0001752724-23-012478.txt : 20230125 0001752724-23-012478.hdr.sgml : 20230125 20230125134620 ACCESSION NUMBER: 0001752724-23-012478 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20221130 FILED AS OF DATE: 20230125 DATE AS OF CHANGE: 20230125 PERIOD START: 20230228 FILER: COMPANY DATA: COMPANY CONFORMED NAME: NUVEEN MULTISTATE TRUST II /MA/ CENTRAL INDEX KEY: 0001018975 IRS NUMBER: 000000000 STATE OF INCORPORATION: MA FISCAL YEAR END: 0228 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-07755 FILM NUMBER: 23551823 BUSINESS ADDRESS: STREET 1: C/O NUVEEN INVESTMENTS STREET 2: 333 WEST WACKER DRIVE 33RD FLOOR CITY: CHICAGO STATE: IL ZIP: 60606 BUSINESS PHONE: 3129177783 MAIL ADDRESS: STREET 1: NUVEEN INVESTMENTS STREET 2: 333 WEST WACKER DRIVE 33RD FLOOR CITY: CHICAGO STATE: IL ZIP: 60606 FORMER COMPANY: FORMER CONFORMED NAME: NUVEEN FLAGSHIP MULTISTATE TRUST II DATE OF NAME CHANGE: 19960716 0001018975 S000000557 Nuveen New Jersey Municipal Bond Fund C000001536 Nuveen New Jersey Municipal Bond Fund - Class A NNJAX C000001539 Nuveen New Jersey Municipal Bond Fund - Class I NMNJX C000137690 Class C NJCCX NPORT-P 1 primary_doc.xml NPORT-P false 0001018975 XXXXXXXX S000000557 C000137690 C000001536 C000001539 Nuveen Multistate Trust II 811-07755 0001018975 549300IEL53UNMUSWW03 333 W. 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Newark, Series 2017 64577BN26 100000.00000000 PA USD 100698.00000000 0.023395655711 Long DBT MUN US N 2 2047-07-15 Fixed 5.00000000 N N N N N N New Jersey Health Care Facilities Financing Authority, Revenue Bonds, RWJ Barnabas Health Obligated Group, Series 2021A N/A New Jersey Health Care Facilities Financing Authority, Revenue Bonds, RWJ Barnabas Health Obligated Group, Series 2021A 645790QD1 2900000.00000000 PA USD 2667043.00000000 0.619647061462 Long DBT MUN US N 2 2051-07-01 Fixed 4.00000000 N N N N N N New Jersey Higher Education Student Assistance Authority, Student Loan Revenue Bonds, Refunding Subordinate Series 2021C 5493007OOYUHTF8GSL63 New Jersey Higher Education Student Assistance Authority, Student Loan Revenue Bonds, Refunding Subordinate Series 2021C 646080VX6 770000.00000000 PA USD 545560.40000000 0.126752699041 Long DBT MUN US N 2 2051-12-01 Fixed 3.25000000 N N N N N N Tobacco Settlement Financing Corporation, New Jersey, Tobacco Settlement Asset-Backed Bonds, Series 2018B N/A Tobacco Settlement Financing Corporation, New Jersey, Tobacco Settlement Asset-Backed Bonds, Series 2018B 888808HT2 7015000.00000000 PA USD 6788976.70000000 1.577315949720 Long DBT MUN US N 2 2046-06-01 Fixed 5.00000000 N N N N N N South Jersey Transportation Authority, New Jersey, Transportation System Revenue Bonds, Series 2022A 549300W8SZI2CAOKT956 South Jersey Transportation Authority, New Jersey, Transportation System Revenue Bonds, Series 2022A 838536MP2 1100000.00000000 PA USD 1091387.00000000 0.253567245622 Long DBT MUN US N 2 2047-11-01 Fixed 4.62500000 N N N N N N New Jersey State, General Obligation Bonds, Covid-19 Emergency Series 2020A N/A New Jersey State, General Obligation Bonds, Covid-19 Emergency Series 2020A 646039YS0 1980000.00000000 PA USD 2096166.60000000 0.487012573109 Long DBT MUN US N 2 2032-06-01 Fixed 4.00000000 N N N N N N New Jersey Housing and Mortgage Finance Agency, Single Family Housing Revenue Bonds, Series 2018B 5493002ONULJL0FIGU24 New Jersey Housing and Mortgage Finance Agency, Single Family Housing Revenue Bonds, Series 2018B 64613ABC5 2150000.00000000 PA USD 2066472.50000000 0.480113598549 Long DBT MUN US N 2 2032-10-01 Fixed 3.80000000 N N N N N N New Jersey Higher Education Student Assistance Authority, Student Loan Revenue Bonds, Series 2014-1A-1 5493007OOYUHTF8GSL63 New Jersey Higher Education Student Assistance Authority, Student Loan Revenue Bonds, Series 2014-1A-1 646080QT1 455000.00000000 PA USD 449949.50000000 0.104538953995 Long DBT MUN US N 2 2032-12-01 Fixed 4.25000000 N N N N N N Bergen County Improvement Authority, New Jersey, Guaranteed Lease Revenue Bonds, County Administration Complex Project, Series 2005 549300GA3U8F8Z1HOS09 Bergen County Improvement Authority, New Jersey, Guaranteed Lease Revenue Bonds, County Administration Complex Project, Series 2005 083778DZ0 650000.00000000 PA USD 707902.00000000 0.164470311915 Long DBT MUN US N 2 2026-11-15 Fixed 5.00000000 N N N N N N Gloucester County Improvement Authority, New Jersey, Revenue Bonds, Rowan University Fossil Park & Student Center Projects, Series 2021 N/A Gloucester County Improvement Authority, New Jersey, Revenue Bonds, Rowan University Fossil Park & Student Center Projects, Series 2021 37970PLG5 1000000.00000000 PA USD 958940.00000000 0.222795190448 Long DBT MUN US N 2 2046-07-01 Fixed 4.00000000 N N N N N N Monmouth County Improvement Authority, New Jersey, Governmental Pooled Loan Revenue Bonds, Series 2021A N/A Monmouth County Improvement Authority, New Jersey, Governmental Pooled Loan Revenue Bonds, Series 2021A 60956PXS6 1675000.00000000 PA USD 1550731.75000000 0.360289043709 Long DBT MUN US N 2 2035-03-01 Fixed 3.00000000 N N N N N N Newark, Essex County, New Jersey, Mass Transit Access Tax Revenue Bonds, Mulberry Pedestrian Bridge Redevelopment Project, Series 2022 N/A Newark, Essex County, New Jersey, Mass Transit Access Tax Revenue Bonds, Mulberry Pedestrian Bridge Redevelopment Project, Series 2022 650360AC4 500000.00000000 PA USD 537040.00000000 0.124773113102 Long DBT MUN US N 2 2052-11-15 Fixed 5.37500000 N N N N N N Cumberland County Improvement Authority, New Jersey, General Obligation Lease Revenue Bonds, Vineland Public Safety Building Project, Series 2017 N/A Cumberland County Improvement Authority, New Jersey, General Obligation Lease Revenue Bonds, Vineland Public Safety Building Project, Series 2017 23058PAN7 735000.00000000 PA USD 665248.50000000 0.154560416973 Long DBT MUN US N 2 2037-12-15 Fixed 3.25000000 N N N N N N New Jersey Educational Facilities Authority, Revenue Bonds, Seton Hall University, Series 2020C 549300UTOO4X537XXG70 New Jersey Educational Facilities Authority, Revenue Bonds, Seton Hall University, Series 2020C 6460667A2 1000000.00000000 PA USD 769610.00000000 0.178807231443 Long DBT MUN US N 2 2049-07-01 Fixed 3.25000000 N N N N N N Delaware River and Bay Authority, Delaware and New Jersey, Revenue Bonds, Series 2012A 549300DIIIT0MBXYHJ34 Delaware River and Bay Authority, Delaware and New Jersey, Revenue Bonds, Series 2012A 246317ED9 1100000.00000000 PA USD 1101903.00000000 0.256010479008 Long DBT MUN US N 2 2042-01-01 Fixed 5.00000000 N N N N N N Delaware River Joint Toll Bridge Commission, New Jersey and Pennsylvania, Bridge System Revenue Bonds, Series 2019A 549300N6IGAQMI0JLE23 Delaware River Joint Toll Bridge Commission, New Jersey and Pennsylvania, Bridge System Revenue Bonds, Series 2019A 246343LZ8 1125000.00000000 PA USD 1267211.25000000 0.294417348094 Long DBT MUN US N 2 2030-07-01 Fixed 5.00000000 N N N N N N Puerto Rico, General Obligation Bonds, Restructured Series 2022A-1 549300X44HXPLJU48U63 Puerto Rico, General Obligation Bonds, Restructured Series 2022A-1 74514L3H8 1054000.00000000 PA USD 1080402.70000000 0.251015209822 Long DBT MUN US N 2 2029-07-01 Fixed 5.62500000 N N N N N N Delaware River and Bay Authority, Delaware and New Jersey, Revenue Bonds, Series 2014A 549300DIIIT0MBXYHJ34 Delaware River and Bay Authority, Delaware and New Jersey, Revenue Bonds, Series 2014A 246317ET4 2000000.00000000 PA USD 2018960.00000000 0.469074788523 Long DBT MUN US N 2 2044-01-01 Fixed 5.00000000 N N N N N N New Jersey Institute of Technology, New Jersey, General Obligation Bonds, Series 2015A N/A New Jersey Institute of Technology, New Jersey, General Obligation Bonds, Series 2015A 64579RBK2 3005000.00000000 PA USD 3100709.25000000 0.720402848851 Long DBT MUN US N 2 2045-07-01 Fixed 5.00000000 N N N N N N South Orange Village Township, New Jersey, General Obligation Bonds, Refunding Series 2020 N/A South Orange Village Township, New Jersey, General Obligation Bonds, Refunding Series 2020 839134FR9 625000.00000000 PA USD 634487.50000000 0.147413564351 Long DBT MUN US N 2 2024-01-15 Fixed 4.00000000 N N N N N N New Jersey Transportation Trust Fund Authority, Transportation System Bonds, Series 2019BB 549300YUVD5TEXR6L889 New Jersey Transportation Trust Fund Authority, Transportation System Bonds, Series 2019BB 6461365Q0 1000000.00000000 PA USD 902080.00000000 0.209584630320 Long DBT MUN US N 2 2050-06-15 Fixed 4.00000000 N N N N N N New Jersey Health Care Facilities Financing Authority, Revenue Bonds, Barnabas Health, Refunding Series 2014A N/A New Jersey Health Care Facilities Financing Authority, Revenue Bonds, Barnabas Health, Refunding Series 2014A 64579F6U2 2130000.00000000 PA USD 2148893.10000000 0.499262777094 Long DBT MUN US N 2 2044-07-01 Fixed 5.00000000 N N N N N N Puerto Rico Sales Tax Financing Corporation, Sales Tax Revenue Bonds, Restructured 2018A-1 N/A Puerto Rico Sales Tax Financing Corporation, Sales Tax Revenue Bonds, Restructured 2018A-1 74529JPX7 2805000.00000000 PA USD 2661412.05000000 0.618338795483 Long DBT MUN US N 2 2058-07-01 Fixed 5.00000000 N N N N N N New Jersey Health Care Facilities Financing Authority, Revenue Bonds, Princeton HealthCare System, Series 2016A N/A New Jersey Health Care Facilities Financing Authority, Revenue Bonds, Princeton HealthCare System, Series 2016A 64579F8J5 465000.00000000 PA USD 495057.60000000 0.115019138084 Long DBT MUN US N 2 2032-07-01 Fixed 5.00000000 N N N N N N New Jersey Economic Development Authority, Revenue Bonds, Provident Group - Kean Properties LLC - Kean University Student Housing Project, Series 2017 5493006JS6QWDVU4R678 New Jersey Economic Development Authority, Revenue Bonds, Provident Group - Kean Properties LLC - Kean University Student Housing Project, Series 2017 64577BG40 600000.00000000 PA USD 531780.00000000 0.123551031739 Long DBT MUN US N 2 2047-07-01 Fixed 5.00000000 N N N N N N New Jersey Economic Development Authority, Revenue Bonds, New Jersey Transit Corporation Projects Sublease, Refunding Series 2017B 5493006JS6QWDVU4R678 New Jersey Economic Development Authority, Revenue Bonds, New Jersey Transit Corporation Projects Sublease, Refunding Series 2017B 64577BD92 2000000.00000000 PA USD 2109540.00000000 0.490119680123 Long DBT MUN US N 2 2025-11-01 Fixed 5.00000000 N N N N N N New Jersey Health Care Facilities Financing Authority, Revenue Bonds, Palisades Medical Center Obligated Group Issue, Refunding Series 2013 N/A New Jersey Health Care Facilities Financing Authority, Revenue Bonds, Palisades Medical Center Obligated Group Issue, Refunding Series 2013 645790GC4 80000.00000000 PA USD 81273.60000000 0.018882690460 Long DBT MUN US N 2 2043-07-01 Fixed 5.50000000 N N N N N N Camden County Improvement Authority, New Jersey, Health Care Redevelopment Revenue Bonds, Cooper Health System Obligated Group Issue, Refunding Series 549300UTQBT9ZE0QFB15 Camden County Improvement Authority, New Jersey, Health Care Redevelopment Revenue Bonds, Cooper Health System Obligated Group Issue, Refunding Series 13281QBT1 2000000.00000000 PA USD 2010280.00000000 0.467058121941 Long DBT MUN US N 2 2033-02-15 Fixed 5.00000000 N N N N N N New Jersey Transportation Trust Fund Authority, Transportation System Bonds, Series 2019A 549300YUVD5TEXR6L889 New Jersey Transportation Trust Fund Authority, Transportation System Bonds, Series 2019A 6461366L0 1035000.00000000 PA USD 986396.40000000 0.229174269292 Long DBT MUN US N 2 2039-12-15 Fixed 4.00000000 N N N N N N New Jersey Economic Development Authority, Revenue Bonds, United Methodist Homes of New Jersey Obligated Group Issue, Refunding Series 2014A 5493006JS6QWDVU4R678 New Jersey Economic Development Authority, Revenue Bonds, United Methodist Homes of New Jersey Obligated Group Issue, Refunding Series 2014A 64577M8Q6 165000.00000000 PA USD 166455.30000000 0.038673368786 Long DBT MUN US N 2 2024-07-01 Fixed 3.75000000 N N N N N N Passaic County Improvement Authority, New Jersey, Lease Revenue Bonds, Preakness Healthcare Center Expansion Project, Series 2012 N/A Passaic County Improvement Authority, New Jersey, Lease Revenue Bonds, Preakness Healthcare Center Expansion Project, Series 2012 702750DK3 1725000.00000000 PA USD 1700229.00000000 0.395022466327 Long DBT MUN US N 2 2035-05-01 Fixed 3.50000000 N N N N N N New Jersey Economic Development Authority, Fixed Rate Revenue Bonds, Lions Gate Project, Series 2014 5493006JS6QWDVU4R678 New Jersey Economic Development Authority, Fixed Rate Revenue Bonds, Lions Gate Project, Series 2014 64577BAR5 530000.00000000 PA USD 473464.90000000 0.110002401157 Long DBT MUN US N 2 2044-01-01 Fixed 5.25000000 N N N N N N Delaware River Port Authority, Pennsylvania and New Jersey, Revenue Refunding Bonds, Port District Project, Series 2012 549300OBM31KJO8JR048 Delaware River Port Authority, Pennsylvania and New Jersey, Revenue Refunding Bonds, Port District Project, Series 2012 246348FL5 1000000.00000000 PA USD 1001980.00000000 0.232794882813 Long DBT MUN US N 2 2024-01-01 Fixed 5.00000000 N N N N N N Camden County Improvement Authority, New Jersey, Health Care Redevelopment Revenue Bonds, Cooper Health System Obligated Group Issue, Refunding Series 549300UTQBT9ZE0QFB15 Camden County Improvement Authority, New Jersey, Health Care Redevelopment Revenue Bonds, Cooper Health System Obligated Group Issue, Refunding Series 13281QBM6 800000.00000000 PA USD 806112.00000000 0.187287918495 Long DBT MUN US N 2 2028-02-15 Fixed 5.00000000 N N N N N N New Jersey Higher Education Student Assistance Authority, Student Loan Revenue Bonds, Refunding Senior Series 2021B 5493007OOYUHTF8GSL63 New Jersey Higher Education Student Assistance Authority, Student Loan Revenue Bonds, Refunding Senior Series 2021B 646080VY4 835000.00000000 PA USD 680099.15000000 0.158010740659 Long DBT MUN US N 2 2040-12-01 Fixed 2.50000000 N N N N N N New Jersey Educational Facilities Authority, Revenue Bonds, Stevens Institute of Technology, Series 2017A 549300UTOO4X537XXG70 New Jersey Educational Facilities Authority, Revenue Bonds, Stevens Institute of Technology, Series 2017A 646066L99 1000000.00000000 PA USD 1019650.00000000 0.236900239786 Long DBT MUN US N 2 2042-07-01 Fixed 5.00000000 N N N N N N Puerto Rico Public Finance Corporation, Commonwealth Appropriation Bonds, Series 1998A N/A Puerto Rico Public Finance Corporation, Commonwealth Appropriation Bonds, Series 1998A 745291DF8 1690000.00000000 PA USD 1722397.30000000 0.400172935200 Long DBT MUN US N 2 2024-06-01 Fixed 5.12500000 N N N N N N New Jersey Health Care Facilities Financing Authority, Revenue Bonds, University Hospital Issue, Refunding Series 2015A N/A New Jersey Health Care Facilities Financing Authority, Revenue Bonds, University Hospital Issue, Refunding Series 2015A 64579F7P2 755000.00000000 PA USD 762821.80000000 0.177230095948 Long DBT MUN US N 2 2046-07-01 Fixed 5.00000000 N N N N N N South Jersey Transportation Authority, New Jersey, Transportation System Revenue Bonds, Series 2022A 549300W8SZI2CAOKT956 South Jersey Transportation Authority, New Jersey, Transportation System Revenue Bonds, Series 2022A 838536MQ0 650000.00000000 PA USD 698548.50000000 0.162297167804 Long DBT MUN US N 2 2052-11-01 Fixed 5.25000000 N N N N N N New Jersey Transportation Trust Fund Authority, Transportation System Bonds, Capital Appreciation Series 2010A 549300YUVD5TEXR6L889 New Jersey Transportation Trust Fund Authority, Transportation System Bonds, Capital Appreciation Series 2010A 646136XH9 14360000.00000000 PA USD 10239254.40000000 2.378935735390 Long DBT MUN US N 2 2030-12-15 Fixed 0.00000000 N N N N N N New Jersey Higher Education Student Assistance Authority, Student Loan Revenue Bonds, Senior Series 2020B 5493007OOYUHTF8GSL63 New Jersey Higher Education Student Assistance Authority, Student Loan Revenue Bonds, Senior Series 2020B 646080VF5 735000.00000000 PA USD 711766.65000000 0.165368204831 Long DBT MUN US N 2 2039-12-01 Fixed 3.50000000 N N N N N N Camden County Improvement Authority, New Jersey, County Guaranteed Loan Revenue Bonds, Capital Program, Series 2022 549300UTQBT9ZE0QFB15 Camden County Improvement Authority, New Jersey, County Guaranteed Loan Revenue Bonds, Capital Program, Series 2022 13281NE40 300000.00000000 PA USD 342963.00000000 0.079682260518 Long DBT MUN US N 2 2031-01-15 Fixed 5.00000000 N N N N N N New Jersey Health Care Facilities Financing Authority, Revenue Bonds, Hunterdon Medical Center, Refunding Series 2014A N/A New Jersey Health Care Facilities Financing Authority, Revenue Bonds, Hunterdon Medical Center, Refunding Series 2014A 64579F7B3 655000.00000000 PA USD 678023.25000000 0.157528436723 Long DBT MUN US N 2 2045-07-01 Fixed 5.00000000 N N N N N N New Jersey Economic Development Authority, Revenue Bonds, United Methodist Homes of New Jersey Obligated Group Issue, Refunding Series 2014A 5493006JS6QWDVU4R678 New Jersey Economic Development Authority, Revenue Bonds, United Methodist Homes of New Jersey Obligated Group Issue, Refunding Series 2014A 64577M8R4 405000.00000000 PA USD 418915.80000000 0.097328743657 Long DBT MUN US N 2 2029-07-01 Fixed 5.00000000 N N N N N N New Jersey Educational Facilities Authority, Revenue Bonds, Montclair State University, Refunding Series 2015D 549300UTOO4X537XXG70 New Jersey Educational Facilities Authority, Revenue Bonds, Montclair State University, Refunding Series 2015D 646066KZ2 2000000.00000000 PA USD 2075480.00000000 0.482206354799 Long DBT MUN US N 2 2031-07-01 Fixed 5.00000000 N N N N N N New Jersey Health Care Facilities Financing Authority, Revenue Bonds, Valley Health System Obligated Group, Series 2019 N/A New Jersey Health Care Facilities Financing Authority, Revenue Bonds, Valley Health System Obligated Group, Series 2019 645790NB8 2695000.00000000 PA USD 1916522.30000000 0.445274939857 Long DBT MUN US N 2 2049-07-01 Fixed 3.00000000 N N N N N N New Jersey Education Facilities Authority Revenue Bonds, The College of New Jersey Issue, Series 2013A 549300UTOO4X537XXG70 New Jersey Education Facilities Authority Revenue Bonds, The College of New Jersey Issue, Series 2013A 6460657J5 1015000.00000000 PA USD 1029433.30000000 0.239173241419 Long DBT MUN US N 2 2043-07-01 Fixed 5.00000000 N N N N N N New Jersey Health Care Facilities Financing Authority, Revenue Bonds, Robert Wood Johnson University Hospital Issue, Series 2014A N/A New Jersey Health Care Facilities Financing Authority, Revenue Bonds, Robert Wood Johnson University Hospital Issue, Series 2014A 64579F6M0 2060000.00000000 PA USD 2096153.00000000 0.487009413355 Long DBT MUN US N 2 2039-07-01 Fixed 5.00000000 N N N N N N New Jersey Housing and Mortgage Finance Agency, Single Family Housing Revenue Bonds, Social Series 2022I 5493002ONULJL0FIGU24 New Jersey Housing and Mortgage Finance Agency, Single Family Housing Revenue Bonds, Social Series 2022I 64613AGD8 1465000.00000000 PA USD 1482316.30000000 0.344393749726 Long DBT MUN US N 2 2046-10-01 Fixed 4.60000000 N N N N N N New Jersey Transportation Trust Fund Authority, Transportation System Bonds, Refunding Series 2006C 549300YUVD5TEXR6L889 New Jersey Transportation Trust Fund Authority, Transportation System Bonds, Refunding Series 2006C 646136EX5 1045000.00000000 PA USD 626414.80000000 0.145537994729 Long DBT MUN US N 2 2034-12-15 Fixed 0.00000000 N N N N N N New Jersey Higher Education Student Assistance Authority, Student Loan Revenue Bonds, Series 2013-1A 5493007OOYUHTF8GSL63 New Jersey Higher Education Student Assistance Authority, Student Loan Revenue Bonds, Series 2013-1A 646080PU9 355000.00000000 PA USD 355014.20000000 0.082482174380 Long DBT MUN US N 2 2025-12-01 Fixed 3.62500000 N N N N N N New Jersey Educational Facilities Authority, Revenue Bonds, William Paterson University, Series 2017B 549300UTOO4X537XXG70 New Jersey Educational Facilities Authority, Revenue Bonds, William Paterson University, Series 2017B 646066Y38 1375000.00000000 PA USD 1427415.00000000 0.331638263888 Long DBT MUN US N 2 2047-07-01 Fixed 5.00000000 N N N N N N New Jersey Economic Development Authority, Water Facilities Revenue Bonds, Middlesex Water Company, Series 2019 5493006JS6QWDVU4R678 New Jersey Economic Development Authority, Water Facilities Revenue Bonds, Middlesex Water Company, Series 2019 645780FK8 4195000.00000000 PA USD 3435285.50000000 0.798136574985 Long DBT MUN US N 2 2059-08-01 Fixed 4.00000000 N N N N N N New Jersey Housing and Mortgage Finance Agency, Single Family Housing Revenue Bonds, Series 2020E 5493002ONULJL0FIGU24 New Jersey Housing and Mortgage Finance Agency, Single Family Housing Revenue Bonds, Series 2020E 64613ACU4 1575000.00000000 PA USD 1190495.25000000 0.276593546990 Long DBT MUN US N 2 2040-10-01 Fixed 2.25000000 N N N N N N Puerto Rico Sales Tax Financing Corporation, Sales Tax Revenue Bonds, Taxable Restructured Cofina Project Series 2019A-2 N/A Puerto Rico Sales Tax Financing Corporation, Sales Tax Revenue Bonds, Taxable Restructured Cofina Project Series 2019A-2 74529JRH0 2764000.00000000 PA USD 2503962.88000000 0.581757864647 Long DBT MUN US N 2 2040-07-01 Fixed 4.32900000 N N N N N N Verona Township Board of Education, Essex County, New Jersey, General Obligation Bonds, Refunding Series 2020 N/A Verona Township Board of Education, Essex County, New Jersey, General Obligation Bonds, Refunding Series 2020 925053EC0 1280000.00000000 PA USD 945203.20000000 0.219603652946 Long DBT MUN US N 2 2039-03-01 Fixed 2.25000000 N N N N N N New Jersey Economic Development Authority, School Facilities Construction Financing Program Bonds, Refunding Series 2013NN 5493006JS6QWDVU4R678 New Jersey Economic Development Authority, School Facilities Construction Financing Program Bonds, Refunding Series 2013NN 645918U43 1225000.00000000 PA USD 1232705.25000000 0.286400401422 Long DBT MUN US N 2 2031-03-01 Fixed 5.00000000 N N N N N N Puerto Rico Aqueduct and Sewerage Authority, Revenue Bonds, Refunding Senior Lien Series 2020A N/A Puerto Rico Aqueduct and Sewerage Authority, Revenue Bonds, Refunding Senior Lien Series 2020A 745160SG7 1260000.00000000 PA USD 1274200.20000000 0.296041124812 Long DBT MUN US Y 2 2030-07-01 Fixed 5.00000000 N N N N N N Somers Point, New Jersey, General Obligation Bonds, Improvement Sewer Utility Series 2019 N/A Somers Point, New Jersey, General Obligation Bonds, Improvement Sewer Utility Series 2019 834562GW4 1145000.00000000 PA USD 993631.00000000 0.230855119069 Long DBT MUN US N 2 2031-10-01 Fixed 2.00000000 N N N N N N Rutgers State University, New Jersey, Revenue Bonds, Refunding Series 2013L 549300BOYDHNW8J60112 Rutgers State University, New Jersey, Revenue Bonds, Refunding Series 2013L 783186SA8 1415000.00000000 PA USD 1429815.05000000 0.332195879169 Long DBT MUN US N 2 2043-05-01 Fixed 5.00000000 N N N N N N 2022-11-30 Nuveen Multistate Trust II E. Scott Wickerham E. Scott Wickerham Vice President and Funds Controller XXXX NPORT-EX 2 tiaa_NFNJ.htm
1
Nuveen
California
High
Yield
Municipal
Bond
Fund
Portfolio
of
Investments
November
30,
2022
(Unaudited)
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
LONG-TERM
INVESTMENTS
-
123.6%   
X
1,485,157,913
MUNICIPAL
BONDS
-
123.5%  
X
1,485,157,913
Consumer
Staples
-
4.8%
$
27,000
California
County
Tobacco
Securitization
Agency,
Tobacco
Settlement
Asset-Backed
Bonds,
Alameda
County
Tobacco
Asset
Securitization
Corporation,
Subordinate
Series
2006A,
0.000%,
6/01/50
12/22
at
18.70
N/R
$
5,038,200
1,155
California
County
Tobacco
Securitization
Agency,
Tobacco
Settlement
Asset-Backed
Bonds,
Golden
Gate
Tobacco
Funding
Corporation,
Turbo,
Series
2007A,
5.000%,
6/01/47
12/22
at
100.00
N/R
1,059,943
1,870
California
County
Tobacco
Securitization
Agency,
Tobacco
Settlement
Asset-Backed
Bonds,
Merced
County
Tobacco
Funding
Corporation,
Series
2020B,
5.000%,
6/01/50
12/30
at
100.00
N/R
1,831,665
20,000
California
County
Tobacco
Securitization
Agency,
Tobacco
Settlement
Asset-Backed
Bonds,
Stanislaus
County
Tobacco
Funding
Corporation,
Series
2006A,
0.000%,
6/01/46
12/22
at
26.45
N/R
4,829,200
5,095
California
County
Tobacco
Securitization
Agency,
Tobacco
Settlement
Bonds,
Gold
Country
Settlement
Funding
Corporation,
Subpordinate
Series
2020B-2,
0.000%,
6/01/55
12/30
at
36.29
N/R
969,935
213,695
Golden
State
Tobacco
Securitization
Corporation,
California,
Tobacco
Settlement
Asset-Backed
Bonds,
Capital
Appreciation
Series
2021B-2,
0.000%,
6/01/66
12/31
at
27.75
N/R
23,006,404
12,500
Golden
State
Tobacco
Securitization
Corporation,
California,
Tobacco
Settlement
Asset-Backed
Bonds,
Taxable
Senior
Series
2021A-1,
4.214%,
6/01/50
12/31
at
100.00
BBB+
9,590,000
3,460
Guam
Economic
Development
&
Commerce
Authority,
Tobacco
Settlement
Asset-Backed
Bonds,
Series
2007A,
5.625%,
6/01/47
12/22
at
100.00
N/R
3,154,551
25,600
Inland
Empire
Tobacco
Securitization
Authority,
California,
Tobacco
Settlement
Asset-Backed
Bonds,
Series
2007C-2.
