0001193125-23-255685.txt : 20231013 0001193125-23-255685.hdr.sgml : 20231013 20231013072257 ACCESSION NUMBER: 0001193125-23-255685 CONFORMED SUBMISSION TYPE: DEF 14A PUBLIC DOCUMENT COUNT: 5 CONFORMED PERIOD OF REPORT: 20231120 FILED AS OF DATE: 20231013 DATE AS OF CHANGE: 20231013 FILER: COMPANY DATA: COMPANY CONFORMED NAME: NUVEEN MULTISTATE TRUST IV CENTRAL INDEX KEY: 0001018973 IRS NUMBER: 000000000 STATE OF INCORPORATION: MA FISCAL YEAR END: 0531 FILING VALUES: FORM TYPE: DEF 14A SEC ACT: 1934 Act SEC FILE NUMBER: 811-07751 FILM NUMBER: 231323909 BUSINESS ADDRESS: STREET 1: C/O JOHN NUVEEN & CO INC STREET 2: 333 WEST WACKER DRIVE 32ND FLOOR CITY: CHICAGO STATE: IL ZIP: 60606 BUSINESS PHONE: 3129178200 MAIL ADDRESS: STREET 1: JOHN NUVEEN & CO INC STREET 2: 333 WEST WACKER DRIVE 32ND FLOOR CITY: CHICAGO STATE: IL ZIP: 60606 FORMER COMPANY: FORMER CONFORMED NAME: NUVEEN FLAGSHIP MULTISTATE TRUST IV DATE OF NAME CHANGE: 19960716 0001018973 S000000596 Nuveen Kansas Municipal Bond Fund C000001664 Nuveen Kansas Municipal Bond Fund - Class A FKSTX C000001667 Nuveen Kansas Municipal Bond Fund - Class I FRKSX C000137705 Class C FAFOX 0001018973 S000000597 Nuveen Kentucky Municipal Bond Fund C000001668 Nuveen Kentucky Municipal Bond Fund - Class A FKYTX C000001671 Nuveen Kentucky Municipal Bond Fund - Class I FKYRX C000137706 Class C FKCCX 0001018973 S000000598 Nuveen Michigan Municipal Bond Fund C000001672 Nuveen Michigan Municipal Bond Fund - Class A FMITX C000001675 Nuveen Michigan Municipal Bond Fund - Class I NMMIX C000137707 Class C FAFNX 0001018973 S000000599 Nuveen Missouri Municipal Bond Fund C000001676 Nuveen Missouri Municipal Bond Fund - Class A FMOTX C000001679 Nuveen Missouri Municipal Bond Fund - Class I FMMRX C000137708 Class C FAFPX 0001018973 S000000600 Nuveen Ohio Municipal Bond Fund C000001680 Nuveen Ohio Municipal Bond Fund - Class A FOHTX C000001683 Nuveen Ohio Municipal Bond Fund - Class I NXOHX C000137709 Class C FAFMX 0001018973 S000000601 Nuveen Wisconsin Municipal Bond Fund C000001684 Nuveen Wisconsin Municipal Bond Fund - Class A FWIAX C000001687 Nuveen Wisconsin Municipal Bond Fund - Class I FWIRX C000137710 Class C FWCCX DEF 14A 1 d506724ddef14a.htm NUVEEN MULTISTATE TRUST IV Nuveen Multistate Trust IV

 

 

UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

WASHINGTON, D.C. 20549

 

 

SCHEDULE 14A

Proxy Statement Pursuant to Section 14(a) of the

Securities Exchange Act of 1934

(Amendment No. )

 

 

Filed by the Registrant ☒

Filed by a Party other than the Registrant

Check the appropriate box:

 

Preliminary Proxy Statement

 

Confidential, for Use of the Commission Only (as permitted by Rule 14a-6(e)(2))

 

Definitive Proxy Statement

 

Definitive Additional Materials

 

Soliciting Material Pursuant to §240.14a-12


NUVEEN MULTISTATE TRUST IV
(Name of Registrant as Specified In Its Charter)
(Name of Person(s) Filing Proxy Statement, if other than the Registrant)

Payment of Filing Fee (Check all boxes that apply):

 

☒   No fee required.

 

☐   Fee paid previously with preliminary materials.

 

☐   Fee computed on table in exhibit required by Item 25(b) per Exchange Act Rules 14a-6(i)(1) and 0-11.

 

 

 


LOGO

Important Notice to Fund Shareholders

October 13, 2023

Although we recommend that you read the complete Joint Proxy Statement, for your convenience, we have provided a brief overview of the proposal to be voted on.

 

Q.

Why am I receiving this Joint Proxy Statement?

 

A.

This year, you and other shareholders of each of Nuveen Municipal Trust, Nuveen Multistate Trust I, Nuveen Multistate Trust II, Nuveen Multistate Trust III, Nuveen Multistate Trust IV and Nuveen Managed Accounts Portfolios Trust (each trust individually, a “Trust” and collectively, the “Trusts”), on behalf of each series of each Trust (each series of each Trust, as identified on Appendix A to the enclosed Joint Proxy Statement, individually a “Fund,” and collectively, the “Funds”) are being asked to approve the election of board members to serve on your Fund’s board of trustees (the “Board” and the trustees, “Board Members”). The list of nominees is contained in the enclosed Joint Proxy Statement.

The Funds and certain other investment companies advised by the investment adviser to the Funds and its affiliates are currently overseen by two separate groups of board members. One of these groups consists of the current board members of the funds advised by Nuveen Fund Advisors, LLC (referred to herein as the “Nuveen Funds,” and board members thereof as the “Nuveen Board Members”). The other group consists of the current board members of the mutual funds advised by Teachers Advisors, LLC that are series of the TIAA-CREF Funds and the TIAA-CREF Life Funds (referred to herein as the “TC Funds,” and the board members thereof as the “TC Board Members”). Except as otherwise noted, the Nuveen Funds and the TC Funds are collectively referred to herein as the “Fund Complex.”

The Nuveen Board Members and the TC Board Members separately determined to approve the alignment and consolidation of the membership of the boards so that all funds in the Fund Complex are overseen by the same board members. Accordingly, your Board has proposed the election of twelve (12) Board Members. Eight (8) of the nominees currently serve as Nuveen Board Members. Four (4) of the nominees currently serve as TC Board Members.

Two (2) of the current Nuveen Board Members are expected to retire effective as of December 31, 2023 in accordance with the retirement policies adopted by the Nuveen Funds boards and therefore are not standing for re-election.

Your Fund’s Board unanimously recommends that you vote FOR each of the nominees.

Your vote is very important. We encourage you as a shareholder to participate in your Fund’s governance by returning your vote as soon as possible. If enough shareholders do not cast their votes, your Fund may not be able to hold the meeting or the vote, and additional solicitation costs may need to be incurred in order to obtain sufficient shareholder participation.

 

1


Q.

Why am I being asked to elect each of the nominees as Board Members?

 

A.

Each of the nominees either currently serves as a Nuveen Board Member or a TC Board Member. The election of the nominees is part of the intended alignment and consolidation of the membership of the boards of the Nuveen Funds with membership of the boards of the TC Funds. If shareholders approve the election of all of the nominees, your Fund’s Board’s membership will be expanded to include the four nominees who currently serve as TC Board Members. Each nominee would not be deemed an “interested person” as that term is defined under the Investment Company Act of 1940, as amended.

The election of all of the nominees will bring the membership of the boards of the Fund Complex into alignment such that funds in the Fund Complex are overseen by the same group of board members.

Your Fund’s Board has approved the proposal after evaluating the potential benefits of aligning and consolidating the boards of funds in the Fund Complex and considering the background, skills, experience and other attributes of the nominees who would make up the consolidated board.

Please note that separate proxy statements are being sent to shareholders of certain other Nuveen Funds and to shareholders of the TC Funds, who are being asked to vote on the election of the same slate of nominees to the boards of their respective funds.

 

Q.

What will be some of the benefits of the consolidation for shareholders?

 

A.

The consolidation of the Board is expected to:

 

   

Generate cost efficiencies and expense savings that would benefit shareholders; Fund management estimates that nearly all identified savings will accrue directly to Fund shareholders.

 

   

Align the Fund Complex and its Board with Nuveen LLC’s operating model to promote growth across new, as well as similar, investment products.

 

   

Facilitate negotiating with vendors as a unified Fund Complex to obtain expected economies of scale and to standardize servicing.

 

   

Expand marketing and distribution opportunities associated with presenting the TC Funds and Nuveen Funds to the marketplace as one Fund Complex and grow investor engagement.

 

   

Eliminate duplicate efforts in Board operations.

 

Q.

What are some examples of the potential economic/cost benefits to shareholders?

 

A.

Over time, shareholders of the Funds may experience economic benefits due to reduced or eliminated contractual fees/expenses, including the potential for reduced third-party vendor fees as the result of management being able to renegotiate as one consolidated Fund Complex. Other cost savings may arise due to economies of scale if assets grow as a combined Fund Complex.

 

2


Q.

Why is this change occurring now?

 

A.

As Nuveen LLC’s funds business has evolved, your Board and Fund management believe that the prospective benefits of the Board consolidation (as noted above) will be advantageous for all Fund shareholders. The Board and Fund management also believe that individual investor engagement with the TC Funds and Nuveen Funds can be grown more effectively by presenting the Fund Complex to the marketplace as “one fund family” with one common source of oversight—i.e., a combined Board.

Shareholders are expected to benefit from expense reductions, as well as potential incremental savings from economies of scale and the benefits of asset growth shared across the Fund Complex.

 

Q.

How does the Board consolidation impact my Fund’s investment strategy or fees?

 

A.

The Board consolidation will not impact any Fund’s investment strategy or increase any Fund’s fees.

 

Q.

Whom do I call if I have questions?

 

A.

If you need any assistance, or have any questions regarding the proposal or how to vote your shares, please call Computershare Fund Services, your Fund’s proxy solicitor, at 888-916-1716 with your proxy material.

 

Q.

How do I vote my shares?

 

A.

You may vote at the meeting, by mail, by telephone or over the Internet:

 

   

To vote at the meeting, please follow the instructions below for attending the meeting, which will be held virtually.

 

   

To vote by mail, please mark, sign, date and mail the enclosed proxy card. No postage is required if mailed in the United States.

 

   

To vote by telephone, please call the toll-free number located on your proxy card and follow the recorded instructions, using your proxy card as a guide.

 

   

To vote over the Internet, go to the Internet address provided on your proxy card and follow the instructions, using your proxy card as a guide.

 

Q.

How can I attend the meeting?

 

A.

The meeting will be a completely virtual meeting of shareholders, which will be conducted exclusively by webcast. You are entitled to participate in the meeting only if you were a shareholder of your Fund as of the close of business on October 5, 2023, or if you hold a valid proxy for the meeting. There is no physical location for the meeting.

You will be able to attend the meeting online and submit your questions during the meeting by visiting meetnow.global/MU6Y5XM. You also will be able to vote your shares online by attending the meeting by webcast. To participate in the meeting, you will need to

 

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log on using the control number from your proxy card or meeting notice. The control number can be found in the shaded box.

If you hold your shares through an intermediary, such as a bank or broker, you must register in advance using the instructions below.

The online meeting will begin promptly at 2:00 p.m., Central time, on November 20, 2023. We encourage you to access the meeting prior to the start time leaving ample time for the check in. Please follow the access instructions as outlined herein.

 

Q.

How do I register to attend the meeting virtually on the Internet?

 

A.

If your shares are registered in your name, you do not need to register to attend the meeting virtually on the Internet. If you hold your shares through an intermediary, such as a bank or broker, you must register in advance to attend the meeting virtually on the Internet.

To register to attend the meeting online by webcast, you must submit proof of your proxy power (legal proxy) reflecting your Fund holdings along with your name and email address to Computershare Fund Services. You must contact the bank or broker who holds your shares to obtain your legal proxy. Requests for registration must be labeled as “Legal Proxy” and be received no later than 5:00 p.m., Eastern Time, three business days prior to the meeting date.

You will receive a confirmation of your registration by email after we receive your registration materials.

Requests for registration should be directed to us by emailing an image of your legal proxy to shareholdermeetings@computershare.com.

 

Q.

Will anyone contact me?

 

A.

You may receive a call from Computershare Fund Services, the proxy solicitor hired by the Funds, to verify that you received your proxy materials, to answer any questions you may have about the proposal and to encourage you to vote your proxy.

We recognize the inconvenience of the proxy solicitation process and would not impose on you if we did not believe that the matters being proposed were important. Once your vote has been registered with the proxy solicitor, your name will be removed from the solicitor’s follow-up contact list.

 

Q.

How does the Board suggest that I vote?

 

A.

The Board unanimously recommends that shareholders vote FOR the election of each of the nominees named herein.

 

4


LOGO   

333 West Wacker Drive

Chicago, Illinois 60606

(800) 257-8787

 

Notice of Special Meeting

of Shareholders

to be held on November 20, 2023

 

Nuveen Municipal Trust    Nuveen Multistate Trust III
Nuveen All-American Municipal Bond Fund    Nuveen Georgia Municipal Bond Fund
Nuveen High Yield Municipal Bond Fund    Nuveen Louisiana Municipal Bond Fund
Nuveen Intermediate Duration Municipal Bond Fund    Nuveen North Carolina Municipal Bond Fund
Nuveen Limited Term Municipal Bond Fund   
Nuveen Short Duration High Yield Municipal Bond Fund   
Nuveen Strategic Municipal Opportunities Fund   
Nuveen Multistate Trust I    Nuveen Multistate Trust IV
Nuveen Arizona Municipal Bond Fund    Nuveen Kansas Municipal Bond Fund
Nuveen Colorado Municipal Bond Fund    Nuveen Kentucky Municipal Bond Fund
Nuveen Maryland Municipal Bond Fund    Nuveen Michigan Municipal Bond Fund
Nuveen New Mexico Municipal Bond Fund    Nuveen Missouri Municipal Bond Fund
Nuveen Pennsylvania Municipal Bond Fund    Nuveen Ohio Municipal Bond Fund
Nuveen Virginia Municipal Bond Fund    Nuveen Wisconsin Municipal Bond Fund
Nuveen Multistate Trust II    Nuveen Managed Accounts Portfolios Trust
Nuveen California High Yield Municipal Bond Fund    Municipal Total Return Managed Accounts Portfolio
Nuveen California Municipal Bond Fund    Nuveen Core Impact Bond Managed Accounts Portfolio
Nuveen Connecticut Municipal Bond Fund    Nuveen Emerging Markets Debt Managed Accounts Portfolio
Nuveen Massachusetts Municipal Bond Fund    Nuveen High Yield Managed Accounts Portfolio
Nuveen New Jersey Municipal Bond Fund    Nuveen Preferred Securities and Income Managed Accounts Portfolio
Nuveen New York Municipal Bond Fund    Nuveen Securitized Credit Managed Accounts Portfolio

October 13, 2023

To the Shareholders of the Above Funds:

Notice is hereby given that a Special Meeting of Shareholders (the “Meeting”) of each of Nuveen Municipal Trust, Nuveen Multistate Trust I, Nuveen Multistate Trust II, Nuveen Multistate Trust III, Nuveen Multistate Trust IV and Nuveen Managed Accounts Portfolios


Trust (each trust individually, a “Trust” and collectively, the “Trusts”), on behalf of each series of each Trust (each series of each Trust, as identified above and on Appendix A to the enclosed Joint Proxy Statement, individually a “Fund,” and collectively, the “Funds”), will be held on Monday, November 20, 2023, at 2:00 p.m., Central time, for the following purposes and to transact such other business, if any, as may properly come before the Meeting:

The purposes of the Meeting are:

 

  1.

To elect twelve (12) individuals to serve as Board Members for indefinite terms and until their successors shall take office; and

 

  2.

To address any other business that may properly come before the Meeting.

All shareholders are cordially invited to attend the Meeting, which will be held online as discussed in further detail below. In order to avoid delay and additional expense, and to assure that your shares are represented, please vote as promptly as possible, regardless of whether or not you plan to attend the Meeting. You may vote by mail, telephone or over the Internet. To vote by mail, please mark, sign, date and mail the enclosed proxy card. No postage is required if mailed in the United States. To vote by telephone, please call the toll-free number located on your proxy card and follow the recorded instructions, using your proxy card as a guide. To vote over the Internet, go to the Internet address provided on your proxy card and follow the instructions, using your proxy card as a guide.

Shareholders of record as of the close of business on October 5, 2023 (the “Record Date”) are entitled to notice of, and to vote at, the Meeting or any postponement or adjournment thereof.

The Meeting will be a completely virtual meeting of shareholders, which will be conducted exclusively by webcast. There is no physical location for the Meeting. Shareholders will be able to attend the Meeting online and submit their questions during the Meeting by visiting meetnow.global/MU6Y5XM. Shareholders will also be able to vote their shares online by attending the Meeting by webcast. To participate in the Meeting, you will need to log on using the control number from your proxy card or meeting notice. The control number can be found in the shaded box. If you hold your shares through an intermediary, such as a bank or broker, you must register in advance using the instructions contained in the enclosed Joint Proxy Statement.

 

/s/ Mark Czarniecki

Mark Czarniecki

Vice President and Secretary


LOGO   

333 West Wacker Drive

Chicago, Illinois 60606

(800) 257-8787

Joint Proxy Statement

October 13, 2023

This Joint Proxy Statement is first being mailed to shareholders on or about October 13, 2023.

 

Nuveen Municipal Trust

Nuveen All-American Municipal Bond Fund

Nuveen High Yield Municipal Bond Fund

Nuveen Intermediate Duration Municipal Bond Fund

Nuveen Limited Term Municipal Bond Fund

Nuveen Short Duration High Yield Municipal Bond Fund

Nuveen Strategic Municipal Opportunities Fund

Nuveen Multistate Trust III

Nuveen Georgia Municipal Bond Fund

Nuveen Louisiana Municipal Bond Fund

Nuveen North Carolina Municipal Bond Fund

 

Nuveen Multistate Trust I

Nuveen Arizona Municipal Bond Fund

Nuveen Colorado Municipal Bond Fund

Nuveen Maryland Municipal Bond Fund

Nuveen New Mexico Municipal Bond Fund

Nuveen Pennsylvania Municipal Bond Fund

Nuveen Virginia Municipal Bond Fund

Nuveen Multistate Trust IV

Nuveen Kansas Municipal Bond Fund

Nuveen Kentucky Municipal Bond Fund

Nuveen Michigan Municipal Bond Fund

Nuveen Missouri Municipal Bond Fund

Nuveen Ohio Municipal Bond Fund

Nuveen Wisconsin Municipal Bond Fund

 

Nuveen Multistate Trust II

Nuveen California High Yield Municipal Bond Fund

Nuveen California Municipal Bond Fund

Nuveen Connecticut Municipal Bond Fund

Nuveen Massachusetts Municipal Bond Fund

Nuveen New Jersey Municipal Bond Fund

Nuveen New York Municipal Bond Fund

Nuveen Managed Accounts Portfolios Trust

Municipal Total Return Managed Accounts Portfolio

Nuveen Core Impact Bond Managed Accounts Portfolio

Nuveen Emerging Markets Debt Managed Accounts Portfolio

Nuveen High Yield Managed Accounts Portfolio

Nuveen Preferred Securities and Income Managed Accounts Portfolio

Nuveen Securitized Credit Managed Accounts Portfolio

 

This Joint Proxy Statement is furnished in connection with the solicitation by the Board of Trustees (the “Board” and each trustee a “Board Member” and collectively, the “Board

 

1


Members”) of each of Nuveen Municipal Trust, Nuveen Multistate Trust I, Nuveen Multistate Trust II, Nuveen Multistate Trust III, Nuveen Multistate Trust IV and Nuveen Managed Accounts Portfolios Trust (each trust individually, a “Trust” and collectively, the “Trusts”), on behalf of each series of each Trust (each series of each Trust, as identified above and on Appendix A, individually a “Fund,” and collectively, the “Funds”), of proxies to be voted at the Special Meeting of Shareholders to be held (along with the meeting of shareholders of certain other Nuveen Funds and TC Funds, each as defined herein) on Monday, November 20, 2023, at 2:00 p.m., Central time (the “Meeting”), and at any and all adjournments, postponements or delays thereof. Appendix A sets forth the name of each Fund and the abbreviated name of each Fund by which such Fund is referred to in this Joint Proxy Statement.

Proposal

 

1.

To elect twelve (12) individuals to serve as Board Members for indefinite terms and until their successors shall take office.

Voting Information

Shareholders of record as of the close of business on October 5, 2023 (the “Record Date”) are entitled to notice of, and to vote at, the Meeting or any postponement or adjournment thereof.

The Meeting will be a completely virtual meeting of shareholders, which will be conducted exclusively by webcast. There is no physical location for the Meeting. Shareholders will be able to attend the Meeting online and submit their questions during the Meeting by visiting meetnow.global/MU6Y5XM. Shareholders will also be able to vote their shares online by attending the Meeting by webcast. To participate in the Meeting, you will need to log on using the control number from your proxy card or meeting notice. The control number can be found in the shaded box. If you hold your shares through an intermediary, such as a bank or broker, you must register in advance using the instructions contained in this Joint Proxy Statement.

On the proposal coming before the Meeting as to which a choice has been specified by shareholders on the proxy, the shares will be voted accordingly. If a properly executed proxy is returned and no choice is specified, the shares will be voted FOR the election of each of the Board Member nominees listed in this Joint Proxy Statement.

Shareholders who execute proxies may revoke them at any time before they are voted by filing a written notice of revocation, by delivering a duly executed proxy bearing a later date, or by attending and voting at the Meeting. A prior proxy can also be revoked by voting again through the toll-free number or the Internet address listed in the proxy card. Merely attending the Meeting, however, will not revoke any previously submitted proxy.

A quorum of shareholders is required to take action at the Meeting. One-third of the shares entitled to vote at the Meeting, represented in person (virtually) or by proxy, will constitute a quorum of shareholders at the Meeting. Votes cast by proxy or in person (virtually) at the Meeting will be tabulated by the inspectors of election appointed for the Meeting. The inspectors of election will determine whether or not a quorum is present at the Meeting. The inspectors of election will treat abstentions and “broker non-votes” (i.e., shares held by

 

2


brokers or nominees, typically in “street name,” as to which (i) instructions have not been received from the beneficial owners or persons entitled to vote and (ii) the broker or nominee does not have discretionary voting power on a particular matter) as present for purposes of determining a quorum.

Broker-dealer firms holding shares of a Fund in “street name” for the benefit of their customers and clients will request the instructions of such customers and clients on how to vote their shares before the Meeting. The Funds understand that, under the rules of the New York Stock Exchange, such broker-dealer firms may for certain “routine” matters, without instructions from their customers and clients, grant discretionary authority to the proxies designated by the Board to vote if no instructions have been received prior to the date specified in the broker-dealer firm’s request for voting instructions. The proposal is a “routine” matter and beneficial owners who do not provide proxy instructions or who do not return a proxy card may have their shares voted by broker-dealer firms in favor of the proposal.

Broker-dealers who are not members of the New York Stock Exchange may be subject to other rules, which may or may not permit them to vote your shares without instruction. We urge you to provide instructions to your broker or nominee so that your votes may be counted.

The details of the proposal to be voted on by the shareholders of each Fund and the vote required for approval of the proposal are set forth under the description of the proposal below.

The Board has determined that the use of this Joint Proxy Statement for the Meeting is in the interests of each Fund in light of the similar proposal being considered and voted on by the shareholders of each Fund. Certain other Nuveen Funds, not listed in this Joint Proxy Statement, as well as the TC Funds, will also hold meetings of shareholders with similar proposals. If you were also a shareholder of record of one or more of those other funds on the record date established for the meetings of shareholders of such other funds, you will receive a separate proxy statement and proxy card(s) relating to those funds. The shareholders of record as of the Record Date of each of the Trusts, voting together, will be entitled to elect the Board Members. Shareholders of each Trust will vote separately on the proposal. The vote of each Trust will include each Fund that is a series of that Trust. In any event, an unfavorable vote on the proposal by the shareholders of one Trust will not affect the implementation of the proposal by another Trust if the proposal is approved by the shareholders of that Trust.

Each outstanding full share of a Fund is entitled to one vote and each outstanding fractional share is entitled to a proportionate fractional share of one vote. Fractional votes will be counted.

Shares Outstanding

Appendix A lists the shares of each class of each Fund that were issued and outstanding as of the Record Date.

 

3


PROPOSAL ONE: ELECTION OF BOARD MEMBERS

The purpose of the Meeting is to elect members to the Board. Each Board Member will be elected to serve an indefinite term until his or her successor shall take office. The maximum number of Board Members has been fixed at twelve.

Board Consolidation

The Funds and certain other investment companies advised by the investment adviser to the Funds and its affiliates are currently overseen by two separate groups of board members. One of these groups consists of the current board members of the funds advised by Nuveen Fund Advisors, LLC (referred to herein as the “Nuveen Funds,” and board members thereof as the “Nuveen Board Members”). The other group consists of the current board members of the mutual funds advised by Teachers Advisors, LLC that are series of the TIAA-CREF Funds and the TIAA-CREF Life Funds (referred to herein as the “TC Funds,” and the board members thereof as the “TC Board Members”). Except as otherwise noted, the Nuveen Funds and the TC Funds are collectively referred to herein as the “Fund Complex.”

Each of Nuveen Fund Advisors, LLC and Teachers Advisors, LLC is an indirect, wholly-owned subsidiary of Teachers Insurance and Annuity Association of America (“TIAA”). TIAA is a life insurance company founded in 1918 by the Carnegie Foundation for the Advancement of Teaching and is the companion organization of College Retirement Equities Fund (“CREF”), the first company in the United States to issue a variable annuity.

The Nuveen Board Members and the TC Board Members separately determined to approve the alignment and consolidation of the membership of the boards so that all funds in the Fund Complex are overseen by the same board members. Accordingly, your Board has proposed the election of twelve (12) Board Members. Eight (8) of the nominees currently serve as Nuveen Board Members. Four (4) of the nominees currently serve as TC Board Members.

As noted above, each of the nominees either currently serves as a Nuveen Board Member or a TC Board Member. The election of the nominees is part of the intended alignment and consolidation of the membership of the boards of the Nuveen Funds with membership of the boards of the TC Funds. If shareholders approve the election of all of the nominees, the membership of the Nuveen Funds boards will be expanded to include the four nominees who currently serve as TC Board Members.

The election of all of the nominees will bring the membership of the boards of the Fund Complex into alignment such that funds in the Fund Complex are overseen by the same group of board members.

The board consolidation is expected to (i) generate cost efficiencies and expense savings that would benefit Fund shareholders; (ii) align the Fund Complex and its Board with Nuveen LLC’s (“Nuveen”) operating model to promote growth across new, as well as similar, investment products; (iii) facilitate negotiating with vendors as a unified Fund Complex to obtain expected economies of scale and to standardize servicing; (iv) expand marketing and distribution opportunities associated with presenting the TC Funds and Nuveen Funds to the marketplace as one Fund Complex and grow investor engagement; and (v) eliminate duplicate efforts in Board operations.

 

4


Over time, shareholders of the Funds may experience economic benefits due to reduced or eliminated contractual fees/expenses, including the potential for reduced third-party vendor fees as the result of management being able to renegotiate as one consolidated Fund Complex. Other cost savings may arise due to economies of scale if assets grow as a combined Fund Complex.

Your Board believes that the prospective benefits of the board consolidation will be advantageous to all Fund shareholders.

Your Fund’s Board has approved the proposal after evaluating the potential benefits of aligning and consolidating the boards of funds in the Fund Complex and considering the background, skills, experience and other attributes of the nominees who would make up the consolidated board.

Please note that separate proxy statements are being sent to shareholders of certain other Nuveen Funds and to shareholders of the TC Funds, who are being asked to vote on the election of the same slate of nominees to the boards of the respective funds.

Nominees

Twelve (12) nominees, including Amy B. R. Lancellotta, Joanne T. Medero, Albin F. Moschner, John K. Nelson, Matthew Thornton III, Terence J. Toth, Margaret L. Wolff and Robert L. Young, each a current Nuveen Board Member, and Joseph A. Boateng, Michael A. Forrester, Thomas J. Kenny and Loren M. Starr, each a TC Board Member, are standing for election at the Meeting. Nominees for election as Board Members are to be elected by all shareholders of a Trust to serve a term until their successors shall have been duly elected and qualified. Information about each of these twelve nominees is set forth below.

The Board of each Trust is currently composed of ten (10) Board Members: Jack B. Evans, William C. Hunter, Amy B. R. Lancellotta, Joanne T. Medero, Albin F. Moschner, John K. Nelson, Matthew Thornton III, Terence J. Toth, Margaret L. Wolff and Robert L. Young. Mr. Evans and Dr. Hunter are expected to retire effective as of December 31, 2023 in accordance with the retirement policies adopted by the Nuveen Funds boards and therefore are not standing for re-election.

Mr. Evans, Dr. Hunter, Mr. Moschner, Mr. Nelson, Mr. Thornton III, Mr. Toth, Ms. Wolff and Mr. Young were last elected to each Trust’s Board at a special meeting of shareholders held on November 16, 2020. Ms. Lancellotta and Ms. Medero were each appointed as a Board Member of each Trust effective as of June 1, 2021.

If elected at the Meeting, Mr. Boateng, Mr. Forrester, Mr. Kenny and Mr. Starr are expected to be seated as Board Members of each Trust effective as of January 1, 2024.

It is the intention of the persons named in the enclosed proxy to vote the shares represented thereby for the election of each of the nominees listed above unless the proxy is marked otherwise. Each of the nominees has agreed to serve as a Board Member of each Trust if elected. However, should any nominee become unable or unwilling to accept nomination for election, the proxies will be voted for substitute nominees, if any, designated by that Trust’s present Board.

All Board Member nominees are not “interested persons” as defined in the Investment Company Act of 1940, as amended, of the Funds or of Nuveen Fund Advisors, LLC, the Funds’

 

5


investment adviser (the “Adviser”), and have never been an employee or director of TIAA or Nuveen, the Adviser’s parent companies, or any affiliate. Accordingly, such Board Members are deemed “Independent Board Members.”

The Board, which is composed entirely of Trustees who are Independent Board Members, unanimously recommends that shareholders vote FOR the election of each of the nominees named herein.

 

           

Name, Business

Address and Year of
Birth

  Position(s)
Held with
Funds
 

Term of Office
and Length

of Time Served(1)

 

Principal Occupation(s)

During Past Five Years

  Number of
Portfolios
in Fund
Complex(2)
Overseen
by Board
Member/
Nominee
 

Other

Directorships
Held by

Board

Member/
Nominee

During Past

Five Years

CURRENT BOARD MEMBERS WHO ARE NOMINEES

Amy B. R. Lancellotta

333 West Wacker Drive

Chicago, IL 60606

1959

  Board Member  

Term: Indefinite

 

Length of service: Since 2021

 

Formerly, Managing Director, Independent Directors Council (“IDC”) (2006-2019) (supports the fund independent director

community and is part of the Investment

Company Institute (“ICI”), which

represents regulated investment

companies); formerly, various positions with ICI (1989-2006)

  135(3)
  President and Member of the Board of Directors (since 2020), Jewish Coalition Against Domestic Abuse (JCADA).

Joanne T. Medero

333 West Wacker Drive

Chicago, IL 60606

1954

  Board Member  

Term: Indefinite

 

Length of service: Since 2021

  Formerly, Managing Director, Government Relations and Public Policy (2009-2020) and Senior Advisor to the Vice Chairman (2018-2020), BlackRock, Inc. (global investment management firm); formerly, Managing Director, Global Head of Government Relations and Public Policy, Barclays Group (IBIM) (investment banking, investment management and wealth management businesses) (2006-2009); formerly, Managing Director, Global General Counsel and Corporate Secretary, Barclays Global Investors (global investment management firm) (1996-2006); formerly, Partner, Orrick, Herrington & Sutcliffe LLP (law firm) (1993-1995); formerly General Counsel, Commodity Futures Trading Commission (government agency overseeing U.S. derivatives markets) (1989-1993); formerly, Deputy Associate Director/Associate Director for Legal and Financial Affairs, Office of Presidential Personnel, The White House (1986-1989).   135(3)
  Member (since 2019) of the Board of Directors of the Baltic-American Freedom Foundation.

