variable Rate MuniFund 2019

   VNEA      670657873

Nuveen Variable Rate MuniFund Term Pfd Series 2018

   VNID      670671304

Nuveen VNKG Var Rate MuniFund Term 2019

   VNKG      67072B883

Nuveen NMS Variable Rate MuniFund Term Pfd 2019

   VNMS      670734409

Nuveen NMY Variable Rate MuniFund Term Pfd 2019

   VNMY      67061Q867

Nuveen NNC Variable Rate MuniFund Term Pfd 2019

   VNNC      67060P878

Nuveen VNQP Var Rate MuniFund Term 2019

   VNQP      670972868

Nuveen VNTC Var Rate MuniFund Term 2019

   VNTC      67060D859

Nuveen JFRP Term Pfd Shares 2019

   JFRP      67072TAA6

Nuveen JROP Term Pfd Shr Series 2023

   JROP      6706ENAA8

Nuveen NAC Variable Rate MuniFund Term Preferred 2019

   NACV      67066Y857

Nuveen Variable Rate MuniFund Term Pfd Series 2018

   NMZX      670682806

Nuveen Munifund Variable Rate Preferred Series 2018

   NOMV      67060Q405

Nuveen NSL Term Preferred Shares Series 2021

   NSLP      67067YAA2

Nuveen JSD Term Preferred Shares Series 2020

   PJSD      67074XAA5

Nuveen NHA Variaple Rate Munifund Term Preferred Series 2016

   VNHA      670687201


Nuveen Variable Rate MuniFund Term Preferred shares Series 2018

   VNVG      67071L874

Nuveen JFRR Term Preferred Shares Series 2022

   JFRR      67072TAC2

Nuveen JROR Term Preferred Shares Series 2022

   JROR      6706ENAB6

Nuveen PJRO Term Preferred Shares 2022-1

   PJRO      6706ENAD2

Nuveen JFR Term Preferred Shares 2024

   PJFR      67072TAE8


Schedule A cont.

NUVEEN CLOSED-END FUNDS

 

NUVEEN CLOSED-END FUND    TICKER SYMBOL      CPU ID