Turbo
Capital
Appreciation,
0.000%,
6/01/47
12/22
at
19.72
CCC
5,034,752
7,500
Silicon
Valley
Tobacco
Securitization
Authority,
California,
Tobacco
Settlement
Asset-Backed
Bonds,
Santa
Clara
County
Tobacco
Securitization
Corporation,
Series
2007A,
0.000%,
6/01/47
1/23
at
25.36
N/R
1,787,700
5,000
Tobacco
Securitization
Authority
of
Southern
California,
Tobacco
Settlement
Asset-Backed
Bonds,
San
Diego
County
Tobacco
Asset
Securitization
Corporation,
First
Subordinate
CABs,
Series
2006B,
0.000%,
6/01/46
12/22
at
23.61
CCC-
895,600
322,875
Total
Consumer
Staples
57,197,950
Education
and
Civic
Organizations
-
16.3%
California
Enterprise
Development
Authority,
Charter
School
Revenue
Bonds,
Academy
for
Academic
Excellence
Project,
Series
2020A:
700
5.000%,
7/01/50,
144A
7/27
at
100.00
Ba2
610,379
650
5.000%,
7/01/55,
144A
7/27
at
100.00
Ba2
554,964
2,000
California
Enterprise
Development
Authority,
Charter
School
Revenue
Bonds,
Norton
Science
&
Language
Academy
Project,
Series
2021,
4.000%,
7/01/61,
144A
7/27
at
100.00
N/R
1,297,860
4,240
California
Enterprise
Development
Authority,
Charter
School
Revenue
Bonds,
Norton
Science
and
Language
Academy
Project,
Series
2020,
6.250%,
7/01/58,
144A
7/27
at
102.00
N/R
3,944,472
10,000
California
Infrastructure
and
Economic
Development
Bank,
Revenue
Bonds,
Los
Angeles
County
Museum
of
Natural
History
Foundation,
Series
2020,
3.000%,
7/01/50,
(UB)
7/30
at
100.00
A2
7,638,500
250
California
Infrastructure
and
Economic
Development
Bank,
Revenue
Bonds,
WFCS
Portfolio
Projects,
Senior
Series
2021A-1,
5.000%,
1/01/56,
144A
1/31
at
100.00
N/R
196,452
Nuveen
California
High
Yield
Municipal
Bond
Fund
(continued)
Portfolio
of
Investments
November
30,
2022
(Unaudited)
2
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Education
and
Civic
Organizations
(continued)
California
Municipal
Finance
Authority
Charter
School
Revenue
Bonds,
John
Adams
Academies,
Inc.
Project,
Series
2015A:
$
900
5.000%,
10/01/35
1/23
at
102.00
BB
$
859,689
1,335
5.250%,
10/01/45
1/23
at
102.00
BB
1,280,065
500
5.250%,
10/01/45
1/23
at
102.00
BB
479,425
4,205
California
Municipal
Finance
Authority
Charter
School
Revenue
Bonds,
John
Adams
Academies,
Inc.
Project,
Series
2017A,
5.000%,
10/01/47,
144A
1/23
at
102.00
BB
3,790,387
250
California
Municipal
Finance
Authority
Charter
School
Revenue
Bonds,
River
Charter
Schools
Project,
Series
2018A,
5.500%,
6/01/53,
144A
6/26
at
100.00
BB
240,365
California
Municipal
Finance
Authority,  Revenue
Bonds,
Creative
Center
of
Los
Altos
Project
Pinewood
&
Oakwood
Schools,
Series
2016B:
500
4.000%,
11/01/36,
144A
11/26
at
100.00
N/R
433,885
2,200
4.500%,
11/01/46,
144A
11/26
at
100.00
N/R
1,834,910
820
California
Municipal
Finance
Authority,
Charter
School
Lease
Revenue
Bonds,
Bella
Mente
Montessori
Academy
Project,
Series
2018A,
5.000%,
6/01/38,
144A
6/28
at
100.00
Ba1
771,087
California
Municipal
Finance
Authority,
Charter
School
Lease
Revenue
Bonds,
Nova
Academy
Project,
Series
2016A:
825
5.000%,
6/15/36,
144A
6/26
at
100.00
BB
820,149
1,000
5.000%,
6/15/46,
144A
6/26
at
100.00
BB
944,470
California
Municipal
Finance
Authority,
Charter
School
Lease
Revenue
Bonds,
Santa
Rosa
Academy
Project,
Series
2015:
400
5.125%,
7/01/35,
144A
7/25
at
100.00
BB+
400,124
425
5.375%,
7/01/45,
144A
7/25
at
100.00
BB+
425,433
California
Municipal
Finance
Authority,
Charter
School
Revenue
Bonds,
John
Adams
Academies,
Inc.
-
Lincoln
Project,
Taxable
Series
2019B:
500
5.000%,
10/01/39,
144A
10/27
at
100.00
N/R
463,930
1,000
5.000%,
10/01/57,
144A
10/27
at
100.00
N/R
851,950
California
Municipal
Finance
Authority,
Charter
School
Revenue
Bonds,
John
Adams
Academies,
Inc.
Project,
Series
2014A:
1,400
5.000%,
10/01/34
1/23
at
102.00
BB
1,346,660
465
5.000%,
10/01/44
1/23
at
102.00
BB
425,684
California
Municipal
Finance
Authority,
Charter
School
Revenue
Bonds,
Learning
Choice
Academy
Chula
Vista,
Series
2021A:
1,605
4.000%,
7/01/51
7/31
at
100.00
BBB-
1,332,535
1,080
4.000%,
7/01/55
7/31
at
100.00
BBB-
870,977
California
Municipal
Finance
Authority,
Charter
School
Revenue
Bonds,
Palmdale
Aerospace
Academy
Project,
Series
2016A:
1,195
5.000%,
7/01/41,
144A
7/26
at
100.00
BB
1,131,271
1,145
5.000%,
7/01/46,
144A
7/26
at
100.00
BB
1,055,621
California
Municipal
Finance
Authority,
Charter
School
Revenue
Bonds,
Partnerships
to
Uplift
Communities
Project,
Series
2012A:
1,330
5.000%,
8/01/32
1/23
at
100.00
BB+
1,270,004
2,130
5.250%,
8/01/42
1/23
at
100.00
BB+
1,958,343
1,795
5.300%,
8/01/47
1/23
at
100.00
BB+
1,631,996
California
Municipal
Finance
Authority,
Charter
School
Revenue
Bonds,
Urban
Discovery
Academy
Project,
Series
2014A:
775
5.500%,
8/01/34,
144A
8/24
at
100.00
BB-
778,844
1,650
6.000%,
8/01/44,
144A
8/24
at
100.00
BB-
1,663,827
1,715
California
Municipal
Finance
Authority,
Education
Revenue
Bonds,  American
Heritage
Foundation
Project,
Series
2016A,
5.000%,
6/01/46
6/26
at
100.00
BBB-
1,726,576
1,390
California
Municipal
Finance
Authority,
Education
Revenue
Bonds,
Literacy
First
Charter
Schools
Project,
Series
2019A,
5.000%,
12/01/49
12/29
at
100.00
BBB-
1,394,031
3
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Education
and
Civic
Organizations
(continued)
California
Municipal
Finance
Authority,
Education
Revenue
Bonds,
STREAM
Charter
Schools
Project,
Series
2020A:
$
705
5.000%,
6/15/41,
144A
6/30
at
100.00
N/R
$
651,223
1,385
5.000%,
6/15/51,
144A
6/30
at
100.00
N/R
1,210,448
1,335
California
Municipal
Finance
Authority,
Educational
Facilities
Revenue
Bonds,
OCEAA
Project,
Series
2008A,
7.000%,
10/01/39
1/23
at
100.00
N/R
1,335,881
California
Municipal
Finance
Authority,
Revenue
Bonds,
Azusa
Pacific
University
Project,
Refunding
Series
2015B:
1,435
5.000%,
4/01/35
4/25
at
100.00
Ba1
1,438,645
8,640
5.000%,
4/01/41
4/25
at
100.00
Ba1
8,396,957
7,880
California
Municipal
Finance
Authority,
Revenue
Bonds,
California
Baptist
University,
Series
2016A,
5.000%,
11/01/46,
144A
11/26
at
100.00
N/R
7,754,314
California
Municipal
Finance
Authority,
Revenue
Bonds,
Claremont
Graduate
University,
Refunding
Series
2020B:
1,000
5.000%,
10/01/49,
144A
10/30
at
100.00
N/R
901,760
1,000
5.000%,
10/01/54,
144A
10/30
at
100.00
N/R
888,290
235
California
Municipal
Finance
Authority,
Revenue
Bonds,
Emerson
College,
Series
2011,
5.000%,
1/01/28
1/23
at
100.00
Baa2
235,287
300
California
Municipal
Finance
Authority,
Revenue
Bonds,
Goodwill
Industries
of
Sacramento
Valley
&
Northern
Nevada
Project,
Series
2012A,
6.625%,
1/01/32,
144A
1/23
at
100.00
N/R
298,365
3,700
California
Municipal
Finance
Authority,
Revenue
Bonds,
Goodwill
Industries
of
Sacramento
Valley
&
Northern
Nevada
Project,
Series
2014A,
5.250%,
1/01/45
1/25
at
100.00
N/R
2,924,480
7,000
California
Municipal
Finance
Authority,
Revenue
Bonds,
Simpson
University,
Series
2020A,
6.000%,
10/01/50,
144A
10/27
at
103.00
N/R
7,099,610
California
Municipal
Finance
Authority,
Revenue
Bonds,
The
Master's
University
&
Seminary,
Series
2019:
1,000
5.000%,
8/01/34
8/29
at
100.00
BBB-
1,024,510
2,000
5.000%,
8/01/48
8/29
at
100.00
BBB-
1,944,620
2,000
California
Public
Finance
Authority,
Charter
School
Lease
Revenue
Bonds,
California
Crosspoint
Academy
Project,
Series
2020A,
5.125%,
7/01/55,
144A
7/28
at
100.00
N/R
1,613,540
700
California
Public
Finance
Authority,
Charter
School
Lease
Revenue
Bonds,
Multicultural
Learning
Center
Project,
Series
2017A,
6.250%,
6/15/47
6/27
at
100.00
N/R
704,907
4,000
California
Public
Finance
Authority,
Educational
Facility
Revenue
Bonds,
Crossroads
Christian
Schools,
Series
2020,
5.000%,
1/01/56,
144A
1/26
at
100.00
N/R
3,152,080
1,075
California
School
Finance
Authority
Charter
School
Facility
Revenue
Bonds,
Grimmway
Schools-Obligated
Group,
Series
2016A,
5.000%,
7/01/46,
144A
7/26
at
100.00
BB+
1,023,325
California
School
Finance
Authority
Charter
School
Revenue
Bonds,
Bright
Star
Schools
-
Obligated
Group,
Series
2017:
1,190
5.000%,
6/01/27,
144A
No
Opt.
Call
N/R
1,195,867
755
5.000%,
6/01/37,
144A
6/27
at
100.00
N/R
741,259
1,000
5.000%,
6/01/47,
144A
6/27
at
100.00
N/R
939,540
3,090
5.000%,
6/01/54,
144A
6/27
at
100.00
N/R
2,851,266
945
California
School
Finance
Authority
Charter
School
Revenue
Bonds,
California,
ACE
Charter
Schools,
Obligated
Group,
Series
2016A,
5.000%,
6/01/52,
144A
6/26
at
100.00
N/R
842,439
1,000
California
School
Finance
Authority
Charter
School
Revenue
Bonds,
Ednovate
Obligated
Group,
Series
2018,
5.000%,
6/01/48,
144A
6/27
at
100.00
N/R
911,480
California
School
Finance
Authority
Charter
School
Revenue
Bonds,
Fenton
Schools
-
Obligated
Group,
Series
2020A:
750
5.000%,
7/01/50,
144A
7/27
at
100.00
BB+
691,065
1,000
5.000%,
7/01/58,
144A
7/27
at
100.00
BB+
899,330
California
School
Finance
Authority
Charter
School
Revenue
Bonds,
John
Adams
Academy
Obligated
Group,
Series
2022A:
3,175
5.000%,
7/01/52,
144A
7/30
at
102.00
BB
2,809,462
8,125
5.125%,
7/01/62,
144A
7/30
at
102.00
BB
7,064,688
Nuveen
California
High
Yield
Municipal
Bond
Fund
(continued)
Portfolio
of
Investments
November
30,
2022
(Unaudited)
4
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Education
and
Civic
Organizations
(continued)
$
305
California
School
Finance
Authority
School
Facility
Revenue
Bonds,
Green
Dot
Public
Schools
California
Projects,
Series
2018A,
5.000%,
8/01/48,
144A
8/28
at
100.00
BBB-
$
305,186
1,000
California
School
Finance
Authority,
California,
Charter
School
Revenue
Bonds,
Alta
Public
Schools
-
Obligated
Group,
Series
2020A,
6.000%,
6/01/59,
144A
6/28
at
102.00
N/R
925,310
California
School
Finance
Authority,
California,
Charter
School
Revenue
Bonds,
Aspire
Public
Schools,
Refunding
Series
2015A:
1,045
5.000%,
8/01/40,
144A
8/25
at
100.00
BBB
1,050,842
1,100
5.000%,
8/01/45,
144A
8/25
at
100.00
BBB
1,100,891
California
School
Finance
Authority,
California,
Charter
School
Revenue
Bonds,
Aspire
Public
Schools,
Refunding
Series
2016:
460
5.000%,
8/01/46,
144A
8/25
at
100.00
BBB
460,046
1,100
California
School
Finance
Authority,
California,
Charter
School
Revenue
Bonds,
Encore
Education
Obligated
Group,
Series
2016A,
5.000%,
6/01/52,
144A
6/26
at
100.00
N/R
831,391
165
California
School
Finance
Authority,
California,
Charter
School
Revenue
Bonds,
Encore
Education,
Series
2022,
8.000%,
7/01/30,
144A
1/23
at
100.00
N/R
164,959
California
School
Finance
Authority,
California,
Charter
School
Revenue
Bonds,
Girls
Athletic
Leadership
School
Los
Angeles
Project,
Series
2021A:
1,000
4.000%,
6/01/41,
144A
6/31
at
100.00
N/R
784,000
500
4.000%,
6/01/51,
144A
6/31
at
100.00
N/R
353,720
2,300
California
School
Finance
Authority,
California,
Charter
School
Revenue
Bonds,
Lighthouse
Community
Public
Schools
Obligated
Group,
Series
2022A,
6.500%,
6/01/62,
144A
6/29
at
100.00
N/R
2,343,792
1,300
California
School
Finance
Authority,
California,
Charter
School
Revenue
Bonds,
TEACH
Public
Schools
Obligated
Group,
Series
2016A,
5.875%,
6/01/52
6/26
at
100.00
N/R
1,321,918
California
School
Finance
Authority,
California,
Charter
School
Revenue
Bonds,
TEACH
Public
Schools
Obligated
Group,
Series
2019A:
1,000
5.000%,
6/01/49,
144A
6/26
at
100.00
N/R
917,650
1,600
5.000%,
6/01/58,
144A
6/26
at
100.00
N/R
1,432,400
California
School
Finance
Authority,
Charter
School
Revenue
Bonds,
Arts
in
Action
Charter
Schools
-
Obligated
Group,
Series
2020A:
3,700
5.000%,
6/01/50,
144A
6/27
at
100.00
N/R
3,434,340
7,200
5.000%,
6/01/59,
144A
6/27
at
100.00
N/R
6,520,968
California
School
Finance
Authority,
Charter
School
Revenue
Bonds,
Aspire
Public
School
-
Obligated
Group,Issue
No.6,
Series
2020A:
1,060
5.000%,
8/01/52,
144A
8/28
at
100.00
BBB
1,046,464
5,315
5.000%,
8/01/61,
144A
8/28
at
100.00
BBB
5,152,573
California
School
Finance
Authority,
Charter
School
Revenue
Bonds,
CIty
Charter
School
Obligated
Group,
Series
2016A:
2,520
5.000%,
6/01/42,
144A
6/26
at
100.00
N/R
2,339,140
2,930
5.000%,
6/01/52,
144A
6/26
at
100.00
N/R
2,593,167
805
California
School
Finance
Authority,
Charter
School
Revenue
Bonds,
Classical
Academies
Project,
Series
2017A,
5.000%,
10/01/44,
144A
10/27
at
100.00
BBB-
814,233
California
School
Finance
Authority,
Charter
School
Revenue
Bonds,
Downtown
College
Prep
-
Obligated
Group,
Series
2016:
1,500
4.750%,
6/01/36,
144A
6/26
at
100.00
N/R
1,396,500
1,180
5.000%,
6/01/46,
144A
6/26
at
100.00
N/R
1,055,534
1,500
California
School
Finance
Authority,
Charter
School
Revenue
Bonds,
Ivy
Academia,
Series
2021A,
4.000%,
6/01/51,
144A
6/28
at
103.00
N/R
1,094,355
675
California
School
Finance
Authority,
Charter
School
Revenue
Bonds,
Kepler
Neighborhood
School,
Series
2017A,
5.750%,
5/01/37,
144A
5/27
at
100.00
N/R
669,094
5
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Education
and
Civic
Organizations
(continued)
$
915
California
School
Finance
Authority,
Charter
School
Revenue
Bonds,
Larchmont
Charter
School
Project
,
Series
2018A,
5.000%,
6/01/43,
144A
6/27
at
100.00
N/R
$
903,444
California
School
Finance
Authority,
Charter
School
Revenue
Bonds,
Lifeline
Education
Charter
School
Project,
Series
2020A:
820
5.000%,
7/01/45,
144A
7/28
at
100.00
BB+
755,376
1,240
5.000%,
7/01/55,
144A
7/28
at
100.00
BB+
1,100,388
2,500
California
School
Finance
Authority,
Charter
School
Revenue
Bonds,
Rocketship
Education
Obligated
Group,
Series
2016A,
5.000%,
6/01/46,
144A
6/25
at
100.00
N/R
2,256,975
California
School
Finance
Authority,
Charter
School
Revenue
Bonds,
Rocketship
Education
Obligated
Group,
Series
2017A:
950
5.125%,
6/01/47,
144A
6/26
at
100.00
N/R
870,152
1,000
5.250%,
6/01/52,
144A
6/26
at
100.00
N/R
920,090
California
School
Finance
Authority,
Charter
School
Revenue
Bonds,
Rocketship
Public
Schools
Obligated
Group,
Series
2017G:
360
5.000%,
6/01/37,
144A
6/27
at
100.00
N/R
343,559
750
5.000%,
6/01/47,
144A
6/27
at
100.00
N/R
674,752
250
5.000%,
6/01/53,
144A
6/27
at
100.00
N/R
220,898
California
School
Finance
Authority,
Charter
School
Revenue
Bonds,
Russell
Westbrook
Why
Not
Academy
Obligated
Group,
Series
2021A:
4,000
4.000%,
6/01/51,
144A
6/27
at
100.00
N/R
2,961,920
2,000
4.000%,
6/01/61,
144A
6/27
at
100.00
N/R
1,392,840
400
California
School
Finance
Authority,
Charter
School
Revenue
Bonds,
Santa
Clarita
Valley
International
School
Project,
Series
2021A,
4.000%,
6/01/41
6/31
at
100.00
N/R
330,488
3,000
California
School
Finance
Authority,
Charter
School
Revenue
Bonds,
Scholarship
Prep
Public
Schools
Obligated
Group,
Series
2020A,
5.000%,
6/01/60,
144A
6/28
at
100.00
N/R
2,201,670
575
California
School
Finance
Authority,
Charter
School
Revenue
Bonds,
Scholarship
Prep
Public
Schools
Obligated
Group,
Series
2020B,
5.000%,
6/01/27,
144A
No
Opt.