 

6


           

Name, Business

Address and Year of
Birth

  Position(s)
Held with
Funds
 

Term of Office
and Length

of Time Served(1)

 

Principal Occupation(s)

During Past Five Years

  Number of
Portfolios
in Fund
Complex(2)
Overseen
by Board
Member/
Nominee
 

Other

Directorships
Held by

Board

Member/
Nominee

During Past

Five Years

Albin F. Moschner

333 West Wacker Drive

Chicago, IL 60606

1952

  Board Member  

Term: Indefinite

 

Length of service: Since 2016

  Founder and Chief Executive Officer, Northcroft Partners, LLC (management consulting) (since 2012); previously, held positions at Leap Wireless International, Inc. (consumer wireless services), including Consultant (2011-2012), Chief Operating Officer (2008-2011) and Chief Marketing Officer (2004-2008); formerly, President Verizon Card Services division of Verizon Communications, Inc. (telecommunication services) (2000-2003); formerly, President, One Point Services at One Point Communications (telecommunication services) (1999-2000); formerly, Vice President of the Board, Diba, Incorporated (internet technology provider) (1996-1997); formerly, various executive positions (1991-1996) and Chief Executive Officer (1995-1996) of Zenith Electronics Corporation (consumer electronics).   135(3)
  Formerly, Chairman (2019) and Director (2012-2019), USA Technologies, Inc. (a provider of solutions and services to facilitate electronic payment transactions); formerly, Director, Wintrust Financial Corporation (1996-2016).

John K. Nelson

333 West Wacker Drive

Chicago, IL 60606

1962

  Board Member  

Term: Indefinite

 

Length of service: Since 2013

  Formerly, Senior External Advisor to the Financial Services practice of Deloitte Consulting LLP (2012-2014); Chief Executive Officer of ABN AMRO Bank N.V., North America, and Global Head of the Financial Markets Division (2007-2008), with various executive leadership roles in ABN AMRO Bank N.V. between 1996 and 2007.   135(3)
  Member of the Board of Directors (since 2008) of Core12 LLC. Former Member of the President’s Council (2010-2019) of Fordham University; Former Director (2009-2018) of the Curran Center for Catholic American Studies.

 

7


           

Name, Business

Address and Year of
Birth

  Position(s)
Held with
Funds
 

Term of Office
and Length

of Time Served(1)

 

Principal Occupation(s)

During Past Five Years

  Number of
Portfolios
in Fund
Complex(2)
Overseen
by Board
Member/
Nominee
 

Other

Directorships
Held by

Board

Member/
Nominee

During Past

Five Years

Matthew Thornton III

333 West Wacker Drive

Chicago, IL 60606

1958

  Board Member  

Term: Indefinite

 

Length of service: Since 2020

  Formerly, Executive Vice President and Chief Operating Officer (2018-2019), FedEx Freight Corporation, a subsidiary of FedEx Corporation (“FedEx”) (provider of transportation, e-commerce and business services through its portfolio of companies); formerly, Senior Vice President, U.S. Operations (2006-2018), Federal Express Corporation, a subsidiary of FedEx.   135(3)
 

Member of the Board of Directors (since 2014), The Sherwin-Williams Company (develops,

manufactures, distributes and sells paints, coating and related products); Member of the Board of Directors (since 2020), Crown Castle International (provider of communications infrastructure). Former Member of the Board of Directors (2012-2018), Safe Kids Worldwide.

Terence J. Toth

333 West Wacker Drive

Chicago, IL 60606

1959

  Board Member  

Term: Indefinite

 

Length of service: Since 2008

 

Formerly, Co-Founding Partner, Promus Capital (investment advisory firm) (2008-2017); formerly, Director, Quality Control Corporation (manufacturing) (2012-2021); formerly, Director, Fulcrum IT services LLC (information technology services firm to government entities) (2010-2019); formerly, Director, Legal & General Investment

Management America, Inc. (asset management) (2008-2013); formerly, CEO and President, Northern Trust Global Investments (financial services) (2004-2007); Executive Vice President, Quantitative Management & Securities Lending (2000-2004); prior thereto, various positions with Northern Trust Company (financial services); formerly, Member, Northern Trust Mutual Funds Board (2005-2007), Northern Trust Global Investments Board (2004-2007), Northern Trust Japan Board (2004-2007) and Northern Trust Hong Kong Board (1997-2004).

  135(3)
  Chair and Member of the Board of Directors (since 2021), Kehrein Center for the Arts; Member of the Board of Directors (philanthropy) (since 2008), Catalyst Schools of Chicago; Member of the Board of Directors (since 2012) (and Former Investment Committee Chair (2017-2022)), Mather Foundation (philanthropy). formerly, Member, Chicago Fellowship Board (philanthropy) (2005-2016).

 

8


           

Name, Business

Address and Year of
Birth

  Position(s)
Held with
Funds
 

Term of Office
and Length

of Time Served(1)

 

Principal Occupation(s)

During Past Five Years

  Number of
Portfolios
in Fund
Complex(2)
Overseen
by Board
Member/
Nominee
 

Other

Directorships
Held by

Board

Member/
Nominee

During Past

Five Years

Margaret L. Wolff

333 West Wacker Drive

Chicago, IL 60606

1955

  Board Member  

Term: Indefinite

 

Length of service: Since 2016

  Formerly, Of Counsel, Skadden, Arps, Slate, Meagher & Flom LLP (legal services) (2005-2014).   135(3)
  Member of the Board of Trustees (since 2005) of New York-Presbyterian Hospital. Member of the Board of Trustees (since 2004) (and former Chair (2015-2022)), The John A. Hartford Foundation (philanthropy dedicated to improving the care older adults); formerly, Member (2005-2015) and Vice Chair (2011-2015) of the Board of Trustees of Mt. Holyoke College.

Robert L. Young

333 West Wacker Drive

Chicago, IL 60606

1963

  Board Member  

Term: Indefinite

 

Length of service: Since 2017

  Formerly, Chief Operating Officer and Director, J.P. Morgan Investment Management Inc. (financial services) (2010-2016); formerly, President and Principal Executive Officer (2013-2016), and Senior Vice President and Chief Operating Officer (2005-2010), of J.P. Morgan Funds; formerly, Director and various officer positions for J.P. Morgan Investment Management Inc. (formerly, JPMorgan Funds Management, Inc. and formerly One Group Administrative Services) and JPMorgan Distribution Services, Inc. (financial services) (formerly, One Group Dealer Services, Inc. (1999-2017).   135(3)
  None.

 

9


           

Name, Business

Address and Year of
Birth

  Position(s)
Held with
Funds
 

Term of Office
and Length

of Time Served(1)

 

Principal Occupation(s)

During Past Five Years

  Number of
Portfolios
in Fund
Complex(2)
Overseen
by Board
Member/
Nominee
 

Other

Directorships
Held by

Board

Member/
Nominee

During Past

Five Years

NOMINEES WHO ARE NOT CURRENTLY BOARD MEMBERS

Joseph A. Boateng

c/o Corporate Secretary

730 Third Avenue

New York, NY 10017-3206

1963

  None  

Term: Indefinite

 

Length of Service: Not Applicable

  Chief Investment Officer, Casey Family Programs (since 2007). Director of U.S. Pension Plans, Johnson & Johnson (2002-2006).   88(3)   Board Member, Lumina Foundation (since 2018) and Waterside School (since 2021); Board Member (2012-2019) and Emeritus Board Member (since 2020), Year-Up Puget Sound; Investment Advisory Committee Member and Former Chair (since 2007), Seattle City Employees’ Retirement System; Investment Committee Member (since 2012), The Seattle Foundation.

Michael A. Forrester

c/o Corporate Secretary

730 Third Avenue

New York, NY 10017-3206

1967

  None  

Term: Indefinite

 

Length of Service: Not Applicable

  Chief Executive Officer (2014–2021) and Chief Operating Officer (2007–2014), Copper Rock Capital Partners, LLC.   88(3)   Trustee Dexter Southfield School (since 2019); Member (since 2020), Governing Council of the IDC.

 

10


           

Name, Business

Address and Year of
Birth

  Position(s)
Held with
Funds
 

Term of Office
and Length

of Time Served(1)

 

Principal Occupation(s)

During Past Five Years

  Number of
Portfolios
in Fund
Complex(2)
Overseen
by Board
Member/
Nominee
 

Other

Directorships
Held by

Board

Member/
Nominee

During Past

Five Years

Thomas J. Kenny

c/o Corporate Secretary

730 Third Avenue

New York, NY 10017-3206

1963

  None  

Term: Indefinite

 

Length of Service: Not Applicable

  Advisory Director (2010–2011), Partner (2004–2010), Managing Director (1999–2004) and Co-Head of Global Cash and Fixed Income Portfolio Management Team (2002–2010), Goldman Sachs Asset Management.   88(3)   Director (since 2015) and Chair of the Finance and Investment Committee (since 2018), Aflac Incorporated; Director (since 2018), ParentSquare. Former Director (2012-2022) and Finance Committee Chair (2016-2022), Sansum Clinic; Former Advisory Board Member (2017-2019), B’Box; former Member (2011-2022), the University of California at Santa Barbara Arts and Lectures Advisory Council; former Investment Committee Member (2012-2020), Cottage Health System; Board Member (2009-2019) and former President of the Board (2014-2018) of Crane Country Day School.

 

11


           

Name, Business

Address and Year of
Birth

  Position(s)
Held with
Funds
 

Term of Office
and Length

of Time Served(1)

 

Principal Occupation(s)

During Past Five Years

  Number of
Portfolios
in Fund
Complex(2)
Overseen
by Board
Member/
Nominee
 

Other

Directorships
Held by

Board

Member/
Nominee

During Past

Five Years

Loren M. Starr

c/o Corporate Secretary

730 Third Avenue

New York, NY 10017-3206

1961

  None  

Term: Indefinite

 

Length of Service: Not Applicable

  Independent Consultant/Advisor (2021–Present). Vice Chair, Senior Managing Director (2020–2021), Chief Financial Officer, Senior Managing Director (2005–2020), Invesco Ltd.   88(3)   Director (since 2023), AMG. Former Chair and Member of the Board of Directors (2014-2021), Georgia Leadership Institute for School Improvement (GLISI); Former Chair and Member of the Board of Trustees (2015-2018), Georgia Council on Economic Education (GCEE).

CURRENT BOARD MEMBERS WHO ARE NOT STANDING FOR REELECTION AS NOMINEES

Jack B. Evans(4)

333 West Wacker Drive

Chicago, IL 60606

1948

  Board Member  

Term: Indefinite

 

Length of service: Since 1999

  Chairman (since 2019), formerly, President (1996-2019), The Hall-Perrine Foundation (private philanthropic corporation); Life Trustee of Coe College; formerly, Director, Public Member, American Board of Orthopaedic Surgery (2015-2020); Director (1997-2003), Federal Reserve Bank of Chicago; President and Chief Operating Officer (1972-1995), SCI Financial Group, Inc. (regional financial services firm); Member and President Pro Tem of the Board of Regents for the State of Iowa University System (2007-2013); Director (1996-2015), The Gazette Company (media and publishing).   135   Formerly, Director and Chairman (2009-2021), United Fire Group, a publicly held company; Director (2000-2004), Alliant Energy.

 

12


           

Name, Business

Address and Year of
Birth

  Position(s)
Held with
Funds
 

Term of Office
and Length

of Time Served(1)

 

Principal Occupation(s)

During Past Five Years

  Number of
Portfolios
in Fund
Complex(2)
Overseen
by Board
Member/
Nominee
 

Other

Directorships
Held by

Board

Member/
Nominee

During Past

Five Years

William C. Hunter(4)

333 West Wacker Drive

Chicago, IL 60606

1948

  Board Member  

Term: Indefinite

 

Length of service: Since 2003

  Dean Emeritus, formerly, Dean (2006-2012), Tippie College of Business, University of Iowa; past Director (2005-2015) and past President (2010-2014) of Beta Gamma Sigma, Inc., The International Business Honor Society; formerly, Director (1997-2007), Credit Research Center at Georgetown University; formerly, Dean and Distinguished Professor of Finance (2003-2006), School of Business at the University of Connecticut; previously, Senior Vice President and Director of Research (1995-2003) at the Federal Reserve Bank of Chicago.   135   Director (since 2009) of Wellmark, Inc.; formerly, Director (2004-2018) of Xerox Corporation.

 

(1)

Length of Time Served of the current Board Members indicates the year in which the individual became a Board Member of a Nuveen Fund.

(2)

As used in this table, the Fund Complex consists of the Nuveen Funds, the TC Funds, CREF and TIAA Separate Account VA-1 (“VA-1”).

(3)

In connection with the board consolidation, each nominee is also standing for election, or expected to be appointed, to oversee additional funds in the Fund Complex. If so elected, the Number of Portfolios in the Fund Complex Overseen by each Board Member will be as follows on January 1, 2024:

 

Joseph A. Boateng

     191  

Michael A. Forrester

     191  

Thomas J. Kenny

     214  

Amy B.R. Lancellotta

     214  

Joanne T. Medero

     214  

Albin F. Moschner

     214  

John K. Nelson

     214  

Loren M. Starr

     213  

Matthew Thornton III

     214  

Terence J. Toth

     214  

Margaret L. Wolff

     214  

Robert L. Young

     214  

In addition, certain nominees may from time to time prior to the Meeting be appointed or elected to other boards overseeing additional portfolios in the Fund Complex.

 

(4)

Dr. Hunter and Mr. Evans are expected to retire from the Board, effective as of December 31, 2023, and therefore are not standing for election at the Meeting.

Fund Share Ownership

In order to create an appropriate identity of interests between Board Members and shareholders, the Nuveen Funds boards have adopted a governance principle pursuant to which

 

13


each Board Member has been expected to invest, either directly or on a deferred basis, at least the equivalent of one year of board compensation in funds in the Nuveen Funds.

The dollar range of equity securities beneficially owned by each Board Member and nominee in each Fund and all funds in the family of investment companies overseen or to be overseen by the Board Member or nominee as of December 31, 2022 is set forth in Appendix B.

As of December 31, 2022, each Board Member, nominee or executive officer individually, and the Board Members, nominees and executive officers as a group, beneficially owned less than 1% of the outstanding shares of each Fund.

Compensation

Prior to January 1, 2023, Independent Board Members received a $205,000 annual retainer, plus they received (a) a fee of $7,000 per day for attendance in person or by telephone at regularly scheduled meetings of the Board; (b) a fee of $3,000 per meeting for attendance in person or by telephone at special, non-regularly scheduled Board meetings where in-person attendance was required and $3,000 per meeting for attendance by telephone or in person at such meetings where in-person attendance was not required; (c) a fee of $2,500 per meeting for attendance in person or by telephone at Audit Committee meetings where in-person attendance was required and $2,250 per meeting for attendance by telephone or in person at such meetings where in-person attendance was not required; (d) a fee of $5,000 per meeting for attendance in person or by telephone at Compliance, Risk Management and Regulatory Oversight Committee meetings where in-person attendance was required and $2,000 per meeting for attendance by telephone or in person at such meetings where in-person attendance was not required; (e) a fee of $1,250 per meeting for attendance in person or by telephone at Dividend Committee meetings; (f) a fee of $500 per meeting for attendance in person or by telephone at all other committee meetings ($1,000 for shareholder meetings) where in-person attendance was required and $250 per meeting for attendance by telephone or in person at such committee meetings (excluding shareholder meetings) where in-person attendance was not required, plus, in each case, expenses incurred in attending such meetings, provided that no fees were received for meetings held on days on which regularly scheduled Board meetings were held; and (g) a fee of $2,500 per meeting for attendance in person or by telephone at Open-End Funds Committee meetings where in-person attendance was required and $2,000 per meeting for attendance by telephone or in person at such meetings where in-person attendance was not required; provided that no fees were received for meetings held on days on which regularly scheduled Board meetings were held. In addition to the payments described above, the Chair of the Board received $125,000, and the chairpersons of the Audit Committee, the Dividend Committee, the Compliance, Risk Management and Regulatory Oversight Committee, the Nominating and Governance Committee and the Open-End Funds Committee received $20,000 each as additional retainers. Independent Board Members also received a fee of $3,500 per day for site visits to entities that provide services to the Nuveen Funds on days on which no Board meeting was held. When ad hoc committees are organized, the Nominating and Governance Committee at the time of formation determined compensation to be paid to the members of such committee; however, in general, such fees were $1,000 per meeting for attendance in person or by telephone at ad hoc committee meetings where in-person attendance was required and $500 per meeting for attendance by telephone or in person at such meetings where in-person attendance was not

 

14


required. Any compensation paid to the Independent Board Members as members of ad hoc committees is temporary in nature and not expected to be long-term, ongoing compensation. The annual retainer, fees and expenses were allocated among the Nuveen Funds on the basis of relative net assets, although management may have, in its discretion, established a minimum amount to be allocated to each fund. In certain instances fees and expenses were allocated only to those Nuveen Funds that were discussed at a given meeting. In certain circumstances, such as during the COVID-19 pandemic, the Board may have held in-person meetings by telephonic or videographic means and were compensated at the in-person rate.

Effective January 1, 2023, Independent Board Members receive a $210,000 annual retainer, plus they receive (a) a fee of $7,250 per day for attendance at regularly scheduled meetings of the Board; (b) a fee of $4,000 per meeting for attendance at special, non-regularly scheduled Board meetings; (c) a fee of $2,500 per meeting for attendance at Audit Committee meetings, Open-End Fund Committee meetings and Investment Committee Meetings; (d) a fee of $5,000 per meeting for attendance at Compliance, Risk Management and Regulatory Oversight Committee meetings; (e) a fee of $1,250 per meeting for attendance at Dividend Committee meetings; and (f) a fee of $500 per meeting for attendance at all other committee meetings, plus, in each case, expenses incurred in attending such meetings, provided that no fees are received for meetings held on days on which regularly scheduled Board meetings are held. In addition to the payments described above, the Chair of the Board receives $140,000, and the chairpersons of the Audit Committee, the Dividend Committee, the Compliance, Risk Management and Regulatory Oversight Committee, the Nominating and Governance Committee, the Open-End Funds Committee and the Investment Committee receive $20,000 each as additional retainers. Independent Board Members also receive a fee of $5,000 per day for site visits to entities that provide services to the Nuveen Funds on days on which no Board meeting is held. Per meeting fees for unscheduled Committee meetings or meetings of Ad Hoc or Special Assignment Committees will be determined by the Chair of such Committee based on the complexity or time commitment associated with the particular meeting. The annual retainer, fees and expenses are allocated among the Nuveen Funds on the basis of relative net assets, although management may, in its discretion, establish a minimum amount to be allocated to each fund. In certain instances fees and expenses will be allocated only to those Nuveen Funds that are discussed at a given meeting.

Upon consolidation of the Board, it is expected that the Board will consider Board compensation and approve a compensation structure for the consolidated Board.

The Funds do not have retirement or pension plans. Certain Nuveen Funds (the “Participating Funds”) participate in a deferred compensation plan (the “Deferred Compensation Plan”) that permits an Independent Board Member to elect to defer receipt of all or a portion of his or her compensation as an Independent Board Member. The deferred compensation of a participating Independent Board Member is credited to a book reserve account of the Participating Fund when the compensation would otherwise have been paid to such Independent Board Member. The value of the Independent Board Member’s deferral account at any time is equal to the value that the account would have had if contributions to the account had been invested and reinvested in shares of one or more of the eligible funds. No Participating Fund will be liable for any other Participating Fund’s obligations to make distributions under the Deferred Compensation Plan.

The tables set forth in Appendix C show, for each Board Member and nominee, the aggregate compensation paid by each Fund to each Board Member and nominee for its last fiscal year

 

15


and the aggregate compensation paid by all funds in the Fund Complex to each Board Member and nominee for the calendar year ended December 31, 2022.

The Trusts have no employees. Each officer of the Trusts serves without any compensation from the Funds. The CCO’s compensation, which is composed of base salary and incentive compensation, is paid by the Adviser, with review and input by the Board. Each Fund reimburses the Adviser for an allocable portion of the Adviser’s cost of the CCO’s incentive compensation.

Board Leadership Structure and Risk Oversight

The Board oversees the operations and management of each Fund, including the duties performed for the Fund by the Adviser. The Board has adopted a unitary board structure for Nuveen Funds. A unitary board consists of one group of trustees/directors who serve on the board of every Nuveen Fund. In adopting a unitary board structure, the Board Members seek to provide effective governance through establishing a board, the overall composition of which will, as a body, possess the appropriate skills, diversity (including, among other things, gender, race and ethnicity), independence and experience to oversee the Nuveen Funds’ business. With this overall framework in mind, when the Board, through its Nominating and Governance Committee discussed below, seeks nominees for the Board, the Board Members consider not only the candidate’s particular background, skills and experience, among other things, but also whether such background, skills and experience enhance the Board’s diversity and at the same time complement the Board given its current composition and the mix of skills and experiences of the incumbent Board Members. The Nominating and Governance Committee believes that the Board generally benefits from diversity of background (including, among other things, gender, race and ethnicity), skills, experience and views among its members, and considers this a factor in evaluating the composition of the Board, but has not adopted any specific policy on diversity or any particular definition of diversity.

The Board believes the unitary board structure enhances good and effective governance, particularly given the nature of the structure of the investment company complex. Funds in the same complex generally are served by the same service providers and personnel and are governed by the same regulatory scheme which raises common issues that must be addressed by Board Members across the fund complex (such as compliance, valuation, liquidity, brokerage, trade allocation or risk management). The Board believes it is more efficient to have a single board review and oversee common policies and procedures which increases the Board’s knowledge and expertise with respect to the many aspects of fund operations that are complex-wide in nature. The unitary structure also enhances the Board’s influence and oversight over the Adviser and other service providers.

The proposed board consolidation is intended to extend this unitary board structure to align the boards of the Nuveen Funds and the TC Funds.

In an effort to enhance the independence of the Board, the Board also has a Chair that is an Independent Board Member. The Board recognizes that a chair can perform an important role in setting the agenda for the Board, establishing the boardroom culture, establishing a point person on behalf of the Board for Fund management, and reinforcing the Board’s focus on the long-term interests of shareholders. The Board recognizes that a chair may be able to better perform these functions without any conflicts of interests arising from a position with Fund

 

16


management. Specific responsibilities of the Chair include: (i) presiding at all meetings of the Board and of the shareholders; (ii) seeing that all orders and resolutions of the Board are carried into effect; and (iii) maintaining records of and, whenever necessary, certifying all proceedings of the Board and the shareholders.

Currently, Mr. Toth serves as the independent Chair of the Board.

Although the Board has direct responsibility over various matters (such as advisory contracts and underwriting contracts), the Board also exercises certain of its oversight responsibilities through several committees that it has established and which report back to the full Board. The Board believes that a committee structure is an effective means to permit Board Members to focus on particular operations or issues affecting the Funds, including risk oversight. More specifically, with respect to risk oversight, the Board has delegated matters relating to valuation, compliance and investment risk to certain committees (as summarized below). In addition, the Board believes that the periodic rotation of Board Members among the different committees allows the Board Members to gain additional and different perspectives of a Fund’s operations. The Board has established seven standing committees: the Executive Committee, the Dividend Committee, the Audit Committee, the Compliance, Risk Management and Regulatory Oversight Committee, the Nominating and Governance Committee, the Investment Committee and the Open-End Funds Committee. The Board may also from time to time create ad hoc committees to focus on particular issues as the need arises. The membership and current functions of the standing committees are summarized below. Upon consolidation of the Board, the Board is expected to consider and adopt Board leadership positions and committee structures and memberships for the consolidated Board.

Executive Committee. The Executive Committee, which may meet between regular meetings of the Board, is authorized to exercise all of the powers of the Board. The members of the Executive Committee are Mr. Toth, Chair, Mr. Nelson and Mr. Young. The number of Executive Committee meetings of each Trust held during the calendar year ended December 31, 2022 is shown in Appendix D.

Audit Committee. The Audit Committee assists the Board in the oversight and monitoring of the accounting and reporting policies, processes and practices of the Funds, and the audits of the financial statements of the Funds; the quality and integrity of the financial statements of the Funds; the Funds’ compliance with legal and regulatory requirements relating to the Funds’ financial statements; the independent auditors’ qualifications, performance and independence; and the pricing procedures of the Funds and the Adviser’s internal valuation group. It is the responsibility of the Audit Committee to select, evaluate and replace any independent auditors (subject only to Board and, if applicable, shareholder ratification) and to determine their compensation. The Audit Committee is also responsible for, among other things, overseeing the valuation of securities comprising the Funds’ portfolios. Subject to the Adviser’s general supervision of such actions through its role as valuation designee, the Audit Committee addresses any valuation issues, oversees the Funds’ pricing procedures and actions taken by the Adviser’s internal valuation group which provides regular reports to the committee, reviews any issues relating to the valuation of the Funds’ securities brought to its attention and considers the risks to the Funds in assessing the possible resolutions to these matters. The Audit Committee may also consider any financial risk exposures for the Funds in conjunction with performing its functions.

 

17


To fulfill its oversight duties, the Audit Committee receives annual and semi-annual reports and has regular meetings with the external auditors for the Funds and the Adviser’s internal audit group. The Audit Committee also may review in a general manner the processes the Board or other Board committees have in place with respect to risk assessment and risk management as well as compliance with legal and regulatory matters relating to the Funds’ financial statements. The committee operates under a written charter adopted and approved by the Board. Members of the Audit Committee shall be independent (as set forth in the charter) and free of any relationship that, in the opinion of the Board Members, would interfere with their exercise of independent judgment as an Audit Committee member. The members of the Audit Committee are Mr. Nelson, Chair, Mr. Evans, Mr. Moschner, Ms. Wolff and Mr. Young, each of whom is an Independent Board Member of the Funds.

A copy of the Charter of the Audit Committee is available at www.nuveen.com/fundgovernance. The number of Audit Committee meetings of each Trust held during the calendar year ended December 31, 2022 is shown in Appendix D.

Nominating and Governance Committee. The Nominating and Governance Committee is responsible for seeking, identifying and recommending to the Board qualified candidates for election or appointment to the Board. In addition, the Nominating and Governance Committee oversees matters of corporate governance, including the evaluation of Board performance and processes, the assignment and rotation of committee members, and the establishment of corporate governance guidelines and procedures, to the extent necessary or desirable, and matters related thereto. Although the unitary board and committee structure has been developed over the years and the Nominating and Governance Committee believes the structure has provided efficient and effective governance, the committee recognizes that as demands on the Board evolve over time (such as through an increase in the number of funds overseen or an increase in the complexity of the issues raised), the committee must continue to evaluate the Board and committee structures and their processes and modify the foregoing as may be necessary or appropriate to continue to provide effective governance. Accordingly, the Nominating and Governance Committee has a separate meeting each year to, among other things, review the Board and committee structures, their performance and functions, and recommend any modifications thereto or alternative structures or processes that would enhance the Board’s governance of the Funds.

In addition, the Nominating and Governance Committee, among other things, makes recommendations concerning the continuing education of Board Members; monitors performance of legal counsel and other service providers; establishes and monitors a process by which security holders are able to communicate in writing with members of the Board; and periodically reviews and makes recommendations about any appropriate changes to Board Member compensation. In the event of a vacancy on the Board, the Nominating and Governance Committee receives suggestions from various sources, including shareholders, as to suitable candidates. Suggestions should be sent in writing to William Siffermann, Manager of Fund Board Relations, Nuveen, LLC, 333 West Wacker Drive, Chicago, IL 60606. The Nominating and Governance Committee sets appropriate standards and requirements for nominations for new Board Members and reserves the right to interview any and all candidates and to make the final selection of any new Board Members. In considering a candidate’s qualifications, each candidate must meet certain basic requirements, including relevant skills and experience, time availability (including the time requirements for due diligence meetings with sub-advisers and service providers) and, if qualifying as an Independent Board Member candidate,

 

18


independence from the Adviser, any sub-adviser, the Funds’ distributor, and other service providers, including any affiliates of these entities. These skill and experience requirements may vary depending on the current composition of the Board, since the goal is to ensure an appropriate range of skills, diversity and experience, in the aggregate. Accordingly, the particular factors considered and weight given to these factors will depend on the composition of the Board and the skills and backgrounds of the incumbent Board Members at the time of consideration of the nominees. All candidates, however, must meet high expectations of personal integrity, independence, governance experience and professional competence. All candidates must be willing to be critical within the Board and with management and yet maintain a collegial and collaborative manner toward other Board members. The committee operates under a written charter adopted and approved by the Board. This committee is composed of the Independent Board Members of the Funds. Accordingly, the members of the Nominating and Governance Committee are Mr. Toth, Chair, Mr. Evans, Dr. Hunter, Ms. Lancellotta, Ms. Medero, Mr. Moschner, Mr. Nelson, Mr. Thornton, Ms. Wolff and Mr. Young.

A copy of the Charter of the Nominating and Governance Committee is available at www.nuveen.com/fundgovernance. The number of Nominating and Governance Committee meetings of each Trust held during the calendar year ended December 31, 2022 is shown in Appendix D.

Dividend Committee. The Dividend Committee is authorized to declare distributions on each Fund’s shares, including, but not limited to, regular and special dividends, capital gains and ordinary income distributions. The members of the Dividend Committee are Mr. Young, Chair, Ms. Lancellotta, Mr. Nelson and Mr. Thornton.

The number of Dividend Committee meetings of each Trust held during the calendar year ended December 31, 2022 is shown in Appendix D.

Compliance, Risk Management and Regulatory Oversight Committee. The Compliance, Risk Management and Regulatory Oversight Committee (the “Compliance Committee”) is responsible for the oversight of compliance issues, risk management and other regulatory matters affecting the Funds that are not otherwise under or within the jurisdiction of the other committees. The Board has adopted and periodically reviews policies and procedures designed to address the Funds’ compliance and risk matters. As part of its duties, the Compliance Committee reviews the policies and procedures relating to compliance matters and recommends modifications thereto as necessary or appropriate to the full Board; develops new policies and procedures as new regulatory matters affecting the Funds arise from time to time; evaluates or considers any comments or reports from examinations from regulatory authorities and responses thereto; and performs any special reviews, investigations or other oversight responsibilities relating to risk management, compliance and/or regulatory matters as requested by the Board.

In addition, the Compliance Committee is responsible for risk oversight, including, but not limited to, the oversight of general risks related to investments which are not reviewed by other committees, such as liquidity and derivatives usage; risks related to product structure elements, such as leverage; techniques that may be used to address the foregoing risks, such as hedging and swaps and Fund operational risk and risks related to the overall operation of the Nuveen enterprise and, in each case, the controls designed to address or mitigate such risks. In assessing issues brought to the committee’s attention or in reviewing a particular policy, procedure, investment technique or strategy, the Compliance Committee evaluates the risks to

 

19


the Funds in adopting a particular approach compared to the anticipated benefits to the Funds and their shareholders. In fulfilling its obligations, the Compliance Committee meets on a quarterly basis. The Compliance Committee receives written and oral reports from the Funds’ Chief Compliance Officer (“CCO”) and meets privately with the CCO at each of its quarterly meetings. The CCO also provides an annual report to the full Board regarding the operations of the Funds’ and other service providers’ compliance programs as well as any recommendations for modifications thereto. Matters not addressed at the committee level are addressed directly by the full Board. The committee operates under a written charter adopted and approved by the Board. The members of the Compliance Committee are Ms. Wolff, Chair, Dr. Hunter, Ms. Lancellotta, Ms. Medero, Mr. Thornton and Mr. Toth.

The number of Compliance Committee meetings of each Trust held during the calendar year ended December 31, 2022 is shown in Appendix D.

Investment Committee. The Investment Committee is responsible for the oversight of Fund performance, investment risk management and other portfolio-related matters affecting the Funds which are not otherwise under or within the jurisdiction of the other Board committees. As part of such oversight, the Investment Committee reviews each Fund’s investment performance and investment risks, which may include, but is not limited to, an evaluation of Fund performance relative to investment objectives, benchmarks and peer group; a review of risks related to portfolio investments, such as exposures to particular issuers, market sectors, or types of securities, as well as consideration of other factors that could impact or are related to Fund performance; and an assessment of Fund objectives, policies and practices as such may relate to Fund performance. In assessing issues brought to the committee’s attention or in reviewing an investment policy, technique or strategy, the Investment Committee evaluates the risks to the Funds in adopting or recommending a particular approach or resolution compared to the anticipated benefits to the Funds and their shareholders.

In fulfilling its obligations, the Investment Committee receives quarterly reports from the investment oversight and the investment risk groups at Nuveen. Such groups also report to the full Board on a quarterly basis and the full Board participates in further discussions with fund management at its quarterly meetings regarding matters relating to Fund performance and investment risks, including with respect to the various drivers of performance and Fund use of leverage and hedging. Accordingly, the Board directly and/or in conjunction with the Investment Committee oversees the investment performance and investment risk management of the Funds. The Investment Committee operates under a written charter adopted and approved by the Board. This committee is composed of the Independent Board Members of the Funds. Accordingly, the members of the Investment Committee are Dr. Hunter, Chair, Mr. Evans, Ms. Lancellotta, Ms. Medero, Mr. Moschner, Mr. Nelson, Mr. Thornton, Mr. Toth, Ms. Wolff and Mr. Young.