Call
N/R
537,941
California
School
Finance
Authority,
Charter
School
Revenue
Bonds,
Social
Bonds
iLead
Lancaster
Project,
Series
2021A:
600
5.000%,
6/01/51,
144A
6/29
at
100.00
N/R
541,164
1,320
5.000%,
6/01/61,
144A
6/29
at
100.00
N/R
1,147,238
500
California
School
Finance
Authority,
Charter
School
Revenue
Bonds,
Summit
Public
Schools
Obligated
Group,
Series
2017,
5.000%,
6/01/47,
144A
6/27
at
100.00
Baa3
501,430
California
School
Finance
Authority,
Charter
School
Revenue
Bonds,
Valley
International
Preparatory
High
School
Project,
Series
2022A:
1,000
5.125%,
3/01/52,
144A
3/31
at
100.00
N/R
789,460
1,000
5.250%,
3/01/62,
144A
3/31
at
100.00
N/R
773,640
California
School
Finance
Authority,
Educational
Facilities
Revenue
Bonds,
New
Designs
Charter
School
Adams
Campus
Project,
Series
2019A:
750
5.000%,
6/01/40,
144A
6/27
at
100.00
BB+
718,763
1,060
5.000%,
6/01/50,
144A
6/27
at
100.00
BB+
975,465
California
School
Finance
Authority,
Educational
Facilities
Revenue
Bonds,
New
Designs
Charter
School
Project,
Series
2014A:
1,000
5.750%,
6/01/34,
144A
6/24
at
100.00
BB+
1,015,580
1,500
6.000%,
6/01/44,
144A
6/24
at
100.00
BB+
1,527,000
Nuveen
California
High
Yield
Municipal
Bond
Fund
(continued)
Portfolio
of
Investments
November
30,
2022
(Unaudited)
6
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Education
and
Civic
Organizations
(continued)
California
School
Finance
Authority,
Educational
Facility
Revenue
Bonds,
River
Springs
Charter
School
Project,
Series
2017A:
$
3,710
5.000%,
7/01/47,
144A
7/27
at
100.00
Ba2
$
3,231,744
2,680
5.000%,
7/01/52,
144A
7/27
at
100.00
Ba2
2,291,239
California
School
finance
Authority,
School
Facility
Revenue
Bonds,  ICEF
-
View
Park
Elementary
and
Middle
Schools,
Series
2014A:
575
5.625%,
10/01/34
10/24
at
100.00
BB
579,468
1,000
5.875%,
10/01/44
10/24
at
100.00
BB
1,007,740
520
6.000%,
10/01/49
10/24
at
100.00
BB
524,867
California
School
Finance
Authority,
School
Facility
Revenue
Bonds,
Alliance
for
College-Ready
Public
Schools
Project,
Series
2015A:
3,000
4.125%,
7/01/35,
144A
7/25
at
100.00
BBB
2,902,050
1,000
5.000%,
7/01/45,
144A
7/25
at
100.00
BBB
1,005,730
1,015
California
School
Finance
Authority,
School
Facility
Revenue
Bonds,
Alta
Public
Schools
Project,
Series
2014A,
6.500%,
11/01/34,
144A
11/24
at
100.00
N/R
1,036,051
680
California
School
Finance
Authority,
School
Facility
Revenue
Bonds,
Granada
Hills
Charter
High
School
Obligated
Group,
Series
2021A,
4.000%,
7/01/48,
144A
7/28
at
100.00
BBB
576,681
California
School
Finance
Authority,
School
Facility
Revenue
Bonds,
Green
Dot
Public
Schools
California
Projects,
Series
2022A:
1,200
5.375%,
8/01/42
8/32
at
100.00
BBB-
1,265,184
1,150
5.750%,
8/01/52
8/32
at
100.00
BBB-
1,211,272
600
California
School
Finance
Authority,
School
Facility
Revenue
Bonds,
KIPP
LA
Projects,
Series
2014A,
5.000%,
7/01/34,
144A
7/24
at
100.00
BBB
607,530
250
California
School
Finance
Authority,
School
Facility
Revenue
Bonds,
KIPP
LA
Projects,
Series
2017A,
5.000%,
7/01/47,
144A
7/27
at
100.00
BBB
251,225
1,250
California
School
Finance
Authority,
School
Facility
Revenue
Bonds,
Value
Schools,
Series
2013,
6.650%,
7/01/33
7/23
at
100.00
BB+
1,266,525
California
School
Finance
Authority,
School
Facility
Revenue
Bonds,
Value
Schools,
Series
2016A:
625
5.250%,
7/01/31,
144A
7/26
at
100.00
BB+
634,325
1,355
6.000%,
7/01/51,
144A
7/26
at
100.00
BB+
1,374,038
4,015
University
of
California,
General
Revenue
Bonds,
Limited
Project
Series
2018O,
4.000%,
5/15/48,
(UB)
(4)
5/28
at
100.00
AA-
3,959,673
1,250
University
of
California,
General
Revenue
Bonds,
Tender
Option
Bond
Trust
2016-XL0001,
12.570%,
5/15/39,
144A,
(IF)
(4)
5/23
at
100.00
AA
1,309,175
University
of
Puerto
Rico,
University
System
Revenue
Bonds,
Refunding
Series
2006P:
10
5.000%,
6/01/23
1/23
at
100.00
CC
9,961
1,005
5.000%,
6/01/24
1/23
at
100.00
CC
994,357
580
5.000%,
6/01/30
1/23
at
100.00
CC
557,200
University
of
Puerto
Rico,
University
System
Revenue
Bonds,
Series
2006Q:
125
5.000%,
6/01/30
1/23
at
100.00
CC
120,086
1,580
5.000%,
6/01/36
1/23
at
100.00
CC
1,496,655
214,720
Total
Education
and
Civic
Organizations
195,750,985
Health
Care
-
16.0%
Antelope
Valley
Healthcare
District,
California,
Revenue
Bonds,
Series
2016A:
2,765
5.000%,
3/01/31
3/26
at
100.00
BBB
2,815,129
5,160
5.250%,
3/01/36
3/26
at
100.00
BBB
5,250,352
6,280
5.000%,
3/01/41
3/26
at
100.00
BBB
6,240,436
10,600
5.000%,
3/01/46
3/26
at
100.00
BBB
10,234,724
2,000
California
Health
Facilities
Financing
Authority,
California,
Revenue
Bonds,
Sutter
Health,
Refunding
Series
2017A,
5.000%,
11/15/48,
(UB)
(4)
11/27
at
100.00
A
2,046,040
37,010
California
Health
Facilities
Financing
Authority,
Revenue
Bonds,
Cedars-
Sinai
Health
System,
Series
2021A,
4.000%,
8/15/48,
(UB)
(4)
8/31
at
100.00
AA-
35,037,367
7
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Health
Care
(continued)
$
2,485
California
Health
Facilities
Financing
Authority,
Revenue
Bonds,
City
of
Hope
National
Medical
Center,
Series
2019,
5.000%,
11/15/49
11/26
at
100.00
A2
$
2,517,752
1,570
California
Health
Facilities
Financing
Authority,
Revenue
Bonds,
El
Camino
Hospital,
Series
2017,
5.000%,
2/01/47,
(UB)
(4)
2/27
at
100.00
A1
1,593,550
17,500
California
Health
Facilities
Financing
Authority,
Revenue
Bonds,
Kaiser
Permanente
System,
Series
2017A-2,
4.000%,
11/01/44,
(UB)
(4)
11/27
at
100.00
AA-
17,148,950
260
California
Health
Facilities
Financing
Authority,
Revenue
Bonds,
Lucile
Salter
Packard
Children's
Hospital,
Tender
Option
Bond
Trust
2015-
XF0152,
12.688%,
8/15/43,
144A,
(IF)
(4)
8/24
at
100.00
A+
280,592
11,475
California
Health
Facilities
Financing
Authority,
Revenue
Bonds,
Lucile
Salter
Packard
Children's
Hosptial
at
Stanford,
Series
2017A,
5.000%,
11/15/56,
(UB)
(4)
11/27
at
100.00
A+
11,801,005
California
Health
Facilities
Financing
Authority,
Revenue
Bonds,
Providence
Health
&
Services,
Tender
Option
Bond
Trust
2015-XF0120:
45
22.077%,
10/01/38,
144A,
(IF)
(4)
10/24
at
100.00
AA-
51,715
California
Municipal
Finance
Authority,
Revenue
Bonds,
Clinicas
del
Camino
Real,
Inc.,
Series
2020:
2,535
4.000%,
3/01/40
3/30
at
100.00
BBB
2,236,529
5,750
4.000%,
3/01/50
3/30
at
100.00
BBB
4,698,555
California
Municipal
Finance
Authority,
Revenue
Bonds,
Community
Health
Centers
of
the
Central
Coast,
Inc.,
Series
2021A:
1,000
5.000%,
12/01/46,
144A
12/30
at
100.00
N/R
962,420
1,000
5.000%,
12/01/54,
144A
12/30
at
100.00
N/R
942,940
California
Municipal
Finance
Authority,
Revenue
Bonds,
NorthBay
Healthcare
Group,
Series
2015:
200
5.000%,
11/01/35
11/24
at
100.00
BBB-
202,132
1,000
5.000%,
11/01/40
11/24
at
100.00
BBB-
1,006,470
1,250
5.000%,
11/01/44
11/24
at
100.00
BBB-
1,256,962
California
Municipal
Finance
Authority,
Revenue
Bonds,
NorthBay
Healthcare
Group,
Series
2017A:
4,210
5.250%,
11/01/36
11/26
at
100.00
BBB-
4,235,555
2,955
5.250%,
11/01/41
11/26
at
100.00
BBB-
2,970,130
3,950
5.000%,
11/01/47
11/26
at
100.00
BBB-
3,969,552
2,270
5.250%,
11/01/47
11/26
at
100.00
BBB-
2,278,796
1,565
California
Municipal
Financing
Authority,
Certificates
of
Participation,
Palomar
Health,
Series
2022A,
5.250%,
11/01/52
-
AGM
Insured
11/32
at
100.00
BBB-
1,653,423
18,700
California
Statewide
Communities
Development
Authority,
California,
Revenue
Bonds,
Loma
Linda
University
Medical
Center,
Series
2014A,
5.500%,
12/01/54
12/24
at
100.00
BB-
18,803,037
280
California
Statewide
Communities
Development
Authority,
California,
Revenue
Bonds,
Loma
Linda
University
Medical
Center,
Series
2016A,
5.250%,
12/01/56,
144A
6/26
at
100.00
BB-
278,874
315
California
Statewide
Communities
Development
Authority,
California,
Revenue
Bonds,
Loma
Linda
University
Medical
Center,
Series
2018A,
5.250%,
12/01/48,
144A
6/28
at
100.00
BB-
317,599
6,250
California
Statewide
Communities
Development
Authority,
Revenue
Bonds,
Emanate
Health,
Series
2020A,
3.000%,
4/01/50,
(UB)
(4)
4/30
at
100.00
A
4,576,188
1,035
California
Statewide
Communities
Development
Authority,
Revenue
Bonds,
Marin
General
Hospital,
Green
Series
2018A,
4.000%,
8/01/45,
(UB)
(4)
8/23
at
100.00
BBB
891,590
California
Statewide
Community
Development
Authority,
Revenue
Bonds,
Daughters
of
Charity
Health
System,
Series
2005A:
117
5.750%,
7/01/24
(5),(6)
1/22
at
100.00
N/R
116,844
68
5.750%,
7/01/30
(5),(6)
1/22
at
100.00
N/R
67,638
73
5.750%,
7/01/35
(5),(6)
1/22
at
100.00
N/R
73,068
305
5.500%,
7/01/39
(5),(6)
1/22
at
100.00
N/R
305,440
6
California
Statewide
Community
Development
Authority,
Revenue
Bonds,
Daughters
of
Charity
Health
System,
Series
2005H,
5.750%,
7/01/25
(5),(6)
1/22
at
100.00
N/R
6,089
Nuveen
California
High
Yield
Municipal
Bond
Fund
(continued)
Portfolio
of
Investments
November
30,
2022
(Unaudited)
8
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Health
Care
(continued)
Palomar
Pomerado
Health
Care
District,
California,
Certificates
of
Participation,
Series
2017:
$
875
4.000%,
11/01/38
11/27
at
100.00
Baa3
$
801,570
1,500
4.000%,
11/01/47
11/27
at
100.00
Baa3
1,299,465
Palomar
Pomerado
Health
System,
California,
Revenue
Bonds,
Refunding
Series
2016:
1,085
5.000%,
11/01/36
11/26
at
100.00
Baa3
1,103,999
2,090
5.000%,
11/01/39
11/26
at
100.00
Baa3
2,105,215
University
of
California
Regents,
Medical
Center
Pooled
Revenue
Bonds,
Series
2022P:
24,820
4.000%,
5/15/53,
(UB)
,(WI/DD,
Settling
12/08/22)
(4)
5/32
at
100.00
AA-
23,418,911
20,000
3.500%,
5/15/54,
(UB)
5/32
at
100.00
AA-
16,900,600
200
Washington
Township
Health
Care
District,
California,
Revenue
Bonds,
Series
2017A,
5.000%,
7/01/42
7/27
at
100.00
Baa2
196,820
202,554
Total
Health
Care
192,694,023
Housing/Multifamily
-
15.6%
37,685
California
Community
Housing
Agency,
California,
Essential
Housing
Revenue
Bonds,
Creekwood,
Series
2021A,
4.000%,
2/01/56,
144A
8/31
at
100.00
N/R
29,049,482
10,500
California
Community
Housing
Agency,
California,
Essential
Housing
Revenue
Bonds,
Exchange
at
Bayfront
Apartments,
Junior
Series
2021A-
2,
4.000%,
8/01/51,
144A
8/32
at
100.00
N/R
7,519,155
7,760
California
Community
Housing
Agency,
California,
Essential
Housing
Revenue
Bonds,
Fountains
at
Emerald
Park,
Senior
Lien
Series
2021A-1,
3.000%,
8/01/56,
144A
8/31
at
100.00
N/R
5,113,995
4,980
California
Community
Housing
Agency,
California,
Essential
Housing
Revenue
Bonds,
Glendale
Properties,
Junior
Series
2021A-2,
4.000%,
8/01/47,
144A
8/31
at
100.00
N/R
3,664,882
13,030
California
Community
Housing
Agency,
California,
Essential
Housing
Revenue
Bonds,
Mira
Vista
Hills  Apartments,
Series
2021A,
4.000%,
2/01/56,
144A
8/31
at
100.00
N/R
9,683,896
15,960
California
Community
Housing
Agency,
California,
Essential
Housing
Revenue
Bonds,
Serenity
at
Larkspur
Apartments,
Series
2020A,
5.000%,
2/01/50,
144A
2/30
at
100.00
N/R
14,006,336
13,600
California
Community
Housing
Agency,
California,
Essential
Housing
Revenue
Bonds,
Summit
at
Sausalito
Apartments,
Series
2021A-2,
4.000%,
2/01/50,
144A
8/32
at
100.00
N/R
10,077,736
1,585
California
Housing
Finance
Agency,
Multifamily
Housing
Revenue
Bonds,
Redwood
Gardens
Apartments,
Subordinate
Lien
Series
2021N-S,
4.000%,
3/01/37,
144A
3/31
at
100.00
N/R
1,235,254
4,930
California
Housing
Finance
Agency,
Municipal
Certificate
Revenue
Bonds,
Class
A
Series
2021-2,
3.750%,
3/25/35
2021
1
No
Opt.
Call
AA+
4,841,910
61
California
Housing
Finance
Agency,
Municipal
Certificate
Revenue
Bonds,
Class
A
Series2019-1,
4.250%,
1/15/35
No
Opt.
Call
BBB+
59,154
240
California
Municipal
Finance
Authority,
Mobile
Home
Park
Revenue
Bonds,
Caritas
Affordable
Housing
Inc
Projects,
Senior
Series
2014A,
5.250%,
8/15/49
8/24
at
100.00
A-
243,410
1,270
California
Municipal
Finance
Authority,
Mobile
Home
Park
Revenue
Bonds,
Caritas
Affordable
Housing
Inc
Projects,
Series
2014B,
5.875%,
8/15/49
8/24
at
100.00
N/R
1,271,181
470
California
Municipal
Finance
Authority,
Mobile
Home
Park
Revenue
Bonds,
Caritas
Projects,
Subordinate
Series
2021B,
4.000%,
8/15/51
8/31
at
100.00
BBB
400,689
2,375
California
Municipal
Finance
Authority,
Mobile
Home
Park
Revenue
Bonds,
Royal
York
Estates
Projects
Series
2020A,
4.000%,
2/15/55
2/30
at
100.00
N/R
1,724,915
California
Public
Finance
Authority,
University
Housing
Revenue
Bonds,
National
Campus
Community
Development
-
Claremont
Properties
LLC
Claremont
Colleges
Project,
Series
2017A:
890
5.000%,
7/01/37,
144A
7/27
at
100.00
Caa2
680,930
1,975
5.000%,
7/01/47,
144A
7/27
at
100.00
Caa2
1,431,204
450
California
Statewide
Communities
Development
Authority,
College
Housing
Revenue
Bonds,
National
Campus
Community
Development
-
Hooper
Street
LLC
Project,
Series
2019,
5.250%,
7/01/52,
144A
7/29
at
100.00
B
386,411
9
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Housing/Multifamily
(continued)
California
Statewide
Communities
Development
Authority,
Revenue
Bonds,
Lancer
Educational
Student
Housing
Project,
Refunding
Series
2016A:
$
4,600
5.000%,
6/01/36,
144A
6/26
at
100.00
N/R
$
4,476,766
2,090
5.000%,
6/01/46,
144A
6/26
at
100.00
N/R
1,924,660
1,500
California
Statewide
Communities
Development
Authority,
Student
Housing
Revenue
Bonds,
University
of
California,
Irvine
East
Campus
Apartments,
Phase
IV-B
CHF-Irvine,
LLC,
Series
2021,
4.000%,
5/15/46
5/31
at
100.00
Baa1
1,434,345
2,385
CMFA
Special
Finance
Agency
I,
California,
Essential
Housing
Revenue
Bonds,
The
Mix
at
Center
City,
Series
2021A-2,
4.000%,
4/01/56,
144A
4/31
at
100.00
N/R
1,791,350
1,000
CMFA
Special
Finance
Agency
I,
California,
Essential
Housing
Revenue
Bonds,
The
Mix
at
Center
City,
Subordinate
Series
2021B,
8.000%,
4/01/56,
144A
4/31
at
100.00
N/R
782,630
2,500
CMFA
Special
Finance
Agency
XII,
California,
Essential
Housing
Revenue
Bonds,
Allure
Apartments
Project,
Series
2022A-2,
3.250%,
2/01/57,
144A
2/32
at
100.00
N/R
1,670,200
2,000
CMFA
Special
Finance
Agency,
California,
Essential
Housing
Revenue
Bonds,
Latitude
33,
Senior
Series
2021A-2,
4.000%,
12/01/45,
144A
12/31
at
100.00
N/R
1,504,660
1,000
CMFA
Special
Financing
Agency
VIII,
California,
Essential
Housing
Revenue
Bonds,
Elan
Huntington
Beach,
Senior
Lien
Series
2021A-1,
3.000%,
8/01/56,
144A
8/31
at
100.00
N/R
645,120
2,905
CSCDA
Community
Improvement
Authority,
California,
Essential
Housing
Revenue
Bonds,
1818
Platinum
Triangle-Anaheim,
Mezzanine
Lien
Series
2021B,
4.000%,
4/01/57,
144A
4/32
at
100.00
N/R
1,954,775
4,225
CSCDA
Community
Improvement
Authority,
California,
Essential
Housing
Revenue
Bonds,
1818
Platinum
Triangle-Anaheim,
Social
Bond
Series
2021A-2,
3.250%,
4/01/57,
144A
4/32
at
100.00
N/R
2,837,088
2,250
CSCDA
Community
Improvement
Authority,
California,
Essential
Housing
Revenue
Bonds,
777
Place-Pomona,
Senior
Lien
Series
2021A-1,
3.600%,
5/01/47,
144A
5/32
at
100.00
N/R
1,750,095
10,080
CSCDA
Community
Improvement
Authority,
California,
Essential
Housing
Revenue
Bonds,
Acacia
on
Santa
Rosa
Creek,
Mezzanine
Lien
Series
2021B,
4.000%,
10/01/46,
144A
10/31
at
100.00
N/R
7,228,771
9,000
CSCDA
Community
Improvement
Authority,
California,
Essential
Housing
Revenue
Bonds,
Altana
Glendale,
Series
2021A-1,
3.500%,
10/01/46,
144A
10/31
at
100.00
N/R
6,567,480
3,000
CSCDA
Community
Improvement
Authority,
California,
Essential
Housing
Revenue
Bonds,
Center
City
Anaheim,
Series
2020A,
5.000%,
1/01/54,
144A
1/31
at
100.00
N/R
2,609,670
2,000
CSCDA
Community
Improvement
Authority,
California,
Essential
Housing
Revenue
Bonds,
Jefferson-Anaheim
Series
2021A-2,
3.125%,
8/01/56,
144A
8/31
at
100.00
N/R
1,329,020
4,250
CSCDA
Community
Improvement
Authority,
California,
Essential
Housing
Revenue
Bonds,
Link-Glendale,
Series
2021A-1,
3.000%,
7/01/45,
144A
7/31
at
100.00
N/R
3,020,390
8,215
CSCDA
Community
Improvement
Authority,
California,
Essential
Housing
Revenue
Bonds,
Link-Glendale,
Series
2021A-2,
4.000%,
7/01/56,
144A
7/31
at
100.00
N/R
6,048,540
4,880
CSCDA
Community
Improvement
Authority,
California,
Essential
Housing
Revenue
Bonds,
Millennium
South
Bay-Hawthorne,
Series
2021A-1
and
A-2,
3.250%,
7/01/56,
144A
7/32
at
100.00
N/R
3,130,276
1,000
CSCDA
Community
Improvement
Authority,
California,
Essential
Housing
Revenue
Bonds,
Moda
at
Monrovia
Station,
Social
Series
2021A-1,
3.400%,
10/01/46,
144A
10/31
at
100.00
N/R
744,520
17,425
CSCDA
Community
Improvement
Authority,
California,
Essential
Housing
Revenue
Bonds,
Moda
at
Monrovia
Station,
Social
Series
2021A-2,
4.000%,
10/01/56,
144A
10/31
at
100.00
N/R
12,781,412
2,000
CSCDA
Community
Improvement
Authority,
California,
Essential
Housing
Revenue
Bonds,
Monterrey
Station
Apartments,
Series
2021B,
4.000%,
7/01/58,
144A
7/32
at
100.00
N/R
1,286,360
3,000
CSCDA
Community
Improvement
Authority,
California,
Essential
Housing
Revenue
Bonds,
Oceanaire-Long
Beach,
Social
Series
2021A-2,
4.000%,
9/01/56,
144A
9/31
at
100.00
N/R
2,286,900
Nuveen
California
High
Yield
Municipal
Bond
Fund
(continued)
Portfolio
of
Investments
November
30,
2022
(Unaudited)
10
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Housing/Multifamily
(continued)
$
1,500
CSCDA
Community
Improvement
Authority,
California,
Essential
Housing
Revenue
Bonds,
Orange
City
Portfolio,
Mezzanine
Lien
Series
2021B,
4.000%,
3/01/57,
144A
3/32
at
100.00
N/R
$
1,017,705
1,000
CSCDA
Community
Improvement
Authority,
California,
Essential
Housing
Revenue
Bonds,
Pasadena
Portfolio
Social
Bond,
Mezzanine
Senior
Series
2021B,
4.000%,
12/01/56,
144A
12/31
at
100.00
N/R
697,130
5,525
CSCDA
Community
Improvement
Authority,
California,
Essential
Housing
Revenue
Bonds,
Renaissance
at
City
Center,
Series
2020A,
5.000%,
7/01/51,
144A
7/31
at
100.00
N/R
4,989,517
2,500
CSCDA
Community
Improvement
Authority,
California,
Essential
Housing
Revenue
Bonds,
Union
South
Bay,
Series
2021A-2,
4.000%,
7/01/56,
144A
7/31
at
100.00
N/R
1,912,450
2,625
CSCDA
Community
Improvement
Authority,
California,
Essential
Housing
Revenue
Bonds,
Vineyard
Gardens
Apartments,
Senior
Lien
Series
2021A,
3.250%,
10/01/58,
144A
4/32
at
100.00
N/R
1,715,359
2,000
CSCDA
Community
Improvement
Authority,
California,
Essential
Housing
Revenue
Bonds,
Waterscape
Apartments,
Senior
Lien
Series
2021A,
3.000%,
9/01/56,
144A
9/31
at
100.00
N/R
1,271,620
2,000
CSCDA
Community
Improvement
Authority,
California,
Essential
Housing
Revenue
Bonds,
Westgate
Phase
1-Pasadena
Apartments,
Mezzanine
Lien
Series
2021B,
4.000%,
6/01/57,
144A
6/31
at
100.00
N/R
1,335,340
2,200
CSCDA
Community
Improvement
Authority,
California,
Essential
Housing
Revenue
Bonds,
Westgate
Phase
1-Pasadena
Apartments,
Senior
Lien
Series
2021A-2,
3.125%,
6/01/57,
144A
6/31
at
100.00
N/R
1,433,080
5,000
CSCDA
Community
Improvement
Authority,
California,
Essential
Housing
Revenue
Bonds,
Wood
Creek
Apartments,
Mezzanine
Lien
Series
2021A-2,
4.000%,
12/01/58
6/32
at
100.00
N/R
3,559,850
2,145
CSCDA
Community
Improvement
Authority,
California,
Essential
Housing
Revenue
Bonds,
Wood
Creek
Apartments,
Mezzanine
Lien
Series
2021B,
4.000%,
12/01/59
6/32
at
100.00
N/R
1,352,037
8,655
CSCDA
Community
Improvement
Authority,
California,
Essential
Housing
Revenue
Bonds,
Wood
Creek
Apartments,
Senior
Lien
Series
2021A-1,
3.000%,
12/01/49
6/32
at
100.00
N/R
5,594,332
1,000
Independent
Cities
Finance
Authority,
California,
Mobile
Home
Park
Revenue
Bonds,
Palomar
Estates
West,
Refunding
Series
2015,
5.000%,
9/15/36
9/25
at
100.00
N/R
956,690
315
La
Verne,
California,
Mobile
Home
Park
Revenue
Bonds,
Copacabana
Mobile
Home
Park,
Refunding
Series
2014,
5.000%,
6/15/49
6/24
at
100.00
A+
317,255
2,110
Palmdale
Housing
Authority,
California,
Multifamily
Housing
Revenue
Bonds,
Impression,
La
Quinta,
Park
Vista
&
Summerwood
Apartments,
Series
2015,
5.250%,
6/01/45
6/25
at
100.00
N/R
1,937,908
420
Santa
Clara
County
Housing
Authority,
California,
Multifamily
Housing
Revenue
Bonds,
Blossom
River
Project,
Series
1998A,
6.500%,
9/01/39,
(AMT)
1/23
at
100.00
N/R
413,637
455
Wilson
County
Health
and
Educational
Facilities
Board,
Tennessee,
Senior
Living
Revenue
Bonds,
Rutland
Place
Inc.
Project,
Series
2015A,
5.500%,
1/01/46,
144A
1/23
at
100.00
N/R
313,108
248,515
Total
Housing/Multifamily
188,012,586
Industrials
-
0.0%
2,830
California
Pollution
Control
Financing
Authority,
Solid
Waste
Disposal
Revenue
Bonds,
Aemerge
Redpak
Services,
LLC.,
Series
2016,
7.000%,
12/01/27,
(AMT),
144A
(5)
12/23
at
102.00
N/R
283,000
Long-Term
Care
-
0.5%
2,575
California
Municipal
Finance
Authority,
Revenue
Bonds,
HealthRIGHT
360,
Social
Bond
Series
2019A,
5.000%,
11/01/49,
144A
11/29
at
100.00
N/R
2,446,945
3,700
California
Statewide
Communities
Development
Authority,
Revenue
Bonds,
899
Charleston
Project,
Refunding
Series
2014A,
5.250%,
11/01/44,
144A
11/24
at
100.00
N/R
3,129,090
6,275
Total
Long-Term
Care
5,576,035
11
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Tax
Obligation/General
-
15.5%
$
6,050
Allan
Hancock
Joint
Community
College
District,
California,
General
Obligation
Bonds,
Election
2006
Series
2012C,
0.000%,
8/01/42,
(UB)
(4),(7)
8/35
at
100.00
AA
$
4,559,401
1,000
Aromas-San
Juan
Unified
School
District,
San
Benito,
Santa
Cruz
and
Monterey
Counties,
California,
General
Obligation
Bonds,
Series
2013B,
5.250%,
8/01/52
-
AGM
Insured
8/37
at
100.00
AA
693,300
Bakersfield
City
School
District,
Kern
County,
California,
General
Obligation
Bonds,
Series
2012C:
1,700
5.750%,
5/01/37
No
Opt.
Call
A+
1,162,664
6,925
5.800%,
5/01/42
5/40
at
100.00
A+
4,877,485
7,380
5.900%,
5/01/47
5/40
at
100.00
A+
5,103,639
1,250
California
State,
General
Obligation
Bonds,
Tender
Option
Bond
Trust
2015-XF1039,
12.813%,
10/01/44,
144A,
(IF)
(4)
10/24
at
100.00
AA-
1,403,912
1,500
California
State,
General
Obligation
Bonds,
Various
Purpose
Series
2015,
5.000%,
3/01/45,
(UB)
3/25
at
100.00
AA-
1,548,795
5,000
California
State,
General
Obligation
Bonds,
Various
Purpose
Series
2017,
5.000%,
8/01/46,
(UB)
8/26
at
100.00
AA-
5,255,900
California
State,
General
Obligation
Bonds,
Various
Purpose,
Tender
Option
Bond
Trust
2015-XF1041:
1,005
8.882%,
11/01/44,
144A,
(IF)
(4)
11/24
at
100.00
AA-
1,015,291
1,250
8.890%,
11/01/44,
144A,
(IF)
(4)
11/24
at
100.00
AA-
1,262,813
545
8.890%,
11/01/44,
144A,
(IF)
(4)
11/24
at
100.00
AA-
550,586
3,800
Central
Unified
School
District,
Fresno
County,
California,
General
Obligation
Bonds,
2016
Election
Series
2018B.,
4.000%,
8/01/48,
(UB)
(4)
8/26
at
100.00
Aa3
3,692,080
3,840
College
of
the
Sequoias
Community
College
District,
King
and
Tulare
Counties,
California,
General
Obligation
Bonds,
College
of
the
Sequoias
Tulare
Area
Improvement
District
3,
Election
of
2008,
Series
2021E,
3.000%,
8/01/51
8/29
at
100.00
Aa3
2,825,050
1,115
Denair
Unified
School
District,
Stanislaus
County,
California,
General
Obligation
Bonds,
Series
2002A,
0.000%,
8/01/26
-
FGIC
Insured
No
Opt.
Call
Baa2
989,206
2,640
Elk
Grove
Unified
School
District,
Sacramento
County,
California,
General
Obligation
Bonds,
Election
of
2016,
Series
2017,
4.000%,
8/01/46,
(UB)
(4)
8/26
at
100.00
Aa2
2,592,374
2,500
Fresno
Unified
School
District,
Fresno
County,
California,
General
Obligation
Bonds,
Election
2020
Series
2021A,
3.000%,
8/01/55
8/29
at
100.00
Aa3
1,842,125
1,205
Jamul
Dulzura
Union
School
District,
San
Diego
County,
California,
General
Obligation
Bonds,
Election
1995
Series
2004A,
0.000%,
11/01/28
-
NPFG
Insured
No
Opt.
Call
Baa2
986,775
3,795
Lake
Tahoe
Unified
School
District,
El
Dorado
County,
California,
General
Obligation
Bonds,
Series
2010,
6.375%,
8/01/45
-
AGM
Insured
No
Opt.
Call
A1
2,916,571
3,660
Lodi
Unified
School
District,
San
Joaquin
County,
California,
General
Obligation
Bonds,
Election
2016
Series
2021,
3.000%,
8/01/46
8/30
at
100.00
Aa2
2,912,006
12,000
Long
Beach
Community
College
District,
California,
General
Obligation
Bonds,
Refunding
2008
Election
Series
2012B,
0.000%,
8/01/49,
(UB)
(4),(7)
8/42
at
100.00
AA
7,623,000
10,900
Marin
Healthcare
District,
Marin
County,
California,
General
Obligation
Bonds,
2013
Election,
Series
2017A,
4.000%,
8/01/47,
(UB)
(4)
8/27
at
100.00
AA-
10,710,340
5,000
Montebello
Unified
School
District,
Los
Angeles
County,
California,
General
Obligation
Bonds,
Election
2016
Series
2016A,
4.000%,
8/01/46,
(UB)
(4)
8/26
at
100.00
A1
4,751,650
650
Newman-Crows
Landing
Unified
School
District,
Stanislaus
County,
California,
General
Obligation
Bonds,
2008
Election,
Series
2010B,
6.600%,
8/01/49
-
AGM
Insured
No
Opt.
Call
Aa3
534,170
2,000
Northern
Inyo
County
Local
Hospital
District,
California,
General
Obligation
Bonds,
Election
2005
Series
2009,
0.000%,
11/01/38
-
AGC
Insured
No
Opt.
Call
AA
935,740
2,250
Orland
Joint
Unified
School
District,
Glenn
and
Tehama
Counties,
California,
General
Obligation
Bonds,
2008
Election,
Series
2012B,
6.000%,
8/01/51
8/37
at
100.00
AA
1,631,385
14,000
Pajaro
Valley
Unified
School
District,
Santa
Cruz
County,
California,
General
Obligation
Bonds,
Refunding
Election
2012
Series
2013A,
4.250%,
8/01/47,
(UB)
(4)
8/23
at
100.00
A+
14,007,140
Nuveen
California
High
Yield
Municipal
Bond
Fund
(continued)
Portfolio
of
Investments
November
30,
2022
(Unaudited)
12
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Tax
Obligation/General
(continued)
$
1,350
Paso
Robles
Joint
Unified
School
District,
San
Luis
Obispo
and
Monteray
Counties,
California,
General
Obligation
Bonds,
Election
2006
Series
2010A,
0.000%,
9/01/34
No
Opt.
Call
Aa3
$
858,856
Puerto
Rico,
General
Obligation
Bonds,
Restructured
Series
2022A-1:
9,070
0.000%,
7/01/33
7/31
at
89.94
N/R
4,978,753
14,187
4.000%,
7/01/41
7/31
at
103.00
N/R
11,402,564
14,952
4.000%,
7/01/46
7/31
at
103.00
N/R
11,548,028
17,561
Puerto
Rico,
General
Obligation
Bonds,
Vintage
CW
NT
Claims
Taxable
Series
2022,
0.000%,
11/01/43
2022
1
No
Opt.
Call
N/R
8,012,170
4,725
River
Delta
Unified
School
District,
Sacramento
and
Solano
Counties,
California,
General
Obligation
Bonds,
School
Faciliteis
Improvement
District
2,
Election
2004
Series
2008,
0.000%,
4/01/48
-
AGM
Insured
No
Opt.
Call
AA
1,457,804
(
7,920
)
San
Diego
Unified
School
District,
San
Diego
County,
California,
General
Obligation
Bonds,
Election
of
2012
Series
2013C,
4.000%,
7/01/38,
(UB)
7/23
at
100.00
AA-
(
7,988,746
)
10,000
San
Diego
Unified
School
District,
San
Diego
County,
California,
General
Obligation
Bonds,
Election
of
2012
Series
2017I,
4.000%,
7/01/47,
(UB)
(4)
7/27
at
100.00
Aa2
9,859,500
1,990
San
Diego
Unified
School
District,
San
Diego
County,
California,
General
Obligation
Bonds,
Refunding
Series
2012R-2,
0.000%,
7/01/41
(7)
7/40
at
100.00
AA-
1,754,941
15,000
San
Diego
Unified
School
District,
San
Diego
County,
California,
General
Obligation
Bonds,
Refunding
Series
2012R-2,
0.000%,
7/01/41,
(UB)
(4),(7)
7/40
at
100.00
AA-
13,228,200
Santa
Ana
Unified
School
District,
Orange
County,
California,
General
Obligation
Bonds,
2018
Election
Series
2022C:
3,045
4.000%,
8/01/44,
(UB)
,(WI/DD,
Settling
12/02/22)
8/32
at
100.00
Aa3
2,993,266
5,680
4.000%,
8/01/45,
(UB)
,(WI/DD,
Settling
12/02/22)
8/32
at
100.00
Aa3
5,554,472
4,560
4.250%,
8/01/50
No
Opt.
Call
Aa3
4,536,999
2,500
Santa
Barbara
Secondary
High
School
District,
Santa
Barbara
County,
California,General
Obligation
Bonds,  Election
2010
Series
2011A,
0.000%,
8/01/40,
(UB)
(4)
No
Opt.
Call
AA
1,136,250
7,655
Savanna
Elementary
School
District,
Orange
County,
California,
General
Obligation
Bonds,
Election
2008
Series
2012B,
6.750%,
2/01/52
-
AGM
Insured
No
Opt.
Call
A1
5,478,224
500
Selma
Unified
School
District,
Fresno
County,
California,
General
Obligation
Bonds,
Election
2016
Series
2020C,
3.000%,
8/01/49
-
AGM
Insured
8/30
at
100.00
AA
375,410
Southwestern
Community
College
District,
San
Diego
County,
California,
General
Obligation
Bonds,
Election
of
2008,
Series
2011C:
1,500
0.000%,
8/01/41
No
Opt.
Call
AA-
681,510
5,730
0.000%,
8/01/46
No
Opt.
Call
AA-
1,932,672
12,460
Washington
Township
Health
Care
District,
Alameda
County,
California,
General
Obligation
Bonds,
2012
Election
Series
2015B,
4.000%,
8/01/45,
(UB)
(4)
8/25
at
100.00
A1
11,546,807
4,845
West
Contra
Costa
Unified
School
District,
Contra
Costa
County,
California,
General
Obligation
Bonds,
Series
2021A-1,
3.000%,
8/01/51
-
AGM
Insured
8/31
at
100.00
AA
3,711,173
2,250
West
Hills
Community
College
District,
California,
General
Obligation
Bonds,
School
Facilities
Improvement
District
3,
2008
Election
Series
2011,
7.400%,
8/01/38
-
AGM
Insured
8/31
at
100.00
A1
2,298,397
5,155
Yosemite
Community
College
District,
California,
General
Obligation
Bonds,
Capital
Appreciation,
Election
2004,
Series
2010D,
0.000%,
8/01/42
(7)
No
Opt.
Call
AA-
3,969,144
239,755
Total
Tax
Obligation/General
185,709,792
13
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Tax
Obligation/Limited
-
35.2%
$
1,000
Adelanto
Community
Facilities
District
Number
2006-2,
San
Bernadino
County,
California,
Special
Tax
Bonds,
Series
2015A,
5.000%,
9/01/45
9/25
at
100.00
N/R
$
1,012,210
Anaheim
Public
Financing
Authority,
California,
Lease
Revenue
Bonds,
Public
Improvement
Project,
Series
1997C:
330
0.000%,
9/01/28
-
AGM
Insured
No
Opt.
Call
A1
270,273
240
0.000%,
9/01/30
-
AGM
Insured
No
Opt.
Call
A1
181,637
4,475
0.000%,
9/01/34
-
AGM
Insured
No
Opt.
Call
A1
2,778,930
1,985
0.000%,
9/01/35
-
AGM
Insured
No
Opt.
Call
AA
1,171,666
2,590
Beaumont
Financing
Authority,
California,
Local
Agency
Revenue
Bonds,
Improvement
Area
7A-1,
Series
2015A,
5.000%,
9/01/45
9/25
at
100.00
N/R
2,621,624
Beaumont,
California,
Special
Tax
Bonds,
Community
Facilities
District
2016-1
Fairway
Canyon,
Series
2019:
300
5.000%,
9/01/44
9/25
at
103.00
N/R
306,132
400
5.000%,
9/01/49
9/25
at
103.00
N/R
405,540
Beaumont,
California,
Special
Tax
Bonds,
Community
Facilities
District
93-1
Improvement
Area
17C,
Series
2018:
750
5.000%,
9/01/43
9/25
at
103.00
N/R
766,732
1,115
5.000%,
9/01/48
9/25
at
103.00
N/R
1,131,257
1,035
Beaumont,
California,
Special
Tax
Bonds,
Community
Facilities
District
93-1
Improvement
Area
8D,
Series
2018A,
5.000%,
9/01/48
9/25
at
103.00
N/R
1,050,090
1,900
Blythe
Redevelopment
Agency
Successor
Agency,
California,
Tax
Allocation
Bonds,
Redevelopment
Project
1,
Refunding
Series
2015,
5.000%,
5/01/38
11/25
at
100.00
N/R
1,943,795
Brea
Redevelopment
Agency,
Orange
County,
California,
Tax
Allocation
Bonds,
Project
Area
AB,
Series
2003:
1,500
0.000%,
8/01/28
-
AMBAC
Insured
No
Opt.
Call
AA-
1,232,865
2,300
0.000%,
8/01/29
-
AMBAC
Insured
No
Opt.
Call
AA-
1,820,749
6,710
0.000%,
8/01/30
-
AMBAC
Insured
No
Opt.
Call
AA-
5,113,087
1,700
Brentwood
Infrastructure
Financing
Authority,
California,
Infrastructure
Revenue
Bonds,
Refunding
Subordinated
Series
2014B,
5.000%,
9/02/36
9/24
at
100.00
N/R
1,727,574
5,090
California
Community
College
Financing
Authority,
Lease
Revenue
Bonds,
Refunding
Series
2003,
0.000%,
6/01/33
-
AMBAC
Insured
No
Opt.
Call
AA+
3,276,535
1,450
California
Municipal
Finance
Authority,
Special
Tax
Revenue
Bonds,
Bold
Program,
Series
2020A,
4.000%,
9/01/45
9/26
at
103.00
N/R
1,303,463
California
Municipal
Finance
Authority,
Special
Tax
Revenue
Bonds,
Bold
Program,
Series
2020B:
1,070
4.000%,
9/01/43
9/27
at
103.00
N/R
973,625
3,150
4.000%,
9/01/50
9/27
at
103.00
N/R
2,746,076
California
Municipal
Finance
Authority,
Special
Tax
Revenue
Bonds,
Bold
Program,
Series
2021A:
660
4.000%,
9/01/41
9/28
at
103.00
N/R
602,606
2,190
4.000%,
9/01/46
9/28
at
103.00
N/R
1,949,472
3,005
4.000%,
9/01/51
9/28
at
103.00
N/R
2,606,988
4,000
California
Municipal
Finance
Authority,
Special
Tax
Revenue
Bonds,
Bold
Program,
Series
2022C,
6.250%,
9/01/52
,(WI/DD,
Settling
12/07/22)
9/29
at
103.00
N/R
4,050,240
3,000
California
Municipal
Finance
Authority,
Special
Tax
Revenue
Bonds,
Bold
Program,
Series
2022D,
6.125%,
9/01/52
9/29
at
103.00
N/R
3,106,380
1,000
California
Municipal
Finance
Authority,
Special
Tax
Revenue
Bonds,
Community
Facilities
District
2020-06,
Series
2022B,
6.000%,
9/01/52
9/29
at
103.00
N/R
1,026,190
2,160
California
Municipal
Finance
Authority,
Special
Tax
Revenue
Bonds,
Community
Facilities
District
2020-6,
County
of
Placer-PV400,
Series
2022,
5.250%,
9/01/52
9/29
at
103.00
N/R
2,201,839
375
California
Statewide
Communities
Development
Authority,
Special
Tax
Bonds,
Community
Facilities
District
2007-1
Orinda
Wilder
Project,
Refunding
Series
2015,
5.000%,
9/01/37
9/25
at
100.00
N/R
383,535
California
Statewide
Communities
Development
Authority,
Special
Tax
Bonds,
Community
Facilities
District
2012-02,
Manteca
Lifestyle
Center,
Series
2013A:
1,000
5.000%,
9/01/33
9/23
at
100.00
N/R
1,008,570
2,000
5.125%,
9/01/42
9/23
at
100.00
N/R
2,010,120
Nuveen
California
High
Yield
Municipal
Bond
Fund
(continued)
Portfolio
of
Investments
November
30,
2022
(Unaudited)
14
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Tax
Obligation/Limited
(continued)
$
2,000
California
Statewide
Communities
Development
Authority,
Special
Tax
Bonds,
Community
Facilities
District
2015-01
Improvement
Area
2
University
District,
Series
2017,
5.000%,
9/01/47
9/27
at
100.00
N/R
$
2,036,320
2,500
California
Statewide
Communities
Development
Authority,
Special
Tax
Bonds,
Community
Facilities
District
2015-2
Rio
Bravo,
Series
2015A,
5.625%,
9/01/45
9/25
at
100.00
N/R
2,570,450
3,000
California
Statewide
Communities
Development
Authority,
Special
Tax
Bonds,
Community
Facilities
District
2016-02
Delta
Coves,
Series
2019,
5.000%,
9/01/49
9/29
at
100.00
N/R
3,066,900
5,250
California
Statewide
Communities
Development
Authority,
Special
Tax
Bonds,
Community
Facilities
District
2017-01
Horse
Creek,
Series
2018,
5.000%,
9/01/48
9/28
at
100.00
N/R
5,355,683
California
Statewide
Communities
Development
Authority,
Special
Tax
Bonds,
Community
Facilities
District
2018-01,
Wagon
Wheel,
Series
2020:
600
4.000%,
9/01/40
9/30
at
100.00
N/R
548,412
1,300
4.000%,
9/01/50
9/30
at
100.00
N/R
1,122,628
340
California
Statewide
Communities
Development
Authority,
Special
Tax
Bonds,
Community
Facilities
District
2020-02
Improvement
Area
2
Atwell,
Series
2022,
5.250%,
9/01/52
9/32
at
100.00
N/R
341,890
4,000
California
Statewide
Communities
Development
Authority,
Special
Tax
Bonds,
Community
Facilities
District
2021-01
Meadowlands,
Series
2021-01,
4.000%,
9/01/51
9/31
at
100.00
N/R
3,431,520
California
Statewide
Communities
Development
Authority,
Statewide
Community
Infrastructure
Program
Revenue
Bonds,
Refunding
Series
2015R-1:
3,510
5.000%,
9/02/35
9/25
at
100.00
N/R
3,600,383
1,120
5.000%,
9/02/40
9/25
at
100.00
N/R
1,139,174
490
California
Statewide
Communities
Development
Authority,
Statewide
Community
Infrastructure
Program
Revenue
Bonds,
Series
2011A,
8.000%,
9/02/41
12/22
at
100.00
N/R
470,993
2,275
California
Statewide
Communities
Development
Authority,
Statewide
Community
Infrastructure
Program
Revenue
Bonds,
Series
2014A,
5.000%,
9/02/43
1/23
at
100.00
N/R
2,275,819
2,060
California
Statewide
Communities
Development
Authority,
Statewide
Community
Infrastructure
Program
Revenue
Bonds,
Series
2014B,
5.000%,
9/02/44
9/24
at
100.00
N/R
2,077,345
2,240
California
Statewide
Communities
Development
Authority,
Statewide
Community
Infrastructure
Program
Revenue
Bonds,
Series
2016A,
5.000%,
9/02/45
9/26
at
100.00
N/R
2,276,579
California
Statewide
Communities
Development
Authority,
Statewide
Community
Infrastructure
Program
Revenue
Bonds,
Series
2016B:
1,690
5.000%,
9/02/36
9/26
at
100.00
N/R
1,744,807
3,310
5.000%,
9/02/46
9/26
at
100.00
N/R
3,360,808
480
California
Statewide
Communities
Development
Authority,
Statewide
Community
Infrastructure
Program
Revenue
Bonds,
Series
2017A,
5.000%,
9/02/46
9/27
at
100.00
N/R
488,938
375
California
Statewide
Communities
Development
Authority,
Statewide
Community
Infrastructure
Program
Revenue
Bonds,
Series
2017B,
5.000%,
9/02/47
9/27
at
100.00
N/R
381,656
3,550
California
Statewide
Communities
Development
Authority,
Statewide
Community
Infrastructure
Program
Revenue
Bonds,
Series
2017C,
5.000%,
9/02/47
9/27
at
100.00
N/R
3,613,012
3,745
California
Statewide
Communities
Development
Authority,
Statewide
Community
Infrastructure
Program
Revenue
Bonds,
Series
2018A,
5.000%,
9/02/47
9/28
at
100.00
N/R
3,823,757
920
California
Statewide
Communities
Development
Authority,
Statewide
Community
Infrastructure
Program
Revenue
Bonds,
Series
2018B,
5.000%,
9/02/48
9/28
at
100.00
N/R
938,989
15
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Tax
Obligation/Limited
(continued)
California
Statewide
Communities
Development
Authority,
Statewide
Community
Infrastructure
Program
Revenue
Bonds,
Series
2019B:
$
3,300
5.000%,
9/02/44
9/29
at
100.00
N/R
$
3,396,855
3,370
5.000%,
9/02/49
9/29
at
100.00
N/R
3,441,242
California
Statewide
Communities
Development
Authority,
Statewide
Community
Infrastructure
Program
Revenue
Bonds,
Series
2019C:
725
5.000%,
9/02/44
9/29
at
100.00
N/R
746,279
2,310
5.000%,
9/02/49
9/29
at
100.00
N/R
2,360,173
California
Statewide
Communities
Development
Authority,
Statewide
Community
Infrastructure
Program
Revenue
Bonds,
Series
2020A:
850
4.000%,
9/02/50
9/30
at
100.00
N/R
724,438
805
5.000%,
9/02/50
9/30
at
100.00
N/R
815,529
1,995
California
Statewide
Communities
Development
Authority,
Statewide
Community
Infrastructure
Program
Revenue
Bonds,
Series
2021A,
4.000%,
9/02/41
9/31
at
100.00
N/R
1,757,615
5,000
California
Statewide
Communities
Development
Authority,
Statewide
Infrastructure
Program
Revenue
Bonds,
Series
2020C,
4.000%,
9/02/50
9/30
at
100.00
N/R
4,256,550
1,000
California
Statewide
Communities
Development
Authority,
Statewide
Infrastructure
Program
Revenue
Bonds,
Series
2021C,
4.000%,
9/02/51
9/31
at
100.00
N/R
844,320
1,000
California,
San
Francisco
City
and
County
Infrastructure
and
Revitalization,
Financing
District
Number
1,
Treasure
Island,
Tax
Increment
Revenue
Bonds,
Series
2022A,
5.000%,
9/01/52,
144A
9/32
at
100.00
N/R
970,470
1,085
Cathedral
City
Public
Financing
Authority,
California,
Tax
Allocation
Bonds,
Merged
Redevelopment
Project,
Series
2000A,
0.000%,
8/01/33
-
NPFG
Insured
No
Opt.