During the calendar year ended December 31, 2022, the Investment Committee did not meet because it was formed on January 1, 2023.

Open-End Funds Committee. The Open-End Funds Committee is responsible for assisting the Board in the oversight and monitoring of the funds in the fund complex that are registered as open-end management investment companies (“Open-End Funds”). The committee may review and evaluate matters related to the formation and the initial presentation to the Board of any new Open-End Fund and may review and evaluate any matters relating to any existing Open-End Fund. The committee operates under a written charter adopted and approved by the

 

20


Board. The members of the Open-End Funds Committee are Mr. Moschner, Chair, Ms. Medero, Mr. Thornton, Mr. Toth and Mr. Young.

The number of Open-End Funds Committee meetings of each Trust held during the calendar year ended December 31, 2022 is shown in Appendix D.

Number of Board Meetings. The number of regular quarterly meetings and special meetings held by the Board of each Trust during the calendar year ended December 31, 2022 is shown in Appendix D.

Board Member Attendance. During the calendar year ended December 31, 2022, each Board Member attended 75% or more of each Fund’s Board meetings and the committee meetings (if a member thereof) held during the period for which such Board Member was a Board Member.

Qualification of Board Members

In determining that a particular nominee was qualified to serve on the Board, the Board considered each nominee’s background, skills, experience and other attributes in light of the composition of the Board with no particular factor controlling. The Board believes that Board Members need to have the ability to critically review, evaluate, question and discuss information provided to them, and to interact effectively with Fund management, service providers and counsel, in order to exercise effective business judgment in the performance of their duties, and the Board believes each nominee satisfies this standard. An effective Board Member may achieve this ability through his or her educational background; business, professional training or practice; public service or academic positions; experience from service as a board member or executive of investment funds, public companies or significant private or not-for-profit entities or other organizations; and/or other life experiences. Accordingly, set forth below is a summary of the experiences, qualifications, attributes, and skills that led to the conclusion, as of the date of this document, that each nominee should serve as a Board Member. References to the experiences, qualifications, attributes and skills of each nominee are pursuant to requirements of the Securities and Exchange Commission, do not constitute holding out of the Board or any nominee as having any special expertise or experience and shall not impose any greater responsibility or liability on any such person or on the Board by reason thereof. The standards set forth above may be re-evaluated and modified by the Board following the Board consolidation.

Current Board Members who are Nominees

Amy B. R. Lancellotta. Ms. Lancellotta has been a Nuveen Board Member since 2021. After 30 years of service, Ms. Lancellotta retired at the end of 2019 from the Investment Company Institute (ICI), which represents regulated investment companies on regulatory, legislative and securities industry initiatives that affect funds and their shareholders. From November 2006 until her retirement, Ms. Lancellotta served as Managing Director of ICI’s Independent Directors Council (IDC), which supports fund independent directors in fulfilling their responsibilities to promote and protect the interests of fund shareholders. At IDC, Ms. Lancellotta was responsible for all ICI and IDC activities relating to the fund independent director community. In conjunction with her responsibilities, Ms. Lancellotta advised and represented IDC, ICI, independent directors and the investment company industry on issues relating to fund

 

21


governance and the role of fund directors. She also directed and coordinated IDC’s education, communication, governance and policy initiatives. Prior to serving as Managing Director of IDC, Ms. Lancellotta held various other positions with ICI beginning in 1989. Before joining ICI, Ms. Lancellotta was an associate at two Washington, D.C. law firms. In addition, since 2020, she has been a member of the Board of Directors of the Jewish Coalition Against Domestic Abuse (JCADA), an organization that seeks to end power-based violence, empower survivors and ensure safe communities. Ms. Lancellotta received a B.A. degree from Pennsylvania State University in 1981 and a J.D. degree from the National Law Center, George Washington University (currently known as George Washington University Law School) in 1984.

Joanne T. Medero. Ms. Medero has been a Nuveen Board Member since 2021. Ms. Medero has over 30 years of financial services experience and, most recently, from December 2009 until her retirement in July 2020, she was a Managing Director in the Government Relations and Public Policy Group at BlackRock, Inc. (BlackRock). From July 2018 to July 2020, she was also Senior Advisor to BlackRock’s Vice Chairman, focusing on public policy and corporate governance issues. In 1996, Ms. Medero joined Barclays Global Investors (BGI), which merged with BlackRock in 2009. At BGI, she was a Managing Director and served as Global General Counsel and Corporate Secretary until 2006. Then, from 2006 to 2009, Ms. Medero was a Managing Director and Global Head of Government Relations and Public Policy at Barclays Global Investors (BGI), which merged with BlackRock in 2009. At BGI, she was a Managing Director and served as Global General Counsel and Corporate Secretary until 2006. Then, from 2006 to 2009, Ms. Medero was a Managing Director and Global Head of Government Relations and Public Policy at Barclays Group (IBIM), where she provided policy guidance and directed legislative and regulatory advocacy programs for the investment banking, investment management and wealth management businesses. Before joining BGI, Ms. Medero was a Partner at Orrick, Herrington & Sutcliffe LLP from 1993 to 1995, where she specialized in derivatives and financial markets regulation issues. Additionally, she served as General Counsel of the Commodity Futures Trading Commission (CFTC) from 1989 to 1993 and, from 1986 to 1989, she was Deputy Associate Director/Associate Director for Legal and Financial Affairs at The White House Office of Presidential Personnel. Further, from 2006 to 2010, Ms. Medero was a member of the CFTC Global Markets Advisory Committee and she has been actively involved in financial industry associations, serving as Chair of the Steering Committee of the SIFMA (Securities Industry and Financial Markets Association) Asset Management Group (2016-2018) and Chair of the CTA (Commodity Trading Advisor), CPO (Commodity Pool Operator) and Futures Committee of the Managed Funds Association (2010-2012). Ms. Medero also chaired the Corporations, Antitrust and Securities Practice Group of The Federalist Society for Law and Public Policy (from 2010 to 2022 and 2000 to 2002). In addition, since 2019, she has been a member of the Board of Directors of the Baltic-American Freedom Foundation, which seeks to provide opportunities for citizens of the Baltic States to gain education and professional development through exchanges in the United States. Ms. Medero received a B.A. degree from St. Lawrence University in 1975 and a J.D. degree from the National Law Center, George Washington University (currently known as George Washington University Law School) in 1978.

Albin F. Moschner. Mr. Moschner has been a Nuveen Board Member since 2016. Mr. Moschner is a consultant in the wireless industry and, in July 2012, founded Northcroft Partners, LLC, a management consulting firm that provides operational, management and governance solutions. Prior to founding Northcroft Partners, LLC, Mr. Moschner held various positions at Leap Wireless International, Inc., a provider of wireless services, where he was a

 

22


consultant from February 2011 to July 2012, Chief Operating Officer from July 2008 to February 2011, and Chief Marketing Officer from August 2004 to June 2008. Before he joined Leap Wireless International, Inc., Mr. Moschner was President of the Verizon Card Services division of Verizon Communications, Inc. from 2000 to 2003, and President of One Point Services at One Point Communications from 1999 to 2000. Mr. Moschner also served at Zenith Electronics Corporation as Director, President and Chief Executive Officer from 1995 to 1996, and as Director, President and Chief Operating Officer from 1994 to 1995. Mr. Moschner was Chairman of the Board (2019) and a member of the Board of Directors (2012-2019) of USA Technologies, Inc. and, from 1996 until 2016, he was a member of the Board of Directors of Wintrust Financial Corporation. In addition, he is emeritus (since 2018) of the Advisory Boards of the Kellogg School of Management (1995-2018) and the Archdiocese of Chicago Financial Council (2012-2018). Mr. Moschner received a Bachelor of Engineering degree in Electrical Engineering from The City College of New York in 1974 and a Master of Science degree in Electrical Engineering from Syracuse University in 1979.

John K. Nelson. Mr. Nelson has been a Nuveen Board Member since 2013. Mr. Nelson is on the Board of Director of Core12, LLC (since 2008), a private firm that develops branding, marketing, and communications strategies for clients. Mr. Nelson has extensive experience in global banking and markets, having served in several senior executive positions with ABN AMRO Holdings N.V. and its affiliated entities and predecessors, including LaSalle Bank Corporation from 1996 to 2008, ultimately serving as Chief Executive Officer of ABN AMRO N.V. North America. During his tenure at the bank, he also served as Global Head of its Financial Markets Division, which encompassed the bank’s Currency, Commodity, Fixed Income, Emerging Markets, and Derivatives businesses. He was a member of the Foreign Exchange Committee of the Federal Reserve Bank of the United States and during his tenure with ABN AMRO served as the bank’s representative on various committees of The Bank of Canada, European Central Bank, and The Bank of England. Mr. Nelson previously served as a senior, external advisor to the financial services practice of Deloitte Consulting LLP (2012-2014). At Fordham University, he served as a director of The President’s Council (2010- 2019) and previously served as a director of The Curran Center for Catholic American Studies (2009-2018). He served as a trustee and Chairman of The Board of Trustees of Marian University (2011-2013). Mr. Nelson is a graduate of Fordham University, holding a B.A. in Economics and an M.B.A. in Finance.

Matthew Thornton III. Mr. Thornton has been a Nuveen Board Member since 2020. Mr. Thornton has over 40 years of broad leadership and operating experience from his career with FedEx Corporation (“FedEx”), which, through its portfolio of companies, provides transportation, e-commerce and business services. In November 2019, Mr. Thornton retired as Executive Vice President and Chief Operating Officer of FedEx Freight Corporation (FedEx Freight), a subsidiary of FedEx, where, from May 2018 until his retirement, he had been responsible for day-to-day operations, strategic guidance, modernization of freight operations and delivering innovative customer solutions. From September 2006 to May 2018, Mr. Thornton served as Senior Vice President, U.S. Operations at Federal Express Corporation (FedEx Express), a subsidiary of FedEx. Prior to September 2006, Mr. Thornton held a range of positions of increasing responsibility with FedEx, including various management positions. In addition, Mr. Thornton currently (since 2014) serves on the Board of Directors of The Sherwin-Williams Company, where he is a member of the Audit Committee and the Nominating and Corporate Governance Committee, and the Board of Directors of Crown Castle International (since 2020), where he is a member of the Strategy Committee and the Compensation Committee. Formerly (2012-2018), he was a member of the

 

23


Board of Directors of Safe Kids Worldwide®, a non-profit organization dedicated to the prevention of childhood injuries. Mr. Thornton is a member (since 2014) of the Executive Leadership Council (ELC), the nation’s premier organization of global black senior executives. He is also a member of the National Association of Corporate Directors (NACD). Mr. Thornton has been recognized by Black Enterprise on its 2017 list of the Most Powerful Executives in Corporate America and by Ebony on its 2016 Power 100 list of the world’s most influential and inspiring African Americans. Mr. Thornton received a B.B.A. degree from the University of Memphis in 1980 and an M.B.A. from the University of Tennessee in 2001.

Terence J. Toth. Mr. Toth, the Nuveen Funds’ Independent Chair, has been a Nuveen Board Member since 2008. Mr. Toth was a Co-Founding Partner of Promus Capital (2008-2017). From 2012 to 2021, he was a Director of Quality Control Corporation, from 2010 to 2019, he was a Director of Fulcrum IT Service LLC and from 2012 to 2016, he was a Director of LogicMark LLC. From 2008 to 2013, he was a Director of Legal & General Investment Management America, Inc. From 2004 to 2007, he was Chief Executive Officer and President of Northern Trust Global Investments, and Executive Vice President of Quantitative Management & Securities Lending from 2000 to 2004. He also formerly served on the Board of the Northern Trust Mutual Funds. He joined Northern Trust in 1994 after serving as Managing Director and Head of Global Securities Lending at Bankers Trust (1986 to 1994) and Head of Government Trading and Cash Collateral Investment at Northern Trust from 1982 to 1986. He currently serves as Chair of the Board of the Kehrein Center for the Arts (since 2021) and is on the Board of Catalyst Schools of Chicago (since 2008). He is on the Mather Foundation Board (since 2012) and was Chair of its Investment Committee from 2017 to 2022. Mr. Toth graduated with a Bachelor of Science degree from the University of Illinois, and received his MBA from New York University. In 2005, he graduated from the CEO Perspectives Program at Northwestern University.

Margaret L. Wolff. Ms. Wolff has been a Nuveen Board Member since 2016. Ms. Wolff retired from Skadden, Arps, Slate, Meagher & Flom LLP in 2014 after more than 30 years of providing client service in the Mergers & Acquisitions Group. During her legal career, Ms. Wolff devoted significant time to advising boards and senior management on U.S. and international corporate, securities, regulatory and strategic matters, including governance, shareholder, fiduciary, operational and management issues. From 2013 to 2017, she was a Board member of Travelers Insurance Company of Canada and The Dominion of Canada General Insurance Company (each of which is a part of Travelers Canada, the Canadian operation of The Travelers Companies, Inc.). Ms. Wolff has been a trustee of New York-Presbyterian Hospital since 2005 and, since 2004, she has served as a trustee of The John A. Hartford Foundation (a philanthropy dedicated to improving the care of older adults) where she formerly served as Chair from 2015 to 2022. From 2005 to 2015, she was a trustee of Mt. Holyoke College and served as Vice Chair of the Board from 2011 to 2015. Ms. Wolff received her Bachelor of Arts from Mt. Holyoke College and her Juris Doctor from Case Western Reserve University School of Law.

Robert L. Young. Mr. Young has been a Nuveen Board Member since 2017. Mr. Young has more than 30 years of experience in the investment management industry. From 1997 to 2017, he held various positions with J.P. Morgan Investment Management Inc. (“J.P. Morgan Investment”) and its affiliates (collectively, “J.P. Morgan”). Most recently, he served as Chief Operating Officer and Director of J.P. Morgan Investment (from 2010 to 2016) and as President and Principal Executive Officer of the J.P. Morgan Funds (from 2013 to 2016). As Chief Operating Officer of J.P. Morgan Investment, Mr. Young led service, administration and business

 

24


platform support activities for J.P. Morgan’s domestic retail mutual fund and institutional commingled and separate account businesses, and co-led these activities for J.P. Morgan’s global retail and institutional investment management businesses. As President of the J.P. Morgan Funds, Mr. Young interacted with various service providers to these funds, facilitated the relationship between such funds and their boards, and was directly involved in establishing board agendas, addressing regulatory matters, and establishing policies and procedures. Before joining J.P. Morgan, Mr. Young, a former Certified Public Accountant (CPA), was a Senior Manager (Audit) with Deloitte & Touche LLP (formerly, Touche Ross LLP), where he was employed from 1985 to 1996. During his tenure there, he actively participated in creating, and ultimately led, the firm’s midwestern mutual fund practice. Mr. Young holds a Bachelor of Business Administration degree in Accounting from the University of Dayton and, from 2008 to 2011, he served on the Investment Committee of its Board of Trustees.

Nominees who are not Current Board Members

Joseph A. Boateng. Mr. Boateng has been a TC Board Member since 2019. Since 2007, Mr. Boateng has served as the Chief Investment Officer for Casey Family Programs. He was previously Director of U.S. Pension Plans for Johnson & Johnson from 2002-2006. Mr. Boateng is a board member of the Lumina Foundation and Waterside School, an emeritus board member of Year Up Puget Sound, member of the Investment Advisory Committee and former Chair for the Seattle City Employees’ Retirement System, and an Investment Committee Member for The Seattle Foundation. Mr. Boateng received a B.S. from the University of Ghana and an M.B.A. from the University of California, Los Angeles.

Michael A. Forrester. Mr. Forrester has been a TC Board Member since 2007. From 2007 to 2021, he held various positions with Copper Rock Capital Partners, LLC (“Copper Rock”), including Chief Executive Officer (2014-2021), Chief Operating Officer (“COO”) (2007-2014) and Board Member (2007-2021). Mr. Forrester served as a Copper Rock board member from 2007-2021. Mr. Forrester is currently a member of the Independent Directors Council Governing Council of the Investment Company Institute. He also serves on the Board of Trustees of the Dexter Southfield School. Mr. Forrester has a B.A. from Washington and Lee University.

Thomas J. Kenny. Mr. Kenny has been a TC Board Member since 2011. Mr. Kenny served as an Advisory Director (2010-2011), Partner (2004-2010), Managing Director (1999-2004) and Co-Head (2002-2010) of Goldman Sachs Asset Management’s Global Cash and Fixed Income Portfolio Management team, having worked at Goldman Sachs since 1999. Mr. Kenny is a Director and the Chair of the Finance and Investment Committee of Aflac Incorporated and a Director of ParentSquare. He is a Former Director and Finance Committee Chair for the, Sansum Clinic; Former Advisory Board Member, B’Box; Former Member of the University of California at Santa Barbara Arts and Lectures Advisory Council; Former Investment Committee Member, Cottage Health System; and Former President of the Board of Crane Country Day School. He received a B.A. from the University of California, Santa Barbara, and an M.S. from Golden Gate University. He is a Chartered Financial Analyst and has served as Chairman of CREF since 2017.

Loren M. Starr. Mr. Starr has been a TC Board Member since 2022. Mr. Starr was Vice Chair, Senior Managing Director from 2020 to 2021, and Chief Financial Officer, Senior Managing Director from 2005 to 2020, for Invesco Ltd. Mr. Starr is also a Director for AMG. He is former Chair and member of the Board of Directors, Georgia Leadership Institute for School

 

25


Improvement (GLISI); former Chair and member of the Board of Trustees, Georgia Council on Economic Education (GCEE). Mr. Starr received a B.A. and a B.S. from Columbia College, an M.B.A. from Columbia Business School, and an M.S. from Carnegie Mellon University.

Current Board Members who are not Standing for Reelection as Trustees

Jack B. Evans. Mr. Evans has been a Nuveen Board Member since 1999. Mr. Evans has served as Chairman (since 2019) and President (1996-2019) of the Hall-Perrine Foundation, a private philanthropic corporation. Mr. Evans was formerly President and Chief Operating Officer (1972-1995) of the SCI Financial Group, Inc., a regional financial services firm headquartered in Cedar Rapids, Iowa. He was a member of the Board of the Federal Reserve Bank of Chicago from 1997 to 2003 as well as a Director of Alliant Energy from 2000 to 2004 and Member and President Pro Tem of the Board of Regents for the State of Iowa University System from 2007 to 2013. Mr. Evans is a Life Trustee of Coe College and formerly served as Chairman of the Board of United Fire Group from 2009 to 2021, served as a Director and Public Member of the American Board of Orthopaedic Surgery from 2015 to 2020 and served on the Board of The Gazette Company from 1996 to 2015. He has a Bachelor of Arts from Coe College and an M.B.A. from the University of Iowa.

William C. Hunter. Dr. Hunter has been a Nuveen Board Member since 2003. Dr. Hunter became Dean Emeritus of the Henry B. Tippie College of Business at the University of Iowa in 2012, after having served as Dean of the College since July 2006. He had been Dean and Distinguished Professor of Finance at the University of Connecticut School of Business from 2003 to 2006. From 1995 to 2003, he was the Senior Vice President and Director of Research at the Federal Reserve Bank of Chicago. He has held faculty positions at Emory University, Atlanta University, the University of Georgia and Northwestern University. He has consulted with numerous foreign central banks and official agencies in Europe, Asia, Central America and South America. He has been a Director of Wellmark, Inc. since 2009. He is a past Director (2005-2015) and a past President (2010-2014) of Beta Gamma Sigma, Inc., The International Business Honor Society and a past Director (2004-2018) of the Xerox Corporation. Dr. Hunter received his PhD (1978) and MBA (1970) from Northwestern University and his BS from Hampton University (1970).

***

Each of Mr. Evans and Dr. Hunter is expected to retire from the Board, effective as of December 31, 2023, and therefore is not standing for election at the Meeting.

Independent Chair

Mr. Toth currently serves as the independent Chair of the Board. Specific responsibilities of the Chair include: (a) presiding at all meetings of the Board and of the shareholders; (b) seeing that all orders and resolutions of the Board Members are carried into effect; and (c) maintaining records of and, whenever necessary, certifying all proceedings of the Board Members and the shareholders.

 

26


The

Officers

The following table sets forth information with respect to each officer of the Trusts. Officers receive no compensation from the Funds. The officers are elected by the Board on an annual basis to serve until successors are elected and qualified. Certain officers of the Trust may be changed by the Board following the Board consolidation.

 

         

Name, Business
Address

and Year of Birth

  Position(s)
Held with
Funds
  Length of Time
Served with
Funds in the
Fund Complex(1)
 

Principal Occupation(s)

During Past Five Years

  Number of
Portfolios
in Fund
Complex(1)
Served by
Officer

Brett E. Black

333 West Wacker Drive

Chicago, IL 60606

1972

  Vice President and Chief Compliance Officer   Term: Indefinite Length of Service: Since 2022   Managing Director, Chief Compliance Officer of Nuveen (since 2022); formerly, Vice President (2014-2022), Chief Compliance Officer and Anti-Money Laundering Compliance Officer (2017-2022), Deputy Chief Compliance Officer (2014-2017) of BMO Funds, Inc.   135

Mark J. Czarniecki

901 Marquette Avenue

Minneapolis, MN 55402

1979

  Vice President and Secretary   Term: Indefinite Length of Service: Since 2013   Managing Director (since 2022), formerly, Vice President (2016-2022), and Assistant Secretary (since 2016) of Nuveen Securities, LLC; Managing Director (since 2022), formerly, Vice President (2017-2022) and Assistant Secretary (since 2017) of Nuveen Fund Advisors, LLC; Managing Director and Associate General Counsel (since January 2022), formerly, Vice President and Associate General Counsel of Nuveen (2013-2021); Managing Director (since 2022), formerly, Vice President (2018-2022), Assistant Secretary and Associate General Counsel (since 2018) of Nuveen Asset Management, LLC; Managing Director, Associate General Counsel and Assistant Secretary of Teachers Advisors, LLC and TIAA-CREF Investment Management, LLC (since 2023).   135

Diana R. Gonzalez

8500 Andrew Carnegie Blvd.

Charlotte, NC 28262

1978

  Vice President and Assistant Secretary   Term: Indefinite Length of Service: Since 2017   Vice President and Assistant Secretary of Nuveen Fund Advisors, LLC (since 2017); Vice President, Associate General Counsel and Assistant Secretary of Nuveen Asset Management, LLC (since 2022); Vice President, Associate General Counsel and Assistant Secretary of Teachers Advisors, LLC and TIAA-CREF Investment Management, LLC (since 2023); Vice President and Associate General Counsel of Nuveen (since 2017); formerly, Associate General Counsel of Jackson National Asset Management (2012-2017).   135

 

27


         

Name, Business Address

and Year of Birth

  Position(s)
Held with
Funds
  Length of Time
Served with
Funds in the
Fund Complex(1)
 

Principal Occupation(s)

During Past Five Years

  Number of
Portfolios
in Fund
Complex(1)
Served by
Officer

Nathaniel T. Jones

333 West Wacker Drive

Chicago, IL 60606

1979

  Vice President and Treasurer   Term: Indefinite Length of Service: Since 2016   Senior Managing Director (since 2021), formerly, Managing Director (2017-2021), Senior Vice President (2016-2017) of Nuveen; Managing Director (since 2015) of Nuveen Fund Advisors, LLC; Chartered Financial Analyst.   135

Brian H. Lawrence

8500 Andrew Carnegie Blvd.

Charlotte, NC 28262

1982

  Vice President and Assistant Secretary   Term: Indefinite Length of Service: Since 2023   Vice President and Associate General Counsel of Nuveen (since 2023); Vice President, Associate General Counsel and Assistant Secretary (since 2023) of Teachers Advisors, LLC and TIAA-CREF Investment Management, LLC; formerly Corporate Counsel of Franklin Templeton (2018-2022).   135

Tina M. Lazar

333 West Wacker Drive

Chicago, IL 60606

1961

  Vice President   Term: Indefinite Length of Service: Since 2002   Managing Director (since 2017), formerly, Senior Vice President (2014-2017) of Nuveen Securities, LLC.   135

Brian J. Lockhart

333 West Wacker Drive

Chicago, IL 60606

1974

  Vice President   Term: Indefinite Length of Service: Since 2019   Senior Managing Director (since 2021), formerly, Managing Director (2017-2021), Vice President (2010-2017) of Nuveen, Head of Investment Oversight (since 2017), formerly, Team Leader of Manager Oversight (2015-2017); Managing Director (since 2019), of Nuveen Fund Advisors, LLC; Chartered Financial Analyst and Certified Financial Risk Manager.   135

 

28


         

Name, Business Address

and Year of Birth

  Position(s)
Held with
Funds
  Length of Time
Served with
Funds in the
Fund Complex(1)
 

Principal Occupation(s)

During Past Five Years

  Number of
Portfolios
in Fund
Complex(1)
Served by
Officer

John M. McCann

8500 Andrew Carnegie Blvd.

Charlotte, NC 28262

1975

  Vice President and Assistant Secretary   Term: Indefinite Length of Service: Since 2022   Managing Director (since 2021), General Counsel and Secretary (since 2023), formerly, Assistant Secretary (2021-2023), of Nuveen Fund Advisors, LLC; Managing Director, Associate General Counsel and Assistant Secretary of Nuveen Asset Management, LLC (since 2021); Managing Director (since 2021) and Assistant Secretary (since 2016) of TIAA SMA Strategies LLC; Managing Director (since 2019, formerly, Vice President and Director), Associate General Counsel and Assistant Secretary of College Retirement Equities Fund, TIAA Separate Account VA-1, TIAA-CREF Funds and TIAA-CREF Life Funds; Managing Director (since 2018), formerly, Vice President and Director, Associate General Counsel and Assistant Secretary of Teachers Insurance and Annuity Association of America, Teachers Advisors, LLC and TIAA-CREF Investment Management, LLC; Managing Director (since 2022), formerly, Vice President (2017-2022), Associate General Counsel and Assistant Secretary (since 2011) of Nuveen Alternative Advisors LLC; General Counsel and Assistant Secretary of Covariance Capital Management, Inc. (2014-2017).   223

 

29


         

Name, Business Address

and Year of Birth

  Position(s)
Held with
Funds
  Length of Time
Served with
Funds in the
Fund Complex(1)
 

Principal Occupation(s)

During Past Five Years

  Number of
Portfolios
in Fund
Complex(1)
Served by
Officer

Kevin J. McCarthy

333 West Wacker Drive

Chicago, IL 60606

1966

  Vice President and Assistant Secretary   Term: Indefinite Length of Service: Since 2007   Executive Vice President (since 2022) and Secretary and General Counsel (since 2016) of Nuveen Investments, Inc., formerly, Senior Managing Director (2017-2022); Executive Vice President (since 2023) and Assistant Secretary (since 2008) of Nuveen Securities, LLC, formerly, Senior Managing Director (2017-2023); Executive Vice President and Assistant Secretary (since 2023) of Nuveen Fund Advisors, LLC, formerly, Senior Managing Director (2017-2023, Secretary (2016-2023) and Co-General Counsel (2011-2020); Executive Vice President (since 2023) and Secretary (since 2016) of Nuveen Asset Management, LLC, formerly, Senior Managing Director (2017-2023) and Associate General Counsel (2011-2020); Executive Vice President (since 2021) and Secretary (since 2023) of Teachers Advisors, LLC, formerly, General Counsel and Assistant Secretary (2021-2023 ); Executive Vice President (since 2017) and Secretary (since 2023) of TIAA-CREF Investment Management, LLC, formerly, General Counsel and Assistant Secretary (2017-2023); formerly, Vice President (2007-2021) and Secretary (2016-2021), of NWQ Investment Management Company, LLC and Santa Barbara Asset Management, LLC, Vice President and Secretary of Winslow Capital Management, LLC (since 2010); Executive Vice President (since 2023) and Secretary (since 2016) of Nuveen Alternative Investments, LLC, formerly Senior Managing Director (2017-2023).   223

 

30


         

Name, Business Address

and Year of Birth

  Position(s)
Held with
Funds
  Length of Time
Served with
Funds in the
Fund Complex(1)
 

Principal Occupation(s)

During Past Five Years

  Number of
Portfolios
in Fund
Complex(1)
Served by
Officer

Jon Scott Meissner

8500 Andrew Carnegie Blvd.

Charlotte, NC 28262

1973

  Vice President and Assistant Secretary   Term: Indefinite Length of Service: Since 2019   Managing Director, Mutual Fund Tax and Expense Administration (since 2022), formerly, Managing Director of Mutual Fund Tax and Financial Reporting groups (2017-2022) at Nuveen; Managing Director (since 2019) of Nuveen Fund Advisors, LLC; Managing Director (since 2021), formerly, Senior Director (2016-2021) of Teachers Advisors, LLC and TIAA-CREF Investment Management, LLC; Managing Director, Mutual Fund and Tax Expense Administration (since 2022), formerly, Senior Director Mutual Fund Taxation (2015-2022) to the TIAA-CREF Funds, the TIAA-CREF Life Funds, the TIAA Separate Account VA-1 and the CREF Accounts; has held various positions with TIAA since 2004.   223

Justin M. Pfaff

333 West Wacker Drive

Chicago, IL 60606

1981

  Chief Administrative Officer   Term: Indefinite Length of Service: Since 2023   Managing Director, Advisory Product, Nuveen (since 2016); Chartered Financial Analyst.   67

William A. Siffermann

333 West Wacker Drive

Chicago, IL 60606

1975

  Vice President   Term: Indefinite Length of Service: Since 2017   Managing Director (since 2017), formerly Senior Vice President (2016-2017) of Nuveen.   135

Trey S. Stenersen

8500 Andrew Carnegie Blvd.

Charlotte, NC 28262

1965

  Vice President   Term: Indefinite Length of Service: Since 2022   Senior Managing Director of Teachers Advisors, LLC and TIAA-CREF Investment Management, LLC (since 2018); Senior Managing Director (since 2019) and Chief Risk Officer (since 2022), formerly Head of Investment Risk Management (2017-2022) of Nuveen; Senior Managing Director (since 2018) of Nuveen Alternative Advisors LLC.   135

 

31


         

Name, Business Address

and Year of Birth

  Position(s)
Held with
Funds
  Length of Time
Served with
Funds in the
Fund Complex(1)
 

Principal Occupation(s)

During Past Five Years

  Number of
Portfolios
in Fund
Complex(1)
Served by
Officer

E. Scott Wickerham

8500 Andrew Carnegie Blvd.

Charlotte, NC 28262

1973

  Vice President and Controller   Term: Indefinite Length of Service: Since 2019   Senior Managing Director, Head of Public Investment Finance at Nuveen (since 2019), formerly, Managing Director; Senior Managing Director (since 2019), of Nuveen Fund Advisors, LLC; Senior Managing Director (since 2022) of Nuveen Asset Management, LLC; Senior Managing Director of Teachers Advisors, LLC (since 2021) and TIAA-CREF Investment Management, LLC (since 2016); Principal Financial Officer, Principal Accounting Officer and Treasurer (since 2017) of the TIAA-CREF Funds, the TIAA-CREF Life Funds, the TIAA Separate Account VA-1 and Principal Financial Officer, Principal Accounting Officer (since 2020) and Treasurer (since 2017) to the CREF Accounts; has held various positions with TIAA since 2006.   223

Mark L. Winget

333 West Wacker Drive

Chicago, IL 60606

1968

  Vice President and Assistant Secretary   Term: Indefinite Length of Service: 2008   Vice President and Assistant Secretary of Nuveen Securities, LLC (since 2008); Vice President and Assistant Secretary of Nuveen Fund Advisors, LLC (since 2019); Vice President, Associate General Counsel and Assistant Secretary of Teachers Advisors, LLC and TIAA-CREF Investment Management, LLC (since 2023) and Nuveen Asset Management, LLC (since 2020); Vice President (since 2010) and Associate General Counsel (since 2019) of Nuveen.   135

 

32


         

Name, Business Address

and Year of Birth

  Position(s)
Held with
Funds
  Length of Time
Served with
Funds in the
Fund Complex(1)
 

Principal Occupation(s)

During Past Five Years

  Number of
Portfolios
in Fund
Complex(1)
Served by
Officer

Rachael Zufall

8500 Andrew Carnegie Blvd.

Charlotte, NC 28262

1973

  Vice President and Assistant Secretary   Term: Indefinite Length of Service: Since 2022  

Managing Director and Assistant Secretary (since

2023) of Nuveen Fund Advisors, LLC; Managing

Director (since 2017), Associate General Counsel and

Assistant Secretary (since 2014) of the CREF

Accounts, TIAA Separate Account VA-1, TIAA-CREF

Funds and TIAA-CREF Life Funds; Managing Director

(since 2017), Associate General Counsel and

Assistant Secretary (since 2011) of Teachers

Advisors, LLC and TIAA-CREF Investment

Management, LLC; Managing Director of Nuveen, LLC

and of TIAA (since 2017).

  223

 

(1)

As used in this table, the Fund Complex consists of the Nuveen Funds, the TC Funds, CREF and VA-1.

Independent Registered Public Accounting Firms

The Independent Board Members have unanimously selected PricewaterhouseCoopers LLP (“PwC”) as the independent registered public accounting firm to audit the books and records of each series of each of Nuveen Municipal Trust, Nuveen Multistate Trust I, Nuveen Multistate Trust III, Nuveen Multistate Trust IV and Nuveen Managed Accounts Portfolios Trust for each such Fund’s current fiscal year. The Independent Board Members unanimously selected KPMG LLP (“KPMG”) as the independent registered public accounting firm to audit the books and records of each series of Nuveen Multistate Trust II for each such Fund’s current fiscal year.

PwC and KPMG have informed each applicable Fund that it has no direct or indirect material financial interest in the Funds, Nuveen, the Adviser or any other investment company sponsored by Nuveen.

A representative of each of PwC and KPMG will be invited to be present at the Meeting if they so desire, and if present will have the opportunity to make a statement and/or answer questions if they desire to do so.

Audit and Related Fees

The tables set forth in Appendix E provide the aggregate fees billed during each Fund’s last two fiscal years by each Fund’s independent registered public accounting firm for

 

33


engagements directly related to the operations and financial reporting of each Fund including those relating (i) to each Fund for services provided to the Fund and (ii) to the Adviser and certain entities controlling, controlled by, or under common control with the Adviser that provide ongoing services to each Fund (“Adviser Entities”).

Audit Committee Pre-Approval Policies and Procedures

Generally, the Audit Committee must approve each Fund’s independent registered public accounting firm’s engagements (i) with the Fund for audit or non-audit services and (ii) with the Adviser and Adviser Entities for non-audit services if the engagement relates directly to the operations and financial reporting of the Fund. Regarding tax and research projects conducted by the independent registered public accounting firm for each Fund and the Adviser and Adviser Entities (with respect to the operations and financial reporting of each Fund), such engagements will be (i) pre-approved by the Audit Committee if they are expected to be for amounts greater than $10,000; (ii) reported to the Audit Committee chair for his verbal approval prior to engagement if they are expected to be for amounts under $10,000 but greater than $5,000; and (iii) reported to the Audit Committee at the next Audit Committee meeting if they are expected to be for an amount under $5,000.

The Audit Committee has approved in advance all audit services and non-audit services that the independent registered public accounting firms provided to each Fund and to the Adviser and Adviser Entities (with respect to the operations and financial reporting of each Fund). None of the services rendered by the independent registered public accounting firms to each Fund or the Adviser or Adviser Entities were pre-approved by the Audit Committee pursuant to the pre-approval exception under Rule 2.01(c)(7)(i)(C) or Rule 2.01(c)(7)(ii) of Regulation S-X.

Shareholder Approval

For each Trust, the affirmative vote of a plurality of the shares present and entitled to vote at the Meeting will be required to elect the Board Members of that Trust. This means that the nominees receiving the highest number of affirmative votes cast at the Meeting will be elected to serve as Board Members. For purposes of determining the approval of the proposal to elect nominees for each Trust, withheld votes, abstentions and broker non-votes will have no effect on the election of Board Members.

The Board unanimously recommends that shareholders of each Fund vote FOR the election of each nominee of the Board.

 

34


ADDITIONAL INFORMATION

Attending the Meeting

The Meeting will be held in a virtual meeting format only. There is no physical location for the meeting. Shareholders may participate in the Meeting at meetnow.global/MU6Y5XM by entering the control number found on the shareholder’s proxy card at the date and time of the Meeting. Shareholders may vote during the Meeting by following the instructions that will be available on the Meeting website during the Meeting.

If your shares are registered in your name, you do not need to register to attend the Meeting virtually on the Internet. If you hold your shares through an intermediary, such as a bank or broker, you must register in advance to attend the Meeting virtually on the Internet.

To register to attend the Meeting online by webcast, you must submit proof of your proxy power (legal proxy) reflecting your Fund holdings along with your name and email address to Computershare Fund Services. You must contact the bank or broker who holds your shares to obtain your legal proxy. Requests for registration must be labeled as “Legal Proxy” and be received no later than 5:00 p.m., Eastern Time, three business days prior to the Meeting date.

You will receive a confirmation of your registration by email after we receive your registration materials.

Requests for registration should be directed to us by emailing an image of your legal proxy to shareholdermeetings@computershare.com.

Principal Shareholders

As of the Record Date, the record owners of the specified Fund and class set forth on Appendix F held the share amounts and corresponding percentages indicated therein, which were owned either (i) beneficially by such persons or (ii) of record by such persons on behalf of customers who are the beneficial owners of such shares.

To the knowledge of the Funds, as of the Record Date, no shareholder owned, beneficially or of record, 5% or more of any class of shares of any Fund, except as provided in Appendix F.

Beneficial owners of 25% or more of a class of shares of a Fund are presumed to be in control of the class for purposes of voting on certain matters submitted to shareholders.

Information About the Adviser and Distributor

The Adviser

Nuveen Fund Advisors, LLC (“Nuveen Fund Advisors”), the Funds’ investment adviser, offers advisory and investment management services to a broad range of clients, including investment companies and other pooled investment vehicles. Nuveen Fund Advisors has overall responsibility for management of the Funds, oversees the management of the Funds’ portfolios, manages the Funds’ business affairs and provides certain clerical, bookkeeping and other administrative services. Nuveen Fund Advisors is located at 333 West Wacker Drive, Chicago, Illinois 60606. Nuveen Fund Advisors is a subsidiary of Nuveen, the investment

 

35


management arm of TIAA. As of June 30, 2023, Nuveen managed approximately $1.16 trillion in assets, of which approximately $141 billion was managed by Nuveen Fund Advisors.

Nuveen Fund Advisors has selected its affiliate, Nuveen Asset Management, LLC (“Nuveen Asset Management”), located at 333 West Wacker Drive, Chicago, Illinois 60606, to serve as sub-adviser to each Fund. Nuveen Asset Management manages the investment of the Funds’ assets on a discretionary basis, subject to the supervision of Nuveen Fund Advisors.

The Distributor

Nuveen Securities, LLC, 333 West Wacker Drive, Chicago, Illinois 60606, an affiliate of the Adviser, serves as the distributor for the Funds’ shares.

Shareholder Proposals

The Trusts generally do not hold annual shareholders’ meetings, but will hold special meetings as required or deemed desirable. Because the Trusts do not hold regular shareholders’ meetings, the anticipated date of the next special shareholders’ meeting (if any) cannot be provided. Shareholders wishing to submit proposals for inclusion in a proxy statement for a subsequent meeting of shareholders of a Trust should send their written proposal to such Trust at 333 West Wacker Drive, Chicago, Illinois 60606. Proposals must be received a reasonable time before the Trust begins to print and mail its proxy materials for the meeting.

Shareholder Communications

Fund shareholders who want to communicate with the Board or any individual Board Member should write to the attention of William Siffermann, Manager of Fund Board Relations, Nuveen, 333 West Wacker Drive, Chicago, Illinois 60606. The letter should indicate that you are a Fund shareholder and note the Fund or Funds that you own. If the communication is intended for a specific Board Member and so indicates, it will be sent only to that Board Member. If a communication does not indicate a specific Board Member, it will be sent to the Independent Chair and the outside counsel to the Independent Board Members for further distribution as deemed appropriate by such persons.

Board Member Attendance at Shareholder Meetings

Board Members are expected to make reasonable efforts to attend meetings of shareholders of the Funds.

Expenses of Proxy Solicitation

The cost of preparing, printing and mailing the enclosed proxy, accompanying notice and Joint Proxy Statement and all other costs in connection with the solicitation of proxies will be paid by the Funds (allocated among the Funds based on relative net assets). The expenses are included in the administrative expenses that are paid for from the net assets of the Trust. Solicitation may be made by letter or telephone by officers or employees of Nuveen or the Adviser,

 

36


or by dealers and their representatives. The Funds have engaged Computershare Fund Services to assist in the solicitation of proxies and expect to pay an estimated fee of $54,000 and reimburse Computershare Fund Services for its reasonable expenses in connection with its solicitation of proxies.

Fiscal Year

The fiscal year end of each Fund is set forth on Appendix A.

Shareholder Reports

Each Fund’s most recent annual and semi-annual shareholder reports are available at the Funds’ website at www.nuveen.com. Each Fund will furnish, without charge, a copy of its annual report and/or semi-annual report as available upon request. Such written or oral requests should be directed to such Fund at 333 West Wacker Drive, Chicago, Illinois 60606 or by calling 1-800-257-8787.

Please note that only one annual report, semi-annual report or proxy statement may be delivered to two or more shareholders of a Fund who share an address, unless the Fund has received instructions to the contrary. To request a separate copy of an annual report, semi-annual report or proxy statement, or for instructions as to how to request a separate copy of such documents or as to how to request a single copy if multiple copies of such documents are received, shareholders should contact the applicable Fund at the address and phone number set forth above.

Important Notice Regarding the Availability of Proxy Materials for the Shareholder Meeting To Be Held on November 20, 2023

This Joint Proxy Statement, each Fund’s most recent annual report to shareholders, the form of proxy and the Notice of Special Meeting are available at https://www.nuveen.com/en-us/investments/proxy-information. For more information, shareholders may also contact the applicable Fund at the address and phone number set forth above.

General

Management does not intend to present and does not have reason to believe that any other items of business will be presented at the Meeting. However, if other matters are properly presented to the Meeting for a vote, the proxies will be voted by the persons acting under the proxies upon such matters in accordance with their judgment of the best interests of the Funds.

A list of shareholders entitled to be present and to vote at the Meeting may be available for inspection by any shareholder to the extent required by applicable state law.

 

37


Failure of a quorum to be present at the Meeting will necessitate adjournment and may subject your Fund to additional expense. The chair of the Meeting may also adjourn the Meeting to permit further solicitation of proxies with respect to any proposal.

IF YOU CANNOT BE PRESENT AT THE MEETING (VIRTUALLY), YOU ARE REQUESTED TO FILL IN, SIGN AND RETURN THE ENCLOSED PROXY PROMPTLY. NO POSTAGE IS REQUIRED IF MAILED IN THE UNITED STATES.

Mark Czarniecki

Vice President and Secretary

October 13, 2023

 

 

38


Appendix A

FUND INFORMATION

 

Fund Name    Abbreviated Fund Name    Fiscal
Year
End
     Class A      Class C      Class I      Class R6  

Nuveen Municipal Trust

                 

Nuveen All-American Municipal Bond Fund

   All-American Municipal Bond Fund      3/31        209,357,174        15,418,885        211,321,381        14,659,763  

Nuveen High Yield Municipal Bond Fund

   High Yield Municipal Bond Fund      3/31        462,741,989        58,244,723        573,810,749        51,064,852  

Nuveen Intermediate Duration Municipal Bond Fund

   Intermediate Duration Municipal Bond Fund      3/31        89,996,869        4,305,107        766,750,343         

Nuveen Limited Term Municipal Bond Fund

   Limited Term Municipal Bond Fund      3/31        92,788,348        3,468,262        427,353,580         

Nuveen Short Duration High Yield Municipal Bond Fund

   Short Duration High Yield Municipal Bond Fund      3/31        108,166,362        11,345,536        366,288,514         

Nuveen Strategic Municipal Opportunities Fund

   Strategic Municipal Opportunities Fund      3/31        20,684,926        2,804,641        87,305,749         

Nuveen Multistate Trust I

                 

Nuveen Arizona Municipal Bond Fund

   Arizona Municipal Bond Fund      5/31        7,015,761        329,090        9,706,969         

Nuveen Colorado Municipal Bond Fund

   Colorado Municipal Bond Fund      5/31        15,888,788        1,049,768        28,574,688         

Nuveen Maryland Municipal Bond Fund

   Maryland Municipal Bond Fund      5/31        8,997,637        485,527        16,035,890         

Nuveen New Mexico Municipal Bond Fund

   New Mexico Municipal Bond Fund      5/31        4,883,657        147,818        3,158,332         

Nuveen Pennsylvania Municipal Bond Fund

   Pennsylvania Municipal Bond Fund      5/31        16,728,684        1,074,577        25,129,967         

Nuveen Virginia Municipal Bond Fund

   Virginia Municipal Bond Fund      5/31        18,025,618        1,080,267        27,420,924         

Nuveen Multistate Trust II

                 

Nuveen California High Yield Municipal Bond Fund

   California High Yield Municipal Bond Fund      2/28        69,277,877        4,350,681        62,671,716         

Nuveen California Municipal Bond Fund

   California Municipal Bond Fund      2/28        75,433,306        3,025,432        86,608,130         

Nuveen Connecticut Municipal Bond Fund

   Connecticut Municipal Bond Fund      2/28        12,146,970        444,005        10,401,356         

Nuveen Massachusetts Municipal Bond Fund

   Massachusetts Municipal Bond Fund      2/28        26,640,748        514,795        41,934,947         

Nuveen New Jersey Municipal Bond Fund

   New Jersey Municipal Bond Fund      2/28        20,241,451        861,331        18,340,949         

Nuveen New York Municipal Bond Fund

   New York Municipal Bond Fund      2/28        54,882,945        2,144,312        46,794,998         

 

A-1


Fund Name    Abbreviated Fund Name    Fiscal
Year
End
  Class A      Class C      Class I      Class R6

Nuveen Multistate Trust III

                

Nuveen Georgia Municipal Bond Fund

   Georgia Municipal Bond Fund    5/31     12,599,479        272,953        6,484,840     

Nuveen Louisiana Municipal Bond Fund

   Louisiana Municipal Bond Fund    5/31     13,308,959        771,357        6,766,207     

Nuveen North Carolina Municipal Bond Fund

   North Carolina Municipal Bond Fund    5/31     19,103,451        697,334        33,913,780     

Nuveen Multistate Trust IV

                

Nuveen Kansas Municipal Bond Fund

   Kansas Municipal Bond Fund    5/31     13,168,567        616,216        8,513,909     

Nuveen Kentucky Municipal Bond Fund

   Kentucky Municipal Bond Fund    5/31     19,263,243        359,400        6,392,909     

Nuveen Michigan Municipal Bond Fund

   Michigan Municipal Bond Fund    5/31     8,719,937        553,603        15,637,172     

Nuveen Missouri Municipal Bond Fund

   Missouri Municipal Bond Fund    5/31     26,732,746        1,073,740        22,173,036     

Nuveen Ohio Municipal Bond Fund

   Ohio Municipal Bond Fund    5/31     25,156,493        940,263        28,640,837     

Nuveen Wisconsin Municipal Bond Fund

   Wisconsin Municipal Bond Fund    5/31     5,442,346        453,115        2,747,160     

Nuveen Managed Accounts Portfolios Trust

                

Municipal Total Return Managed Accounts Portfolio

   Municipal Total Return Portfolio    7/31                   146,070,394     

Nuveen Core Impact Bond Managed Accounts Portfolio

   Core Impact Bond Portfolio    7/31(1)                   1,125,638     

Nuveen Emerging Markets Debt Managed Accounts Portfolio

   Emerging Markets Debt Portfolio    7/31                   2,658,968     

Nuveen High Yield Managed Accounts Portfolio

   High Yield Portfolio    7/31                   1,731,014     

Nuveen Preferred Securities and Income Managed Accounts Portfolio

   Preferred Securities and Income Portfolio    7/31                   1,664,240     

Nuveen Securitized Credit Managed Accounts Portfolio

   Securitized Credit Portfolio    7/31                   2,510,920     

 

(1)

Prior to the fiscal year ended July 31, 2023, the fiscal year of Core Impact Bond Portfolio was October 31.

 

A-2


Appendix B

SHARE OWNERSHIP

Dollar Range of Equity Securities By Board Members and Nominees

The following table lists the dollar range of equity securities beneficially owned by each Board Member and nominee in each Fund and in all funds in the Family of Investment Companies overseen or to be overseen by the Board Member or nominee as of December 31, 2022. The information set forth below includes share equivalents of certain funds in which the Board Member or nominee is deemed to be invested pursuant to deferred compensation arrangements applicable to such Board Member or nominee.

 

     CURRENT TRUSTEES             NOMINEES
Fund   Evans   Hunter   Lancellotta   Medero   Moschner   Nelson   Thornton   Toth   Wolff   Young   Boateng   Forrester   Kenny   Starr

Nuveen Municipal Trust

All-American Municipal Bond Fund

  $0   $0   $0   $0   $0   $0   $0   $10,001- $50,000   $0   $0   $0   $0   $0   $0

High Yield Municipal Bond Fund

  $0   $0   $0   $0   $0   $0   $0   $10,001- $50,000   $0   $0   $0   $0   $0   $0

Intermediate Duration Municipal Bond Fund

  $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0

Limited Term Municipal Bond Fund

  $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0

Short Duration High Yield Municipal Bond Fund

  $0   $0   $0   $0   $0   $0   $0   $0   $0   $10,001- $50,000   $0   $0   $0   $0

Strategic Municipal Opportunities Fund

  $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0

Nuveen Multistate Trust I

Arizona Municipal Bond Fund

  $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0

Colorado Municipal Bond Fund

  $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0

Maryland Municipal Bond Fund

  $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0

New Mexico Municipal Bond Fund

  $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0

Pennsylvania Municipal Bond Fund

  $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0

Virginia Municipal Bond Fund

  $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0

 

B-1


     CURRENT TRUSTEES             NOMINEES
Fund   Evans   Hunter   Lancellotta   Medero   Moschner   Nelson   Thornton   Toth   Wolff   Young   Boateng   Forrester   Kenny   Starr

Nuveen Multistate Trust II

California High Yield Municipal Bond Fund

  $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0

California Municipal Bond Fund

  $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0

Connecticut Municipal Bond Fund

  $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0

Massachusetts Municipal Bond Fund

  $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0

New Jersey Municipal Bond Fund

  $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0

New York Municipal Bond Fund

  $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0

Nuveen Multistate Trust III

Georgia Municipal Bond Fund

  $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0

Louisiana Municipal Bond Fund

  $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0

North Carolina Municipal Bond Fund

  $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0

Nuveen Multistate Trust IV

Kansas Municipal Bond Fund

  $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0

Kentucky Municipal Bond Fund

  $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0

Michigan Municipal Bond Fund

  $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0

Missouri Municipal Bond Fund

  $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0

Ohio Municipal Bond Fund

  $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0

Wisconsin Municipal Bond Fund

  $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0

Nuveen Managed Accounts Portfolios Trust

                           

Municipal Total Return Portfolio

  $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0

Core Impact Bond Portfolio

  $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0

Emerging Markets Debt Portfolio

  $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0

High Yield Portfolio

  $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0

Preferred Securities and Income Portfolio

  $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0

Securitized Credit Portfolio

  $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0   $0
Aggregate Range of Equity Securities in All Registered Investment Companies Overseen by Board Member or Nominee in Family of Investment Companies(1)   Over
$100,000
  Over
$100,000
  $50,001-$100,000   Over
$100,000
  Over
$100,000
  Over
$100,000
  Over
$100,000
  Over $100,000   Over
$100,000
  Over $100,000   Over
$100,000(2)
  Over
$100,000(2)
  Over
$100,000(2)
  $10,000-

-$50,000(2)

 

(1)

As used in this table, the Family of Investment Companies consists of the Nuveen Funds, the TC Funds, CREF and VA-1.

 

(2)

Includes notional amounts allocated under both the TC Funds boards’ long-term compensation plan and optional deferred compensation plan.

 

B-2


The table below presents information on Trustees and Nominees who own securities in companies (other than investment companies) that are advised by entities that are under common control with the Funds’ investment adviser(s) as of December 31, 2022:

 

Name of Trustee/Nominee

  

Name of

Owners/Relationships

to Trustee/Nominee

  

Companies(2)

  

Title of
Class

   Value of
Securities(3)
     Percent
of
Class(4)
 

Thomas J. Kenny

   Thomas Joseph Kenny 2021 Trust (Mr. Kenny is Initial Trustee and Settlor.)    Global Timber Resources LLC    None    $ 61,063        0.01
   KSHFO, LLC(1)    Global Timber Resources Investor Fund, LP    None    $ 3,593        0.39
   KSHFO, LLC(1)    Global Agriculture II Investor Fund LP    None    $ 9,448        0.67

 

(1)

Mr. Kenny owns 6.6% of KSHFO, LLC.

(2)

The investment advisers to the Funds, as well as the investment advisers to these Companies, are indirectly commonly controlled by Nuveen, LLC.

(3)

These amounts reflect the current value of holdings as of December 31, 2022.

(4)

These percentages reflect the overall amount committed to invest in the Companies, not current ownership percentages.

 

 

B-3


Appendix C

BOARD MEMBER COMPENSATION

Aggregate Compensation from the Funds

The following table sets forth, for each Board Member and nominee, the aggregate compensation paid by each Fund to each Board Member and nominee for its last fiscal year and the aggregate compensation paid by all funds in the Fund Complex to each Board Member and nominee for the calendar year ended December 31, 2022.(1)

 

Fund   CURRENT TRUSTEES     NOMINEES
  Evans     Hunter     Lancellotta     Medero     Moschner     Nelson     Thornton     Toth     Wolff     Young     Boateng   Forrester   Kenny   Starr

Nuveen Municipal Trust

All-American Municipal Bond Fund

  $ 18,397     $ 17,207     $ 16,472     $ 16,378     $ 19,807     $ 18,912     $ 17,302     $ 24,041     $ 18,008     $ 19,354     N/A   N/A   N/A   N/A

High Yield Municipal Bond Fund

  $ 56,720     $ 53,180     $ 34,588     $ 25,887     $ 61,073     $ 58,231     $ 53,298     $ 74,711     $ 28,679     $ 15,583     N/A   N/A   N/A   N/A

Intermediate Duration Municipal Bond Fund

  $ 25,893     $ 24,259     $ 23,198     $ 23,086     $ 27,873     $ 26,547     $ 24,310     $ 33,943     $ 25,411     $ 27,337     N/A   N/A   N/A   N/A

Limited Term Municipal Bond Fund

  $ 22,668     $ 21,193     $ 20,270     $ 20,174     $ 24,418     $ 23,238     $ 21,245     $ 29,833     $ 22,235     $ 23,972     N/A   N/A   N/A   N/A

Short Duration High Yield Municipal Bond Fund

  $ 18,665     $ 17,515     $ 16,739     $ 16,665     $ 20,086     $ 19,122     $ 17,515     $ 24,571     $ 18,407     $ 19,804     N/A   N/A   N/A   N/A

Strategic Municipal Opportunities Fund

  $ 3,723     $ 3,480     $ 3,329     $ 3,312     $ 4,014     $ 3,823     $ 3,492     $ 4,891     $ 3,649     $ 3,936     N/A   N/A   N/A   N/A

Nuveen Multistate Trust I

Arizona Municipal Bond Fund

  $ 504     $ 472     $ 450     $ 448     $ 544     $ 517     $ 473     $ 667     $ 495     $ 504     N/A   N/A   N/A   N/A

Colorado Municipal Bond Fund

  $ 1,392     $ 1,300     $ 1,242     $ 1,236     $ 1,501     $ 1,428     $ 1,303     $ 1,841     $ 1,365     $ 1,392     N/A   N/A   N/A   N/A

Maryland Municipal Bond Fund

  $ 755     $ 707     $ 676     $ 673     $ 813     $ 774     $ 708     $ 995     $ 742     $ 755     N/A   N/A   N/A   N/A

New Mexico Municipal Bond Fund

  $ 240     $ 224     $ 214     $ 213     $ 259     $ 246     $ 225     $ 317     $ 235     $ 240     N/A   N/A   N/A   N/A

Pennsylvania Municipal Bond Fund

  $ 1,479     $ 1,384     $ 1,323     $ 1,316     $ 1,593     $ 1,516     $ 1,387     $ 1,949     $ 1,452     $ 1,563     N/A   N/A   N/A   N/A

Virginia Municipal Bond Fund

  $ 1,603     $ 1,498     $ 1,433     $ 1,426     $ 1,728     $ 1,645     $ 1,503     $ 2,107     $ 1,571     $ 1,694     N/A   N/A   N/A   N/A

 

C-1


Fund   CURRENT TRUSTEES     NOMINEES
  Evans     Hunter     Lancellotta     Medero     Moschner     Nelson     Thornton     Toth     Wolff     Young     Boateng   Forrester   Kenny   Starr

Nuveen Multistate Trust II

California High Yield Municipal Bond Fund

  $ 3,480     $ 3,258     $ 3,133     $ 3,133     $ 3,748     $ 3,570     $ 3,260     $ 4,597     $ 3,463     $ 3,748     N/A   N/A   N/A   N/A

California Municipal Bond Fund

  $ 5,653     $ 5,260     $ 5,073     $ 5,071     $ 6,084     $ 5,794     $ 5,279     $ 7,439     $ 5,600     $ 6,086     N/A   N/A   N/A   N/A

Connecticut Municipal Bond Fund

  $ 690     $ 643     $ 619     $ 619     $ 742     $ 706     $ 645     $ 909     $ 684     $ 743     N/A   N/A   N/A   N/A

Massachusetts Municipal Bond Fund

  $ 1,692     $ 1,586     $ 1,522     $ 1,522     $ 1,826     $ 1,733     $ 1,584     $ 2,228     $ 1,685     $ 1,829     N/A   N/A   N/A   N/A

New Jersey Municipal Bond Fund

  $ 1,215     $ 1,137     $ 1,093     $ 1,094     $ 1,307     $ 1,242     $ 1,135     $ 1,607     $ 1,210     $ 1,313     N/A   N/A   N/A   N/A

New York Municipal Bond Fund

  $ 3,378     $ 3,157     $ 3,039     $ 3,040     $ 3,635     $ 3,455     $ 3,156     $ 4,464     $ 3,361     $ 3,646     N/A   N/A   N/A   N/A

Nuveen Multistate Trust III

Georgia Municipal Bond Fund

  $ 549     $ 514     $ 491     $ 489     $ 592     $ 563     $ 514     $ 726     $ 540     $ 582     N/A   N/A   N/A   N/A

Louisiana Municipal Bond Fund

  $ 650     $ 609     $ 582     $ 579     $ 701     $ 666     $ 610     $ 858     $ 639     $ 688     N/A   N/A   N/A   N/A

North Carolina Municipal Bond Fund

  $ 1,743     $ 1,627     $ 1,554     $ 1,546     $ 1,880     $ 1,790     $ 1,632     $ 2,303     $ 1,708     $ 1,842     N/A   N/A   N/A   N/A

Nuveen Multistate Trust IV

Kansas Municipal Bond Fund

  $ 724     $ 677     $ 647     $ 643     $ 782     $ 743     $ 679     $ 957     $ 711     $ 767     N/A   N/A   N/A   N/A

Kentucky Municipal Bond Fund

  $ 903     $ 843     $ 806     $ 802     $ 974     $ 927     $ 846     $ 1,193     $ 885     $ 955     N/A   N/A   N/A   N/A

Michigan Municipal Bond Fund

  $ 872     $ 815     $ 778     $ 774     $ 941     $ 895     $ 817     $ 1,152     $ 856     $ 923     N/A   N/A   N/A   N/A

Missouri Municipal Bond Fund

  $ 1,807     $ 1,688     $ 1,613     $ 1,604     $ 1,950     $ 1,855     $ 1,693     $ 2,387     $ 1,772     $ 1,911     N/A   N/A   N/A   N/A

Ohio Municipal Bond Fund

  $ 1,861     $ 1,739     $ 1,661     $ 1,654     $ 2,007     $ 1,908     $ 1,742     $ 2,462     $ 1,827     $ 1,971     N/A   N/A   N/A   N/A

Wisconsin Municipal Bond Fund

  $ 326     $ 304     $ 291     $ 289     $ 352     $ 335     $ 305     $ 431     $ 319     $ 345     N/A   N/A   N/A   N/A

Nuveen Managed Accounts Portfolios Trust

Municipal Total Return Portfolio

  $ 4,070     $ 4,035     $ 3,815     $ 3,799     $ 4,474     $ 4,276     $ 3,950     $ 5,648     $ 4,202     $ 4,657     N/A   N/A   N/A   N/A

Core Impact Bond Portfolio

  $ 26     $ 25     $ 24     $ 24     $ 28     $ 26     $ 24     $ 35     $ 27     $ 29     N/A   N/A   N/A   N/A

Emerging Markets Debt Portfolio

  $ 36     $ 41     $ 31     $ 29     $ 42     $ 40     $ 38     $ 57     $ 33     $ 30     N/A   N/A   N/A   N/A

High Yield Portfolio

  $ 21     $ 24     $ 18     $ 17     $ 25     $ 23     $ 22     $ 33     $ 19     $ 17     N/A   N/A   N/A   N/A

Preferred Securities and Income Portfolio

  $ 21     $ 23     $ 18     $ 16     $ 24     $ 23     $ 21     $ 32     $ 19     $ 17     N/A   N/A   N/A   N/A

 

C-2


Fund   CURRENT TRUSTEES     NOMINEES  
  Evans     Hunter     Lancellotta     Medero     Moschner     Nelson     Thornton     Toth     Wolff     Young     Boateng     Forrester     Kenny     Starr  

Securitized Credit Portfolio

  $ 28     $ 32     $ 25     $ 23     $ 33     $ 32     $ 30     $ 45     $ 26     $ 23       N/A       N/A       N/A       N/A  

Total Compensation from funds in the Fund Complex(2) Paid to Board Members and Nominees for calendar year ended December 31, 2022

  $ 412,281     $ 382,750     $ 390,250     $ 429,000     $ 371,848     $ 402,906     $ 526,950     $ 396,076     $ 443,950     $ 416,325     $ 425,000     $ 450,000     $ 563,750     $ 98,750  

 

(1)

Includes deferred fees. Pursuant to a deferred compensation agreement with certain of the Funds, deferred amounts are treated as though an equivalent dollar amount has been invested in shares of one or more Participating Funds. Total deferred fees for the Funds (including the return from the assumed investment in the Participating Funds) payable are set forth in the following table.

 

(2)

As used in this table, the Fund Complex consists of the Nuveen Funds, the TC Funds, CREF and VA-1.