Call
Baa2
702,245
1,540
Chino,
California,
Special
Tax
Bonds,
Community
Facilities
District
2016-3,
Series
2017,
5.000%,
9/01/47
9/24
at
103.00
N/R
1,566,657
Chula
Vista,
California,
Special
Tax
Bonds,
Community
Facilities
District
16-I
Millenia
Improvement
Area
1,
Series
2018:
895
5.000%,
9/01/43
9/25
at
103.00
N/R
919,523
1,115
5.000%,
9/01/48
9/25
at
103.00
N/R
1,138,002
320
City
of
Dublin,
California,
Community
Facilities
District
No.
2015-1,
Dublin
Crossing,
Improvement
Area
No.
1,
Special
Tax
Bonds,
Series
2017,
5.000%,
9/01/47
9/27
at
100.00
N/R
324,042
Compton
Public
Finance
Authority,
California,
Lease
Revenue
Bonds,
Refunding
&
Various
Capital
Projects,
Series
2008:
500
5.250%,
9/01/27
-
AMBAC
Insured
1/23
at
100.00
N/R
500,265
210
5.000%,
9/01/32
-
AMBAC
Insured
1/23
at
100.00
N/R
210,015
670
Corona,
California,
Special
Tax
Bonds,
Community
Facilities
District
2002-
1
Dos
Lagos
Improvement
Area
1,
Refunding
Series
2017,
5.000%,
9/01/37
9/24
at
103.00
N/R
694,770
Corona,
California,
Special
Tax
Bonds,
Community
Facilities
District
2018-1
Bedford,
Series
2018A:
2,155
5.000%,
9/01/43
9/24
at
103.00
N/R
2,202,022
1,250
5.000%,
9/01/48
9/24
at
103.00
N/R
1,270,163
345
Corona,
California,
Special
Tax
Bonds,
Community
Facilities
District
2018-2
Sierra
Bella,
Series
2022A,
5.000%,
9/01/51
9/29
at
103.00
N/R
346,042
Del
Mar
Union
School
District,
San
Diego
County,
California,
Special
Tax
Bonds,
Community
Facilities
District
99-1,
Refunding
Facilities
Financing
Series
2019:
2,400
4.000%,
9/01/44,
(UB)
(4)
9/29
at
100.00
AA
2,334,504
4,245
4.000%,
9/01/49,
(UB)
(4)
9/29
at
100.00
AA
4,077,535
2,000
Dixon,
California,
Special
Tax
Bonds,
Community
Facilities
District
2019-1
Homestead,
Improvement
Area
1,
Series
2019,
4.000%,
9/01/50
9/30
at
100.00
N/R
1,743,540
Nuveen
California
High
Yield
Municipal
Bond
Fund
(continued)
Portfolio
of
Investments
November
30,
2022
(Unaudited)
16
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Tax
Obligation/Limited
(continued)
Dublin
Community
Facilities
District
No.
2015-1,
California,
Dublin
Crossing,
Improvement
Area
No.
4
Special
Tax
Bonds,
Series
2022:
$
1,000
5.500%,
9/01/47
9/29
at
103.00
N/R
$
1,035,910
1,000
5.500%,
9/01/51
9/29
at
103.00
N/R
1,031,150
Dublin,
California,
Special
Tax
Bonds,
Community
Facilities
District
2015-1
Improvement
Area
2
Dublin
Crossing,
Series
2019:
2,800
5.000%,
9/01/44
9/26
at
103.00
N/R
2,869,048
4,100
5.000%,
9/01/49
9/26
at
103.00
N/R
4,174,743
Eastern
Municipal
Water
District,
California,
Special
Tax
Bonds,
Community
Facilities
District
2012-61
Autumn
Winds,
Series
2020:
575
3.000%,
9/01/44
9/27
at
103.00
N/R
411,573
350
4.000%,
9/01/50
9/27
at
103.00
N/R
302,722
465
Eastern
Municipal
Water
District,
California,
Special
Tax
Bonds,
Community
Facilities
District
2016-72
Hidden
Hills,
Series
2020,
3.000%,
9/01/45
9/27
at
103.00
N/R
343,082
250
El
Dorado
County,
California,
Special
Tax
Bonds,
Community
Facilities
District
2005-2,
Series
2006,
5.100%,
9/01/36
3/23
at
100.00
N/R
250,612
Elsinore
Valley
Municipal
Water
District,
California,
Special
Tax
Bonds,
Community
Facilities
District
2020-1
Horsethief
Area
1A,
Series
2021A:
1,685
4.000%,
9/01/41,
144A
9/28
at
103.00
N/R
1,505,514
1,245
4.000%,
9/01/51,
144A
9/28
at
103.00
N/R
1,044,542
Elsinore
Valley
Municipal
Water
District,
California,
Special
Tax
Bonds,
Community
Facilities
District
2020-1
Horsethief
Improvement
Area
2A,
Series
2021A:
1,565
4.000%,
9/01/41,
144A
9/28
at
103.00
N/R
1,398,296
2,325
4.000%,
9/01/51,
144A
9/28
at
103.00
N/R
1,953,744
430
Fairfield,
California,
Special
Tax
Bonds,
Community
Facilities
District
2007-
1
Fairfield
Commons
Project,
Series
2008,
6.875%,
9/01/38
3/23
at
100.00
N/R
434,666
2,530
Fillmore,
California,
Special
Tax
Bonds,
Community
Facilities
District
5,
Improvement
Area,
Series
2015A,
5.000%,
9/01/45
9/23
at
102.00
N/R
2,560,891
Folsom
Ranch
Financing
Authority,
California,
Special
Tax
Revenue
Bonds,
Folsom
Community
Facilities
District
19
Mangini
Ranch,
Series
2019:
1,140
5.000%,
9/01/44
9/26
at
103.00
N/R
1,161,478
1,000
5.000%,
9/01/49
9/26
at
103.00
N/R
1,015,340
Folsom
Ranch
Financing
Authority,
California,
Special
Tax
Revenue
Bonds,
Folsom
Community
Facilities
District
20
Russell
Ranch,
Series
2020:
1,250
5.125%,
9/01/47
,(WI/DD,
Settling
12/08/22)
9/29
at
103.00
N/R
1,264,863
1,300
5.125%,
9/01/52
,(WI/DD,
Settling
12/08/22)
9/29
at
103.00
N/R
1,303,796
1,000
Folsom
Ranch
Financing
Authority,
California,
Special
Tax
Revenue
Bonds,
Folsom
Community
Facilities
District
21
White
Rock
Springs
Ranch,
Series
2019,
5.000%,
9/01/49
9/26
at
103.00
N/R
1,015,340
Folsom
Ranch
Financing
Authority,
California,
Special
Tax
Revenue
Bonds,
Folsom
Community
Facilities
District
23
Folsom
Ranch
Improvement
Area
1,
Series
2020:
2,150
4.000%,
9/01/45
9/27
at
103.00
N/R
1,918,918
1,145
4.000%,
9/01/50
9/27
at
103.00
N/R
993,459
4,000
Folsom
Ranch
Financing
Authority,
California,
Special
Tax
Revenue
Bonds,
Folsom
Community
Facilities
District
23
Folsom
Ranch
Improvement
Area
1,
Series
2022,
5.000%,
9/01/52
9/29
at
103.00
N/R
4,007,160
2,785
Folsom
Ranch
Financing
Authority,
California,
Special
Tax
Revenue
Bonds,
Series
2017,
5.000%,
9/01/47
9/27
at
100.00
N/R
2,828,446
1,515
Folsom
Ranch
Financing
Authority,
California,
Special
Tax
Revenue
Bonds,
Series
2022,
5.000%,
9/01/52
9/29
at
103.00
N/R
1,502,016
Folsom,
California,
Special
Tax
Bonds,
Community
Facilities
District
16
Islands
at
Parkshore
Improvement
Area
1,
Series
2018:
500
4.000%,
9/01/43
1/23
at
103.00
N/R
453,725
1,545
4.000%,
9/01/48
1/23
at
103.00
N/R
1,360,002
17
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Tax
Obligation/Limited
(continued)
Fontana,
California,  Special
Tax
Bonds,
Community
Facilities
District
106,
Mountain
View,
Series
2022:
$
375
4.250%,
9/01/38
9/29
at
103.00
N/R
$
367,369
500
4.500%,
9/01/43
9/29
at
103.00
N/R
487,910
3,750
Golden
State
Tobacco
Securitization
Corporation,
California,
Tobacco
Settlement
Asset-Backed
Bonds,
Tender
Option
Bond
Trust
2015-
XF1038,
11.740%,
6/01/45,
144A,
(IF)
(4)
6/25
at
100.00
A+
4,677,713
1,030
Imperial,
California,
Special
Tax
Bonds,
Community
Facilities
District
2005-
1
Springfield,
Series
2015A,
5.000%,
9/01/36
9/25
at
100.00
N/R
1,055,214
155
Indio
Redevelopment
Agency,
California,
Tax
Allocation
Bonds,
Merged
Area
Redevelopment
Project,
Subordinate
Lien
Refunding
Series
2008A,
5.250%,
8/15/28
1/23
at
100.00
A
155,388
500
Irvine,
California,
Special
Tax
Bonds,
Community
Facilities
District
2013-
3
Great
Park,
Improvement
Area
1,
Refunding
Series
2014,
5.000%,
9/01/39
9/24
at
100.00
N/R
506,280
3,380
Jurupa
Unified
School
District,
California,
Special
Tax
Bonds,
Community
Facilities
District
9,
Series
2015A,
5.000%,
9/01/45
9/25
at
100.00
N/R
3,421,270
1,220
Lake
Elsinore
Unified
School
District,
California,
Special
Tax
Bonds,
Community
Facilities
District
2004-2,
Series
2005,
5.350%,
9/01/35
3/23
at
100.00
N/R
1,223,904
1,000
Lake
Elsinore
Unified
School
District,
California,
Special
Tax
Bonds,
Community
Facilities
District
2006-2
Improvement
Area
B,
Series
2018,
4.000%,
9/01/48
9/24
at
100.00
N/R
880,260
Lake
Elsinore
Unified
School
District,
California,
Special
Tax
Bonds,
Community
Facilities
District
2013-1,
Series
2017:
800
4.000%,
9/01/42
9/24
at
103.00
N/R
731,376
1,000
4.000%,
9/01/47
9/24
at
103.00
N/R
885,030
475
Lake
Elsinore,
California,
Special
Tax
Bonds,
Community
Facilities
District
2006-1
Summerly
Improvement
Area
KK,
Series
2021,
4.000%,
9/01/42
9/28
at
103.00
N/R
423,049
4,170
Lathrop,
California,
Limited
Obligation
Improvement
Bonds,
Crossroads
Assessment
District,
Series
2015,
5.000%,
9/02/40
9/25
at
100.00
N/R
4,238,138
Lathrop,
California,
Special
Tax
Bonds,
Community
Facilities
District
2018-1
Central
Lathrop
Specific
Plan
Improvement
Areas
5,
Series
2019:
605
5.650%,
9/01/38
9/26
at
103.00
N/R
572,342
970
5.750%,
9/01/43
9/26
at
103.00
N/R
919,007
Lee
Lake
Public
Financing
Authority,
California,
Junior
Lien
Revenue
Bonds,
Series
2013B:
785
5.125%,
9/01/28
9/23
at
100.00
N/R
794,428
395
5.250%,
9/01/32
9/23
at
100.00
N/R
399,286
Lincoln,
California,
Special
Tax
Bonds,
Community
Facilities
District
2005-1
Sorrento
Project,
Series
2014A:
925
5.000%,
9/01/39
9/24
at
100.00
N/R
937,395
1,815
5.000%,
9/01/43
9/24
at
100.00
N/R
1,831,389
2,615
Los
Alamitos
Unified
School
District,
Orange
County,
California,
Certificates
of
Participation,
Series
2012,
6.050%,
8/01/42
8/29
at
100.00
Aa3
2,662,619
1,750
Los
Angeles
County
Community
Facilities
District
2021-01,
California,
Special
Tax
Bond,
Valencia-Facilities
Improvement
Area
1,
Series
2022,
5.000%,
9/01/47
9/29
at
103.00
N/R
1,767,588
1,675
Lower
Magnolia
Green
Community
Development
Authority,
Virginia,
Special
Assessment
Bonds,
Series
2015,
5.000%,
3/01/45,
144A
3/25
at
100.00
N/R
1,557,968
2,022
Manteca
Unified
School
District,
San
Joaquin
County,
California,
Certificates
of
Participation,
Series
2004,
0.000%,
9/15/33
-
NPFG
Insured
No
Opt.
Call
Baa2
1,325,987
450
Marina
Redevelopment
Agency
Successor
Agency,
California,
Housing
Tax
Allocation
Bonds,
Series
2018B,
5.000%,
9/01/38
9/25
at
103.00
N/R
469,341
3,000
Matching
Fund
Special
Purpose
Securitization
Corporation,
Virgin
Islands,
Revenue
Bonds,
Series
2022A,
5.000%,
10/01/39
10/32
at
100.00
N/R
3,025,260
Menifee
Union
School
District,
Riverside
County,
California,
Special
Tax
Bonds,
Community
Facilities
District
2006-1,
Series
2014:
500
4.125%,
9/01/39
3/23
at
102.00
N/R
475,110
500
4.250%,
9/01/44
3/23
at
102.00
N/R
463,740
Nuveen
California
High
Yield
Municipal
Bond
Fund
(continued)
Portfolio
of
Investments
November
30,
2022
(Unaudited)
18
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Tax
Obligation/Limited
(continued)
$
500
Menifee
Union
School
District,
Riverside
County,
California,
Special
Tax
Bonds,
Community
Facilities
District
2011-1,
Improvement
Area
6,
Series
2021,
4.000%,
9/01/50
9/28
at
103.00
N/R
$
432,460
Menifee
Union
School
District,
Riverside
County,
California,
Special
Tax
Bonds,
Community
Facilities
District
2011-1,
Improvement
Area
7,
Series
2021:
1,325
5.125%,
9/01/47
9/29
at
103.00
N/R
1,347,949
2,000
5.250%,
9/01/52
9/29
at
103.00
N/R
2,043,380
1,000
Menifee
Union
School
District,
Riverside
County,
California,
Special
Tax
Bonds,
Community
Facilities
District
2014-2,
Series
2017,
5.000%,
9/01/47
9/24
at
103.00
N/R
1,013,900
Menifee
Union
School
District,
Riverside
County,
California,
Special
Tax
Bonds,
Community
Facilties
District
2011-1,
Improvement
Area
1,
Series
2015:
2,000
5.000%,
9/01/39
9/24
at
100.00
N/R
2,023,440
500
4.250%,
9/01/44
9/24
at
100.00
N/R
466,945
1,000
5.000%,
9/01/44
9/24
at
100.00
N/R
1,007,070
1,000
Menifee
Union
School
District,
Riverside
County,
California,
Special
Tax
Bonds,
Community
Facilties
District
2016-1,
Improvement
Area
B,
Series
2022,
4.625%,
9/01/52
9/29
at
103.00
N/R
953,260
1,055
Merced
Redevelopment
Agency,
California,
Tax
Allocation
Bonds,
Merced
Redevelopment
Project
2,
Series
2003A,
0.000%,
12/01/23
-
AMBAC
Insured
No
Opt.
Call
N/R
1,021,440
835
Moorpark,
California,
Special
Tax
Bonds,
Community
Facilities
District
2004-1,
Refunding
Junior
Lien
Series
2014B,
5.000%,
9/01/33
9/24
at
100.00
N/R
851,341
970
Moreno
Valley
Unified
School
District,
Riverside
County,
California,
Special
Tax
Bonds,
Community
Facilities
District
2015-2,
Series
2019,
5.000%,
9/01/48
9/25
at
103.00
N/R
990,011
1,085
Moreno
Valley
Unified
School
District,
Riverside
County,
California,
Special
Tax
Bonds,
Community
Facilities
District
2015-3,
Series
2019,
4.000%,
9/01/44
9/25
at
103.00
N/R
976,706
825
Murrieta,
California,
Special
Tax
Bonds,
Community
Facilities
District
2005-
5
Golden
City
Improvement
Area
A,
Series
2017,
5.000%,
9/01/46
9/27
at
100.00
N/R
840,700
Northstar
Community
Services
District,
California,
Special
Tax
Bonds,
Community
Facilities
District
1,
Refunding
Series
2005:
980
1.363%,
9/01/28
2005
1
(5)
3/23
at
100.00
N/R
441,216
2,927
1.388%,
9/01/36
2005
1
(5)
3/23
at
100.00
N/R
1,316,963
1,250
Oceanside,
California,
Special
Tax
Bonds,
Community
Facilities
District
2006-1,
Pacific
Coast
Business
Park,
Series
2017,
5.000%,
9/01/38
9/25
at
102.00
N/R
1,294,713
880
Ontario,
California,
Special
Tax
Bonds,
Community
Facilities
District
26
Park
Place
Facilities
III,
Series
2019,
5.000%,
9/01/47
9/26
at
103.00
N/R
901,780
1,200
Ontario,
California,
Special
Tax
Bonds,
Community
Facilities
District
28
New
Haven
Facilities
-
Area
A,
Series
2017,
5.000%,
9/01/47
9/24
at
103.00
N/R
1,221,792
825
Ontario,
California,
Special
Tax
Bonds,
Community
Facilities
District
54
Esperanza
Facilities,
Series
2022,
4.500%,
9/01/52
9/29
at
103.00
N/R
761,962
845
Ontario,
California,
Special
Tax
Bonds,
Community
Facilities
District
55
Parklane
Facilities,
Series
2022,
5.000%,
9/01/53
,(WI/DD,
Settling
12/14/22)
9/29
at
103.00
N/R
851,692
4,000
Orange
County,
California,
Special
Tax
Bonds,
Community
Facilities
District
2021-1
Rienda,
Series
2022A,
5.000%,
8/15/52
8/29
at
103.00
N/R
4,053,280
Palm
Desert,
California,
Special
Tax
Bonds,
Community
Facilities
District
2021-1
University
Park,
Series
2021:
315
3.000%,
9/01/31
9/28
at
103.00
N/R
286,798
375
4.000%,
9/01/41
9/28
at
103.00
N/R
344,145
1,340
4.000%,
9/01/51
9/28
at
103.00
N/R
1,162,517
1,230
Palmdale
Community
Redevelopment
Agency,
California,
Tax
Allocation
Bonds,
Merged
Redevelopment
Project
Areas,
Series
2002,
0.000%,
12/01/30
-
AMBAC
Insured
No
Opt.
Call
AA-
926,744
970
Patterson
Public
Finance
Authority,
California,
Revenue
Bonds,
Community
Facilities
District
2001-1,
Senior
Series
2013A,
5.750%,
9/01/39
9/23
at
100.00
N/R
980,922
19
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Tax
Obligation/Limited
(continued)
$
1,050
Perris
Joint
Powers
Authority,
California,
Local
Agency
Revenue
Bonds,
Community
Facilities
District
2006-1,
Meritage
Homes,
Refunding
Series
2014B,
5.000%,
9/01/38
9/23
at
100.00
N/R
$
1,056,353
1,140
Perris
Joint
Powers
Authority,
California,
Local
Agency
Revenue
Bonds,
Community
Facilities
District
2007-2,
Pacific
Heritage,
Series
2020,
4.000%,
9/01/48
9/27
at
103.00
N/R
982,885
2,990
Pittsburg
Redevelopment
Agency,
California,
Tax
Allocation
Bonds,
Los
Medanos
Community
Development
Project,
Series
1999,
0.000%,
8/01/27
-
AMBAC
Insured
No
Opt.
Call
A+
2,543,354
2,750
Puerto
Rico
Highway
and
Transportation
Authority,
Highway
Revenue
Bonds,
Series
2005L,
5.250%,
7/01/38
-
AMBAC
Insured
No
Opt.
Call
AAA
2,653,888
Puerto
Rico
Sales
Tax
Financing
Corporation,
Sales
Tax
Revenue
Bonds,
Restructured
2018A-1:
57,954
0.000%,
7/01/46
7/28
at
41.38
N/R
14,605,567
13,600
0.000%,
7/01/51
7/28
at
30.01
N/R
2,558,976
1,500
5.000%,
7/01/58
7/28
at
100.00
N/R
1,423,215
2,000
Puerto
Rico
Sales
Tax
Financing
Corporation,
Sales
Tax
Revenue
Bonds,
Restructured
Cofina
Project
Series
2018B-1,
4.750%,
7/01/53
7/28
at
100.00
N/R
1,827,400
Puerto
Rico
Sales
Tax
Financing
Corporation,
Sales
Tax
Revenue
Bonds,
Taxable
Restructured
Cofina
Project
Series
2019A-2:
3,000
4.329%,
7/01/40
7/28
at
100.00
N/R
2,717,760
4,645
4.329%,
7/01/40
7/28
at
100.00
N/R
4,207,998
1,000
4.784%,
7/01/58
7/28
at
100.00
N/R
914,100
Rancho
Cardova,
California,
Special
Tax
Bonds,
Community
Facilities
District
2005-1
Sunridge
North
Douglas
Series
2015:
1,200
5.000%,
9/01/40
9/25
at
100.00
N/R
1,218,660
1,250
5.000%,
9/01/45
9/25
at
100.00
N/R
1,264,613
1,590
Rancho
Cordova,
California,
Special
Tax
Bonds,
Communities
Facilities
District
2014-1
Montelena,
Series
2022,
5.000%,
9/01/42
9/28
at
103.00
N/R
1,627,286
Rancho
Cordova,
California,
Special
Tax
Bonds,
Community
Facilities
District
2018-1
Grantline
208,
Series
2019:
410
5.000%,
9/01/44
9/26
at
103.00
N/R
421,308
530
5.000%,
9/01/49
9/26
at
103.00
N/R
541,199
Redwood
City
Public
Facilities
and
Infrastructure
Authority,
San
Mateo,
California,
Lease
Revenue
Bonds,
Veterans
Memorial
Building/Senior
Center,
Series
2021:
4,000
3.000%,
6/01/46,
(UB)
(4)
6/31
at
100.00
AA+
3,107,160
2,500
3.000%,
6/01/51,
(UB)
(4)
6/31
at
100.00
AA+
1,867,575
Redwood
City
Redevelopment
Agency,
California,
Tax
Allocation
Bonds,
Project
Area
2,
Series
2003A:
1,755
0.000%,
7/15/29
-
AMBAC
Insured
No
Opt.
Call
A
1,397,875
1,260
0.000%,
7/15/31
-
AMBAC
Insured
No
Opt.
Call
A
927,259
1,185
Rio
Vista,
California,
Special
Tax
Bonds,
Community
Faciliites
District
2018-
1
Liberty
Community,
Series
2018-1,
5.000%,
9/01/48
9/25
at
103.00
N/R
1,207,657
1,185
River
Islands
Public
Financing
Authority,
California,
Special
Tax
Bonds,
Community
Facilities
District
2003-1
Improvement
Area
1,
Refunding
Series
2022A-1,
4.250%,
9/01/47
-
AGM
Insured
9/29
at
103.00
AA
1,131,722
River
Islands
Public
Financing
Authority,
California,
Special
Tax
Bonds,
Community
Facilities
District
2003-1
Improvement
Area
1,
Subordinate
Series
2022B-2:
1,000
5.000%,
9/01/42
9/29
at
103.00
N/R
1,007,660
2,525
5.250%,
9/01/47
9/29
at
103.00
N/R
2,565,552
2,015
5.000%,
9/01/52
9/29
at
103.00
N/R
1,979,455
1,000
River
Islands
Public
Financing
Authority,
California,
Special
Tax
Bonds,
Community
Facilities
District
2019-1
Phase
2
Public
Improvements,
Series
2019,
4.000%,
9/01/46
9/26
at
103.00
N/R
873,430
1,250
Riverside
County
Asset
Leasing
Corporation,
California,
Lease
Revenue
Bonds,
Capital
Project,
Tender
Option
Bond
Trust
2015-XF1020,
13.259%,
11/01/45,
144A,
(IF)
(4)
11/25
at
100.00
A+
1,629,412
Nuveen
California
High
Yield
Municipal
Bond
Fund
(continued)
Portfolio
of
Investments
November
30,
2022
(Unaudited)
20
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Tax
Obligation/Limited
(continued)
$
1,295
Riverside
County
Asset
Leasing
Corporation,
California,
Leasehold
Revenue
Bonds,
Riverside
County
Hospital
Project,
Series
1997,
0.000%,
6/01/26
-
NPFG
Insured
No
Opt.