 

C-3


Deferred Fees for the Funds

 

     CURRENT TRUSTEES     NOMINEES
Fund   Evans     Hunter   Lancellotta     Medero     Moschner   Nelson   Thornton   Toth   Wolff     Young     Boateng   Forrester   Kenny   Starr

Nuveen Municipal Trust

All-American Municipal Bond Fund

  $ 1,758     N/A   $ 5,255     $ 7,985     N/A   N/A   N/A   N/A   $ 8,780     $ 14,333     N/A   N/A   N/A   N/A

High Yield Municipal Bond Fund

  $ 5,437     N/A   $ 16,262     $ 24,714     N/A   N/A   N/A   N/A   $ 27,393     $ 44,658     N/A   N/A   N/A   N/A

Intermediate Duration Municipal Bond Fund

  $ 2,483     N/A   $ 7,421     $ 11,278     N/A   N/A   N/A   N/A   $ 12,415     $ 20,267     N/A   N/A   N/A   N/A

Limited Term Municipal Bond Fund

  $ 2,175     N/A   $ 6,487     $ 9,858     N/A   N/A   N/A   N/A   $ 10,867     $ 17,775     N/A   N/A   N/A   N/A

Short Duration High Yield Municipal Bond Fund

  $ 1,794     N/A   $ 5,363     $ 8,151     N/A   N/A   N/A   N/A   $ 9,005     $ 14,692     N/A   N/A   N/A   N/A

Strategic Municipal Opportunities Fund

  $ 357     N/A   $ 1,064     $ 1,618     N/A   N/A   N/A   N/A   $ 1,782     $ 2,918     N/A   N/A   N/A   N/A

Nuveen Multistate Trust I

Arizona Municipal Bond Fund

  $ 48     N/A   $ 144     $ 219     N/A   N/A   N/A   N/A   $ 242     $ 395     N/A   N/A   N/A   N/A

Colorado Municipal Bond Fund

  $ 133     N/A   $ 397     $ 604     N/A   N/A   N/A   N/A   $ 667     $ 1,092     N/A   N/A   N/A   N/A

Maryland Municipal Bond Fund

  $ 72     N/A   $ 216     $ 329     N/A   N/A   N/A   N/A   $ 363     $ 592     N/A   N/A   N/A   N/A

New Mexico Municipal Bond Fund

  $ 23     N/A   $ 68     $ 104     N/A   N/A   N/A   N/A   $ 115     $ 188     N/A   N/A   N/A   N/A

Pennsylvania Municipal Bond Fund

  $ 142     N/A   $ 423     $ 643     N/A   N/A   N/A   N/A   $ 709     $ 1,158     N/A   N/A   N/A   N/A

Virginia Municipal Bond Fund

  $ 154     N/A   $ 458     $ 696     N/A   N/A   N/A   N/A   $ 767     $ 1,256     N/A   N/A   N/A   N/A

Nuveen Multistate Trust II

California High Yield Municipal Bond Fund

  $ 342     N/A   $ 1,020     $ 1,551     N/A   N/A   N/A   N/A   $ 1,715     $ 2,797     N/A   N/A   N/A   N/A

California Municipal Bond Fund

  $ 555     N/A   $ 1,652     $ 2,511     N/A   N/A   N/A   N/A   $ 2,773     $ 4,543     N/A   N/A   N/A   N/A

Connecticut Municipal Bond Fund

  $ 68     N/A   $ 202     $ 307     N/A   N/A   N/A   N/A   $ 339     $ 554     N/A   N/A   N/A   N/A

Massachusetts Municipal Bond Fund

  $ 166     N/A   $ 496     $ 754     N/A   N/A   N/A   N/A   $ 835     $ 1,365     N/A   N/A   N/A   N/A

New Jersey Municipal Bond Fund

  $ 120     N/A   $ 357     $ 543     N/A   N/A   N/A   N/A   $ 600     $ 981     N/A   N/A   N/A   N/A

New York Municipal Bond Fund

  $ 333     N/A   $ 992     $ 1,507     N/A   N/A   N/A   N/A   $ 1,666     $ 2,724     N/A   N/A   N/A   N/A

 

C-4


     CURRENT TRUSTEES     NOMINEES
Fund   Evans     Hunter   Lancellotta     Medero     Moschner   Nelson   Thornton   Toth   Wolff     Young     Boateng   Forrester   Kenny   Starr

Nuveen Multistate Trust III

Georgia Municipal Bond Fund

  $ 53     N/A   $ 157     $ 239     N/A   N/A   N/A   N/A   $ 264     $ 432     N/A   N/A   N/A   N/A

Louisiana Municipal Bond Fund

  $ 62     N/A   $ 186     $ 283     N/A   N/A   N/A   N/A   $ 312     $ 510     N/A   N/A   N/A   N/A

North Carolina Municipal Bond Fund

  $ 167     N/A   $ 497     $ 755     N/A   N/A   N/A   N/A   $ 833     $ 1,365     N/A   N/A   N/A   N/A

Nuveen Multistate Trust IV

Kansas Municipal Bond Fund

  $ 69     N/A   $ 207     $ 314     N/A   N/A   N/A   N/A   $ 347     $ 569     N/A   N/A   N/A   N/A

Kentucky Municipal Bond Fund

  $ 86     N/A   $ 258     $ 391     N/A   N/A   N/A   N/A   $ 432     $ 708     N/A   N/A   N/A   N/A

Michigan Municipal Bond Fund

  $ 84     N/A   $ 249     $ 378     N/A   N/A   N/A   N/A   $ 418     $ 684     N/A   N/A   N/A   N/A

Missouri Municipal Bond Fund

  $ 173     N/A   $ 515     $ 783     N/A   N/A   N/A   N/A   $ 865     $ 1,416     N/A   N/A   N/A   N/A

Ohio Municipal Bond Fund

  $ 179     N/A   $ 532     $ 808     N/A   N/A   N/A   N/A   $ 893     $ 1,461     N/A   N/A   N/A   N/A

Wisconsin Municipal Bond Fund

  $ 31     N/A   $ 93     $ 141     N/A   N/A   N/A   N/A   $ 156     $ 255     N/A   N/A   N/A   N/A

Nuveen Managed Accounts Portfolios Trust

Municipal Total Return Portfolio

  $ 416     N/A   $ 1,236     $ 1,878     N/A   N/A   N/A   N/A   $ 2,074     $ 3,402     N/A   N/A   N/A   N/A

Core Impact Bond Portfolio

  $ 3     N/A   $ 8     $ 12     N/A   N/A   N/A   N/A   $ 13     $ 21     N/A   N/A   N/A   N/A

Emerging Markets Debt Portfolio

  $ 2     N/A   $ 6     $ 10     N/A   N/A   N/A   N/A   $ 11     $ 17     N/A   N/A   N/A   N/A

High Yield Portfolio

  $ 1     N/A   $ 4     $ 6     N/A   N/A   N/A   N/A   $ 6     $ 10     N/A   N/A   N/A   N/A

Preferred Securities and Income Portfolio

  $ 1     N/A   $ 4     $ 6     N/A   N/A   N/A   N/A   $ 7     $ 10     N/A   N/A   N/A   N/A

Securitized Credit Portfolio

  $ 2     N/A   $ 5     $ 8     N/A   N/A   N/A   N/A   $ 9     $ 13     N/A   N/A   N/A   N/A

With respect to the nominees who are TC Board Members, aggregate compensation figures paid by the TC Funds include cash and amounts deferred under both a long-term compensation plan and optional deferred compensation plan, as well as amounts related to special, ad hoc working groups that are temporary in nature and not expected to be long-term, ongoing compensation. The TC Funds have a long-term compensation plan for board members. Currently, under this unfunded deferred compensation plan, annual contributions equal to $110,000 are allocated to notional investments in TIAA-CREF products (such as certain CREF annuities and/or certain TC Funds) selected by each board member. As currently structured, after the board member leaves the TC Board, benefits related to service on the TC Board will be paid in a lump sum or in annual installments over a period of 2 to 20 years, as requested by the board member. The board may waive the mandatory retirement policy for the board members, which would delay the commencement of benefit payments until after the board member eventually retires from the board. Pursuant to

 

C-5


a separate deferred compensation plan, TC Board Members also have the option to defer payments of their basic retainer, additional retainers and/or meeting fees and allocate those amounts to notional investments in TIAA-CREF products (such as certain CREF annuities and/or certain TC Funds) selected by each board member. Benefits under that plan are also paid in a lump sum or in annual installments over a period of 2 to 20 years, as requested by the board member.

 

C-6


Appendix D

BOARD AND COMMITTEE MEETINGS

HELD DURING CALENDAR YEAR ENDED DECEMBER 31, 2022(1)

 

     

Regular

Board

Meetings

    

Special
Board

Meetings

     Executive
Committee
     Dividend
Committee
    

Audit

Committee

    

Compliance

Committee

    

Nominating

and

Governance

Committee

    

Open-End

Funds

Committee

 
Nuveen Municipal Trust      5        11        0        6        4        4        6        4  
Nuveen Multistate Trust I      5        11        0        6        4        4        6        4  
Nuveen Multistate Trust II      5        11        0        6        4        4        6        4  
Nuveen Multistate Trust III      5        11        0        6        4        4        6        4  
Nuveen Multistate Trust IV      5        11        0        6        4        4        6        4  
Nuveen Managed Accounts Portfolios Trust      5        11        0        6        4        4        6        4  

 

(1)

Information is presented on a calendar year basis, as the Funds have different fiscal year ends.

 

D-1


Appendix E

AUDIT AND RELATED FEES

 

            Audit Fees(1)      Audit Related Fees(2)      Tax Fees(3)      All Other Fees(4)  
            Funds      Funds      Adviser and
Related Entities
     Funds      Adviser and
Related Entities
     Funds      Adviser and
Related Entities
 
      Fiscal
Year
End
     Fiscal
Year
Ended
2022
    

Fiscal

Year

Ended

2023

     Fiscal
Year
Ended
2022
     Fiscal
Year
Ended
2023
     Fiscal
Year
Ended
2022
     Fiscal
Year
Ended
2023
     Fiscal
Year
Ended
2022
     Fiscal
Year
Ended
2023
     Fiscal
Year
Ended
2022
     Fiscal
Year
Ended
2023
     Fiscal
Year
Ended
2022
     Fiscal
Year
Ended
2023
     Fiscal
Year
Ended
2022
     Fiscal
Year
Ended
2023
 

Nuveen Municipal Trust

 

All-American Municipal Bond Fund

     3/31      $ 41,175      $ 58,500      $ 0      $ 0      $ 0      $ 0      $ 5,422      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0  

High Yield Municipal Bond Fund

     3/31      $ 87,800      $ 116,310      $ 0      $ 0      $ 0      $ 0      $ 6,242      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0  

Intermediate Duration Municipal Bond Fund

     3/31      $ 41,175      $ 42,865      $ 0      $ 0      $ 0      $ 0      $ 518      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0  

Limited Term Municipal Bond Fund

     3/31      $ 41,175      $ 42,865      $ 0      $ 0      $ 0      $ 0      $ 434      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0  

Short Duration High Yield Municipal Bond Fund

     3/31      $ 67,100      $ 69,785      $ 0      $ 0      $ 0      $ 0      $ 2,039      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0  

Strategic Municipal Opportunities Fund

     3/31      $ 37,025      $ 42,865      $ 0      $ 0      $ 0      $ 0      $ 157      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0  

Nuveen Multistate Trust II

 

California High Yield Municipal Bond Fund

     2/28      $ 49,300      $ 48,000      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0  

California Municipal Bond Fund

     2/28      $ 28,300      $ 28,000      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0  

Connecticut Municipal Bond Fund

     2/28      $ 28,300      $ 28,000      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0  

Massachusetts Municipal Bond Fund

     2/28      $ 28,300      $ 28,000      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0  

New Jersey Municipal Bond Fund

     2/28      $ 28,300      $ 28,000      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0  

New York Municipal Bond Fund

     2/28      $ 28,300      $ 28,000      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0  

 

E-1


            Audit Fees(1)      Audit Related Fees(2)      Tax Fees(3)      All Other Fees(4)  
            Funds      Funds      Adviser and
Related Entities
     Funds      Adviser and
Related Entities
     Funds      Adviser and
Related Entities
 
      Fiscal
Year
End
     Fiscal
Year
Ended
2022
    

Fiscal

Year

Ended

2023

     Fiscal
Year
Ended
2022
     Fiscal
Year
Ended
2023
     Fiscal
Year
Ended
2022
     Fiscal
Year
Ended
2023
     Fiscal
Year
Ended
2022
     Fiscal
Year
Ended
2023
     Fiscal
Year
Ended
2022
     Fiscal
Year
Ended
2023
     Fiscal
Year
Ended
2022
     Fiscal
Year
Ended
2023
     Fiscal
Year
Ended
2022
     Fiscal
Year
Ended
2023
 

Nuveen Multistate Trust I

 

Arizona Municipal Bond Fund

     5/31      $ 35,975      $ 37,988      $ 0      $ 0      $ 0      $ 0      $ 11      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0  

Colorado Municipal Bond Fund

     5/31      $ 37,025      $ 37,988      $ 0      $ 0      $ 0      $ 0      $ 28      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0  

Maryland Municipal Bond Fund

     5/31      $ 35,975      $ 37,988      $ 0      $ 0      $ 0      $ 0      $ 15      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0  

New Mexico Municipal Bond Fund

     5/31      $ 35,975      $ 37,988      $ 0      $ 0      $ 0      $ 0      $ 5      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0  

Pennsylvania Municipal Bond Fund

     5/31      $ 37,025      $ 37,988      $ 0      $ 0      $ 0      $ 0      $ 29      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0  

Virginia Municipal Bond Fund

     5/31      $ 37,025      $ 37,988      $ 0      $ 0      $ 0      $ 0      $ 34      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0  

Nuveen Multistate Trust III

 

Georgia Municipal Bond Fund

     5/31      $ 35,975      $ 37,988      $ 0      $ 0      $ 0      $ 0      $ 11      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0  

Louisiana Municipal Bond Fund

     5/31      $ 35,975      $ 37,988      $ 0      $ 0      $ 0      $ 0      $ 12      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0  

North Carolina Municipal Bond Fund

     5/31      $ 37,025      $ 37,988      $ 0      $ 0      $ 0      $ 0      $ 39      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0  

Nuveen Multistate Trust IV

 

Kansas Municipal Bond Fund

     5/31      $ 35,975      $ 37,988      $ 0      $ 0      $ 0      $ 0      $ 15      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0  

Kentucky Municipal Bond Fund

     5/31      $ 35,975      $ 37,988      $ 0      $ 0      $ 0      $ 0      $ 19      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0  

Michigan Municipal Bond Fund

     5/31      $ 35,975      $ 37,988      $ 0      $ 0      $ 0      $ 0      $ 18      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0  

Missouri Municipal Bond Fund

     5/31      $ 37,025      $ 37,988      $ 0      $ 0      $ 0      $ 0      $ 37      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0  

Ohio Municipal Bond Fund

     5/31      $ 37,025      $ 37,988      $ 0      $ 0      $ 0      $ 0      $ 36      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0  

Wisconsin Municipal Bond Fund

     5/31      $ 35,975      $ 37,988      $ 0      $ 0      $ 0      $ 0      $ 7      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0  

Nuveen Managed Accounts Portfolios Trust

 

Municipal Total Return Portfolio

     7/31      $ 41,175      $ 58,500      $ 0      $ 0      $ 0      $ 0      $ 82      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0  

Core Impact Bond Portfolio*

     7/31      $ 54,050      $ 58,500      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0  

Emerging Markets Debt Portfolio

     7/31      $ 0      $ 58,500      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0  

High Yield Portfolio

     7/31      $ 0      $ 58,500      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0  

Preferred Securities and Income Portfolio

     7/31      $ 0      $ 58,500      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0  

Securitized Credit Portfolio

     7/31      $ 0      $ 58,500      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0  

 

*

Prior to the fiscal year ended July 31, 2023, the fiscal year of Core Impact Bond Portfolio was October 31.

 

(1)

“Audit Fees” are the aggregate fees billed for professional services for the audit of the Fund’s annual financial statements and services provided in connection with statutory and regulatory filings or engagements.

 

E-2


(2)

“Audit Related Fees” are the aggregate fees billed for assurance and related services reasonably related to the performance of the audit or review of financial statements that are not reported under “Audit Fees”.

 

(3)

“Tax Fees” are the aggregate fees billed for professional services for tax advice, tax compliance, and tax planning. These fees include: all global withholding tax services; excise and state tax reviews; capital gain, tax equalization and taxable basis calculation performed by the principal accountant.

 

(4)

“All Other Fees” are the aggregate fees billed for products and services other than “Audit Fees”, “Audit-Related Fees” and “Tax Fees”.

 

            Total Non-Audit
Fees

Billed to Fund
     Total
Non-Audit
Fees Billed to
Adviser and
Adviser Entities
(Engagements
Related
Directly to the
Operations and
Financial

Reporting of
Fund)
     Total
Non-Audit Fees
Billed to
Adviser and
Adviser Entities

(All Other
Engagements)
     Total  
     

Fiscal

Year
End

     Fiscal
Year
Ended
2022
     Fiscal
Year
Ended
2023
     Fiscal
Year
Ended
2022
     Fiscal
Year
Ended
2023
     Fiscal
Year
Ended
2022
     Fiscal
Year
Ended
2023
     Fiscal
Year
Ended
2022
     Fiscal
Year
Ended
2023
 

Nuveen Municipal Trust

                          

All-American Municipal Bond Fund

     3/31      $ 5,422      $ 0      $ 0      $ 0      $ 0      $ 0      $ 5,422      $ 0  

High Yield Municipal Bond Fund

     3/31      $ 6,242      $ 0      $ 0      $ 0      $ 0      $ 0      $ 6,242      $ 0  

Intermediate Duration Municipal Bond Fund

     3/31      $ 518      $ 0      $ 0      $ 0      $ 0      $ 0      $ 518      $ 0  

Limited Term Municipal Bond Fund

     3/31      $ 434      $ 0      $ 0      $ 0      $ 0      $ 0      $ 434      $ 0  

Short Duration High Yield Municipal Bond Fund

     3/31      $ 2,039      $ 0      $ 0      $ 0      $ 0      $ 0      $ 2,039      $ 0  

Strategic Municipal Opportunities Fund

     3/31      $ 157      $ 0      $ 0      $ 0      $ 0      $ 0      $ 157      $ 0  

Nuveen Multistate Trust II

                          

California High Yield Municipal Bond Fund

     2/28      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0  

California Municipal Bond Fund

     2/28      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0  

Connecticut Municipal Bond Fund

     2/28      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0  

Massachusetts Municipal Bond Fund

     2/28      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0  

New Jersey Municipal Bond Fund

     2/28      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0  

New York Municipal Bond Fund

     2/28      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0  

 

E-3


            Total Non-Audit
Fees

Billed to Fund
     Total
Non-Audit
Fees Billed to
Adviser and
Adviser Entities
(Engagements
Related
Directly to the
Operations and
Financial

Reporting of
Fund)
     Total
Non-Audit Fees
Billed to
Adviser and
Adviser Entities

(All Other
Engagements)
     Total  
     

Fiscal

Year
End

     Fiscal
Year
Ended
2022
     Fiscal
Year
Ended
2023
     Fiscal
Year
Ended
2022
     Fiscal
Year
Ended
2023
     Fiscal
Year
Ended
2022
     Fiscal
Year
Ended
2023
     Fiscal
Year
Ended
2022
     Fiscal
Year
Ended
2023
 

Nuveen Multistate Trust I

 

  

Arizona Municipal Bond Fund

     5/31      $ 11      $ 0      $ 0      $ 0      $ 0      $ 0      $ 11      $ 0  

Colorado Municipal Bond Fund

     5/31      $ 28      $ 0      $ 0      $ 0      $ 0      $ 0      $ 28      $ 0  

Maryland Municipal Bond Fund

     5/31      $ 15      $ 0      $ 0      $ 0      $ 0      $ 0      $ 15      $ 0  

New Mexico Municipal Bond Fund

     5/31      $ 5      $ 0      $ 0      $ 0      $ 0      $ 0      $ 5      $ 0  

Pennsylvania Municipal Bond Fund

     5/31      $ 29      $ 0      $ 0      $ 0      $ 0      $ 0      $ 29      $ 0  

Virginia Municipal Bond Fund

     5/31      $ 34      $ 0      $ 0      $ 0      $ 0      $ 0      $ 34      $ 0  

Nuveen Multistate Trust III

 

  

Georgia Municipal Bond Fund

     5/31      $ 11      $ 0      $ 0      $ 0      $ 0      $ 0      $ 11      $ 0  

Louisiana Municipal Bond Fund

     5/31      $ 12      $ 0      $ 0      $ 0      $ 0      $ 0      $ 12      $ 0  

North Carolina Municipal Bond Fund

     5/31      $ 39      $ 0      $ 0      $ 0      $ 0      $ 0      $ 39      $ 0  

Nuveen Multistate Trust IV

 

  

Kansas Municipal Bond Fund

     5/31      $ 15      $ 0      $ 0      $ 0      $ 0      $ 0      $ 15      $ 0  

Kentucky Municipal Bond Fund

     5/31      $ 19      $ 0      $ 0      $ 0      $ 0      $ 0      $ 19      $ 0  

Michigan Municipal Bond Fund

     5/31      $ 18      $ 0      $ 0      $ 0      $ 0      $ 0      $ 18      $ 0  

Missouri Municipal Bond Fund

     5/31      $ 37      $ 0      $ 0      $ 0      $ 0      $ 0      $ 37      $ 0  

Ohio Municipal Bond Fund

     5/31      $ 36      $ 0      $ 0      $ 0      $ 0      $ 0      $ 36      $ 0  

Wisconsin Municipal Bond Fund

     5/31      $ 7      $ 0      $ 0      $ 0      $ 0      $ 0      $ 7      $ 0  

Nuveen Managed Accounts Portfolios Trust

 

  

Municipal Total Return Portfolio

     7/31      $ 82      $ 0      $ 0      $ 0      $ 0      $ 0      $ 82      $ 0  

Core Impact Bond Portfolio

     7/31      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0  

Emerging Markets Debt Portfolio

     7/31      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0  

High Yield Portfolio

     7/31      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0  

Preferred Securities and Income Portfolio

     7/31      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0  

Securitized Credit Portfolio

     7/31      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0      $ 0m  

 

E-4


Appendix F

LIST OF HOLDERS OF MORE THAN 5% OF ANY CLASS OF SHARES IN EACH FUND

As of the Record Date, the following record owners of the specified Fund and class held the share amounts and corresponding percentages indicated below, which were owned either (i) beneficially by such persons or (ii) of record by such persons on behalf of customers who are the beneficial owners of such shares. Beneficial owners of 25% or more of a class of a Fund are presumed to be in control of the class for purposes of voting on certain matters submitted to shareholders.

 

       
Fund and Class   Shareholder Name and Address  

Number of

Shares Owned

   

Percentage

Owned

 

Nuveen Municipal Trust

 

Nuveen All American
Municipal Bond Fund – Class A

  Edward D Jones & Co.
For the benefit of customers
12555 Manchester Rd.
Saint Louis, MO 63131-3710
    33,185,783.1390       15.85
 

Wells Fargo Clearing Services LLC

Special Custody Acct for the
Exclusive Benefit of Customer

2801 Market Street
Saint Louis, MO 63103-2523

    26,645,584.9190       12.73
 

MLPF&S

For the Sole Benefit of its Customers
Attn Fund Admin SEC 974T2

4800 Deer Lake Dr. E., Fl. 3

Jacksonville, FL 32246-6484

    22,309,975.0940       10.66
  Morgan Stanley Smith Barney LLC
For the exclusive benefit of its customers
1 New York Plz., Fl. 12
New York, NY 10004-1965
    18,014,937.0260       8.60
  National Financial Services LLC
For the exclusive benefit of our customers
Attn Mutual Fund Dept., 4th Floor
499 Washington Blvd.
Jersey City, NJ 07310-1995
    14,281,951.5220       6.82
  American Enterprise Investment Services Inc.
707 2nd Ave. S.
Minneapolis, MN 55402-2405
    13,955,905.6730       6.67
  Charles Schwab & Co. Inc.
Special Custody Account for Benefit of Customers
Attn Mutual Funds
211 Main St.
San Francisco, CA 94105-1901
    13,364,489.8140       6.38

 

F-1


Fund and Class   Shareholder Name and Address  

Number of

Shares Owned

   

Percentage

Owned

 
  Pershing LLC
One Pershing Plaza
Jersey City, NJ 07399-0002
    12,538,255.3360       5.99
  Raymond James
Omnibus for Mutual Funds
Attn: Courney Waller
880 Carillon Parkway
St. Petersburg, FL 33716-1102
    11,420,674.2260       5.46
  JP Morgan Securities LLC Omnibus
Account for the Exclusive Benefit of Customers
4 Chase Metrotech Ctr., 3rd Fl.
Mutual Fund Department
Brooklyn, NY 11245-0003
    11,325,277.9970       5.41

Nuveen All American
Municipal Bond Fund – Class I

 

American Enterprise Investment

Services Inc.

707 2nd Ave. S.

Minneapolis, MN 55402-2405

    33,438,245.1450       15.82
 

Wells Fargo Clearing Services LLC

Special Custody Acct for the Exclusive Benefit of Customer

2801 Market St

Saint Louis, MO 63103-2523

    23,366,575.2430       11.06
 

MLPF&S

For the Sole Benefit of its Customers

Attn Fund Admin SEC 97NE4

4800 Deer Lake Dr. E., Fl. 3

Jacksonville, FL 32246-6484

    19,889,333.1150       9.41
 

Band & Co.

C/o US Bank

P.O. Box 1787

Milwaukee, WI 53201-1787

    16,082,806.8020       7.61
  Charles Schwab & Co. Inc.
For the Benefit of their Customers
211 Main St.
San Francisco, CA 94105-1901
    13,479,912.9320       6.38
 

UBS WM USA

0O0 11011 6100

Omni Account M/F

Spec Cdy A/C EBOC UBSFSI

1000 Harbor Blvd.

Weehawken, NJ 07086-6761

    13,409,422.0120       6.35
 

National Financial Services LLC

For the Exclusive Benefit of our Customers

Attn Mutual Fund Dept 4th Floor

499 Washington Blvd

Jersey City, NJ 07130-1995

    13,317,829.4060       6.30

 

F-2


Fund and Class   Shareholder Name and Address  

Number of

Shares Owned

   

Percentage

Owned

 
 

Morgan Stanely Smith Barney LLC

For the Exclusive Benefit of its Customers

1 New York Plz., Fl. 12

New York, NY 10004-1965

    12,787,915.4940       6.05
 

Raymond James

Omnibus for Mutual Funds

Attn: Courtney Waller

880 Carillon Parkway

St. Petersburg, FL 33716-1102

    11,193,312.9240       5.30
 

Pershing LLC

One Pershing Plaza

Jersey City, NJ 07399-0002

    11,120,853.9320       5.26
 

LPL Financial

Omnibus Customer Account

Attn Mutual Fund Trading

4707 Executive Dr.

San Diego, CA 92121-3091

    11,044,263.1630       5.23

Nuveen All American
Municipal Bond Fund – Class C

 

Wells Fargo Clearing Services LLC

Special Custody Acct for the Exclusive Benefit of Customer

2801 Market St

Saint Louis, MO 63103-2523

    2,876,909.7360       18.66
 

American Enterprise Investment Services Inc.

707 2nd Ave. S.

Minneapolis, MN 55402-2405

    2,519,278.9020       16.34
 

Raymond James

Omnibus for Mutual Funds

Attn: Courtney Waller

880 Carillon Parkway

St. Petersburg, FL 33716-1102

    2,136,156.2580       13.85
 

Morgan Stanely Smith Barney LLC

For the Exclusive Benefit of its Customers

1 New York Plz., Fl. 12

New York, NY 10004-1965

    1,406,405.3070       9.12
 

MLPF&S

For the Sole Benefit of its Customers

Attn Fund Admin SEC 97BM0

4800 Deer Lake Dr. E., Fl. 3

Jacksonville, FL 32246-6484

    1,314,043.6480       8.52
 

Pershing LLC

One Pershing Plaza

Jersey City, NJ 07399-0002

    1,107,392.8070       7.18
 

LPL Financial

Omnibus Customer Account

Attn Mutual Fund Trading

4707 Executive Dr.

San Diego, CA 92121-3091

    838,188.5070       5.44

 

F-3


Fund and Class   Shareholder Name and Address  

Number of

Shares Owned

   

Percentage

Owned

 

Nuveen All American
Municipal Bond Fund – Class R6

 

Edward D Jones & Co.

For the Benefit of Customers

12555 Manchester Rd.

Saint Louis, MO 63131-3710

    8,077,319.6580       55.10
 

Wells Fargo Bank NA FBO

Omnibus Cash

P.O. Box 1533

Minneapolis, MN 55480-1533

    4,676,069.8830       31.90
 

SEI Private Trust Company

C/o Truist ID 866

Attn Mutual Fund Admin

1 Freedom Valley Drive

Oaks, PA 19456-9989

    1,094,398.3450       7.47

Nuveen High Yield
Municipal Bond Fund – Class A

  Morgan Stanley Smith Barney LLC
For the exclusive benefit of its customers
1 New York Plz. Fl. 12
New York, NY 10004-1965
    71,175,399.3100       15.38
  Wells Fargo Clearing Services LLC
Special Custody Acct for Exclusive Benefit of Customer
2801 Market St.
Saint Louis, MO 63103-2523
    70,262,527.6030       15.18
  MLPF&S
For its Customers
Attn Fund Admn 97E84
4800 Deer Lake Dr. E., Floor 3
Jacksonville, FL 32246-6484
    55,529,940.6470       12.00
  National Financial Services LLC
For the exclusive benefit of our customers
Attn Mutual Fund Dept 4th Floor
499 Washington Blvd.
Jersey City, NJ 07310-1995
    47,326,647.8280       10.23
  Charles Schwab & Co. Inc.
Special Custody A/C FBO Customers
Attn Mutual Funds
211 Main St.
San Francisco, CA 94105-1901
    35,810,434.5980       7.74
  Charles Schwab & Co. Inc.
For the benefit of their customers
211 Main St.
San Francisco, CA 94105-1901
    26,610,744.8470       5.75
  Charles Schwab & Co. Inc.
Special Custody A/C FBO Customers
Attn Mutual Funds
211 Main St.
San Francisco, CA 94105-1901
    461,968.7480       5.32

 

F-4


Fund and Class   Shareholder Name and Address  

Number of

Shares Owned

   

Percentage

Owned

 
  Raymond James
Omnibus for Mutual Funds
Attn: Courtney Waller
880 Carillon Parkway
St. Petersburg, FL 33716-1102
    26,180,387.6790       5.66
  American Enterprise Investment Services Inc.
707 2nd Ave. S.
Minneapolis, MN 55402-2405
    24,634,172.2980       5.32
  Pershing LLC
One Pershing Plaza
Jersey City, NJ 07399-0002
    24,023,912.3410       5.19

Nuveen High Yield
Municipal Bond Fund – Class I

 

MLPF&S

For its Customers
Attn Fund Admn 97E84

4800 Deer Lake Dr. E., Fl. 3

Jacksonville, FL 32246-6484

    72,520,672.7750       12.64
 

Morgan Stanely Smith Barney LLC

For the Exclusive Benefit of its Customers

1 New York Plz., Fl. 12

New York, NY 10004-1965

    63,132,282.9650       11.00
  Charles Schwab & Co. Inc.
For the Benefit of their Customers
211 Main St.
San Francisco, CA 94105-1901
    62,389,687.8580       10.87
  Wells Fargo Clearing Services LLC
Special Custody Acct for Exclusive Benefit of Customer
2801 Market St.
Saint Louis, MO 63103-2523
    58,079,574.2760       10.12
 

UBS WM USA

0O0 11011 6100

Omni Account M/F

Spec Cdy A/C EBOC UBSFSI

1000 Harbor Blvd.

Weehawken, NJ 07086-6761

    57,168,756.5850       9.96
 

National Financial Services LLC

For the Exclusive Benefit of our Customers

Attn Mutual Fund Dept 4th Floor

499 Washington Blvd

Jersey City, NJ 07130-1995

    56,162,697.7270       9.79
 

American Enterprise Investment Services Inc.

707 2nd Ave. S.

Minneapolis, MN 55402-2405

    54,443,081.7180       9.49

 

F-5


Fund and Class   Shareholder Name and Address  

Number of

Shares Owned

   

Percentage

Owned

 
 

LPL Financial

Omnibus Customer Account

Attn Mutual Fund Trading

4707 Executive Dr.

San Diego, CA 92121-3091

    45,883,236.8840       8.00
 

Pershing LLC

One Pershing Plaza

Jersey City, NJ 07399-0002

    33,073,429.4830       5.76

Nuveen High Yield
Municipal Bond Fund – Class C

  Wells Fargo Clearing Services LLC
Special Custody Acct for Exclusive Benefit of Customer
2801 Market St.
Saint Louis, MO 63103-2523
    14,139,852.1830       24.28
 

Raymond James

Omnibus for Mutual Funds

Attn: Courtney Waller

880 Carillon Parkway

St. Petersburg, FL 33716-1102

    6,121,862.6320       10.51
 

American Enterprise Investment Services Inc.

707 2nd Ave. S.

Minneapolis, MN 55402-2405

    6,102,451.7640       10.48
 

Morgan Stanely Smith Barney LLC

For the Exclusive Benefit of its Customers

1 New York Plz., Fl. 12

New York, NY 10004-1965

    5,905,951.4320       10.14
 

Charles Schwab & Co. Inc.

Special Custody A/C for the

Exclusive Benefit of Customer

211 Main Street

San Francisco, CA 94105-1901

    5,890,491.4240       10.11
 

MLPF&S

For its Customers

Attn Fund Admin

4800 Deer Lake Dr. E., Fl. 3

Jacksonville, FL 32246-6484

    4,327,251.0620       7.43
 

Pershing LLC

One Pershing Plaza

Jersey City, NJ 07399-0002

    3,404,879.6400       5.85

Nuveen High Yield
Municipal Bond Fund – Class R6

 

MLPF&S

For the Sole Benefit of its Customers

Attn Fund Admin SEC 973F5

4800 Deer Lake Dr. E., Fl. 3

Jacksonville, FL 32246-6484

    22,462,748.5620       43.99
 

Wells Fargo Bank NA FBO

Omnibus Cash

P.O. Box 1533

Minneapolis, MN 55480-1533

    21,677,323.2530       42.45

 

F-6


Fund and Class   Shareholder Name and Address  

Number of

Shares Owned

   

Percentage

Owned

 

Nuveen Intermediate Duration
Municipal Bond Fund – Class A

  Wells Fargo Clearing Services LLC
Special Custody Acct for Exclusive Benefit of Customer
2801 Market St.
Saint Louis, MO 63103-2523
    18,617,803.2310       20.69
 

Edward D Jones & Co.

For the Benefit of Customers

12555 Manchester Rd.

Saint Louis, MO 63131-3710

    10,838,469.5410       12.04
 

MLPF&S

For the Benefit of its Customers

Attn Fund Admn/ 97GX8

4800 Deer Lake Dr. E., Fl. 3

Jacksonville, FL 32246-6484

    9,254,814.6480       10.28
 

Morgan Stanely Smith Barney LLC

For the Exclusive Benefit of its Customers

1 New York Plz., Fl. 12

New York, NY 10004-1965

    9,132,498.2990       10.15
 

National Financial Services LLC

For the Exclusive Benefit of our Customers

Attn Mutual Fund Dept 4th Floor

499 Washington Blvd

Jersey City, NJ 07130-1995

    5,911,815.9170       6.57
 

American Enterprise Investment Services Inc.

707 2nd Ave. S.

Minneapolis, MN 55402-2405

    5,649,232.6690       6.28
  Charles Schwab & Co. Inc.
For the Benefit of their Customers
Attn Mutual Funds
211 Main St.
San Francisco, CA 94105-1901
    4,917,685.3350       5.46

Nuveen Intermediate Duration
Municipal Bond Fund – Class I

  Wells Fargo Clearing Services LLC
Special Custody Acct for Exclusive Benefit of Customer
2801 Market St.
Saint Louis, MO 63103-2523
    98,634,539.2500       12.86
 

JP Morgan Securities LLC

Omnibus Account for the Exclusive Benefit of Customers

4 Chase Metrotech Ctr. 3rd Fl.

Mutual Fund Department

Brooklyn, NY 11245-0003

    97,231,676.7010       12.68
  Charles Schwab & Co. Inc.
For the Benefit of their Customers
211 Main St.
San Francisco, CA 94105-1901
    74,868,576.4550       9.76

 

F-7


Fund and Class   Shareholder Name and Address  

Number of

Shares Owned

   

Percentage

Owned

 
 

MLPF&S

For the Benefit of its Customers

Attn Fund Admn/ 98598

4800 Deer Lake Dr. E., Fl. 3

Jacksonville, FL 32246-6484

    70,183,669.1070       9.15
 

Pershing LLC

One Pershing Plaza

Jersey City, NJ 07399-0002

    60,075,596.8930       7.84
 

SEI Private Trust Company

C/o TIAA-SWP

1 Freedom Valley Drive

Oaks, PA 19456-9989

    55,871,621.5410       7.29
 

Wells Fargo Bank NA FBO

Omnibus Cash

P.O. Box 1533

Minneapolis, MN 55480-1533

    49,726,843.6930       6.49
 

Morgan Stanely Smith Barney LLC

For the Exclusive Benefit of its Customers

1 New York Plz., Fl. 12

New York, NY 10004-1965

    46,369,133.6730       6.05
 

National Financial Services LLC

For the Exclusive Benefit of our Customers

Attn Mutual Fund Dept 4th Floor

499 Washington Blvd

Jersey City, NJ 07130-1995

    43,696,437.5090       5.70

Nuveen Intermediate Duration
Municipal Bond Fund – Class C

  Wells Fargo Clearing Services LLC
Special Custody Acct for Exclusive Benefit of Customer
2801 Market St.
Saint Louis, MO 63103-2523
    1,220,185.9260       28.34
 

American Enterprise Investment Services Inc.

707 2nd Ave. S.

Minneapolis, MN 55402-2405

    550,286.4660       12.78
 

Raymond James

Omnibus for Mutual Funds

Attn: Courtney Waller

880 Carillon Parkway

St. Petersburg, FL 33716-1102

    495,947.7450       11.52
 

MLPF&S

For the Benefit of its Customers

Attn Fund Admn/ 97GX9

4800 Deer Lake Dr. E., Fl. 3

Jacksonville, FL 32246-6484

    410,573.2360       9.54
 

Pershing LLC

One Pershing Plaza

Jersey City, NJ 07399-0002

    376,116.8390       8.74

 

F-8


Fund and Class   Shareholder Name and Address  

Number of

Shares Owned

   

Percentage

Owned

 
 

Morgan Stanely Smith Barney LLC

For the Exclusive Benefit of its Customers

1 New York Plz., Fl. 12

New York, NY 10004-1965

    275,577.9850       6.40

Nuveen Limited Term
Municipal Bond Fund – Class A

  Wells Fargo Clearing Services LLC
Special Custody Acct for Exclusive Benefit of Customer
2801 Market St.
Saint Louis, MO 63103-2523
    13,525,769.7500       14.58
 

MLPF&S

For the Sole Benefit of its Customers

Attn Fund Admin SEC 973N5

4800 Deer Lake Dr. E., Fl. 3

Jacksonville, FL 32246-6484

    12,939,943.8670       13.95
 

Raymond James

Omnibus for Mutual Funds

Attn: Courtney Waller

880 Carillon Parkway

St. Petersburg, FL 33716-1102

    10,974,762.8890       11.83
 

National Financial Services LLC

For the Exclusive Benefit of our Customers

Attn Mutual Fund Dept 4th Floor

499 Washington Blvd

Jersey City, NJ 07130-1995

    10,467,596.7520       11.28
 

Morgan Stanely Smith Barney LLC

For the Exclusive Benefit of its Customers

1 New York Plz., Fl. 12

New York, NY 10004-1965

    9,988,456.0620       10.76
 

Edward D Jones & Co.

For the Benefit of Customers

12555 Manchester Rd.

Saint Louis, MO 63131-3710

    7,044,205.6750       7.59
 

American Enterprise Investment Services Inc.

707 2nd Ave. S.

Minneapolis, MN 55402-2405

    5,328,340.7120       5.74
 

Pershing LLC

One Pershing Plaza

Jersey City, NJ 07399-0002

    4,748,015.1260       5.12

Nuveen Limited Term
Municipal Bond Fund – Class I

 

American Enterprise Investment Services Inc.

707 2nd Ave. S.

Minneapolis, MN 55402-2405

    78,686,785.3670       18.41
 

MLPF&S

For the Sole Benefit of its Customers

Attn Fund Admin SEC 97NE6

4800 Deer Lake Dr. E., Fl. 3

Jacksonville, FL 32246-6484

    49,090,993.6860       11.49

 

F-9


Fund and Class   Shareholder Name and Address  

Number of

Shares Owned

   

Percentage

Owned

 
 

Pershing LLC

One Pershing Plaza

Jersey City, NJ 07399-0002

    49,043,250.1680       11.48
 

Morgan Stanely Smith Barney LLC

For the Exclusive Benefit of its Customers

1 New York Plz., Fl. 12

New York, NY 10004-1965

    40,261,707.4940       9.42
  Wells Fargo Clearing Services LLC
Special Custody Acct for Exclusive Benefit of Customer
2801 Market St.
Saint Louis, MO 63103-2523
    38,605,895.9420       9.03
 

Wells Fargo Bank NA FBO

Omnibus Cash

P.O. Box 1533

Minneapolis, MN 55480-1533

    33,616,236.5880       7.87
  Charles Schwab & Co. Inc.
For the Benefit of their Customers
211 Main St.
San Francisco, CA 94105-1901
    27,098,077.4410       6.34
 

National Financial Services LLC

For the Exclusive Benefit of our Customers

Attn Mutual Fund Dept 4th Floor

499 Washington Blvd

Jersey City, NJ 07130-1995

    23,797,638.2930       5.57

Nuveen Limited Term
Municipal Bond Fund – Class C

  Wells Fargo Clearing Services LLC
Special Custody Acct for Exclusive Benefit of Customer
2801 Market St.
Saint Louis, MO 63103-2523
    818,763.7970       23.61
 

Raymond James

Omnibus for Mutual Funds

Attn: Courtney Waller

880 Carillon Parkway

St. Petersburg, FL 33716-1102

    717,249.1160       20.68
 

American Enterprise Investment Services Inc.

707 2nd Ave. S.

Minneapolis, MN 55402-2405

    411,162.0230       11.85
 

Morgan Stanely Smith Barney LLC

For the Exclusive Benefit of its Customers

1 New York Plz., Fl. 12

New York, NY 10004-1965

    306,923.2100       8.85
 

Pershing LLC

One Pershing Plaza

Jersey City, NJ 07399-0002

    210,256.9420       6.06
 

Charles Schwab & Co. Inc.
For the Benefit of their Customers

Attn Mutual Funds
211 Main St.
San Francisco, CA 94105-1901

    184,681.5980       5.32

 

F-10


Fund and Class   Shareholder Name and Address  

Number of

Shares Owned

   

Percentage

Owned

 

Nuveen Short Duration High Yield
Municipal Bond Fund – Class A

 

Morgan Stanely Smith Barney LLC

For the Exclusive Benefit of its Customers

1 New York Plz., Fl. 12

New York, NY 10004-1965

    22,679,157.3420       20.97
  Wells Fargo Clearing Services LLC
Special Custody Acct for Exclusive Benefit of Customer
2801 Market St.
Saint Louis, MO 63103-2523
    13,567,374.5430       12.54
 

MLPF&S

For the Sole Benefit of its Customers

Attn Fund Admin SEC 973N5

4800 Deer Lake Dr. E., Fl. 3

Jacksonville, FL 32246-6484

    11,178,101.6180       10.33
 

American Enterprise Investment Services Inc.

707 2nd Ave. S.

Minneapolis, MN 55402-2405

    8,553,021.4090       7.91
 

National Financial Services LLC

For the Exclusive Benefit of our Customers

Attn Mutual Fund Dept 4th Floor

499 Washington Blvd

Jersey City, NJ 07130-1995

    7,938,451.5670       7.34
 

Edward D Jones & Co.

For the Benefit of Customers

12555 Manchester Rd.

Saint Louis, MO 63131-3710

    7,922,649.3450       7.32
 

Raymond James

Omnibus for Mutual Funds

Attn: Courtney Waller

880 Carillon Parkway

St. Petersburg, FL 33716-1102

    7,548,530.9220       6.98
 

UBS WM USA

0O0 11011 6100

Omni Account M/F

Spec Cdy A/C EBOC UBSFSI

1000 Harbor Blvd.

Weehawken, NJ 07086-6761

    6,663,799.3180       6.16
 

Charles Schwab & Co. Inc.
For the Benefit of their Customers

Attn Mutual Funds
211 Main St.
San Francisco, CA 94105-1901

    5,557,208.5970       5.14

 

F-11


Fund and Class   Shareholder Name and Address  

Number of

Shares Owned

   

Percentage

Owned

 

Nuveen Short Duration High Yield
Municipal Bond Fund – Class I

 

National Financial Services LLC

For the Exclusive Benefit of our Customers

Attn Mutual Fund Dept 4th Floor

499 Washington Blvd

Jersey City, NJ 07130-1995

    52,402,883.6500       14.31
 

Charles Schwab & Co. Inc.
For the Benefit of their Customers

Attn Mutual Funds
211 Main St.
San Francisco, CA 94105-1901

    48,691,079.9100       13.29
 

UBS WM USA

0O0 11011 6100

Omni Account M/F

Spec Cdy A/C EBOC UBSFSI

1000 Harbor Blvd.

Weehawken, NJ 07086-6761

    37,638,479.8470       10.28
 

Morgan Stanely Smith Barney LLC

For the Exclusive Benefit of its Customers

1 New York Plz., Fl. 12

New York, NY 10004-1965

    37,473,817.7410       10.23
 

MLPF&S

For the Benefit of its Customers

Attn Fund Admn

4800 Deer Lake Dr. E., Fl. 3

Jacksonville, FL 32246-6484

    34,584,350.8620       9.44
  Wells Fargo Clearing Services LLC
Special Custody Acct for Exclusive Benefit of Customer
2801 Market St.
Saint Louis, MO 63103-2523
    23,271,488.8060       6.35
 

Raymond James

Omnibus for Mutual Funds

Attn: Courtney Waller

880 Carillon Parkway

St. Petersburg, FL 33716-1102

    22,296,070.6280       6.09
 

American Enterprise Investment Services Inc.

707 2nd Ave. S.

Minneapolis, MN 55402-2405

    21,951,603.1280       5.99

Nuveen Short Duration High Yield
Municipal Bond Fund – Class C

 

Morgan Stanely Smith Barney LLC

For the Exclusive Benefit of its Customers

1 New York Plz., Fl. 12

New York, NY 10004-1965

    2,546,341.2720       22.44
  Wells Fargo Clearing Services LLC
Special Custody Acct for Exclusive Benefit of Customer
2801 Market St.
Saint Louis, MO 63103-2523
    2,494,022.2870       21.98

 

F-12


Fund and Class   Shareholder Name and Address  

Number of

Shares Owned

   

Percentage

Owned

 
 

MLPF&S

For the Benefit of its Customers

Attn Fund Admn/ 98598

44800 Deer Lake Dr. E., Fl. 3

Jacksonville, FL 32246-6484

    1,361,171.3230       12.00
 

American Enterprise Investment Services Inc.

707 2nd Ave. S.

Minneapolis, MN 55402-2405

    1,057,961.6840       9.32
 

Raymond James

Omnibus for Mutual Funds

Attn: Courtney Waller

880 Carillon Parkway

St. Petersburg, FL 33716-1102

    1,051,735.3190       9.27

Nuveen Strategic
Municipal Opportunities
Fund – Class A

 

American Enterprise Investment Services Inc.

707 2nd Ave. S.

Minneapolis, MN 55402-2405

    5,633,192.0500       27.23
 

Morgan Stanely Smith Barney LLC

For the Exclusive Benefit of its Customers

1 New York Plz., Fl. 12

New York, NY 10004-1965

    3,870,684.8750       18.71
 

Raymond James

Omnibus for Mutual Funds

Attn: Courtney Waller

880 Carillon Parkway

St. Petersburg, FL 33716-1102

    2,620,891.2470       12.67
  Wells Fargo Clearing Services LLC
Special Custody Acct for Exclusive Benefit of Customer
2801 Market St.
Saint Louis, MO 63103-2523
    1,958,118.7670       9.47
 

Charles Schwab & Co. Inc.
For the Benefit of their Customers

Attn Mutual Funds
211 Main St.
San Francisco, CA 94105-1901

    1,639,960.8590       7.93
 

LPL Financial

Omnibus Customer Account

Attn Mutual Fund Trading

4707 Executive Dr..

San Diego, CA 92121-3091

    1,135,837.5220       5.49
 

JP Morgan Securities LLC

Omnibus Account for the Exclusive Benefit of Customers

4 Chase Metrotech Ctr. 3rd Fl.

Mutual Fund Department

Brooklyn, NY 11245-0003

    1,128,413.6300       5.46

 

F-13


Fund and Class   Shareholder Name and Address  

Number of

Shares Owned

   

Percentage

Owned

 

Nuveen Strategic Municipal
Opportunities Fund – Class C

 

American Enterprise Investment

Services Inc.

707 2nd Ave. S.

Minneapolis, MN 55402-2405

    740,875.1140       26.42
 

Morgan Stanely Smith Barney LLC

For the Exclusive Benefit of its Customers

1 New York Plz., Fl. 12

New York, NY 10004-1965

    503,357.0820       17.95
  Wells Fargo Clearing Services LLC
Special Custody Acct for Exclusive Benefit of Customer
2801 Market St.
Saint Louis, MO 63103-2523
    353,689.6030       12.61
 

Raymond James

Omnibus for Mutual Funds

Attn: Courtney Waller

880 Carillon Parkway

St. Petersburg, FL 33716-1102

    328,452.7240       11.71
 

LPL Financial

Omnibus Customer Account

Attn Mutual Fund Trading

4707 Executive Dr..

San Diego, CA 92121-3091

    253,553.8640       9.04
 

Pershing LLC

One Pershing Plaza

Jersey City, NJ 07399-0002

    239,745.1420       8.55

Nuveen Strategic Municipal
Opportunities Fund – Class I

 

American Enterprise Investment

Services Inc.

707 2nd Ave. S.

Minneapolis, MN 55402-2405

    20,273,904.9050       23.22
 

Morgan Stanely Smith Barney LLC

For the Exclusive Benefit of its Customers

1 New York Plz., Fl. 12

New York, NY 10004-1965

    11,119,803.6230       12.74
 

National Financial Services LLC

For the Exclusive Benefit of our Customers

Attn Mutual Fund Dept 4th Floor

499 Washington Blvd

Jersey City, NJ 07130-1995

    10,488,609.2840       12.01
 

Charles Schwab & Co. Inc.
For the Benefit of their Customers

Attn Mutual Funds
211 Main St.
San Francisco, CA 94105-1901

    8,271,775.6280       9.47
 

Raymond James

Omnibus for Mutual Funds

Attn: Courtney Waller

880 Carillon Parkway

St. Petersburg, FL 33716-1102

    8,041,945.5930       9.21

 

F-14


Fund and Class   Shareholder Name and Address  

Number of

Shares Owned

   

Percentage

Owned

 
 

Pershing LLC

One Pershing Plaza

Jersey City, NJ 07399-0002

    7,918,165.3850       9.07
 

LPL Financial

Omnibus Customer Account

Attn Mutual Fund Trading

4707 Executive Dr..

San Diego, CA 92121-3091

    5,965,787.6800       6.83

Nuveen Arizona
Municipal Bond Fund – Class A

  Wells Fargo Clearing Services LLC
Special Custody Acct for Exclusive Benefit of Customer
2801 Market St.
Saint Louis, MO 63103-2523
    1,297,433.7230       18.49
 

MLPF&S

For the Benefit of its Customers

Attn Fund Admn 97E76

4800 Deer Lake Dr. E., Fl. 3

Jacksonville, FL 32246-6484

    1,118,705.2010       15.95
 

Edward D Jones & Co.

For the Benefit of Customers

12555 Manchester Rd.

Saint Louis, MO 63131-3710

    810,930.1510       11.56
 

American Enterprise Investment

Services Inc.

707 2nd Ave. S.

Minneapolis, MN 55402-2405

    583,515.6440       8.32
 

Charles Schwab & Co. Inc.
For the Benefit of their Customers

Attn Mutual Funds
211 Main St.
San Francisco, CA 94105-1901

    500,811.3510       7.14
 

Morgan Stanely Smith Barney LLC

For the Exclusive Benefit of its Customers

1 New York Plz., Fl. 12

New York, NY 10004-1965

    423,183.0570       6.03
 

Raymond James

Omnibus for Mutual Funds

Attn: Courtney Waller

880 Carillon Parkway

St. Petersburg, FL 33716-1102

    382,596.9020       5.45

Nuveen Arizona
Municipal Bond Fund – Class I

 

Pershing LLC

One Pershing Plaza

Jersey City, NJ 07399-0002

    1,576,812.3080       16.24
 

Morgan Stanely Smith Barney LLC

For the Exclusive Benefit of its Customers

1 New York Plz., Fl. 12

New York, NY 10004-1965

    1,567,674.9350       16.15

 

F-15


Fund and Class   Shareholder Name and Address  

Number of

Shares Owned

   

Percentage

Owned

 
 

LPL Financial

Omnibus Customer Account

Attn Mutual Fund Trading

4707 Executive Dr..

San Diego, CA 92121-3091

    997,578.5440       10.28
 

Band & C..

C/o US Bank

P.O. Box 1787

Milwaukee, WI 53201-1787

    948,743.4960       9.77
 

Charles Schwab & Co. Inc.
For the Benefit of their Customers

Attn Mutual Funds
211 Main St.
San Francisco, CA 94105-1901

    794,020.3200       8.18
 

MLPF&S

For its Customers

Attn Fund Admn 979D4

4800 Deer Lake Dr. E., Fl. 3

Jacksonville, FL 32246-6484

    515,603.9070       5.31

Nuveen Arizona
Municipal Bond Fund – Class C

  Wells Fargo Clearing Services LLC
Special Custody Acct for Exclusive Benefit of Customer
2801 Market St.
Saint Louis, MO 63103-2523
    103,514.7960       31.45
 

MLPF&S

For its Customers

Attn Fund Admn 97GX6

4800 Deer Lake Dr. E., Fl. 3

Jacksonville, FL 32246-6484

    39,499.6810       12.00
 

Pershing LLC

One Pershing Plaza

Jersey City, NJ 07399-0002

    34,287.8460       10.42
 

American Enterprise Investment Services Inc.

707 2nd Ave. S.

Minneapolis, MN 55402-2405

    29,963.5390       9.10
 

Raymond James

Omnibus for Mutual Funds

Attn: Courtney Waller

880 Carillon Parkway

St. Petersburg, FL 33716-1102

    28,263.7190       8.59
 

Charles Schwab & Co. Inc.
For the Benefit of their Customers

Attn Mutual Funds
211 Main St.
San Francisco, CA 94105-1901

    27,008.5610       8.21

 

F-16


Fund and Class   Shareholder Name and Address  

Number of

Shares Owned

   

Percentage

Owned

 
 

LPL Financial

Omnibus Customer Account

Attn Mutual Fund Trading

4707 Executive Dr..

San Diego, CA 92121-3091

    23,420.4410       7.12
 

Morgan Stanely Smith Barney LLC

For the Exclusive Benefit of its Customers

1 New York Plz., Fl. 12

New York, NY 10004-1965

    16,956.9110       5.15

Nuveen Colorado
Municipal Bond Fund – Class A

 

Edward D Jones & Co.

For the Benefit of Customers

12555 Manchester Rd.

Saint Louis, MO 63131-3710

    3,829,427.8590       24.10
  Wells Fargo Clearing Services LLC
Special Custody Acct for Exclusive Benefit of Customer
2801 Market St.
Saint Louis, MO 63103-2523
    3,666,909.0840       23.08
 

National Financial Services LLC

For the Exclusive Benefit of our Customers

Attn Mutual Fund Dept 4th Floor

499 Washington Blvd

Jersey City, NJ 07130-1995

    1,220,036.8200       7.68
 

Morgan Stanely Smith Barney LLC

For the Exclusive Benefit of its Customers

1 New York Plz., Fl. 12

New York, NY 10004-1965

    1,144,340.2020       7.20
 

American Enterprise Investment

Services Inc.

707 2nd Ave. S.

Minneapolis, MN 55402-2405

    927,370.3240       5.84

Nuveen Colorado
Municipal Bond Fund – Class I

 

Charles Schwab & Co. Inc.
For the Benefit of their Customers

Attn Mutual Funds
211 Main St.
San Francisco, CA 94105-1901

    7,368,770.2270       25.79
 

Pershing LLC

One Pershing Plaza

Jersey City, NJ 07399-0002

    5,037,909.3550       17.63
 

Band & Co.

C/o US Bank

P.O. Box 1787

Milwaukee, WI 53201-1787

    2,368,440.4540       8.29
 

LPL Financial

Omnibus Customer Account

Attn Mutual Fund Trading

4707 Executive Dr..

San Diego, CA 92121-3091

    2,129,231.6730       7.45

 

F-17


Fund and Class   Shareholder Name and Address  

Number of

Shares Owned

   

Percentage

Owned

 
  Wells Fargo Clearing Services LLC
Special Custody Acct for Exclusive Benefit of Customer
2801 Market St.
Saint Louis, MO 63103-2523
    1,727,299.2740       6.04
 

Edward D Jones & Co.

For the Benefit of Customers

12555 Manchester Rd.

Saint Louis, MO 63131-3710

    1,459,750.8940       5.11

Nuveen Colorado
Municipal Bond Fund – Class C

  Wells Fargo Clearing Services LLC
Special Custody Acct for Exclusive Benefit of Customer
2801 Market St.
Saint Louis, MO 63103-2523
    285,868.5340       27.23
 

Charles Schwab & Co. Inc.
For the Benefit of their Customers

Attn Mutual Funds
211 Main St.
San Francisco, CA 94105-1901

    134,991.1140       12.86
 

American Enterprise Investment

Services Inc.

707 2nd Ave. S.

Minneapolis, MN 55402-2405

    134,056.6800       12.77
 

Edward D Jones & Co.

For the Benefit of Customers

12555 Manchester Rd.

Saint Louis, MO 63131-3710

    94,787.1640       9.03
 

Morgan Stanely Smith Barney LLC

For the Exclusive Benefit of its Customers

1 New York Plz., Fl. 12

New York, NY 10004-1965

    77,932.1070       7.42
 

LPL Financial

Omnibus Customer Account

Attn Mutual Fund Trading

4707 Executive Dr..

San Diego, CA 92121-3091

    60,707.1760       5.78
 

Raymond James

Omnibus for Mutual Funds

Attn: Courtney Waller

880 Carillon Parkway

St. Petersburg, FL 33716-1102

    57,087.2740       5.44

Nuveen Maryland
Municipal Bond Fund – Class A

 

MLPF&S

For the Benefit of its Customers

Attn Fund Admn/ 97E83

4800 Deer Lake Dr. E., Fl. 3

Jacksonville, FL 32246-6484

    2,094,762.5890       23.28

 

F-18


Fund and Class   Shareholder Name and Address  

Number of

Shares Owned

   

Percentage

Owned

 
 

Charles Schwab & Co. Inc.
For the Benefit of their Customers

Attn Mutual Funds
211 Main St.
San Francisco, CA 94105-1901

    1,282,927.5710       14.26
  Wells Fargo Clearing Services LLC
Special Custody Acct for Exclusive Benefit of Customer
2801 Market St.
Saint Louis, MO 63103-2523
    1,021,077.6510       11.35
 

Pershing LLC

One Pershing Plaza

Jersey City, NJ 07399-0002

    968,470.6860       10.76
 

Morgan Stanely Smith Barney LLC

For the Exclusive Benefit of its Customers

1 New York Plz., Fl. 12

New York, NY 10004-1965

    906,874.1320       10.08
 

LPL Financial

Omnibus Customer Account

Attn Mutual Fund Trading

4707 Executive Dr..

San Diego, CA 92121-3091

    450,103.0940       5.00

Nuveen Maryland
Municipal Bond Fund – Class I

 

Pershing LLC

One Pershing Plaza

Jersey City, NJ 07399-0002

    5,027,930.0840       31.35
 

SEI Private Trust Company

C/o TIAA-SWP

1 Freedom Valley Drive

Oaks, PA 19456-9989

    2,926,097.8300       18.25
 

Morgan Stanely Smith Barney LLC

For the Exclusive Benefit of its Customers

1 New York Plz., Fl. 12

New York, NY 10004-1965

    1,146,839.6990       7.15
 

American Enterprise Investment

Services Inc.

707 2nd Ave. S.

Minneapolis, MN 55402-2405

    1,049,044.6810       6.54
 

Charles Schwab & Co. Inc.
For the Benefit of their Customers

Attn Mutual Funds
211 Main St.
San Francisco, CA 94105-1901

    975,645.2220       6.08

Nuveen Maryland Municipal
Bond Fund – Class C

 

MLPF&S F

For the Benefit of its Customers

Attn Fund Admn 97GX7

4800 Deer Lake Dr. E., Fl. 3

Jacksonville, FL 32246-6484

    134,069.6900       27.61

 

F-19


Fund and Class   Shareholder Name and Address  

Number of

Shares Owned

   

Percentage

Owned

 
  Wells Fargo Clearing Services LLC
Special Custody Acct for Exclusive Benefit of Customer
2801 Market St.
Saint Louis, MO 63103-2523
    84,905.3950       17.49
 

Pershing LLC

One Pershing Plaza

Jersey City, NJ 07399-0002

    62,822.4030       12.94
 

American Enterprise Investment

Services Inc.

707 2nd Ave. S.

Minneapolis, MN 55402-2405

    40,340.1720       8.31
 

Raymond James

Omnibus for Mutual Funds

Attn: Courtney Waller

880 Carillon Parkway

St. Petersburg, FL 33716-1102

    27,049.2950       5.57

Nuveen New Mexico
Municipal Bond Fund – Class A

 

MLPF&S

For the Sole Benefit of its Customers

Attn Fund Admin SEC 97AF5

4800 Deer Lake Dr. E., Fl. 3

Jacksonville, FL 32246-6484

    801,414.7640       16.41
  Wells Fargo Clearing Services LLC
Special Custody Acct for Exclusive Benefit of Customer
2801 Market St.
Saint Louis, MO 63103-2523
    782,259.7290       16.02
 

Morgan Stanely Smith Barney LLC

For the Exclusive Benefit of its Customers

1 New York Plz., Fl. 12

New York, NY 10004-1965

    654,751.6060       13.41
 

UBS WM USA

0O0 11011 6100

Omni Account M/F

Spec Cdy A/C EBOC UBSFSI

1000 Harbor Blvd.

Weehawken, NJ 07086-6761

    375,667.8900       7.69
 

Edward D Jones & Co.

For the Benefit of Customers

12555 Manchester Rd.

Saint Louis, MO 63131-3710

    326,706.2900       6.69
 

Raymond James

Omnibus for Mutual Funds

Attn: Courtney Waller

880 Carillon Parkway

St. Petersburg, FL 33716-1102

    325,471.8300       6.66

 

F-20


Fund and Class   Shareholder Name and Address  

Number of

Shares Owned

   

Percentage

Owned

 
 

National Financial Services LLC

For the Exclusive Benefit of our Customers

Attn Mutual Fund Dept 4th Floor

499 Washington Blvd

Jersey City, NJ 07130-1995

    311,367.0010       6.38
 

Charles Schwab & Co. Inc.
For the Benefit of their Customers

Attn Mutual Funds
211 Main St.
San Francisco, CA 94105-1901

    291,774.6930       5.97
 

Charles Schwab & Co. Inc.
For the Benefit of their Customers

Attn Mutual Funds
211 Main St.
San Francisco, CA 94105-1901

    270,771.7080       5.54

Nuveen New Mexico
Municipal Bond Fund – Class I

 

Pershing LLC

One Pershing Plaza

Jersey City, NJ 07399-0002

    538,317.2470       17.04
 

Charles Schwab & Co. Inc.
For the Benefit of their Customers

Attn Mutual Funds
211 Main St.
San Francisco, CA 94105-1901

    392,651.5410       12.43
 

SEI Private Trust Company

C/O TIAA-SWP

1 Freedom Valley Drive

Oaks, PA 19456-9989

    330,920.8720       10.48
 

National Financial Services LLC

For the Exclusive Benefit of our Customers

Attn Mutual Fund Dept 4th Floor

499 Washington Blvd

Jersey City, NJ 07130-1995

    216,035.5790       6.84
 

LPL Financial

Omnibus Customer Account

Attn Mutual Fund Trading

4707 Executive Dr..

San Diego, CA 92121-3091

    202,367.8570       6.41
 

MLPF&S

For the Benefit of its Customers

Attn Fund Admn

4800 Deer Lake Dr. E., Fl. 3

Jacksonville, FL 32246-6484

    174,708.7900       5.53
 

UBS WM USA

0O0 11011 6100

Omni Account M/F

Spec Cdy A/C EBOC UBSFSI

1000 Harbor Blvd.

Weehawken, NJ 07086-6761

    171,809.3780       5.44

 

F-21


Fund and Class   Shareholder Name and Address  

Number of

Shares Owned

   

Percentage

Owned

 

Nuveen New Mexico
Municipal Bond Fund – Class C

 

American Enterprise Investment Services Inc.

707 2nd Ave. S.