Call
A+
$
1,155,373
2,115
Riverside
County,
California,
Special
Tax
Bonds,
Community
Facilities
District
03-1
Newport
Road,
Series
2014,
5.000%,
9/01/30
9/24
at
100.00
N/R
2,161,741
870
Riverside
County,
California,
Special
Tax
Bonds,
Community
Facilities
District
04-2
Lake
Hill
Crest,
Series
2012,
5.000%,
9/01/35
3/23
at
100.00
N/R
872,045
Riverside
County,
California,
Special
Tax
Bonds,
Community
Facilities
District
05-8
Scott
Road,
Series
2013:
660
5.000%,
9/01/32
1/23
at
100.00
N/R
660,614
3,410
5.000%,
9/01/42
1/23
at
100.00
N/R
3,411,330
Riverside
County,
California,
Special
Tax
Bonds,
Community
Facilities
District
07-2
Clinton
Keith,
Series
2017:
1,000
5.000%,
9/01/42
9/27
at
100.00
N/R
1,024,550
535
5.000%,
9/01/45
9/27
at
100.00
N/R
545,828
415
Riverside
Unified
School
District,
Riverside
County,
California,
Special
Tax
Bonds,
Community
Facilities
District
32,
Series
2020,
4.000%,
9/01/45
9/27
at
103.00
N/R
366,715
Rocklin
Unified
School
District,
Placer
County,
California,
Special
Tax
Bonds,
Community
Facilities
District
2,
Series
2007:
1,010
0.000%,
9/01/34
-
NPFG
Insured
No
Opt.
Call
Baa2
627,927
1,155
0.000%,
9/01/35
-
NPFG
Insured
No
Opt.
Call
Baa2
680,053
815
Rocklin,
Placer
County,
California,
Special
Tax
Bonds,
Community
Facilities
District
10
Whitney
Ranch,
Series
2015,
5.000%,
9/01/39
9/25
at
100.00
N/R
831,642
935
Rohnert
Park
Community
Development
Agency,
California,
Tax
Allocation
Bonds,
Series
1999,
0.000%,
8/01/33
No
Opt.
Call
Baa2
625,094
3,775
Romoland
School
District,
California,
Special
Tax
Bonds,
Community
Facilities
District
2004-1
Heritage
Lake
Improvement
Area
3,
Series
2013,
5.000%,
9/01/43
9/23
at
100.00
N/R
3,787,533
1,120
Romoland
School
District,
California,
Special
Tax
Bonds,
Community
Facilities
District
2006-1,
Series
2017,
5.000%,
9/01/44
9/27
at
100.00
N/R
1,140,742
820
Romoland
School
District,
California,
Special
Tax
Bonds,
Community
Facilities
District
91-1,
Series
2017,
5.000%,
9/01/41
9/27
at
100.00
N/R
838,253
Roseville,
California,
Special
Tax
Bonds,
Community
Facilities
District
1
Hewlett
Parkard
Campus
Oaks,
Series
2016:
845
5.000%,
9/01/36
9/26
at
100.00
N/R
873,282
2,360
5.500%,
9/01/46
9/26
at
100.00
N/R
2,436,417
Roseville,
California,
Special
Tax
Bonds,
Community
Facilities
District
1
Sierra
Vista
Villages,
Series
2020:
490
4.000%,
9/01/45
9/27
at
103.00
N/R
441,113
1,300
4.000%,
9/01/50
9/27
at
103.00
N/R
1,133,301
625
Roseville,
California,
Special
Tax
Bonds,
Community
Facilities
District
1
Villages
at
Sierra
Vista,
Series
2022,
4.500%,
9/01/52
9/29
at
103.00
N/R
585,512
Roseville,
California,
Special
Tax
Bonds,
Community
Facilities
District
1
Westbrook,
Series
2014:
1,100
5.000%,
9/01/34
9/24
at
100.00
N/R
1,120,042
1,395
5.000%,
9/01/44
9/24
at
100.00
N/R
1,406,732
2,050
Roseville,
California,
Special
Tax
Bonds,
Community
Facilities
District
5
Fiddyment
Ranch
Public
Facilities,
Series
2017,
5.000%,
9/01/47,
144A
9/27
at
100.00
N/R
2,085,485
Roseville,
California,
Special
Tax
Bonds,
SVSP
Westpark-
Federico
Community
Facilities
District
1,
Series
2019:
500
5.000%,
9/01/44
9/26
at
103.00
N/R
514,670
700
5.000%,
9/01/49
9/26
at
103.00
N/R
716,016
2,755
Roseville,
California,
Special
Tax
Bonds,
SVSP
Westpark-Federico
Community
Facilities
District
1,
Series
2022,
5.000%,
9/01/52
9/29
at
103.00
N/R
2,779,024
230
Sabal
Palm
Community
Development
District,
Florida,
Special
Assessment
Bonds,
Series
2016,
5.500%,
11/01/46
11/26
at
100.00
N/R
231,132
1,510
Sacramento
City
Financing
Authority
California,
Lease
Revenue
Bonds,
Master
Lease
Program
Facilities
Projects,
Tender
Option
Bond
Trust
2016-XG0100,
13.577%,
12/01/33
-
AMBAC
Insured,
144A,
(IF)
(4)
No
Opt.
Call
AA-
2,637,245
21
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Tax
Obligation/Limited
(continued)
Sacramento
City
Financing
Authority,
California,
Tax
Allocation
Revenue
Bonds,
Merged
Downtown
Sacramento
and
Oak
Park
Projects,
Series
2005A:
$
4,295
0.000%,
12/01/31
-
FGIC
Insured
No
Opt.
Call
Baa2
$
3,097,511
4,435
0.000%,
12/01/32
-
FGIC
Insured
No
Opt.
Call
Baa2
3,057,578
275
Sacramento,
California,
Special
Tax
Bonds,
Community
Facilities
District
05-1
College
Square,
Series
2007,
5.900%,
9/01/37
3/23
at
100.00
N/R
276,180
1,600
Sacramento,
California,
Special
Tax
Bonds,
Community
Facilities
District
2018-01
Railyards,
Improvements
Series
2022,
5.375%,
9/01/52,
144A
9/29
at
103.00
N/R
1,622,832
Sacramento,
California,
Special
Tax
Bonds,
North
Natomas
Community
Facilities
District
7,
Series
2017-01:
710
5.000%,
9/01/37,
144A
9/24
at
103.00
N/R
736,249
1,900
5.000%,
9/01/47,
144A
9/24
at
103.00
N/R
1,932,072
428
Saint
Louis,
Missouri,
Tax
Increment
Financing
Revenue
Bonds,
Grace
Lofts
Redevelopment
Projects,
Series
2007A,
2.700%,
12/31/26
(5)
No
Opt.
Call
N/R
29,960
1,485
San
Bernardino
Community
Facilities
District
Number
2020-1,
California,
Special
Tax
Bonds,
Series
2022,
4.500%,
9/01/52
9/29
at
103.00
N/R
1,358,671
390
San
Bernardino
County
Financing
Authority,
California,
Revenue
Bonds,
Courthouse
Facilities
Project,
Series
2007,
5.500%,
6/01/37
-
NPFG
Insured
No
Opt.
Call
Baa2
395,998
550
San
Bernardino
County,
California,
Special
Tax
Bonds,
Community
Facilities
District
2006-1
Lytle
Creek
North
Improvement
Area
1,
Series
2015,
5.000%,
9/01/40
9/25
at
100.00
N/R
558,976
870
San
Francisco
City
and
County
Redevelopment
Agency
Successor
Agency,
California,
Special
Tax
Bonds,
Community
Facilities
District
7,
Hunters
Point
Shipyard
Phase
One
Improvements,
Refunding
Series
2014,
5.000%,
8/01/39
8/24
at
100.00
N/R
880,423
1,250
San
Francisco
City
and
County
Redevelopment
Agency
Successor
Agency,
California,
Tax
Allocation
Bonds,
Mission
Bay
South
Redevelopment
Project,
Series
2014A,
5.000%,
8/01/43
8/24
at
100.00
A-
1,289,750
12,610
San
Francisco
City
and
County
Redevelopment
Agency
Successor
Agency,
California,
Tax
Allocation
Bonds,
Mission
Bay
South
Redevelopment
Project,
Subordinate
Series
2016D,
0.000%,
8/01/43,
144A
1/23
at
36.20
N/R
4,601,515
11,755
San
Francisco
City
and
County,
California,
Certificates
of
Participation,
49
South
Van
Ness
Avenue
Project,
Green
Series
2019A,
4.000%,
4/01/45,
(UB)
(4)
4/27
at
100.00
AA
11,567,273
850
San
Francisco
City
and
County,
California,
Development
Special
Tax
Bonds,
Mission
Rock
Facilities
&
Services
Special
Tax
District
2020-1,
Series
2021A,
4.000%,
9/01/41,
144A
9/28
at
103.00
N/R
748,943
San
Francisco
City
and
County,
California,
Special
Tax
Bonds,
Community
Facilities
District
2016-1
Treasure
Island
Improvement
Area
1,
Series
2020:
1,550
4.000%,
9/01/42
9/27
at
103.00
N/R
1,405,865
4,350
4.000%,
9/01/50
9/27
at
103.00
N/R
3,750,570
1,000
San
Jacinto
Unified
School
District,
California,
Community
Facilities
District
2003-1
Infrastructure
Projects,
Series
2016,
3.375%,
9/01/46
3/23
at
103.00
N/R
775,870
Santa
Ana
Financing
Authority,
California,
Lease
Revenue
Bonds,
Police
Administration
and
Housing
Facility,
Series
1994A:
110
6.250%,
7/01/24
No
Opt.
Call
Baa2
114,201
5,000
Stockton,
California,
Special
Tax
Revenue
Bonds,
Community
Facilities
District
19-1,
Cannery
Park
II,
Series
2022,
5.000%,
9/01/52
9/29
at
103.00
N/R
4,941,950
1,335
Sulphur
Springs
Union
School
District,
California,
Special
Tax
Bonds,
Community
Facilities
District
2006-1,
Series
2018,
5.000%,
9/01/43
9/24
at
103.00
N/R
1,364,130
5,400
Sulphur
Springs
Union
School
District,
California,
Special
Tax
Bonds,
Community
Facilities
District
2014-1,
Series
2022,
4.500%,
9/01/52
9/29
at
103.00
N/R
5,026,914
4,000
Tejon
Ranch
Public
Facilities
Financing
Authority,
California,
Special
Tax
Bonds,
Community
Facilities
District
2008-1
Tejon
Industrial
Complex
East
2012B,
5.250%,
9/01/42
3/23
at
100.00
N/R
4,007,520
2,000
Tejon
Ranch
Public
Facilities
Financing
Authority,
California,
Special
Tax
Bonds,
Community
Facilities
District
2008-1,
Tejon
Industrial
Complex
Public
Improvements-East,
Series
2015A,
5.000%,
9/01/45
9/25
at
100.00
N/R
2,024,420
Nuveen
California
High
Yield
Municipal
Bond
Fund
(continued)
Portfolio
of
Investments
November
30,
2022
(Unaudited)
22
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Tax
Obligation/Limited
(continued)
$
3,250
Tejon
Ranch
Public
Facilities
Financing
Authority,
California,
Special
Tax
Bonds,
Community
Facilities
District
2008-1,
Tejon
Industrial
Complex
Public
Improvements-East,
Series
2020,
4.000%,
9/01/50
9/27
at
103.00
N/R
$
2,833,253
1,045
Temecula
Public
Financing
Authority,
California,
Special
Tax
Bonds,
Community
Facilities
District
16-01,
Series
2017,
6.250%,
9/01/47,
144A
9/27
at
100.00
N/R
1,083,048
400
Temecula
Valley
Unified
School
District,
Riverside
County,
California,
Special
Tax
Bonds,
Community
Facilities
District
2011-1,
Series
2014,
4.250%,
9/01/44
3/23
at
102.00
N/R
373,556
1,285
Tracy,
California,
Special
Tax
Bonds,
Community
Facilities
District
2016-1
Tracy
Hills,  Improvement
Area
1,
Series
2019,
5.000%,
9/01/44
9/25
at
103.00
N/R
1,315,827
700
Victor
Valley
Union
High
School
District,
San
Bernardino
County,
California,
Special
Tax
Bonds,
Community
Facilities
District
2007-1,
Series
2013,
5.000%,
9/01/43
9/23
at
100.00
N/R
702,730
1,000
Virgin
Islands
Public
Finance
Authority,
Gross
Receipts
Taxes
Loan
Note,
Refunding
Series
2014C,
5.000%,
10/01/39,
144A
10/24
at
100.00
N/R
907,780
10,100
West
Contra
Costa
Unified
School
District,
Contra
Costa
County,
California,
General
Obligation
Bonds,
Election
2012,
Series
2015B,
4.000%,
8/01/54,
(UB)
(4)
8/25
at
100.00
A1
9,685,698
West
Patterson
Financing
Authority,
California,
Special
Tax
Bonds,
Community
Facilities
District
2015-1
Arambel-
KDN,
Refunding
Series
2015:
350
5.250%,
9/01/35
9/25
at
100.00
N/R
361,078
785
5.250%,
9/01/45
9/25
at
100.00
N/R
799,593
3,540
West
Sacramento
Financing
Authority,
California,
Special
Tax
Revenue
Bonds,
Series
2014,
5.500%,
9/01/31
3/23
at
101.50
N/R
3,625,066
2,805
West
Sacramento,
California,
Special
Tax
Bonds,
Community
Facilities
District
27
Bridge
District,
Refunding
Series
2016,
5.000%,
9/01/40
9/26
at
100.00
N/R
2,863,316
7,760
West
Sacramento,
California,
Special
Tax
Bonds,
Community
Facilities
District
27
Bridge
District,
Series
2017,
5.000%,
9/01/47
9/27
at
100.00
N/R
7,900,922
2,155
Western
Placer
Unified
School
District,
Placer
County,
California,
Certificates
of
Participation,
Refinancing
Project,
Series
2017,
4.000%,
8/01/49
-
AGM
Insured,
(UB)
(4)
8/27
at
100.00
AA
2,073,886
Westside
Union
School
District,
California,
Special
Tax
Bonds,
Community
Facilities
District
2018-1
Improvement
Area
1,
Series
2021:
365
4.000%,
9/01/46
9/28
at
103.00
N/R
319,751
490
4.000%,
9/01/51
9/28
at
103.00
N/R
418,832
1,445
William
S.
Hart
Union
High
School
District,
Los
Angeles
County,
California,
Special
Tax
Bonds,
Community
Facilities
District
2015-1,
Series
2017,
5.000%,
9/01/47
9/26
at
100.00
N/R
1,464,666
1,860
Woodland,
California,
Special
Tax
Bonds,
Community
Facilities
District
2004-1
Spring
Lake,
Refunding
&
Capital
Projects
Series
2016,
4.000%,
9/01/45
9/26
at
100.00
N/R
1,672,028
290
Yorkville
United
City
Business
District,
Illinois,
Storm
Water
and
Water
Improvement
Project
Revenue
Bonds,
Series
2007,
4.800%,
1/01/27
(5)
12/22
at
100.00
N/R
124,700
509,411
Total
Tax
Obligation/Limited
423,737,013
Transportation
-
10.4%
Alameda
Corridor
Transportation
Authority,
California,
Revenue
Bonds,
Refunding
Second
Subordinate
Lien
Series
2022C:
9,400
0.000%,
10/01/49
-
AGM
Insured,
(UB)
(4),(7)
10/37
at
100.00
BBB
4,551,480
34,890
0.000%,
10/01/52
-
AGM
Insured,
(UB)
(4),(7)
10/37
at
100.00
BBB
16,556,352
Alameda
Corridor
Transportation
Authority,
California,
Revenue
Bonds,
Refunding
Senior
Lien
Series
2022A:
4,000
0.000%,
10/01/47,
(UB)
(4),(7)
10/37
at
100.00
A-
1,930,560
8,405
0.000%,
10/01/48,
(UB)
(4),(7)
10/37
at
100.00
A-
4,047,175
5,185
0.000%,
10/01/49,
(UB)
(4),(7)
10/37
at
100.00
A-
2,492,481
7,080
0.000%,
10/01/50,
(UB)
(4),(7)
10/37
at
100.00
A-
3,392,807
7,410
0.000%,
10/01/51
-
AGM
Insured,
(UB)
(4),(7)
10/37
at
100.00
A
3,570,583
4,000
Bay
Area
Toll
Authority,
California,
Revenue
Bonds,
San
Francisco
Bay
Area
Toll
Bridge,
Subordinate
Fixed
Rate
Series
2017S-7,
4.000%,
4/01/49,
(UB)
(4)
4/27
at
100.00
A1
3,960,000
23
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Transportation
(continued)
$
7,465
Bay
Area
Toll
Authority,
California,
Revenue
Bonds,
San
Francisco
Bay
Area
Toll
Bridge,
Subordinate
Series
2019S-8,
3.000%,
4/01/54,
(UB)
(4)
10/29
at
100.00
A1
$
5,556,349
4,000
California
Municipal
Finance
Authority,
Special
Facility
Revenue
Bonds,
United
Airlines,
Inc.
Los
Angeles
International
Airport
Project,
Series
2019,
4.000%,
7/15/29,
(AMT)
No
Opt.
Call
B+
3,882,360
10,000
Florida
Development
Finance
Corporation,
Florida,
Surface
Transportation
Facility
Revenue
Bonds,
Brightline
Passenger
Rail
Project,
Green
Series
2019B,
7.375%,
1/01/49,
(AMT),
144A
1/24
at
107.00
N/R
8,917,200
5,000
Florida
Development
Finance
Corporation,
Florida,
Surface
Transportation
Facility
Revenue
Bonds,
Virgin
Trains
USA
Passenger
Rail
Project,
Series
2019A,
6.375%,
1/01/49,
(AMT),
(Mandatory
Put
1/01/26),
144A
1/23
at
102.00
N/R
4,568,200
2,000
Foothill/Eastern
Transportation
Corridor
Agency,
California,
Toll
Road
Revenue
Bonds,
Refunding
Senior
Lien
Series
2015A,
0.000%,
1/15/35
-
AGM
Insured
No
Opt.
Call
BBB
1,235,600
10,845
Foothill/Eastern
Transportation
Corridor
Agency,
California,
Toll
Road
Revenue
Bonds,
Refunding
Senior
Lien
Series
2021A,
4.000%,
1/15/46,
(UB)
(4)
1/31
at
100.00
Baa2
9,985,317
Foothill/Eastern
Transportation
Corridor
Agency,
California,
Toll
Road
Revenue
Bonds,
Refunding
Series
2013A:
5,000
0.000%,
1/15/37
-
AGM
Insured
No
Opt.
Call
BBB
2,767,750
1,775
5.000%,
1/15/42
-
AGM
Insured
1/24
at
100.00
BBB
1,816,109
3,845
Foothill/Eastern
Transportation
Corridor
Agency,
California,
Toll
Road
Revenue
Bonds,
Refunding
Term
Rate
Series
2013B-2,
3.500%,
1/15/53
-
AGM
Insured,
(UB)
(4)
7/29
at
100.00
A1
3,199,924
2,500
Foothill/Eastern
Transportation
Corridor
Agency,
California,
Toll
Road
Revenue
Bonds,
Refunding
Term
Rate
Sub-Series
2013B-1,
3.950%,
1/15/53
-
AGM
Insured
7/27
at
100.00
A1
2,264,575
Guam
A.B.
Won
Pat  International
Airport
Authority,
Revenue
Bonds,
Series
2013C:
450
6.250%,
10/01/34,
(AMT)
10/23
at
100.00
Baa2
461,542
90
6.125%,
10/01/43
-
AGM
Insured,
(AMT)
10/23
at
100.00
Baa2
92,217
Guam
Port
Authority,
Port
Revenue
Bonds,
Private
Activity
Series
2018B:
250
5.000%,
7/01/36,
(AMT)
7/28
at
100.00
Baa2
259,623
400
5.000%,
7/01/37,
(AMT)
7/28
at
100.00
Baa2
414,092
3,000
Los
Angeles
Department
of
Airports,
California,
Revenue
Bonds,
Los
Angeles
International
Airport,
Refunding
Subordinate
Series
2022G,
4.000%,
5/15/47,
(AMT)
11/31
at
100.00
AA
2,779,590
10,000
Los
Angeles
Department
of
Airports,
California,
Revenue
Bonds,
Los
Angeles
International
Airport,
Subordinate
Lien
Series
2018C,
5.000%,
5/15/44,
(AMT),
(UB)
(4)
11/27
at
100.00
AA-
10,255,200
5,165
San
Francisco
Airports
Commission,
California,
Revenue
Bonds,
San
Francisco
International
Airport,
Second
Series
2018D,
5.000%,
5/01/48,
(AMT),
(UB)
(4)
5/28
at
100.00
A+
5,256,369
4,500
San
Francisco
Airports
Commission,
California,
Revenue
Bonds,
San
Francisco
International
Airport,
Second
Series
2019A,
4.000%,
5/01/49,
(AMT),
(UB)
(4)
5/29
at
100.00
A+
4,082,805
8,600
San
Francisco
Airports
Commission,
California,
Revenue
Bonds,
San
Francisco
International
Airport,
Second
Series
2019E,
4.000%,
5/01/50,
(AMT),
(UB)
(4)
5/29
at
100.00
A+
7,794,524
1,290
San
Francisco
Airports
Commission,
California,
Revenue
Bonds,
San
Francisco
International
Airport,
Tender
Option
Bond
Trust
Series
2015-
XF1032,
11.836%,
5/01/44,
144A,
(IF)
(4)
5/24
at
100.00
A
1,343,032
200
San
Joaquin
Hills
Transportation
Corridor
Agency,
Orange
County,
California,
Toll
Road
Revenue
Bonds,
Refunding
Junior
Lien
Series
2014B,
5.250%,
1/15/49
1/25
at
100.00
BBB-
202,906
50
San
Joaquin
Hills
Transportation
Corridor
Agency,
Orange
County,
California,
Toll
Road
Revenue
Bonds,
Refunding
Series
1997A,
0.000%,
1/15/31
-
NPFG
Insured
No
Opt.
Call
Baa2
35,743
6,650
San
Jose,
California,
Airport
Revenue
Bonds,
Refunding
Series
2017A,
4.000%,
3/01/42
-
BAM
Insured,
(AMT),
(UB)
(4)
3/27
at
100.00
A2
6,290,767
Nuveen
California
High
Yield
Municipal
Bond
Fund
(continued)
Portfolio
of
Investments
November
30,
2022
(Unaudited)
24
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Transportation
(continued)
$
1,200
West
Indian
Company
Limited,
Virgin
Island,
Port
Facilities
Revenue
Bonds,
WICO
Financing,
Series
2022B,
6.500%,
4/01/52,
(AMT),
144A
10/29
at
104.00
N/R
$
1,160,220
174,645
Total
Transportation
125,123,452
U.S.
Guaranteed
-
1.2%
(8)
Anaheim
Public
Financing
Authority,
California,
Lease
Revenue
Bonds,
Public
Improvement
Project,
Series
1997C:
2,320
0.000%,
9/01/35
-
AGM
Insured,
(ETM)
No
Opt.
Call
AA
1,479,812
California
Health
Facilities
Financing
Authority,
Revenue
Bonds,
Providence
Health
&
Services,
Tender
Option
Bond
Trust
2015-XF0120:
35
22.077%,
10/01/38,
(Pre-refunded
10/01/24),
144A,
(IF)
(4)
10/24
at
100.00
N/R
40,223
1,955
California
Municipal
Finance
Authority,
Mobile
Home
Park
Revenue
Bonds,
Windsor
Mobile
Country
Club,
Subordinate
Series
2013B,
7.000%,
11/15/48,
(Pre-refunded
11/15/23)
11/23
at
100.00
N/R
2,034,432
250
California
Municipal
Finance
Authority,
Revenue
Bonds,
Touro
College
and
University
System,
Series
2014A,
5.250%,
1/01/40,
(Pre-refunded
7/01/24)
7/24
at
100.00
N/R
260,062
California
School
Finance
Authority,
California,
Charter
School
Revenue
Bonds,
Aspire
Public
Schools,
Refunding
Series
2016:
40
5.000%,
8/01/46,
(Pre-refunded
8/01/25),
144A
8/25
at
100.00
N/R
42,427
California
School
Finance
Authority,
Educational
Facility
Revenue
Bonds,
Partnerships
to
Uplift
Communities
Valley
Project,
Series
2014:
1,605
6.400%,
8/01/34,
(Pre-refunded
2/01/24),
144A
2/24
at
100.00
BB+
1,670,741
2,040
6.750%,
8/01/44,
(Pre-refunded
2/01/24),
144A
2/24
at
100.00
BB+
2,130,474
California
State,
General
Obligation
Bonds,
Various
Purpose,
Tender
Option
Bond
Trust
2015-XF1041:
750
8.890%,
11/01/44,
(Pre-refunded
11/01/24),
144A,
(IF)
(4)
11/24
at
100.00
AA-
757,688
1,000
California
Statewide
Communities
Development
Authority,
Revenue
Bonds,
Buck
Institute
for
Research
on
Aging,
Tender
Option
Bond
Trust
2015-XF1035,
14.718%,
5/15/24,
(Pre-refunded
11/15/24)
-
AGM
Insured,
144A,
(IF)
(4)
11/24
at
100.00
AA
1,232,330
1,250
Dana
Point,
California,
Special
Tax
Bonds,
Community
Facilities
District
2006-1
Series
2014,
5.000%,
9/01/45,
(Pre-refunded
9/01/23)
9/23
at
100.00
N/R
1,273,663
Guam
A.B.
Won
Pat  International
Airport
Authority,
Revenue
Bonds,
Series
2013C:
295
6.250%,
10/01/34,
(Pre-refunded
10/01/23),
(AMT)
10/23
at
100.00
Baa2
302,567
410
6.125%,
10/01/43,
(Pre-refunded
10/01/23)
-
AGM
Insured,
(AMT)
10/23
at
100.00
Baa2
420,098
Guam
Government
Waterworks
Authority,
Water
and
Wastewater
System
Revenue
Bonds,
Series
2013:
500
5.250%,
7/01/33,
(Pre-refunded
7/01/23)
7/23
at
100.00
Baa2
507,825
1,000
5.500%,
7/01/43,
(Pre-refunded
7/01/23)
7/23
at
100.00
Baa2
1,017,080
Santa
Ana
Financing
Authority,
California,
Lease
Revenue
Bonds,
Police
Administration
and
Housing
Facility,
Series
1994A:
110
6.250%,
7/01/24,
(ETM)
No
Opt.
Call
Baa2
114,249
1,250
Stockton
Public
Financing
Authority,
California,
Water
Revenue
Bonds,
Delta
Water
Supply
Project,
Series
2010A,
6.250%,
10/01/40,
(Pre-
refunded
10/01/23)
10/23
at
100.00
A
1,288,637
14,810
Total
U.S.
Guaranteed
14,572,308
Utilities
-
8.0%
3,000
Farmington,
New
Mexico,
Pollution
Control
Revenue
Bonds,
Southern
California
Edison
Company
-
Four
Corners
Project,
Refunding
Series
2005A,
1.800%,
4/01/29
No
Opt.
Call
A-
2,544,150
1,725
Gilroy
Public
Facilities
Financing
Authority,
California,
Wastewater
Revenue
Bonds,
Series
2021A,
3.000%,
8/01/51
8/31
at
100.00
AA
1,303,531
500
Guam
Government
Waterworks
Authority,
Water
and
Wastewater
System
Revenue
Bonds,
Series
2016,
5.000%,
1/01/46
7/26
at
100.00
Baa2
502,450
25
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Utilities
(continued)
$
25
Long
Beach
Bond
Finance
Authority,
California,
Natural
Gas
Purchase
Revenue
Bonds,
Series
2007A,
5.500%,
11/15/28
No
Opt.
Call
A-
$
27,013
20,000
Los
Angeles
Department
of
Water
and
Power,
California,
Power
System
Revenue
Bonds,
Series
2017A,
5.000%,
7/01/47,
(UB)
(4)
1/27
at
100.00
AA-
21,015,600
7,775
Los
Angeles
Department
of
Water
and
Power,
California,
Power
System
Revenue
Bonds,
Series
2022A,
5.000%,
7/01/51
7/31
at
100.00
N/R
8,452,769
5,000
Los
Angeles
Department
of
Water
and
Power,
California,
Power
System
Revenue
Bonds,
Series
2022B,
5.000%,
7/01/47
No
Opt.
Call
AA-
5,516,660
2,000
Los
Angeles
Department
of
Water
and
Power,
California,
Waterworks
Revenue
Bonds,
Tender
Option
Bond
Trust
3403.
As
of
6/4/2015
Converted
to
Trust
2015-XF2053,
14.635%,
1/01/24,
144A,
(IF)
(4)
7/24
at
100.00
Aa2
2,262,280
50
M-S-R
Energy
Authority,
California,
Gas
Revenue
Bonds,
Citigroup
Prepay
Contracts,
Series
2009A,
6.500%,
11/01/39
No
Opt.
Call
BBB+
60,666
480
Pico
Rivera
Water
Authority,
California,
Revenue
Bonds,
Refunding
Water
System
Project,
Series
1999A,
5.500%,
5/01/29
-
NPFG
Insured
No
Opt.
Call
Baa2
511,507
500
Puerto
Rico
Aqueduct
and
Sewerage
Authority,
Revenue
Bonds,
Refunding
Senior
Lien
Forward
Delivery
Series
2022A,
4.000%,
7/01/47,
144A
7/32
at
100.00
N/R
411,750
Puerto
Rico
Aqueduct
and
Sewerage
Authority,
Revenue
Bonds,
Refunding
Senior
Lien
Series
2020A:
3,745
5.000%,
7/01/35,
144A
7/30
at
100.00
N/R
3,717,212
3,000
5.000%,
7/01/47,
144A
7/30
at
100.00
N/R
2,880,360
2,440
Puerto
Rico
Aqueduct
and
Sewerage
Authority,
Revenue
Bonds,
Refunding
Senior
Lien
Series
2021B,
5.000%,
7/01/37,
144A
7/31
at
100.00
N/R
2,404,156
8,000
Puerto
Rico
Electric
Power
Authority,
Power
Revenue
Bonds,
Federally
Taxable
Build
America
Bonds,
Series
2010YY,
4.050%,
7/01/40
(5)
1/23
at
100.00
D
5,960,000
25
Puerto
Rico
Electric
Power
Authority,
Power
Revenue
Bonds,
Refunding
Series
2005SS,
3.926%,
7/01/30
(5)
1/23
at
100.00
D
18,406
Puerto
Rico
Electric
Power
Authority,
Power
Revenue
Bonds,
Refunding
Series
2010DDD:
1,000
3.375%,
7/01/21
(5)
7/20
at
100.00
D
735,000
1,030
3.844%,
7/01/21
(5)
7/20
at
100.00
D
741,600
Puerto
Rico
Electric
Power
Authority,
Power
Revenue
Bonds,
Refunding
Series
2012A:
1,415
3.941%,
7/01/29
(5)
1/23
at
100.00
D
1,041,794
5,385
3.957%,
7/01/42
(5)
1/23
at
100.00
D
3,984,900
2,925
3.961%,
7/01/42
(5)
1/23
at
100.00
D
2,157,187
85
Puerto
Rico
Electric
Power
Authority,
Power
Revenue
Bonds,
Series
2003NN,
3.999%,
7/01/20
(5)
No
Opt.
Call
D
63,006
1,950
Puerto
Rico
Electric
Power
Authority,
Power
Revenue
Bonds,
Series
2007TT,
3.957%,
7/01/32
(5)
1/23
at
100.00
D
1,443,000
1,140
Puerto
Rico
Electric
Power
Authority,
Power
Revenue
Bonds,
Series
2007VV,
5.250%,
7/01/34
-
NPFG
Insured
No
Opt.
Call
D
1,133,103
Puerto
Rico
Electric
Power
Authority,
Power
Revenue
Bonds,
Series
2010AAA:
500
3.978%,
7/01/24
(5)
1/23
at
100.00
D
371,250
275
3.978%,
7/01/25
(5)
1/23
at
100.00
D
204,188
3,000
3.978%,
7/01/27
(5)
1/23
at
100.00
D
2,227,500
1,020
3.978%,
7/01/31
(5)
1/23
at
100.00
D
757,350
Puerto
Rico
Electric
Power
Authority,
Power
Revenue
Bonds,
Series
2010CCC:
135
3.957%,
7/01/24
(5)
1/23
at
100.00
D
99,900
200
3.941%,
7/01/27
(5)
1/23
at
100.00
D
147,250
2,000
3.990%,
7/01/28
(5)
1/23
at
100.00
D
1,485,000
Puerto
Rico
Electric
Power
Authority,
Power
Revenue
Bonds,
Series
2010XX:
1,445
3.926%,
7/01/25
(5)
1/23
at
100.00
D
1,063,881
95
3.978%,
7/01/26
(5)
1/23
at
100.00
D
70,538
1,000
3.978%,
7/01/35
(5)
1/23
at
100.00
D
742,500
Nuveen
California
High
Yield
Municipal
Bond
Fund
(continued)
Portfolio
of
Investments
November
30,
2022
(Unaudited)
26
Investments
in
Derivatives
Part
F
of
Form
N-PORT
was
prepared
in
accordance
with
U.S.
generally
accepted
accounting
principles
(“U.S.
GAAP”)
and
in
conformity
with
the
applicable
rules
and
regulations
of
the
U.S.
Securities
and
Exchange
Commission
(“SEC”)
related
to
interim
filings.
Part
F
of
Form
N-PORT
does
not
include
all
information
and
footnotes
required
by
U.S.
GAAP
for
complete
financial
statements.
Certain
footnote
disclosures
normally
included
in
financial
statements
prepared
in
accordance
with
U.S.
GAAP
have
been
condensed
or
omitted
from
this
report
pursuant
to
the
rules
of
the
SEC.
For
a
full
set
of
the
Fund’s
notes
to
financial
statements,
please
refer
to
the
Fund’s
most
recently
filed
annual
or
semi-annual
report.
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Utilities
(continued)
Puerto
Rico
Electric
Power
Authority,
Power
Revenue
Bonds,
Series
2010ZZ:
$
165
3.957%,
7/01/21
(5)
7/20
at
100.00
D
$
121,275
1,695
3.957%,
7/01/23
(5)
No
Opt.
Call
N/R
1,245,825
1,000
3.978%,
7/01/26
(5)
1/23
at
100.00
D
742,500
Puerto
Rico
Electric
Power
Authority,
Power
Revenue
Bonds,
Series
2013A:
220
4.143%,
7/01/30
(5)
7/23
at
100.00
D
167,750
4,430
4.102%,
7/01/36
(5)
7/23
at
100.00
D
3,355,725
Puerto
Rico
Electric
Power
Authority,
Power
Revenue
Bonds,
Series
WW:
915
3.988%,
7/01/24
(5)
1/23
at
100.00
D
680,531
1,000
3.978%,
7/01/33
(5)
1/23
at
100.00
D
742,500
295
3.999%,
7/01/38
(5)
1/23
at
100.00
D
220,144
2,380
Puerto
Rico
Electric
Power
Authority,
Power
Revenue
Bonds,
Taxable
Build
America
Bond
Series
2010EE,
4.036%,
7/01/30
(5)
1/23
at
100.00
D
1,773,100
San
Joaquin
County,
California,
Revenue
Bonds,
CSA
County
Service
Area
31,
Refunding
Series
2018A:
1,250
5.000%,
8/01/38
8/28
at
100.00
N/R
1,289,037
1,500
5.000%,
8/01/42
8/28
at
100.00
N/R
1,538,595
Southern
California
Public
Power
Authority,
Natural
Gas
Project
1
Revenue
Bonds,
Series
2007A:
1,000
5.000%,
11/01/29
No
Opt.
Call
BBB+
1,065,410
220
5.000%,
11/01/33
No
Opt.
Call
BBB+
235,292
2,190
Virgin
Islands
Water
and
Power
Authority,
Electric
System
Revenue
Bonds,
Bond
Anticipation
Notes,
Taxable
Series
2022A,
7.750%,
7/01/24
No
Opt.
Call
N/R
2,152,945
150
Virgin
Islands
Water
and
Power
Authority,
Electric
System
Revenue
Bonds,
Bond
Anticipation
Notes,
Taxable
Series
2022B,
10.000%,
7/01/24
No
Opt.
Call
N/R
149,309
5,020
West
County
Facilities
Financing
Authority,
California,
Wastewater
Revenue
Bonds,
Green
Series
2021,
4.000%,
6/01/46,
(UB)
,(WI/DD,
Settling
12/06/22)
6/31
at
100.00
AA-
4,963,374
106,295
Total
Utilities
96,500,769
$
2,042,686
Total
Municipal
Bonds
(cost
$1,580,318,454)
1,485,157,913
Shares
Description
(1)
Value
X
1,357,286
COMMON
STOCKS
-
0.1%  
X
1,357,286
Airlines
-
0.1%
$
94,060
American
Airlines
Group
Inc
(9),(10)
$
1,357,286
Total
Common
Stocks
(cost
$2,851,418)
1,357,286
Total
Long-Term
Investments
(cost
$1,583,169,872)
1,486,515,199
Floating
Rate
Obligations
-
(26.0)%  
(
312,098,000
)
Other
Assets
Less
Liabilities
-
2.4%(11)
28,060,073
Net
Assets
-
100%
$
1,202,477,272
Futures
Contracts
-
Short
Description
Number
of
Contracts
Expiration
Date
Notional
Amount
Value
Unrealized
Appreciation
(Depreciation)
U.S.
Treasury
5-Year
Note
(734)
3/23
$
(
79,495,195
)
$
(
79,690,610
)
$
(
195,415
)
U.S.
Treasury
10-Year
Note
(466)
3/23
(
52,831,818
)
(
52,891,000
)
(
59,182
)
Total
$(132,327,013)
$(132,581,610)
$(254,597)
27
Fair
Value
Measurements
The
Fund’s
investments
in
securities
are
recorded
at
their
estimated
fair
value
utilizing
valuation
methods
approved
by
the
Board
of
Directors/
Trustees.
Fair
value
is
defined
as
the
price
that
would
be
received
upon
selling
an
investment
or
transferring
a
liability
in
an
orderly
transaction
to
an
independent
buyer
in
the
principal
or
most
advantageous
market
for
the
investment.
U.S.
GAAP
establishes
the
three-tier
hierarchy
which
is
used
to
maximize
the
use
of
observable
market
data
and
minimize
the
use
of
unobservable
inputs
and
to
establish
classification
of
fair
value
measurements
for
disclosure
purposes.
Observable
inputs
reflect
the
assumptions
market
participants
would
use
in
pricing
the
asset
or
liability.
Observable
inputs
are
based
on
market
data
obtained
from
sources
independent
of
the
reporting
entity.
Unobservable
inputs
reflect
management’s
assumptions
about
the
assumptions
market
participants
would
use
in
pricing
the
asset
or
liability.
Unobservable
inputs
are
based
on
the
best
information
available
in
the
circumstances.
The
following
is
a
summary
of
the
three-tiered
hierarchy
of
valuation
input
levels.
Level
1
Inputs
are
unadjusted
and
prices
are
determined
using
quoted
prices
in
active
markets
for
identical
securities.
Level
2
Prices
are
determined
using
other
significant
observable
inputs
(including
quoted
prices
for
similar
securities,
interest
rates,
credit
spreads,
etc.).
Level
3
Prices
are
determined
using
significant
unobservable
inputs
(including
management’s
assumptions
in
determining
the
fair
value
of
investments).
The
following
table
summarizes
the
market
value
of
the
Fund's
investments
as
of
the
end
of
the
reporting
period,
based
on
the
inputs
used
to
value
them:
Level
1
Level
2
Level
3
Total
Long-Term
Investments:
Municipal
Bonds
$
$
1,484,588,834
$
569,079
$
1,485,157,913
Common
Stocks
1,357,286
1,357,286
Investments
in
Derivatives:
Futures
Contracts*
(254,597)
(254,597)
Total
$
1,102,689
$
1,484,588,834
$
569,079
$
1,486,260,602
*
Represents
net
unrealized
appreciation
(depreciation).
(1)
All
percentages
shown
in
the
Portfolio
of
Investments
are
based
on
net
assets.
(2)
Optional
Call
Provisions:
Dates
(month
and
year)
and
prices
of
the
earliest
optional
call
or
redemption.
There
may
be
other
call
provisions
at
varying
prices
at
later
dates.
Certain
mortgage-backed
securities
may
be
subject
to
periodic
principal
paydowns.
(3)
The
ratings
disclosed
are
the
lowest
of
Standard
&
Poor’s
Group
(“Standard
&
Poor’s”),
Moody’s
Investors
Service,
Inc.
(“Moody’s”)
or
Fitch,
Inc.
(“Fitch”)
rating.
Ratings
below
BBB
by
Standard
&
Poor’s,
Baa
by
Moody’s
or
BBB
by
Fitch
are
considered
to
be
below
investment
grade.
Holdings
designated
N/R
are
not
rated
by
any
of
these
national
rating
agencies.
(4)
Investment,
or
portion
of
investment,
has
been
pledged
to
collateralize
the
net
payment
obligations
for
investments
in
inverse
floating
rate
transactions.
(5)
Defaulted
security.
A
security
whose
issuer
has
failed
to
fully
pay
principal
and/or
interest
when
due,
or
is
under
the
protection
of
bankruptcy.
(6)
For
fair
value
measurement
disclosure
purposes,
investment
classified
as
Level
3.
(7)
Step-up
coupon
bond,
a
bond
with
a
coupon
that
increases
("steps
up"),
usually
at
regular
intervals,
while
the
bond
is
outstanding.
The
rate
shown
is
the
coupon
as
of
the
end
of
the
reporting
period.
(8)
Backed
by
an
escrow
or
trust
containing
sufficient
U.S.
Government
or
U.S.
Government
agency
securities,
which
ensure
the
timely
payment
of
principal
and
interest.
(9)
On
November
28,
2011,
AMR
Corp.
("AMR"),
the
parent
company
of
American
Airlines
Group,
Inc.
("AAL")
filed
for
federal
bankruptcy
protection.
On
December
9,
2013,
AMR
emerged
from
federal
bankruptcy
with
the
acceptance
of
its
reorganization
plan
by
the
bankruptcy
court.
Under
the
settlement
agreement
to
meet
AMR's
unsecured
bond
obligations,
the
bondholders
including
the
Fund,
received
a
distribution
of
AAL
preferred
stock
which
was
converted
to
AAL
common
stock
over
a
120-day
period.
Every
30
days,
a
quarter
of
the
preferred
stock
was
converted
to
AAL
common
stock
based
on
the
5-day
volume-weighted
average
price
and
the
amount
of
preferred
shares
tendered
during
the
optional
preferred
conversion
period.
(10)
Non-income
producing;
issuer
has
not
declared
an
ex-dividend
date
within
the
past
twelve
months.
(11)
Other
assets
less
liabilities
includes
the
unrealized
appreciation
(depreciation)
of
certain
over-the-counter
("OTC")
derivatives
as
well
as
the
OTC
cleared
and
exchange-traded
derivatives,
when
applicable.
144A
Investment
is
exempt
from
registration
under
Rule
144A
of
the
Securities
Act
of
1933,
as
amended.
These
investments
may
only
be
resold
in
transactions
exempt
from
registration,
which
are
normally
those
transactions
with
qualified
institutional
buyers.
AMT
Alternative
Minimum
Tax
ETM
Escrowed
to
maturity
IF
Inverse
floating
rate
security
issued
by
a
tender
option
bond
(“TOB”)
trust,
the
interest
rate
on
which
varies
inversely
with
the
Securities
Industry
Financial
Markets
Association
(SIFMA)
short-term
rate,
which
resets
weekly,
or
a
similar
short-term
rate,
and
is
reduced
by
the
expenses
related
to
the
TOB
trust.
UB
Underlying
bond
of
an
inverse
floating
rate
trust
reflected
as
a
financing
transaction.
WI/DD
Purchased
on
a
when-issued
or
delayed
delivery
basis.
28
Nuveen
California
Municipal
Bond
Fund
Portfolio
of
Investments
November
30,
2022
(Unaudited)
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
LONG-TERM
INVESTMENTS
-
99.3%   
X
1,732,414,838
MUNICIPAL
BONDS
-
99.3%  
X
1,732,414,838
Consumer
Staples
-
0.0%
$
370
California
County
Tobacco
Securitization
Agency,
Tobacco
Settlement
Asset-Backed
Bonds,
Los
Angeles
County
Securitization
Corporation,
Series
2020A,
4.000%,
6/01/49
6/30
at
100.00
BBB+
$
318,932
Education
and
Civic
Organizations
-
5.4%
5,000
California
Educational
Facilities
Authority,
Revenue
Bonds,
Chapman
University,
Series
2015,
5.000%,
4/01/45
4/25
at
100.00
A2
5,085,450
3,000
California
Educational
Facilities
Authority,
Revenue
Bonds,
University
of
the
Pacific,
Refunding
Series
2015,
5.000%,
11/01/36
11/25
at
100.00
A2
3,106,200
4,250
California
Municipal
Finance
Authority,
Charter
School
Revenue
Bonds,
Partnerships
to
Uplift
Communities
Project,
Series
2012A,
5.250%,
8/01/42
1/23
at
100.00
BB+
3,907,492
California
Municipal
Finance
Authority,
Educational
Facilities
Revenue
Bonds,
OCEAA
Project,
Series
2008A:
560
6.750%,
10/01/28
1/23
at
100.00
N/R
560,549
1,500
7.000%,
10/01/39
1/23
at
100.00
N/R
1,500,990
1,275
California
Municipal
Finance
Authority,
Revenue
Bonds,
Goodwill
Industries
of
Sacramento
Valley
&
Northern
Nevada
Project,
Series
2014A,
5.000%,
1/01/35
1/25
at
100.00
N/R
1,087,052
California
Municipal
Finance
Authority,
Revenue
Bonds,
Linxs
APM
Project,
Senior
Lien
Series
2018A:
8,595
4.000%,
12/31/47,
(AMT)
6/28
at
100.00
A2
7,464,328
6,980
5.000%,
12/31/47,
(AMT)
6/28
at
100.00
BBB-
7,020,763
1,040
California
School
Finance
Authority,
California,
Charter
School
Revenue
Bonds,
Aspire
Public
Schools,
Refunding
Series
2015A,
5.000%,
8/01/40,
144A
8/25
at
100.00
BBB
1,045,814
California
School
Finance
Authority,
California,
Charter
School
Revenue
Bonds,
Aspire
Public
Schools,
Refunding
Series
2016:
460
5.000%,
8/01/46,
144A
8/25
at
100.00
BBB
460,046
815
California
School
Finance
Authority,
Charter
School
Revenue
Bonds,
Aspire
Public
School
-
Obligated
Group,Issue
No.6,
Series
2020A,
5.000%,
8/01/52,
144A
8/28
at
100.00
BBB
804,592
California
School
Finance
Authority,
Charter
School
Revenue
Bonds,
Downtown
College
Prep
-
Obligated
Group,
Series
2016:
410
5.000%,
6/01/46,
144A
6/26
at
100.00
N/R
366,753
500
5.000%,
6/01/51,
144A
6/26
at
100.00
N/R
439,515
375
California
School
Finance
Authority,
Charter
School
Revenue
Bonds,
Kepler
Neighborhood
School,
Series
2017A,
5.750%,
5/01/37,
144A
5/27
at
100.00
N/R
371,719
285
California
School
Finance
Authority,
Charter
School
Revenue
Bonds,
Rocketship
Education
Obligated
Group,
Series
2016A,
5.000%,
6/01/36,
144A
6/25
at
100.00
N/R
273,908
500
California
School
Finance
Authority,
Charter
School
Revenue
Bonds,
Summit
Public
Schools
Obligated
Group,
Series
2017,
5.000%,
6/01/47,
144A
6/27
at
100.00
Baa3
501,430
750
California
School
Finance
Authority,
School
Facility
Revenue
Bonds,
Alliance
for
College-Ready
Public
Schools
Project,
Series
2015A,
5.000%,
7/01/45,
144A
7/25
at
100.00
BBB
754,297
830
California
School
Finance
Authority,
School
Facility
Revenue
Bonds,
Alliance
for
College-Ready
Public
Schools
Project,
Series
2016A,
5.000%,
7/01/46,
144A
7/25
at
100.00
BBB
834,192
5,235
California
School
Finance
Authority,
School
Facility
Revenue
Bonds,
Alliance
for
College-Ready
Public
Schools
Project,
Series
2016C,
5.250%,
7/01/52,
144A
7/25
at
101.00
BBB
5,296,721
29
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Education
and
Civic
Organizations
(continued)
California
School
Finance
Authority,
School
Facility
Revenue
Bonds,
Value
Schools,
Series
2013:
$
2,000
6.900%,
7/01/43
7/23
at
100.00
BB+
$
2,024,800
4,040
7.000%,
7/01/48
7/23
at
100.00
BB+
4,090,056
2,650
California
State
University,
Systemwide
Revenue
Bonds,
Refunding
Series
2015A,
5.000%,
11/01/35
11/25
at
100.00
Aa2
2,792,146
3,100
California
State
University,
Systemwide
Revenue
Bonds,
Series
2018A,
5.000%,
11/01/43
11/28
at
100.00
Aa2
3,321,898
5,210
California
State
University,
Systemwide
Revenue
Bonds,
Series
2019A,
5.000%,
11/01/51
11/29
at
100.00
Aa2
5,573,918
7,100
California
State
University,
Systemwide
Revenue
Bonds,
Series
2020C,
3.000%,
11/01/39
11/30
at
100.00
Aa2
6,187,437
1,115
San
Diego
County,
California,
Limited
Revenue
Obligations,
Sanford
Burnham
Prebys
Medical
Discovery
Institute,
Series
2015A,
5.000%,
11/01/28
11/25
at
100.00
A1
1,188,724
15,325
University
of
California,
General
Revenue
Bonds,
Limited
Project
Series
2017M,
5.000%,
5/15/47
5/27
at
100.00
AA-
16,188,257
11,620
University
of
California,
General
Revenue
Bonds,
Limited
Project
Series
2018O,
5.000%,
5/15/43
5/28
at
100.00
AA-
12,440,721
94,520
Total
Education
and
Civic
Organizations
94,689,768
Financials
-
0.0%
7
Cofina
Class
2
Trust
Tax-Exempt
Class
2047,
Puerto
Rico.