Minneapolis, MN 55402-2405

    37,534.6870       25.39
 

LPL Financial

FBO Customer Accounts

Attn Mutual Fund Operations

P.O. Box 509046

San Diego, CA 92150-9046

    31,346.6490       21.21
 

Charles Schwab & Co. Inc.
For the Benefit of their Customers

Attn Mutual Funds
211 Main St.
San Francisco, CA 94105-1901

    20,318.5110       13.75
 

UBS WM USA

0O0 11011 6100

Omni Account M/F

Spec Cdy A/C EBOC UBSFSI

1000 Harbor Blvd.

Weehawken, NJ 07086-6761

    19,877.0550       13.45
 

MLPF&S

For the Sole Benefit of its Customers

Attn Fund Admn SEC 97NE1

4800 Deer Lake Dr. E., Fl. 3

Jacksonville, FL 32246-6484

    10,038.9850       6.79
  Wells Fargo Clearing Services LLC
Special Custody Acct for Exclusive Benefit of Customer
2801 Market St.
Saint Louis, MO 63103-2523
    9,999.2580       6.76
 

Raymond James

Omnibus for Mutual Funds

Attn: Courtney Waller

880 Carillon Parkway

St. Petersburg, FL 33716-1102

    9,881.5250       6.68
 

Morgan Stanely Smith Barney LLC

For the Exclusive Benefit of its Customers

1 New York Plz., Fl. 12

New York, NY 10004-1965

    8,785.3580       5.94

Nuveen Pennsylvania
Municipal Bond Fund – Class A

 

National Financial Services LLC

For the Exclusive Benefit of our Customers

Attn Mutual Fund Dept 4th Floor

499 Washington Blvd

Jersey City, NJ 07130-1995

    4,194,129.605       25.07
  Wells Fargo Clearing Services LLC
Special Custody Acct for Exclusive Benefit of Customer
2801 Market St.
Saint Louis, MO 63103-2523
    2,639,780.3650       15.78

 

F-22


Fund and Class   Shareholder Name and Address  

Number of

Shares Owned

   

Percentage

Owned

 
 

Charles Schwab & Co. Inc.
For the Benefit of their Customers

Attn Mutual Funds
211 Main St.
San Francisco, CA 94105-1901

    1,398,713.7750       8.36
 

Morgan Stanely Smith Barney LLC

For the Exclusive Benefit of its Customers

1 New York Plz., Fl. 12

New York, NY 10004-1965

    1,202,270.2610       7.19
 

Edward D Jones & Co.

For the Benefit of Customers

12555 Manchester Rd.

Saint Louis, MO 63131-3710

    852,122.1570       5.09

Nuveen Pennsylvania
Municipal Bond Fund – Class I

 

Pershing LLC

One Pershing Plaza

Jersey City, NJ 07399-0002

    8,229,442.4390       32.75
 

Wells Fargo Bank, NA FBO

Omnibus Cash

P.O. Box 1533

Minneapolis, MN 55480-1533

    3,131,149.3170       12.46
 

SEI Private Trust Company

C/o TIAA-SWP

1 Freedom Valley Drive

Oaks, PA 19456-9989

    2,264,670.7190       9.01
 

American Enterprise Investment

Services Inc.

707 2nd Ave. S.

Minneapolis, MN 55402-2405

    1,744,112.6260       6.94
  Wells Fargo Clearing Services LLC
Special Custody Acct for Exclusive Benefit of Customer
2801 Market St.
Saint Louis, MO 63103-2523
    1,536,219.2120       6.11

Nuveen Pennsylvania
Municipal Bond Fund – Class C

  Wells Fargo Clearing Services LLC
Special Custody Acct for Exclusive Benefit of Customer
2801 Market St.
Saint Louis, MO 63103-2523
    294,739.3950       27.43
 

American Enterprise Investment Services Inc.

707 2nd Ave. S.

Minneapolis, MN 55402-2405

    118,823.6060       11.06
 

Charles Schwab & Co. Inc.
For the Benefit of their Customers

Attn Mutual Funds
211 Main St.
San Francisco, CA 94105-1901

    118,704.5390       11.05

 

F-23


Fund and Class   Shareholder Name and Address  

Number of

Shares Owned

   

Percentage

Owned

 
 

Morgan Stanely Smith Barney LLC

For the Exclusive Benefit of its Customers

1 New York Plz., Fl. 12

New York, NY 10004-1965

    102,128.7640       9.50
 

LPL Financial

Omnibus Customer Account

Attn Mutual Fund Trading

4707 Executive Dr..

San Diego, CA 92121-3091

    58,876.2940       5.48

Nuveen Virginia
Municipal Bond Fund – Class A

 

National Financial Services LLC

For the Exclusive Benefit of our Customers

Attn Mutual Fund Dept 4th Floor

499 Washington Blvd

Jersey City, NJ 07130-1995

    3,449,466.0070       19.14
 

MLPF&S

For its Customers

Attn Fund Admn 97E81

4800 Deer Lake Dr. E., Fl. 3

Jacksonville, FL 32246-6484

    2,506,046.8580       13.90
  Wells Fargo Clearing Services LLC
Special Custody Acct for Exclusive Benefit of Customer
2801 Market St.
Saint Louis, MO 63103-2523
    1,911,082.0110       10.60
 

Morgan Stanely Smith Barney LLC

For the Exclusive Benefit of its Customers

1 New York Plz., Fl. 12

New York, NY 10004-1965

    1,791,769.7820       9.94
 

Edward D Jones & Co.

For the Benefit of Customers

12555 Manchester Rd.

Saint Louis, MO 63131-3710

    1,481,039.9420       8.22
 

Raymond James

Omnibus for Mutual Funds

Attn: Courtney Waller

880 Carillon Parkway

St. Petersburg, FL 33716-1102

    1,342,437.4390       7.45
 

Pershing LLC

One Pershing Plaza

Jersey City, NJ 07399-0002

    1,114,855.1510       6.18

Nuveen Virginia
Municipal Bond Fund – Class I

 

Pershing LLC

One Pershing Plaza

Jersey City, NJ 07399-0002

    7,097,969.0250       25.89
 

American Enterprise Investment

Services Inc.

707 2nd Ave. S.

Minneapolis, MN 55402-2405

    3,777,899.7150       13.78

 

F-24


Fund and Class   Shareholder Name and Address  

Number of

Shares Owned

   

Percentage

Owned

 
 

First Command Bank

P.O. Box 901075

Fort Worth, TX 76101-2075

    2,640,732.9990       9.63
 

MLPF&S

For the Benefit of its Customers

Attn Fund Admn 979D8

4800 Deer Lake Dr. E., Fl. 3

Jacksonville, FL 32246-6484

    2,072,388.0810       7.56
  Charles Schwab & Co. Inc.
For the Benefit of their Customers
211 Main St.
San Francisco, CA 94105-1901
    2,062,734.3010       7.52
 

SEI Private Trust Company

C/o TIAA-SWP

1 Freedom Valley Drive

Oaks, PA 19456-9989

    1,798,286.0830       6.56

Nuveen Virginia
Municipal Bond Fund – Class C

 

American Enterprise Investment

Services Inc.

707 2nd Ave. S.

Minneapolis, MN 55402-2405

    219,988.7410       20.36
 

Raymond James

Omnibus for Mutual Funds

Attn: Courtney Waller

880 Carillon Parkway

St. Petersburg, FL 33716-1102

    172,725.6940       15.99
  Wells Fargo Clearing Services LLC
Special Custody Acct for Exclusive Benefit of Customer
2801 Market St.
Saint Louis, MO 63103-2523
    127,988.0450       11.85
 

Morgan Stanely Smith Barney LLC

For the Exclusive Benefit of its Customers

1 New York Plz., Fl. 12

New York, NY 10004-1965

    99,201.2960       9.18
 

LPL Financial

Omnibus Customer Account

Attn Mutual Fund Trading

4707 Executive Dr..

San Diego, CA 92121-3091

    95,924.5050       8.88
 

Charles Schwab & Co. Inc.
For the Benefit of their Customers

Attn Mutual Funds
211 Main St.
San Francisco, CA 94105-1901

    63,711.0140       5.90
 

National Financial Services LLC

For the Exclusive Benefit of our Customers

Attn Mutual Fund Dept 4th Floor

499 Washington Blvd

Jersey City, NJ 07130-1995

    59,585.9670       5.52

 

F-25


Fund and Class   Shareholder Name and Address  

Number of

Shares Owned

   

Percentage

Owned

 
 

MLPF&S

For its Customers

Attn Fund Admn 97GX2

4800 Deer Lake Dr. E., Fl. 3

Jacksonville, FL 32246-6484

    57,112.8680       5.29

Nuveen California High Yield
Municipal Bond Fund – Class A

  Wells Fargo Clearing Services LLC
Special Custody Acct for Exclusive Benefit of Customer
2801 Market St.
Saint Louis, MO 63103-2523
    14,257,121.9090       20.58
 

Morgan Stanely Smith Barney LLC

For the Exclusive Benefit of its Customers

1 New York Plz., Fl. 12

New York, NY 10004-1965

    9,886,625.7150       14.27
 

National Financial Services LLC

For the Exclusive Benefit of our Customers

Attn Mutual Fund Dept 4th Floor

499 Washington Blvd

Jersey City, NJ 07130-1995

    9,827,515.0680       14.19
 

MLPF&S

For its Customers

Attn Fund Admn 97E84

4800 Deer Lake Dr. E., Fl. 3

Jacksonville, FL 32246-6484

    6,131,717.3610       8.85
 

Charles Schwab & Co. Inc.
For the Benefit of their Customers

211 Main St.
San Francisco, CA 94105-1901

    4,338,102.0970       6.26
 

UBS WM USA

0O0 11011 6100

Omni Account M/F

Spec Cdy A/C EBOC UBSFSI

1000 Harbor Blvd.

Weehawken, NJ 07086-6761

    3,938,293.2670       5.68
 

Charles Schwab & Co. Inc.
For the Benefit of their Customers

Attn Mutual Funds
211 Main St.
San Francisco, CA 94105-1901

    3,754,290.1940       5.42
 

Raymond James

Omnibus for Mutual Funds

Attn: Courtney Waller

880 Carillon Parkway

St. Petersburg, FL 33716-1102

    3,586,666.7630       5.18

Nuveen California High Yield
Municipal Bond Fund – Class I

 

Morgan Stanely Smith Barney LLC

For the Exclusive Benefit of its Customers

1 New York Plz., Fl. 12

New York, NY 10004-1965

    10,271,458.7050       16.39

 

F-26


Fund and Class   Shareholder Name and Address  

Number of

Shares Owned

   

Percentage

Owned

 
  Wells Fargo Clearing Services LLC
Special Custody Acct for Exclusive Benefit of Customer
2801 Market St.
Saint Louis, MO 63103-2523
    8,567,323.7840       13.67
 

American Enterprise Investment Services Inc.

707 2nd Ave. S.

Minneapolis, MN 55402-2405

    7,465,838.7470       11.91
 

MLPF&S

For the Benefit of its Customers

Attn Fund Admn

4800 Deer Lake Dr. E., Fl. 3

Jacksonville, FL 32246-6484

    7,378,206.5030       11.77
 

UBS WM USA

0O0 11011 6100

Omni Account M/F

Spec Cdy A/C EBOC UBSFSI

1000 Harbor Blvd.

Weehawken, NJ 07086-6761

    6,220,680.0430       9.93
 

LPL Financial

Omnibus Customer Account

Attn Mutual Fund Trading

4707 Executive Dr..

San Diego, CA 92121-3091

    5,908,677.3190       9.43
  Charles Schwab & Co. Inc.
Attn Mutual Funds
211 Main St.
San Francisco, CA 94105-1901
    5,253,072.7590       8.38
 

National Financial Services LLC

For the Exclusive Benefit of our Customers

Attn Mutual Fund Dept 4th Floor

499 Washington Blvd

Jersey City, NJ 07130-1995

    3,625,206.9530       5.78
 

Pershing LLC

One Pershing Plaza

Jersey City, NJ 07399-0002

    3,150,164.9710       5.03

Nuveen California High Yield
Municipal Bond Fund – Class C

  Wells Fargo Clearing Services LLC
Special Custody Acct for Exclusive Benefit of Customer
2801 Market St.
Saint Louis, MO 63103-2523
    1,454,394.0060       33.43
 

Morgan Stanely Smith Barney LLC

For the Exclusive Benefit of its Customers

1 New York Plz., Fl. 12

New York, NY 10004-1965

    447,773.1320       10.29

 

F-27


Fund and Class   Shareholder Name and Address  

Number of

Shares Owned

   

Percentage

Owned

 
 

American Enterprise Investment

Services Inc.

707 2nd Ave. S.

Minneapolis, MN 55402-2405

    401,461.9910       9.23
 

Charles Schwab & Co. Inc.
For the Benefit of their Customers

Attn Mutual Funds
211 Main St.
San Francisco, CA 94105-1901

    382,376.1830       8.79
 

Pershing LLC

One Pershing Plaza

Jersey City, NJ 07399-0002

    305,102.9550       7.01
 

MLPF&S

For its Customers

Attn Fund Admn 97E84

4800 Deer Lake Dr. E., Fl. 3

Jacksonville, FL 32246-6484

    303,790.3140       6.98
 

LPL Financial

Omnibus Customer Account

Attn Mutual Fund Trading

4707 Executive Dr..

San Diego, CA 92121-3091

    296,896.7570       6.82
 

UBS WM USA

0O0 11011 6100

Omni Account M/F

Spec Cdy A/C EBOC UBSFSI

1000 Harbor Blvd.

Weehawken, NJ 07086-6761

    235,049.5760       5.40

Nuveen California
Municipal Bond Fund – Class A

 

National Financial Services LLC

For the Exclusive Benefit of our Customers

Attn Mutual Fund Dept 4th Floor

499 Washington Blvd

Jersey City, NJ 07130-1995

    26,595,739.7650       35.26
  Wells Fargo Clearing Services LLC
Special Custody Acct for Exclusive Benefit of Customer
2801 Market St.
Saint Louis, MO 63103-2523
    10,502,288.2660       13.92
 

Morgan Stanely Smith Barney LLC

For the Exclusive Benefit of its Customers

1 New York Plz., Fl. 12

New York, NY 10004-1965

    9,338,623.0780       12.38
 

MLPF&S

For the Benefit of its Customers

Attn Fund Admn 97E72

4800 Deer Lake Dr. E., Fl. 3

Jacksonville, FL 32246-6484

    7,017,254.7290       9.30

 

F-28


Fund and Class   Shareholder Name and Address  

Number of

Shares Owned

   

Percentage

Owned

 

Nuveen California
Municipal Bond Fund – Class I

  Wells Fargo Clearing Services LLC
Special Custody Acct for Exclusive Benefit of Customer
2801 Market St.
Saint Louis, MO 63103-2523
    12,800,545.9750       14.78
 

SEI Private Trust Company

C/o TIAA-SWP

1 Freedom Valley Drive

Oaks, PA 19456-9989

    7,460,774.4060       8.61
 

Pershing LLC

One Pershing Plaza

Jersey City, NJ 07399-0002

    7,046,432.3550       8.14
 

Morgan Stanely Smith Barney LLC

For the Exclusive Benefit of its Customers

1 New York Plz., Fl. 12

New York, NY 10004-1965

    6,863,886.2940       7.93
 

MLPF&S

For the Benefit of its Customers

Attn Fund Admn/ 975L5

4800 Deer Lake Dr. E., Fl. 3

Jacksonville, FL 32246-6484

    6,640,769.5420       7.67
 

Wells Fargo Bank, NA FBO

Omnibus Account

P.O. Boc 1533

Minneapolis, MN 55480-1533

    6,387,722.6770       7.38
 

Charles Schwab & Co. Inc.
For the Benefit of their Customers

Attn Mutual Funds
211 Main St.
San Francisco, CA 94105-1901

    6,385,404.1940       7.37
 

LPL Financial

Omnibus Customer Account

Attn Mutual Fund Trading

4707 Executive Dr..

San Diego, CA 92121-3091

    6,109,963.3420       7.05
 

UBS WM USA

0O0 11011 6100

Omni Account M/F

Spec Cdy A/C EBOC UBSFSI

1000 Harbor Blvd.

Weehawken, NJ 07086-6761

    4,826,152.0740       5.57
 

American Enterprise Investment Services Inc.

707 2nd Ave. S.

Minneapolis, MN 55402-2405

    4,664,614.6600       5.39

 

F-29


Fund and Class   Shareholder Name and Address  

Number of

Shares Owned

   

Percentage

Owned

 

Nuveen California
Municipal Bond Fund – Class C

  Wells Fargo Clearing Services LLC
Special Custody Acct for Exclusive Benefit of Customer
2801 Market St.
Saint Louis, MO 63103-2523
    1,197,386.9090       39.58
 

American Enterprise Investment Services Inc.

707 2nd Ave. S.

Minneapolis, MN 55402-2405

    352,944.0720       11.67
 

Morgan Stanely Smith Barney LLC

For the Exclusive Benefit of its Customers

1 New York Plz., Fl. 12

New York, NY 10004-1965

    320,517.0040       10.59
 

Raymond James

Omnibus for Mutual Funds

Attn: Courtney Waller

880 Carillon Parkway

St. Petersburg, FL 33716-1102

    211,369.0750       6.99
 

Pershing LLC

One Pershing Plaza

Jersey City, NJ 07399-0002

    203,954.7640       6.74
 

JP Morgan Securities LLC

Omnibus Account for the Exclusive Benefit of Customers

4 Chase Metrotech Ctr. 3rd Fl.

Mutual Fund Department

Brooklyn, NY 11245-0003

    201,565.4660       6.66
 

Charles Schwab & Co. Inc.
For the Benefit of their Customers

Attn Mutual Funds
211 Main St.
San Francisco, CA 94105-1901

    160,329.3050       5.30

Nuveen Connecticut
Municipal Bond Fund – Class A

  Wells Fargo Clearing Services LLC
Special Custody Acct for Exclusive Benefit of Customer
2801 Market St.
Saint Louis, MO 63103-2523
    1,340,188.9730       11.03
 

Pershing LLC

One Pershing Plaza

Jersey City, NJ 07399-0002

    1,244,047.2140       10.24
 

MLPF&S

For the Sole Benefit of its Customers

Attn Fund Admin SEC 973F5

4800 Deer Lake Dr. E., Fl. 3

Jacksonville, FL 32246-6484

    1,185,833.0460       9.76
 

Morgan Stanely Smith Barney LLC

For the Exclusive Benefit of its Customers

1 New York Plz., Fl. 12

New York, NY 10004-1965

    1,099,352.8560       9.05

 

F-30


Fund and Class   Shareholder Name and Address  

Number of

Shares Owned

   

Percentage

Owned

 
 

JP Morgan Securities LLC

Omnibus Account for the Exclusive Benefit of Customers

4 Chase Metrotech Ctr. 3rd Fl.

Mutual Fund Department

Brooklyn, NY 11245-0003

    901,416.7380       7.42
 

National Financial Services LLC

For the Exclusive Benefit of our Customers

Attn Mutual Fund Dept 4th Floor

499 Washington Blvd

Jersey City, NJ 07130-1995

    817,220.7920       6.73

Nuveen Connecticut
Municipal Bond Fund – Class I

 

Pershing LLC

One Pershing Plaza

Jersey City, NJ 07399-0002

    4,253,488.6870       40.89
 

National Financial Services LLC

For the Exclusive Benefit of our Customers

Attn Mutual Fund Dept 4th Floor

499 Washington Blvd

Jersey City, NJ 07130-1995

    1,521,403.5230       14.63
 

UBS WM USA

0O0 11011 6100

Omni Account M/F

Spec Cdy A/C EBOC UBSFSI

1000 Harbor Blvd.

Weehawken, NJ 07086-6761

    731,866.8130       7.04
 

MLPF&S

For the Sole Benefit of its Customers

Attn Fund Admin SEC 97NE9

4800 Deer Lake Dr. E., Fl. 3

Jacksonville, FL 32246-6484

    714,106.1700       6.87

Nuveen Connecticut
Municipal Bond Fund – Class C

 

MLPF&S

For the Sole Benefit of its Customers

Attn Fund Admin SEC 97CM5

4800 Deer Lake Dr. E., Fl. 3

Jacksonville, FL 32246-6484

    95,466.8010       21.50
  Wells Fargo Clearing Services LLC
Special Custody Acct for Exclusive Benefit of Customer
2801 Market St.
Saint Louis, MO 63103-2523
    68,566.3020       15.44
 

Pershing LLC

One Pershing Plaza

Jersey City, NJ 07399-0002

    56,258.0360       12.67
 

LPL Financial

Omnibus Customer Account

Attn Mutual Fund Trading

4707 Executive Dr..

San Diego, CA 92121-3091

    54,371.9890       12.25

 

F-31


Fund and Class   Shareholder Name and Address  

Number of

Shares Owned

   

Percentage

Owned

 
 

UBS WM USA

0O0 11011 6100

Omni Account M/F

Spec Cdy A/C EBOC UBSFSI

1000 Harbor Blvd.

Weehawken, NJ 07086-6761

    46,812.1320       10.54
 

American Enterprise Investment Services Inc.

707 2nd Ave. S.

Minneapolis, MN 55402-2405

    44,569.2290       10.04
 

Morgan Stanely Smith Barney LLC

For the Exclusive Benefit of its Customers

1 New York Plz., Fl. 12

New York, NY 10004-1965

    28,043.8190       6.32

Nuveen Multistate Trust III

 

Nuveen Georgia
Municipal Bond Fund – Class A

 

National Financial Services LLC
For the exclusive benefit of our customers
Attn Mutual Fund Dept., 4th Floor

499 Washington Blvd

Jersey City, NJ 07310-1995

    5,590,718.6510       44.37
 

Wells Fargo Clearing Services LLC
Special Custody Acct for the Exclusive Benefit of Customer

2801 Market Street

St. Louis, MO 63103-2523

    1,574,047.2120       12.49
 

MLPF&S

For the Benefit of its Customers

Attn Fund Admin SEC 970C4

4800 Deer Lake Dr. E., Fl. 3

Jacksonville, FL 32246-6484

    1,180,442.1640       9.37
 

Edward D Jones & Co.

12555 Manchester Rd.

Saint Louis, MO 63131-3710

    812,527.6930       6.45
 

Charles Schwab & Co. Inc.

Attn Mutal Funds

211 Main Street

San Francisco, CA 94105-1901

    743,299.1290       5.90

Nuveen Georgia
Municipal Bond Fund – Class I

 

Pershing LLC

One Pershing Plaza

Jersey City, NJ 07399-0002

    1,672,915.4010       25.80
 

Charles Schwab & Co. Inc.

211 Main St.

San Francisco, CA 94105-1901

    1,217,681.3110       18.78
 

Raymond James

Omnibus for Mutual Funds

Attn: Courtney Waller

880 Carillon Parkway

St Petersburg, FL 33716-1102

    530,100.9890       8.17

 

F-32


Fund and Class   Shareholder Name and Address  

Number of

Shares Owned

   

Percentage

Owned

 
 

MLPF&S

For the Benefit of its Customers

Attn Fund Admin

4800 Deer Lake Dr., E Fl. 3

Jacksonville, FL 32246-6484

    515,383.9170       7.95
 

National Financial Services LLC
For the exclusive benefit of our customers

Attn Mutual Fund Dept., 4th Floor

499 Washington Blvd.

Jersey City, NJ 07310-1995

    441,317.9750       6.81
 

American Enterprise Investment Services Inc.ices Inc.

707 2nd Ave. S.

Minneapolis, MN 55402-2405

    351,609.8590       5.42

Nuveen Georgia
Municipal Bond Fund – Class C

 

Wells Fargo Clearing Services LLC
Special Custody Acct for the Exclusive Benefit of Customer

2801 Market Street

Saint Louis, MO 63103-2523

    53,611.4460       19.64
 

LPL Financial

Omnibus Customer Account

Attn Mutual Fund Operations

P.O. Box 509046

San Diego, CA 92150-9046

    37,798.7460       13.85
 

American Enterprise Investment Services Inc.

707 2nd Ave. S.

Minneapolis, MN 55402-2405

    36,863.5260       13.51
 

Pershing LLC

One Pershing Plaza

Jersey City, NJ 07399-0002

    32,529.5670       11.92
 

Morgan Stanley Smith Barney LLC

For the Exclusive Benefit of its Customers

1 New York Plz., Fl. 12

New York, NY 10004-1965

    29,750.8510       10.90
 

UBS WM USA

0O0 11011 6100

Omni Account M/F

Spec Cdy A/C EBOC UBSFSI

1000 Harbor Blvd.

Weehawken NJ, 07086-6761

    24,059.4500       8.81
  Charles Schwab & Co. Inc.
Special Custody A/C FBO Customers
Attn Mutual Funds
211 Main St.
San Francisco, CA 94105-1901
    21,288.0740       7.80

 

F-33


Fund and Class   Shareholder Name and Address  

Number of

Shares Owned

   

Percentage

Owned

 

Nuveen Louisiana
Municipal Bond Fund – Class A

 

Edward D Jones & Co.

For the Benefit of Customers

12555 Manchester Rd.

Saint Louis, MO 63131-3710

    4,361,372.4820       32.77
 

Morgan Stanely Smith Barney LLC

For the Exclusive Benefit of its Customers

1 New York Plz., Fl. 12

New York, NY 10004-1965

    2,292,463.5570       17.22
 

MLPF&S

For the Benefit of its Customers

Attn Fund Admin SEC 70079

4800 Deer Lake Dr., E. Fl. 3

Jacksonville, FL 32246-6484

    1,787,840.1610       13.43
 

LPL Financial

Omnibus Customer Account

Attn Mutual Fund Trading

4707 Executive Dr..

San Diego, CA 92121-3091

    722,997.7640       5.43
 

Pershing LLC

One Pershing Plaza

Jersey City, NJ 07399-0002

    709,929.5410       5.33

Nuveen Louisiana
Municipal Bond Fund – Class I

 

Wells Fargo Clearing Services LLC

Special Custody Acct for Exclusive Benefit of Customer

2801 Market Street

Saint Louis, MO 63103-2523

    1,478,261.1160       21.85
 

Morgan Stanley Smith Barney LLC

For the Exclusive Benefit of its Customers

1 New York Plz., Fl 12

New York, NY 10004-1965

    1,347,488.8100       19.91
 

National Financial Services LLC

For the Exclusive Benefit of our Customers

Attn Mutual Dept., 4th Floor

499 Washington Blvd.

Jersey City, NJ 07310-1995

    898,652.7590       13.28
 

American Enterprise Investment

Services Inc.

707 2nd Ave. S.

Minneapolis, MN 55402-2405

    798,396.8340       11.80
 

Pershing LLC

One Pershing Plaza

Jersey City, NJ 07399-0002

    557,987.5800       8.25
 

MLPF&S

For the Benefit of its Customers

Attn Fund Admin /

4800 Deer Lake Dr.; E. Fl. 3

Jacksonville, FL 32246-6484

    514,195.3290       7.60

 

F-34


Fund and Class   Shareholder Name and Address  

Number of

Shares Owned

   

Percentage

Owned

 
 

Edward D Jones & Co.

12555 Manchester Rd.

Saint Louis, MO 63131-3710

    355,735.3360       5.26

Nuveen Louisiana Municipal
Bond Fund – Class C

 

Charles Schwab & Co. Inc.

For the Benefit of their Customers

Attn Mutal Funds

211 Main Street

San Francisco, CA 94105-1901

    192,677.4800       24.98
 

Morgan Stanley Smith Barney LLC

For the Exclusive Benefit of its Customers

1 New York, NY Plz., Fl 12

New York, NY 10004-1965

    164,963.7470       21.39
 

Raymond James

Omnibus For Mutal Funds

Attn: Courtney Waller

880 Carillon Parkway

St Petersburg, FL 33716-1102

    122,869.9240       15.93
 

Wells Fargo Clearing Services LLC

Special Custody Acct for Exclusive Benefit of Customer

2801 Market Street

Saint Louis, MO 63103-2523

    77,510.5040       10.05
 

Pershing LLC

One Pershing Plaza

Jersey City, NJ 07399-0002

    51,038.8860       6.62
 

LPL Financial

Omnibus Customer Account

Attn Mutual Fund Trading

4707 Executive Dr..

San Diego, CA 92121-3091

    39,874.1720       5.17

Nuveen North
Carolina Bond Fund – Class A

 

National Financial Services LLC

For the Exclusive Benefit of our Customers

Attn Mutual Funds Dept 4th Floor

499 Washington Blvd.

Jersey City, NJ 07310-1995

    8,724,265.5960       45.67
 

Wells Fargo Clearing Services LLC

Special Custody Acct for Exclusive Benefit of Customer

2801 Market Street

Saint Louis, MO 63103-2523

    2,117,555.5790       11.08
 

Edward D Jones & Co.

For the Benefit of Customers

12555 Manchester Rd.

Saint Louis, MO 63131-3710

    1,583,185.3830       8.29
 

MLPF&S

For the Benefit of its Customers

Attn Fund Admin SEC 970C6

4800 Deer Lake Dr., Fl. 3

Jacksonville, FL 32246-6484

    1,317,141.1150       6.89

 

F-35


Fund and Class   Shareholder Name and Address  

Number of

Shares Owned

   

Percentage

Owned

 
 

Pershing LLC

One Pershing Plaza

Jersey City, NJ 07399-0002

    1,113,530.4720       5.83

Nuveen North
Carolina Bond Fund – Class I

 

Pershing LLC

One Pershing Plaza

Jersey City, NJ 07399-0002

    12,111,708.9420       35.71
 

Wells Fargo Bank, NA FBO

Omnibus Account Cash

P.O. Box 1533

Minneapolis, MN 55480-1533

    3,710,841.5210       10.94
 

Charles Schwab & Co. Inc.

For the Benefit of their Customers
Attn Mutual Fund Trading

211 Main St.

San Francisco, CA 94105-1901

    3,233,410.2370       9.53
 

National Financial Services LLC

For the Exclusive Benefit of our Customers

Attn Mutual Fund Dept., 4th Floor

499 Washington Blvd.

Jersey City, NJ 07310-1995

    3,022,400.8240       8.91
 

MLPF&S

For the Benefit of its Customers

Attn Fund Admin/ 97NB3

4800 Deer Lake Dr., E. Fl. 3

Jacksonville, FL 32246-6484

    2,372,522.5350       7.00

Nuveen North
Carolina Bond Fund – Class C

 

Wells Fargo Clearing Services LLC

Special Custody Acct for Exclusive Benefit of Customer

2801 Market Street

Saint Louis, MO 63103-2523

    147,508.8620       21.15
 

American Enterprise Investment Services Inc.ices Inc.

706 2nd Ave. S.

Minneapolis, MN 55402-2405

    92,019.0510       13.20
 

Raymond James

Omnibus For Mutual Funds

Attn: Courtney Waller

880 Carillon Parkway

St Petersburg, FL 33716-1102

    63,357.6250       9.09
 

National Financial Services LLC

Attn Mutual Fund Dept., 4th Floor

499 Washington, Blvd.

Jersey City, NJ 07310-1995

    51,623.1530       7.40
 

MLPF&S

For the Benefit of its Customers

Attn Fund Admin SEC 97CM8

4800 Deer Lake Dr., E. Fl. 3

Jacksonville, FL 32246-6484

    46,092.7650       6.61

 

F-36


Fund and Class   Shareholder Name and Address  

Number of

Shares Owned

   

Percentage

Owned

 
 

Pershing LLC

One Pershing Plaza

Jersey City, NJ 07399-0002

    43,088.5850       6.18
 

RBC Capital Markets LLC

Mutual Fund Omnibus Processing Omnibus

Attn Mutual Funds Ops Manager

60 South Sixth Street – PO8

Minneapolis, MN 55402-4413

    35,956.7100       5.16

Nuveen Multistate Trust IV

 

Nuveen Kansas
Municipal Bond Fund – Class A

 

Edward D Jones & Co.

For the Benefit of Customers

12555 Manchester Rd.

Saint Louis, MO 63131-3710

    3,450,177.8190       26.20
 

MLPF&S

For the Benefit of its Customers

Attn Fund Admin SEC 979D0

4800 Deer Lake Dr., E. Fl. 3

Jacksonville, FL 32246-6484

    1,481,454.4490       11.25
 

Charles Schwab & Co. Inc.

For the Benefit of their Customers

Attn Mutual Funds

211 Main Street

San Francisco, CA 94105-1901

    1,353,465.2110       10.28
 

Wells Fargo Clearing Services LLC

Special Custody Acct for Exclusive Benefit of Customer

2801 Market Street

Saint Louis, MO 63103-2523

    1,031,488.0940       7.83
 

Pershing LLC

One Pershing Plaza

Jersey City, NJ 07399-0002

    970,222.5830       7.37
 

National Financial Services LLC

For the Exclusive Benefit of its Customers

Attn Mutual Fund Dept, 4th Floor

499 Washington Blvd.

Jersey City, NJ 07310-1995

    714,577.9710       5.43
 

Raymond James

Omnibus for Mutual Funds

House Acct Firm 92500015

Attn: Courtney Waller

880 Carillon Parkway

St. Petersburg, FL 33716-1102

    706,643.9740       5.37
 

Morgan Stanley Smith Barney LLC

For the Exclusive Benefit of its Customers

1 New York Plz., Fl. 12

New York, NY 10004-1965

    665,979.2170       5.06

 

F-37


Fund and Class   Shareholder Name and Address  

Number of

Shares Owned

   

Percentage

Owned

 

Nuveen Kansas
Municipal Bond Fund – Class I

 

Pershing LLC

One Pershing Plaza

Jersey City, NJ 07399-0002

    1,903,630.3010       22.36
 

Charles Schwab & Co. Inc.

For the Benefit of their Customers

Attn Mutual Funds

211 Main Street

San Francisco, CA 94105-1901

    741,362.0010       8.71
 

Charles Schwab & Co. Inc.

For the Benefit of their Customers

Attn Mutual Funds

211 Main St.

San Francisco, CA 94105-1901

    669,833.3600       7.87
 

LPL Financial

Omnibus Customer Account

Attn Mutual Fund Trading

4707 Executive Dr..

San Diego, CA 92121-3091

    654,020.8160       7.68
 

Wells Fargo Clearing Services LLC

Special Custody Acct for Exclusive Benefit of Customer

2801 Market Street

Saint Louis, MO 63103-2523

    605,097.0850       7.11
 

Edward D Jones & Co.

For the Benefit of Customers

12555 Manchester Rd.

Saint Louis, MO 63131-3710

    537,307.6590       6.31
 

MLPF&S

For the Benefit of its Customers

Attn Fund Admin /

4800 Deer Lake Dr., E. Fl. 3

Jacksonville, FL 32246-6484

    528,954.7420       6.21
 

American Enterprise Investment Services Inc.

707 2nd Ave. S.

Minneapolis, MN 55402-2405

    525,450.9040       6.17
 

Raymond James

Omnibus For Mutual Funds

Attn: Courtney Waller

880 Carillon Parkway

St Petersburg, FL 33716-1102

    465,735.4680       5.47

Nuveen Kansas
Municipal Bond Fund – Class C

 

LPL Financial

Omnibus Customer Account

Attn Mutual Fund Trading

4707 Executive Dr..

San Diego, CA 92121-3091

    101,831.4900       16.53
 

Edward D Jones & Co.

For the Benefit of Customers

12555 Manchester Rd.

Saint Louis, MO 63131-3710

    86,414.6720       14.02

 

F-38


Fund and Class   Shareholder Name and Address  

Number of

Shares Owned

   

Percentage

Owned

 
 

Wells Fargo Clearing Services LLC

Special Custody Acct for Exclusive Benefit of Customer

2801 Market Street

Saint Louis, MO 63103-2523

    81,465.3520       13.22

Nuveen Kentucky
Municipal Bond Fund – Class A

 

Edward D Jones & Co.

For the Benefit of Customers

12555 Manchester Rd.

Saint Louis, MO 63131-3710

    5,403,145.1020       28.05
 

Charles Schwab & Co. Inc.

For the Benefit of their Customers

Attn Mutual Funds

211 Main St.

San Francisco, CA 94105-1901

    3,366,993.7860       17.48
 

Raymond James

Omnibus For Mutual Funds

Attn: Courtney Waller

880 Carillon Parkway

St Petersburg, FL 33716-1102

    1,664,110.5440       8.64
 

Pershing LLC

One Pershing Plaza

Jersey City, NJ 07399-0002

    1,225,422.5090       6.36
 

Morgan Stanley Smith Barney LLC

For the Exclusive Benefit of its Customers

1 New York Plz., Fl. 12

New York, NY 10004-1965

    1,136,177.1420       5.90
 

National Financial Services LLC

For the Exclusive Benefit of our Customers

Attn Mutual Fund Dept., 4th Floor

499 Washington Blvd.

Jersey City, NJ 07310-1995

    1,130,710.7690       5.87

Nuveen Kentucky
Municipal Bond Fund – Class I

 

Pershing LLC

One Pershing Plaza

Jersey City, NJ 07399-0002

    2,045,957.0900       32.00
 

LPL Financial

Omnibus Customer Account

Attn Mutual Fund Trading

4707 Executive Dr..

San Diego, CA 92121-3091

    984,529.7220       15.40
 

Raymond James

Omnibus For Mutual Funds

Attn: Courtney Waller

880 Carillon Parkway

St Petersburg, FL 33716-1102

    377,731.3190       5.91
 

Band & Co

C/o US Bank

P.O. Box 1787

Milwaukee, WI 53201-1787

    377,424.6970       5.90

 

F-39


Fund and Class   Shareholder Name and Address  

Number of

Shares Owned

   

Percentage

Owned

 
 

UBS WM USA

O0O 1101 6100

Omni Account M/F

Spec CDY A/C EBOC UBSFSI

1000 Harbor Blvd.

Weehawken, NJ 07086-6761

    366,563.7140       5.73
 

Charles Schwab & Co. Inc.

For the Benefit of their Customers

Attn Mutual Funds

211 Main Street

San Francisco, CA 94105-1901

    331,101.9310       5.18
 

Charles Schwab & Co. Inc.
For the Benefit of their Customers

Attn Mutual Funds

211 Main St.

San Francisco, CA 94105-1901

    322,670.1330       5.05

Nuveen Kentucky
Municipal Bond Fund – Class C

 

Charles Schwab & Co. Inc.
For the Benefit of their Customers

Attn Mutual Funds

211 Main Street

San Francisco, CA 94105-1901

    116,970.3300       32.55
 

Raymond James

Omnibus For Mutual Funds

Attn: Courtney Waller

880 Carillon Parkway

St Petersburg, FL 33716-1102

    40,269.0310       11.20
 

National Financial Services LLC

For the Exclusive Benefit of our Customers

Attn Mutual Fund Dept., 4th Floor

499 Washington Blvd.

Jersey City, NJ 07310-1995

    39,114.4790       10.88
 

UBS WM USA

0O0 11011 6100

Spec CDY A/C EBOC UBSFSI

1000 Harbor Blvd.

Weehawken, NJ 07086-6761

    34,991.6220       9.74
 

Wells Fargo Clearing Services LLC

Special Custody Acct for Exclusive Benefit of Customer

2801 Market Street

Saint Louis, MO 63103-2523

    30,245.1330       8.42
 

LPL Financial

Omnibus Customer Account

Attn Mutual Fund Trading

4707 Executive Dr..

San Diego, CA 92121-3091

    20,801.5240       5.79

 

F-40


Fund and Class   Shareholder Name and Address  

Number of

Shares Owned

   

Percentage

Owned

 
 

Edward D Jones & Co.

For the Benefit of Customers

12555 Manchester Rd

Saint Louis, MO 63131-3710

    19,774.7110       5.50
 

JP Morgan Securities LLC

Omnibus Account for the Exclusive Benefit of Customers

4 Chase Metrotech Ctr. 3rd Fl.

Mutual Fund Department

Brooklyn, NY 11245-0003

    18,207.1250       5.07

Nuveen Michigan
Municipal Bond Fund – Class A

 

MLPF&S

For the Sole Benefit of its Customers

Attn Fund Admin

4800 Deer Lake Dr. E., Fl. 3

Jacksonville, FL 32246-6484

    1,515,970.5020       17.39
 

Wells Fargo Clearing Services LLC

Special Custody Acct for Exclusive Benefit of Customer

2801 Market Street

Saint Louis, MO 63103-2523

    1,007,895.0000       11.56
 

Edward D Jones & Co.

For the Benefit of Customers

12555 Manchester Rd.

Saint Louis, MO 63131-3710

    873,971.0140       10.02
 

National Financial Services LLC

For the Exclusive Benefit of our Customers

Attn Mutual Fund Dept. 4th Floor

499 Washington Blvd.

Jersey City, NJ 07310-1995

    771,300.3880       8.85
 

Raymond James

Omnibus For Mutual Funds

Attn: Courtney Waller

880 Carillon Parkway

St Petersburg, FL 33716-1102

    603,267.9140       6.92
 

Charles Schwab & Co. Inc.

For the Benefit of their Customers

Attn Mutual Funds

211 Main Street

San Francisco, CA 94105-1901

    484,916.0540       5.56

Nuveen Michigan
Municipal Bond Fund – Class I

 

Charles Schwab & Co. Inc.

For the Benefit of their Customers

P.O. Box 173797

211 Main St.

San Francisco, CA 94105-1901

    4,769,641.3940       30.50
 

Pershing LLC

One Pershing Plaza

Jersey City, NJ 07399-0002

    4,675,119.6680       29.90

 

F-41


Fund and Class   Shareholder Name and Address  

Number of

Shares Owned

   

Percentage

Owned

 
 

SEI Private Trust Company

C/0 TIAA-SWP

1 Freedom Valley Drive

Oaks, PA 19456-9989

    1,061,574.5520       6.79
 

National Financial Services LLC

For the Exclusive Benefit of our Customers

Attn Mutual Fund Dept., 4th Floor

499 Washington Blvd.

Jersey City, NJ 07310-1995

    823,720.3710       5.27

Nuveen Michigan
Municipal Bond Fund – Class C

 

Raymond James

Omnibus For Mutual Funds

Attn: Courtney Waller

880 Carillon Parkway

St Petersburg, FL 33716-1102

    95,154.2140       17.19
 

Wells Fargo Clearing Services LLC

Special Custody Acct for Exclusive Benefit of Customer

2801 Market Street

Saint Louis, MO 63103-2523

    81,859.0540       14.79
 

National Financial Services LLC

For the Exclusive Benefit of our Customers

Attn Mutual Fund Dept., 4th Floor

499 Washington Blvd.

Jersey City, NJ 07310-1995

    81,791.6810       14.77
 

Morgan Stanley Smith Barney LLC

For the Exclusive Benefit of its Customers

1 New York Plz., Fl. 12

New York, NY 10004-1965

    76,786.3260       13.87
 

American Enterprise Investment Services Inc.

707 2nd Ave. S.

Minneapolis, MN 55402-2405

    62,066.1870       11.21
 

MLPF&S

For the Benefit of its Customers

Attn Fund Admin 97GW2

4800 Deer Lake Dr. E.

Jacksonville, FL 32246-6484

    53,776.3520       9.71
 

Pershing LLC

One Pershing Plaza

Jersey City, NJ 07399-0002

    31,853.1950       5.75

Nuveen Missouri
Municipal Bond Fund – Class A

 

Edward D Jones & Co.

For the Benefit of Customers

12555 Manchester Rd.

Saint Louis, MO 63131-3710

    11,084,642.6460       41.46

 

F-42


Fund and Class   Shareholder Name and Address  

Number of

Shares Owned

   

Percentage

Owned

 
 

Charles Schwab & Co. Inc.

For the Benefit of their Customers

Attn Mutual Funds

211 Main St.

San Francisco, CA 94105-1901

    2,333,370.5710       8.73
 

Wells Fargo Clearing Services LLC

Special Custody Acct for Exclusive Benefit of Customer

2801 Markt Street

Saint Louis, MO 63103-2523

    2,176,561.4650       8.14
 

National Financial Services LLC

For the Exclusive Benefit of our Customers

Attn Mutual Fund Dept 4th Floor

499 Washington Blvd.

Jersey City, NJ 07310-1995

    2,016,495.5170       7.54
 

Pershing LLC

One Pershing Plaza

Jersey City, NJ 07399-0002

    1,973,047.8950       7.38
 

LPL Financial

Omnibus Customer Account

Attn Mutual Fund Trading

4707 Executive Dr..

San Diego, CA 92121-3091

    1,712,156.0920       6.40

Nuveen Missouri
Municipal Bond Fund – Class I

 

Band & Co

C/o US Bank

P.O. Box 1787

Milwaukee, WI 53201-1787

    6,377,104.6010       28.76
 

National Financial Services LLC

For the Exclusive Benefit of our Customers

Attn Mutual Fund Dept., 4th Floor

499 Washington Blvd.

Jersey City, NJ 07310-1995

    3,210,934.3970       14.48
 

Pershing LLC

One Pershing Plaza

Jersey City, NJ 07399-0002

    3,157,307.7180       14.24
 

American Enterprise Investment SVC

707 2nd Ave. S.

Minneapolis, MN 55402-2405

    1,716,537.7220       7.74
 

Charles Schwab & Co. Inc.

For the Benefit of their Customers

Attn Mutual Funds

211 Main St.

San Francisco, CA 94105-1901

    1,249,038.5870       5.63
 

MLPF&S

For the Benefit of its Customers

Attn Fund Admin /

4800 Deer Lake Dr., E. Fl. 3

Jacksonville, FL 32246-6484

    1,232,904.7720       5.56

 

F-43


Fund and Class   Shareholder Name and Address  

Number of

Shares Owned

   

Percentage

Owned

 
 

Edward D Jones & Co.

12555 Manchester Rd.

Sain Louis, MO 63131-3710

    1,206,365.7310       5.44

Nuveen Missouri
Municipal Bond Fund – Class C

 

Pershing LLC

One Pershing Plaza

Jersey City, NJ 07399-0002

    233,789.4590       21.77
 

LPL Financial

Omnibus Customer Account

Attn Mutual Fund Trading

4707 Executive Dr..

San Diego, CA 92121-3091

    188,988.6990       17.60
 

Edward D Jones & Co.

For the Benefit of Customers

12555 Manchester Rd.

Saint Louis, MO 63131-3710

    150,431.5800       14.01
 

American Enterprise Investment Services Inc.

707 2nd Ave. S.

Minneapolis, MN 55402-2405

    86,579.8810       8.06
 

Charles Schwab & Co. Inc.

For the Benefit of their Customers

Attn Mutual Funds

211 Main Street

San Francisco, CA 94104-1901

    78,476.7860       7.31
 

Wells Fargo Clearing Services LLC

Special Custody Acct for Exclusive Benefit of Customer

2801 Market Street

Saint Louis, MO 63103-2523

    73,352.3530       6.83
 

National Financial Services LLC

For the Exclusive Benefit of our Customers

Attn Mutual Fund Dept., 4th Floor

499 Washington Blvd.

Jersey City, NJ 07310-1995

    65,964.8400       6.14

Nuveen Ohio
Municipal Bond Fund – Class A

 

National Financial Services LLC

Attn Mutual Fund Dept., 4th Floor

499 Washington Blvd

Jersey City, NJ 07310-1995

    4,638,718.5330       18.44
 

MLPF&S

For the Benefit of its Customers

Attn Fund Admin 97E84

4800 Deer Lake Dr., E. Floor 3

Jacksonville, FL 32246-6484

    3,072,570.4850       12.21
 

American Enterprise Investment Services Inc.

FBO #41999970

707 2nd Ave S.

Minneapolis, MN 55402-2405

    1,767,108.0750       7.02

 

F-44


Fund and Class   Shareholder Name and Address  

Number of

Shares Owned

   

Percentage

Owned

 
 

Raymond James

Omnibus for Mutual Funds

Attn: Courtney Waller

880 Carillon Parkway

St Petersburg, FL 33716-1102

    1,647,379.5530       6.55
 

UBS WM USA

0O0 1101 6100

Omni Account M/F

Spec Cdy A/C EBOC UBSFSI

1000 Harbor Blvd.

Weehawken, NJ 07086-6761

    1,618,522.8050       6.43
 

Charles Schwab & Co. Inc.

For the Benefit of their Customers

PO Box 173797

211 Main St.

San Francisco, CA 94105-1901

    1,617,668.5220       6.43
 

Morgan Stanley Smith Barney LLC

For the Exclusive Benefit of its Customers

1 New York Plz., Fl. 12

New York, NY 10004-1965

    1,534,681.8900       6.10
 

Pershing LLC

One Pershing Plaza

Jersey City, NJ 07399-0002

    1,449,330.6820       5.76
 

Wells Fargo Clearing Services LLC

Special Custody Acct for Exclusive Benefit of Customer

2801 Market Street

Saint Louis, MO 63103-2523

    1,374,719.3860       5.46
 

Charles Schwab & Co. Inc.

For the Benefit of their Customers

Attn Mutual Funds

211 Main Street

San Francisco, CA 94105-1901

    1,265,458.0280       5.03

Nuveen Ohio
Municipal Bond Fund – Class I

 

American Enterprise Investment Services Inc.

707 2nd Ave. S.

Minneapolis, MN 55402-2405

    3,283,642.7320       11.46
 

Band & Co

C/o US Bank

P.O. Box 1787

Milwaukee, WI 53201-1787

    3,190,927.4220       11.14
 

Morgan Stanley Smith Barney LLC

For the Exclusive Benefit of its Customers

1 New York Plz., Fl. 12

New York, NY 10004-1965

    2,546,569.6120       8.89
 

UBS WM USA

0O0 11011 6100

Spec CDY A/C EBOC UBSFSI

1000 Harbor Blvd.

Weehawken, NJ 07086-6761

    2,516,176.7240       8.79

 

F-45


Fund and Class   Shareholder Name and Address  

Number of

Shares Owned

   

Percentage

Owned

 
 

Pershing LLC

One Pershing Plaza

Jersey City, NJ 07399-0002

    2,408,804.5770       8.41
 

Charles Schwab & Co. Inc.

For the Benefit of their Customers

P O Box 173797

211 Main St.

San Francisco, CA 94105-1901

    2,320,131.7980       8.10
 

National Financial Services LLC

For the Exclusive Benefit of our Customers

Attn Mutual Fund Dept., 4th Floor

499 Washington Blvd.

Jersey City, NJ 07310-1995

    2,068,004.4420       7.22
 

MLPF&S

For the Benefit of its Customers

Attn Fund Admn. 975B2

4800 Deer Lake Dr., E. Floor 3

Jacksonville, FL 32246-6484

    1,921,202.8610       6.71
 

Raymond James

Omnibus For Mutual Funds

Attn: Courtney Waller

880 Carillon Parkway

St Petersburg, FL 33716-1102

    1,639,456.3280       5.72

Nuveen Ohio
Municipal Bond Fund – Class C

 

National Financial Services LLC

For the Exclusive Benefit of our Customers

Attn Mutual Fund Dept., 4th Floor

499 Washington Blvd.

Jersey City, NJ 07399-0002

    176,947.4350       18.82
 

Pershing LLC

One Pershing Plaza

Jersey City, NJ 07399-0002

    107,537.3130       11.44
 

Wells Fargo Clearing Services LLC

Special Custody Acct for Exclusive Benefit of Customer

2801 Market Street

Saint Louis, MO 63103-2523

    96,459.7460       10.26
 

Raymond James

Omnibus for Mutual Funds

Attn: Courtney Waller

880 Carillon Parkway

St Petersburg, FL 33716-1102

    78,839.5700       8.38
 

MLPF&S

For the Benefit of its Customers

Attn Fund Admn. 97GY8

48000 Deer Lake Dr., E. Floor 3

Jacksonville, FL 32246-6484

    76,271.0420       8.11

 

F-46


Fund and Class   Shareholder Name and Address  

Number of

Shares Owned

   

Percentage

Owned

 
 

Morgan Stanley Smith Barney LLC

For the Exclusive Benefit of its Customers

1 New York Plz., Fl. 12

New York, NY 10004-1965

    73,447.6510       7.81  
 

American Enterprise Investment Services Inc.

707 2nd Ave. S.

Minneapolis, MN 55402-2405

    68,109.4110       7.24
 

LPL Financial Omnibus Customer Account

Attn Mutual Fund Trading

4707 Executive Dr..

San Diego, CA 92121-3091

    67,510.6480       7.18
 

UBS WM USA

0O0 11011 6100

Omni Account M/F

Spec CDY A/C EBOC UBSFSI

1000 Harbor Blvd.

Weehawken, NJ 07086-6761

    59,098.5760       6.29

Nuveen Wisconsin
Municipal Bond Fund – Class A

 

Edward D Jones & Co.

For the Benefit of Customers

12555 Manchester Rd.

Saint Louis, MO 63131-3710

    1,306,784.8260       24.01
 

Charles Schwab & Co. Inc.

For the Benefit of their Customers

Attn Mutual Funds

211 Main Street

San Francisco, CA 94105-1901

    594,611.5420       10.93
 

JP Morgan Securities LLC

Omnibus Account for the Exclusive Benefit of Customers

4 Chase Metrotech Ctr. 3rd Fl.

Mutual Fund Department

Brooklyn, NY 11245-0003

    566,987.0170       10.42
 

LPL Financial

Attn Mutual Fund Trading

4707 Executive Dr..

San Diego, CA 92121-3091

    508,438.7830       9.34
  Wells Fargo Clearing Services LLC
Special Custody Acct for Exclusive Benefit of Customer
2801 Market St.
Saint Louis, MO 63103-2523
    459,256.9900       8.44
 

National Financial Services LLC

For the Exclusive Benefit of our Customers

Attn Mutual Fund Dept., 4th Floor

499 Washington Blvd.

Jersey City, NJ 07310-1995

    374,612.4160       6.88

 

F-47


Fund and Class   Shareholder Name and Address  

Number of

Shares Owned

   

Percentage

Owned

 
 

Raymond James

Omnibus For Mutual Funds

Attn: Courtney Waller

880 Carillon Parkway

St Petersburg, FL 33716-1102

    321,345.6380       5.90
 

Morgan Stanley Smith Barney LLC

For the Exclusive Benefit of its Customers

1 New York Plz., Fl. 12

New York, NY 10004-1965

    277,384.6530       5.10

Nuveen Wisconsin
Municipal Bond Fund – Class I

 

LPL Financial

Omnibus Customer Account

Attn Mutual Fund Trading

4707 Executive Dr..

San Diego, CA 92121-3091

    494,580.8280       18.00
 

Charles Schwab & Co. Inc.

For the Benefit of their Customers

Attn Mutual Funds

211 Main St.

San Francisco, CA 94105-1901

    342,398.6900       12.46
 

Charles Schwab & Co Inc.

For the benefit of their Customers

Attn Mutual Funds

211 Main Street

San Francisco, CA 94104-1901

    296,373.1070       10.79
  Wells Fargo Clearing Services LLC
Special Custody Acct for Exclusive Benefit of Customer
2801 Market St.
Saint Louis, MO 63103-2523
    277,276.7450       10.09
 

Band & Co

C/o US Bank

P.O. Box 1787

Milwaukee, WI 53201-1787

    225,541.1100       8.21
 

Pershing LLC

One Pershing Plaza

Jersey City, NJ 07399-0002

    224,446.6460       8.17
 

National Financial Services LLC

For the Exclusive Benefit of our Customers

Attn Mutual Fund Dept., 4th Floor

499 Washington, Blvd.

Jersey City, NJ 07310-1995

    209,341.2150       7.62
 

American Enterprise Investment Services Inc.

707 2nd Ave. S.

Minneapolis, MN 55402-2405

    194,912.3670       7.10
 

Raymond James

Omnibus for Mutual Funds

Attn: Courtney Waller

880 Carillon Parkway

St Petersburg, FL 33716-1102

    143,601.2900       5.23

 

F-48


Fund and Class   Shareholder Name and Address  

Number of

Shares Owned

   

Percentage

Owned

 

Nuveen Wisconsin
Municipal Bond Fund – Class C

 

Charles Schwab & Co. Inc.

For the Benefit of their Customers

Attn Mutual Funds

211 Main Street

San Francisco, CA 94105-1901

    150,389.9280       33.19
 

LPL Financial

Omnibus Customer Account

Attn Mutual Fund Trading

4707 Executive Dr..

San Diego, CA 92121-3091

    47,275.0010       10.43
 

UBS WM USA

0O0 11011 6100

Omni Account M/F

Spec CDY A/C EBOC UBSFSI

1000 Harbor Blvd.

Weehawken, NJ 07086-6761

    37,335.0730       8.24
 

Raymond James

Omnibus for Mutual Funds

Attn: Courtney Waller

880 Carillon Parkway

St Petersburg, FL 33716-1102

    34,411.4290       7.59
  Wells Fargo Clearing Services LLC
Special Custody Acct for Exclusive Benefit of Customer
2801 Market St.
Saint Louis, MO 63103-2523
    33,986.6370       7.50
 

American Enterprise Investment Services Inc.

707 2nd Ave. S.

Minneapolis, MN 55402-2405

    32,775.9310       7.23
 

Edward D Jones & Co.

For the Benefit of Customers

12555 Manchester Rd.

Saint Louis, MO 63131-3710

    25,105.6110       5.54

Nuveen Managed Accounts Portfolios Trust

 

Municipal Total Return Managed
Accounts Portfolio

 

Morgan Stanley Smith Barney LLC

For the Exclusive Benefit of its Customers

1 New York Plz. Fl. 12

New York, NY 10004-1965

    78,703,030.0580       53.88
 

MLPF&S

For the Benefit of its Customers

4800 Deer Lake Dr. E., Fl. 3

Jacksonville, FL 32246-6484

    30,230,955.7450       20.70
 

Wells Fargo Clearing Services LLC

Special Custody Acct for the
Exclusive Benefit of Customer

2801 Market St.

Saint Louis, MO 63103-2523

    16,258,069.8550       11.13

 

F-49


Fund and Class   Shareholder Name and Address  

Number of

Shares Owned

   

Percentage

Owned

 

Nuveen Core Impact Bond Managed
Accounts Portfolio

 

Teachers Insurance & Annuity Association

MSC 730/01/01

730 3rd Ave.

New York, NY 10017-3207

    1,102,735.2410       97.97

Nuveen Emerging Markets Debt
Managed Accounts Portfolio

 

Teachers Insurance & Annuity Association

MSC 730/01/01

730 3rd Ave.

New York, NY 10017-3207

    2,605,000.4900       97.97

Nuveen High Yield Managed
Accounts Portfolio

 

Teachers Insurance & Annuity Association

MSC 730/01/01

730 3rd Ave.

New York, NY 10017-3207

    1,582,924.6850       91.44
 

Charles Schwab & Co. Inc.

Special Custody Account for Benefit of Customers

Attn Mutual Funds

211 Main St.

San Francisco, CA 94105-1901

    139,757.0470       8.07

Nuveen Preferred Securities and Income
Managed Accounts Portfolio

 

Teachers Insurance & Annuity Association

MSC 730/01/01

730 3rd Ave.

New York, NY 10017-3207

    1,578,822.7000       94.87

Nuveen Securitized Credit Managed
Accounts Portfolio

 

Teachers Insurance & Annuity Association

MSC 730/01/01

730 3rd Ave.

New York, NY 10017-3207

    2,072,124.2960       82.52
 

Charles Schwab & Co. Inc.

Special Custody Account for Benefit of Customers

Attn Mutual Funds

211 Main St.

San Francisco, CA 94105-1901

    414,871.2520       16.52

 

F-50


 

LOGO

 

 

Nuveen

333 West Wacker Drive

Chicago, IL 60606-1286

 

(800) 257-8787

 

 

  LOGO

 

www.nuveen.com    MS 1123


LOGO

PO Box 43131 Providence, RI 02940-3131 EVERY VOTE IS IMPORTANT nuveen A TIAA Company EASY VOTING OPTIONS: VOTE ON THE INTERNET Log on to: www.proxy-direct.com or scan the QR code Follow the on-screen instructions available 24 hours VOTE BY PHONE Call 1-800-337-3503 Follow the recorded instructions available 24 hours VOTE BY MAIL Vote, sign and date this Proxy Card and return in the postage-paid envelope VOTE AT THE VIRTUAL MEETING Visit: meetnow.global/MU6Y5XM on November 20 at 2:00 p.m. Central Time. To participate in the Virtual Meeting, enter the 14-digit control number from the shaded box on this card. nuveen A TIAA Company Please detach at perforation before mailing. NUVEEN FUNDS SPECIAL MEETING OF SHAREHOLDERS TO BE HELD ON NOVEMBER 20, 2023 THIS PROXY IS BEING SOLICITED BY THE BOARD OF TRUSTEES. The undersigned shareholder(s) of each of Nuveen Municipal Trust, Nuveen Multistate Trust I, Nuveen Multistate Trust II, Nuveen Multistate Trust III, Nuveen Multistate Trust IV and Nuveen Managed Accounts Portfolios Trust (each trust individually, a “Trust” and collectively, the “Trusts”),.on behalf of each series of each Trust, individually a “Fund,” and collectively, the “Funds”, revoking previous proxies, hereby appoints Kevin J. McCarthy, Mark L. Winget and John M. McCann, or any one of them as true and lawful attorneys with power of substitution of each, to vote all shares of the Fund(s) that the undersigned is entitled to vote at the Special Meeting of Shareholders to be held virtually at the following Website: meetnow.global/MU6Y5XM, on Monday, November 20, 2023, at 2:00 p.m. Central Time, and at any and all adjournments or postponements thereof as indicated on the reverse side. To participate in the Virtual Meeting enter the 14-digit control number from the shaded box on this card. In their discretion, the proxy holders named above are authorized to vote upon such other matters as may properly come before the meeting or any adjournment or postponement thereof. Receipt of the Notice of the Special Meeting of Shareholders and the accompanying Proxy Statement is hereby acknowledged. The shares of Fund(s) represented hereby will be voted as indicated or FOR the proposal if no choice is indicated. VOTE VIA THE INTERNET: www.proxy-direct.com VOTE VIA THE TELEPHONE: 1-800-337-3503 NIT_33520_100923_BK1 PLEASE SIGN, DATE ON THE REVERSE SIDE AND RETURN THE PROXY PROMPTLY USING THE ENCLOSED ENVELOPE. xxxxxxxxxxxxxx code


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EVERY SHAREHOLDER’S VOTE IS IMPORTANT! VOTE THIS PROXY CARD TODAY! Important Notice Regarding the Availability of Proxy Materials for Nuveen Funds Special Meeting of Shareholders to Be Held Virtually on November 20, 2023. The Joint Proxy Statement for this meeting is available at: https://www.nuveen.com/en-us/investments/proxy-information#mutual-funds IF YOU VOTE ON THE INTERNET OR BY TELEPHONE, YOU NEED NOT RETURN THIS PROXY CARD FUNDS Nuveen All-American Municipal Bond Fund Nuveen California Municipal Bond Fund Nuveen Core Impact Bond Managed Accounts Port Nuveen High Yield Managed Accounts Portfolio Nuveen Kansas Municipal Bond Fund Nuveen Louisiana Municipal Bond Fund Nuveen Michigan Municipal Bond Fund Nuveen New Jersey Municipal Bond Fund Nuveen North Carolina Municipal Bond Fund Nuveen Preferred Securities and Income Mgd Accts Port Nuveen Strategic Municipal Opportunities Fund FUNDS Nuveen Arizona Municipal Bond Fund Nuveen Colorado Municipal Bond Fund Nuveen Emerging Markets Debt Mgd Accounts Port Nuveen High Yield Municipal Bond Fund Nuveen Kentucky Municipal Bond Fund Nuveen Maryland Municipal Bond Fund Nuveen Missouri Municipal Bond Fund Nuveen New Mexico Municipal Bond Fund Nuveen Ohio Municipal Bond Fund Nuveen Securitized Credit Managed Accounts Portfolio Nuveen Virginia Municipal Bond Fund FUNDS Nuveen California High Yield Municipal Bond Fund Nuveen Connecticut Municipal Bond Fund Nuveen Georgia Municipal Bond Fund Nuveen Intermediate Duration Municipal Bond Fd Nuveen Limited Term Municipal Bond Fund Nuveen Massachusetts Municipal Bond Fund Municipal Total Return Managed Accounts Port Nuveen New York Municipal Bond Fund Nuveen Pennsylvania Municipal Bond Fund Nuveen Short Duration High Yield Municipal Bond Fund Nuveen Wisconsin Municipal Bond Fund Please detach at perforation before mailing. In their discretion, the proxy holders are authorized to vote upon such other matters as may properly come before the meeting or any adjournments or postponements thereof. Properly executed proxies will be voted as specified. If no other specification is made, such shares will be voted “FOR” the proposal. TO VOTE, MARK BLOCKS BELOW IN BLUE OR BLACK INK AS SHOWN IN THIS EXAMPLE: [X] A Proposal 1. To elect twelve (12) Board Members: 01. Joseph A. Boateng 02. Michael A. Forrester 03. Thomas J. Kenny 04. Amy B.R. Lancellotta 05. Joanne T. Medero 06. Albin F. Moschner 07. John K. Nelson 08. Loren M. Starr 09. Matthew Thornton III 10. Terence J. Toth 11. Margaret L. Wolff 12. Robert L. Young FOR ALL [ ] WITHHOLD ALL [ ] FOR ALL EXCEPT [ ] INSTRUCTIONS: To withhold authority to vote for any individual nominee(s), mark the box “FOR ALL EXCEPT” and write the nominee’s number on the line provided B Authorized Signatures – This section must be completed for your vote to be counted. – Sign and Date Below Note: Please sign exactly as your name(s) appear(s) on this Proxy Card, and date it. When shares are held jointly, each holder should sign. When signing as attorney, executor, guardian, administrator, trustee, officer of corporation or other entity or in another representative capacity, please give the full title under the signature. Date (mm/dd/yyyy) – Please print date below Signature 1 – Please keep signature within the box Signature 2 – Please keep signature within the box Scanner bar code xxxxxxxxxxxxxx NIT 33520 xxxxxxxx

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