Unit
Exchanged
From
Cusip
74529JAN5,
0.000%,
8/01/47
No
Opt.
Call
N/R
2,467
Health
Care
-
12.3%
California
Health
Facilities
Financing
Authority,
California,
Revenue
Bonds,
Sutter
Health,
Refunding
Series
2016B:
17,205
5.000%,
11/15/46
11/26
at
100.00
A1
17,551,681
3,815
California
Health
Facilities
Financing
Authority,
California,
Revenue
Bonds,
Sutter
Health,
Refunding
Series
2017A,
5.000%,
11/15/48
11/27
at
100.00
A1
3,902,821
California
Health
Facilities
Financing
Authority,
California,
Revenue
Bonds,
Sutter
Health,
Series
2018A:
1,225
5.000%,
11/15/36
11/27
at
100.00
A1
1,303,976
11,100
5.000%,
11/15/48
11/27
at
100.00
A1
11,355,522
3,850
California
Health
Facilities
Financing
Authority,
Revenue
Bonds,
Children's
Hospital
Los
Angeles,
Series
2017A,
5.000%,
8/15/47
8/27
at
100.00
BBB+
3,886,883
6,100
California
Health
Facilities
Financing
Authority,
Revenue
Bonds,
City
of
Hope
National
Medical
Center,
Series
2012A,
4.000%,
11/15/39
1/23
at
100.00
A+
5,746,017
7,350
California
Health
Facilities
Financing
Authority,
Revenue
Bonds,
City
of
Hope
National
Medical
Center,
Series
2019,
4.000%,
11/15/45
11/29
at
100.00
A+
6,699,819
California
Health
Facilities
Financing
Authority,
Revenue
Bonds,
CommonSpirit
Health,
Series
2020A:
10,750
4.000%,
4/01/40
4/30
at
100.00
A-
10,144,238
3,175
4.000%,
4/01/45
4/30
at
100.00
A-
2,923,349
36,320
4.000%,
4/01/49
4/30
at
100.00
A-
32,752,286
3,940
California
Health
Facilities
Financing
Authority,
Revenue
Bonds,
El
Camino
Hospital,
Refunding
Series
2015A,
5.000%,
2/01/40
2/25
at
100.00
AA
4,004,301
830
California
Health
Facilities
Financing
Authority,
Revenue
Bonds,
Lucile
Salter
Packard
Children's
Hospital,
Series
2014A,
5.000%,
8/15/43
8/24
at
100.00
AA-
846,459
1,825
California
Health
Facilities
Financing
Authority,
Revenue
Bonds,
Providence
Health
&
Services,
Series
2014B,
5.000%,
10/01/44
10/24
at
100.00
A+
1,844,582
17,055
California
Municipal
Finance
Authority,
Revenue
Bonds,
Community
Health
System,
Series
2021A,
4.000%,
2/01/51
-
AGM
Insured
2/32
at
100.00
AA
16,305,092
250
California
Municipal
Finance
Authority,
Revenue
Bonds,
Eisenhower
Medical
Center,
Refunding
Series
2017A,
5.000%,
7/01/42
7/27
at
100.00
Baa2
254,705
California
Municipal
Finance
Authority,
Revenue
Bonds,
NorthBay
Healthcare
Group,
Series
2017A:
1,810
5.250%,
11/01/36
11/26
at
100.00
BBB-
1,820,987
5,000
5.250%,
11/01/41
11/26
at
100.00
BBB-
5,025,600
6,750
5.000%,
11/01/47
11/26
at
100.00
BBB-
6,783,412
10,310
5.250%,
11/01/47
11/26
at
100.00
BBB-
10,349,797
Nuveen
California
Municipal
Bond
Fund
(continued)
Portfolio
of
Investments
November
30,
2022
(Unaudited)
30
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Health
Care
(continued)
$
5,300
California
Municipal
Finance
Authority,
Reveue
Bonds,
Community
Medical
Centers,
Series
2017A,
5.000%,
2/01/47
2/27
at
100.00
A-
$
5,399,587
2,950
California
Municipal
Financing
Authority,
Certificates
of
Participation,
Palomar
Health,
Series
2022A,
5.250%,
11/01/52
-
AGM
Insured
11/32
at
100.00
AA
3,116,675
2,000
California
Public
Finance
Authority,
Revenue
Bonds,
Henry
Mayo
Newhall
Hospital,
Series
2017,
5.000%,
10/15/47
10/26
at
100.00
BBB-
2,019,600
2,500
California
Statewide
Communities
Development
Authority,
California,
Redlands
Community
Hospital,
Revenue
Bonds,
Series
2016,
5.000%,
10/01/46
10/26
at
100.00
A-
2,527,775
California
Statewide
Communities
Development
Authority,
California,
Revenue
Bonds,
Loma
Linda
University
Medical
Center,
Series
2014A:
5,295
5.250%,
12/01/34
12/24
at
100.00
BB+
5,404,024
6,000
5.250%,
12/01/44
12/24
at
100.00
BB+
6,042,840
California
Statewide
Communities
Development
Authority,
California,
Revenue
Bonds,
Loma
Linda
University
Medical
Center,
Series
2016A:
2,400
5.000%,
12/01/41,
144A
6/26
at
100.00
BB+
2,400,552
17,250
5.250%,
12/01/56,
144A
6/26
at
100.00
BB+
17,180,655
8,400
California
Statewide
Communities
Development
Authority,
California,
Revenue
Bonds,
Loma
Linda
University
Medical
Center,
Series
2018A,
5.500%,
12/01/58,
144A
6/28
at
100.00
BB+
8,469,048
California
Statewide
Communities
Development
Authority,
Revenue
Bonds,
Adventist
Health
System/West,
Series
2015A:
1,305
5.000%,
3/01/35
3/26
at
100.00
A
1,343,380
1,000
5.000%,
3/01/45
3/26
at
100.00
A
1,014,890
4,650
California
Statewide
Communities
Development
Authority,
Revenue
Bonds,
Adventist
Health
System/West,
Series
2018A,
5.000%,
3/01/48
3/28
at
100.00
A
4,742,860
1,365
California
Statewide
Community
Development
Authority,
Health
Revenue
Bonds,
Enloe
Medical
Center,
Refunding
Series
2022A,
5.250%,
8/15/52
-
AGM
Insured
8/32
at
100.00
AA
1,439,665
California
Statewide
Community
Development
Authority,
Revenue
Bonds,
Daughters
of
Charity
Health
System,
Series
2005A:
68
5.750%,
7/01/24
(4),(5)
1/22
at
100.00
N/R
68,131
78
5.750%,
7/01/30
(4),(5)
1/22
at
100.00
N/R
78,335
5
5.750%,
7/01/35
(4),(5)
1/22
at
100.00
N/R
5,102
74
California
Statewide
Community
Development
Authority,
Revenue
Bonds,
Daughters
of
Charity
Health
System,
Series
2005G,
5.500%,
7/01/22
(4),(5)
1/22
at
100.00
N/R
73,727
3,000
Kaweah
Delta
Health
Care
District,
California,
Revenue
Bonds,
Series
2015B,
5.000%,
6/01/40
6/25
at
100.00
A3
3,031,500
5,000
Palomar
Health
System,
California,
Revenue
Bonds,
Refunding
Series
2017,
5.000%,
11/01/42
11/27
at
100.00
BBB
5,034,550
1,630
Upland,
California,
Certificates
of
Participation,
San
Antonio
Regional
Hospital,
Series
2017,
5.000%,
1/01/47
1/28
at
100.00
BBB
1,657,824
218,930
Total
Health
Care
214,552,247
Housing/Multifamily
-
15.1%
19,170
California
Community
Housing
Agency,
California,
Essential
Housing
Revenue
Bonds,
Creekwood,
Series
2021A,
4.000%,
2/01/56,
144A
8/31
at
100.00
N/R
14,777,194
15,920
California
Community
Housing
Agency,
California,
Essential
Housing
Revenue
Bonds,
Glendale
Properties,
Junior
Series
2021A-2,
4.000%,
8/01/47,
144A
8/31
at
100.00
N/R
11,715,846
26,675
California
Community
Housing
Agency,
California,
Essential
Housing
Revenue
Bonds,
Serenity
at
Larkspur
Apartments,
Series
2020A,
5.000%,
2/01/50,
144A
2/30
at
100.00
N/R
23,409,713
1,950
California
Community
Housing
Agency,
California,
Essential
Housing
Revenue
Bonds,
Stoneridge
Apartments,
Series
2021A,
4.000%,
2/01/56,
144A
2/31
at
100.00
N/R
1,443,800
31
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Housing/Multifamily
(continued)
$
560
California
Community
Housing
Agency,
California,
Essential
Housing
Revenue
Bonds,
Summit
at
Sausalito
Apartments,
Series
2021A-2,
4.000%,
2/01/50,
144A
8/32
at
100.00
N/R
$
414,966
2,850
California
Community
Housing
Agency,
California,
Essential
Housing
Revenue
Bonds,
Verdant
at
Green
Valley
Apartments,
Series
2019A,
5.000%,
8/01/49,
144A
8/29
at
100.00
N/R
2,503,782
21,320
California
Community
Housing
Agency,
Workforce
Housing
Revenue
Bonds,
Annadel
Apartments,
Series
2019A,
5.000%,
4/01/49,
144A
4/29
at
100.00
N/R
18,238,834
11,284
California
Housing
Finance
Agency,
Municipal
Certificate
Revenue
Bonds,
Class
A
Series
2019-2,
4.000%,
3/20/33
No
Opt.
Call
BBB+
10,958,097
12,560
California
Housing
Finance
Agency,
Municipal
Certificate
Revenue
Bonds,
Class
A
Series
2021-1,
3.500%,
11/20/35
No
Opt.
Call
BBB+
11,334,871
1,541
California
Housing
Finance
Agency,
Municipal
Certificate
Revenue
Bonds,
Class
A
Series2019-1,
4.250%,
1/15/35
No
Opt.
Call
BBB+
1,497,329
California
Municipal
Finance
Authority,
Mobile
Home
Park
Revenue
Bonds,
Caritas
Affordable
Housing
Inc
Projects,
Senior
Series
2014A:
170
5.250%,
8/15/39
8/24
at
100.00
A-
173,053
455
5.250%,
8/15/49
8/24
at
100.00
A-
461,466
3,235
California
Statewide
Community
Development
Authority,
Multifamily
Housing
Revenue
Senior
Bonds,
Westgate
Courtyards
Apartments,
Series
2001X-1,
5.420%,
12/01/34
-
AMBAC
Insured,
(AMT)
1/23
at
100.00
N/R
3,135,200
20,705
CMFA
Special
Finance
Agency
I,
California,
Essential
Housing
Revenue
Bonds,
The
Mix
at
Center
City,
Series
2021A-2,
4.000%,
4/01/56,
144A
4/31
at
100.00
N/R
15,551,318
6,125
CMFA
Special
Finance
Agency
VII,
California,
Essential
Housing
Revenue
Bonds,
Senior
Lien
Series
2021A-1,
3.000%,
8/01/56,
144A
8/31
at
100.00
N/R
4,022,165
5,675
CMFA
Special
Finance
Agency,
California,
Essential
Housing
Revenue
Bonds,
Enclave
Apartments,
Senior
Series
2022A-1,
4.000%,
8/01/58,
144A
2/32
at
100.00
N/R
4,372,077
4,550
CMFA
Special
Finance
Agency,
California,
Essential
Housing
Revenue
Bonds,
Latitude
33,
Senior
Series
2021A-1,
3.000%,
12/01/56,
144A
12/31
at
100.00
N/R
2,955,817
920
CSCDA
Community
Improvement
Authority,
California,
Essential
Housing
Revenue
Bonds,
777
Place-Pomona,
Senior
Lien
Series
2021A-1,
3.600%,
5/01/47,
144A
5/32
at
100.00
N/R
715,594
8,660
CSCDA
Community
Improvement
Authority,
California,
Essential
Housing
Revenue
Bonds,
777
Place-Pomona,
Senior
Lien
Series
2021A-2,
3.250%,
5/01/57,
144A
5/32
at
100.00
N/R
5,894,429
1,255
CSCDA
Community
Improvement
Authority,
California,
Essential
Housing
Revenue
Bonds,
Acacia
on
Santa
Rosa
Creek,
Mezzanine
Lien
Series
2021B,
4.000%,
10/01/46,
144A
10/31
at
100.00
N/R
900,011
5,230
CSCDA
Community
Improvement
Authority,
California,
Essential
Housing
Revenue
Bonds,
Acacia
on
Santa
Rosa
Creek,
Senior
Lien
Series
2021A,
4.000%,
10/01/56,
144A
10/31
at
100.00
N/R
4,186,197
26,965
CSCDA
Community
Improvement
Authority,
California,
Essential
Housing
Revenue
Bonds,
Altana
Glendale,
Series
2021A-2,
4.000%,
10/01/56,
144A
10/31
at
100.00
N/R
19,835,724
14,755
CSCDA
Community
Improvement
Authority,
California,
Essential
Housing
Revenue
Bonds,
Center
City
Anaheim,
Series
2020A,
5.000%,
1/01/54,
144A
1/31
at
100.00
N/R
12,835,227
2,915
CSCDA
Community
Improvement
Authority,
California,
Essential
Housing
Revenue
Bonds,
Jefferson-Anaheim
Series
2021A-1,
2.875%,
8/01/41,
144A
8/31
at
100.00
N/R
2,398,695
8,640
CSCDA
Community
Improvement
Authority,
California,
Essential
Housing
Revenue
Bonds,
Jefferson-Anaheim
Series
2021A-2,
3.125%,
8/01/56,
144A
8/31
at
100.00
N/R
5,741,366
CSCDA
Community
Improvement
Authority,
California,
Essential
Housing
Revenue
Bonds,
Millennium
South
Bay-
Hawthorne,
Series
2021A-1
and
A-2:
4,355
3.375%,
7/01/43,
144A
7/32
at
100.00
N/R
3,343,987
11,190
3.250%,
7/01/56,
144A
7/32
at
100.00
N/R
7,177,825
17,875
CSCDA
Community
Improvement
Authority,
California,
Essential
Housing
Revenue
Bonds,
Moda
at
Monrovia
Station,
Social
Series
2021A-2,
4.000%,
10/01/56,
144A
10/31
at
100.00
N/R
13,111,491
Nuveen
California
Municipal
Bond
Fund
(continued)
Portfolio
of
Investments
November
30,
2022
(Unaudited)
32
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Housing/Multifamily
(continued)
CSCDA
Community
Improvement
Authority,
California,
Essential
Housing
Revenue
Bonds,
Monterrey
Station
Apartments,
Senior
Lien
Series
2021A-1:
$
1,615
3.000%,
7/01/43,
144A
7/32
at
100.00
N/R
$
1,174,186
6,750
3.125%,
7/01/56,
144A
7/32
at
100.00
N/R
4,366,035
395
CSCDA
Community
Improvement
Authority,
California,
Essential
Housing
Revenue
Bonds,
Orange
City
Portfolio,
Mezzanine
Lien
Series
2021B,
4.000%,
3/01/57,
144A
3/32
at
100.00
N/R
267,996
16,430
CSCDA
Community
Improvement
Authority,
California,
Essential
Housing
Revenue
Bonds,
Parallel-Anaheim
Series
2021A,
4.000%,
8/01/56,
144A
8/31
at
100.00
N/R
12,568,457
5,280
CSCDA
Community
Improvement
Authority,
California,
Essential
Housing
Revenue
Bonds,
Pasadena
Portfolio
Social
Bond,
Mezzanine
Senior
Series
2021B,
4.000%,
12/01/56,
144A
12/31
at
100.00
N/R
3,680,846
5,280
CSCDA
Community
Improvement
Authority,
California,
Essential
Housing
Revenue
Bonds,
Pasadena
Portfolio
Social
Bond,
Series
2021A-2,
3.000%,
12/01/56
12/31
at
100.00
N/R
3,460,776
440
CSCDA
Community
Improvement
Authority,
California,
Essential
Housing
Revenue
Bonds,
Renaissance
at
City
Center,
Series
2020A,
5.000%,
7/01/51,
144A
7/31
at
100.00
N/R
397,355
5,730
CSCDA
Community
Improvement
Authority,
California,
Essential
Housing
Revenue
Bonds,
Union
South
Bay,
Series
2021A-2,
4.000%,
7/01/56,
144A
7/31
at
100.00
N/R
4,383,335
7,475
CSCDA
Community
Improvement
Authority,
California,
Essential
Housing
Revenue
Bonds,
Vineyard
Gardens
Apartments,
Senior
Lien
Series
2021A,
3.250%,
10/01/58,
144A
4/32
at
100.00
N/R
4,884,688
2,100
CSCDA
Community
Improvement
Authority,
California,
Essential
Housing
Revenue
Bonds,
Waterscape
Apartments,
Mezzanine
Lien
Series
2021B,
4.000%,
9/01/46,
144A
9/31
at
100.00
N/R
1,596,210
3,995
CSCDA
Community
Improvement
Authority,
California,
Essential
Housing
Revenue
Bonds,
Westgate
Phase
1-Pasadena
Apartments,
Senior
Lien
Series
2021A-1,
3.000%,
6/01/47,
144A
6/31
at
100.00
N/R
2,901,848
16,280
CSCDA
Community
Improvement
Authority,
California,
Essential
Housing
Revenue
Bonds,
Westgate
Phase
1-Pasadena
Apartments,
Senior
Lien
Series
2021A-2,
3.125%,
6/01/57,
144A
6/31
at
100.00
N/R
10,604,792
3,100
CSCDA
Community
Improvement
Authority,
California,
Essential
Housing
Revenue
Bonds,
Wood
Creek
Apartments,
Mezzanine
Lien
Series
2021A-2,
4.000%,
12/01/58
6/32
at
100.00
N/R
2,207,107
10,045
CSCDA
Community
Improvement
Authority,
California,
Essential
Housing
Revenue
Bonds,
Wood
Creek
Apartments,
Senior
Lien
Series
2021A-1,
3.000%,
12/01/49
6/32
at
100.00
N/R
6,492,787
765
Independent
Cities
Finance
Authority,
California,
Mobile
Home
Park
Revenue
Bonds,
Palomar
Estates
West,
Refunding
Series
2015,
5.000%,
9/15/25
No
Opt.
Call
N/R
775,695
115
San
Jose,
California,
Multifamily
Housing
Senior
Lien
Revenue
Bonds,
Fallen
Leaves
Apartments,
Series
2002J1,
4.950%,
12/01/22
-
AMBAC
Insured,
(AMT)
12/22
at
100.00
N/R
115,000
343,300
Total
Housing/Multifamily
262,983,187
Long-Term
Care
-
0.1%
1,275
California
Health
Facilities
Financing
Authority,
Revenue
Bonds,
Northern
California
Presbyterian
Homes
&
Services
Inc.,
Refunding
Series
2015,
5.000%,
7/01/44
7/25
at
100.00
AA
1,322,073
1,000
California
Statewide
Communities
Development
Authority,
Revenue
Bonds,
Front
Porch
Communities
&
Services,
Series
2021A,
4.000%,
4/01/41
4/31
at
100.00
A
956,950
2,275
Total
Long-Term
Care
2,279,023
33
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Tax
Obligation/General
-
13.6%
$
1,000
Acalanes
Union
High
School
District,
Contra
Costa
County,
California,
General
Obligation
Bonds,
Refunding
Series
2010A,
0.000%,
8/01/26
No
Opt.
Call
Aa1
$
896,190
4,000
Alum
Rock
Union
Elementary
School
District,
Santa
Clara
County,
California,
General
Obligation
Bonds,
Refunding
Series
2013A,
6.000%,
8/01/39
8/23
at
100.00
A1
4,079,560
5,570
Bakersfield
City
School
District,
Kern
County,
California,
General
Obligation
Bonds,
Series
2012C,
5.800%,
5/01/42
5/40
at
100.00
Aa3
3,923,118
21,830
California
State,
General
Obligation
Bonds,
Various
Purpose
Refunding
Series
2015,
5.000%,
8/01/33
2/25
at
100.00
Aa2
22,862,777
1,940
California
State,
General
Obligation
Bonds,
Various
Purpose
Series
2014,
5.000%,
10/01/37
10/24
at
100.00
Aa2
2,014,089
6,540
California
State,
General
Obligation
Bonds,
Various
Purpose
Series
2015,
5.000%,
8/01/45
8/25
at
100.00
Aa2
6,790,547
California
State,
General
Obligation
Bonds,
Various
Purpose
Series
2016:
2,500
5.000%,
9/01/45
9/26
at
100.00
Aa2
2,633,200
835
5.000%,
9/01/46
9/26
at
100.00
Aa2
878,646
22,700
California
State,
General
Obligation
Bonds,
Various
Purpose
Series
2018,
5.000%,
10/01/47
4/26
at
100.00
Aa2
23,732,623
1,770
California
State,
General
Obligation
Bonds,
Various
Purpose
Series
2020,
4.000%,
11/01/45
11/25
at
100.00
Aa2
1,775,823
3,385
Chino
Valley
Unified
School
District,
San
Bernardino
County,
California,
General
Obligation
Bonds,
2016
Election
Series
2020B,
5.000%,
8/01/55
8/30
at
100.00
Aa2
3,623,541
345
Golden
West
Schools
Financing
Authority,
California,
General
Obligation
Revenue
Refunding
Bonds,
School
District
Program,
Series
1999A,
5.800%,
8/01/23
-
NPFG
Insured
No
Opt.
Call
Baa2
351,962
14,500
Grossmont
Healthcare
District,
California,
General
Obligation
Bonds,
Refunding
Series
2015D,
4.000%,
7/15/40
7/25
at
100.00
Aa2
14,357,610
7,000
Hacienda
La
Puente
Unified
School
District,
Los
Angeles
County,
California,
General
Obligation
Bonds,
2016
Election,
Series
2017A,
4.000%,
8/01/47
8/27
at
100.00
AAA
6,888,840
30
Long
Beach
Unified
School
District,
Los
Angeles
County,
California,
General
Obligation
Bonds,
Election
of
2008,
Series
2009A,
5.500%,
8/01/29
1/23
at
100.00
Aa2
30,072
15,000
Los
Angeles,
California,
General
Obligation
Bonds,
Tax
&
Revenue
Anticipation
Notes,
Series
2022,
4.000%,
6/29/23
No
Opt.
Call
N/R
15,137,100
6,225
Manteca
Unified
School
District,
San
Joaquin
County,
California,
General
Obligation
Bonds,
Election
2014
Series
2017B,
4.000%,
8/01/42
8/27
at
100.00
Aa2
6,214,044
10,000
Marin
Healthcare
District,
Marin
County,
California,
General
Obligation
Bonds,
2013
Election,
Series
2015A,
4.000%,
8/01/40
8/25
at
100.00
Aa2
10,038,900
4,040
Morgan
Hill
Unified
School
District,
Santa
Clara
County,
California,
General
Obligation
Bonds,
Election
2012
Series
2017B,
4.000%,
8/01/47
8/27
at
100.00
Aa1
3,972,370
1,740
Pajaro
Valley
Unified
School
District,
Santa
Cruz
County,
California,
General
Obligation
Bonds,
Refunding
Election
2012
Series
2013A,
4.250%,
8/01/47
8/23
at
100.00
Aa3
1,740,887
2,745
Palomar
Community
College
District,
San
Diego
County,
California,
General
Obligation
Bonds,
Election
2006
Series
2017D,
4.000%,
8/01/46
8/27
at
100.00
AA
2,744,890
9,440
Paramount
Unified
School
District,
Los
Angeles
County,
California,
General
Obligation
Bonds,
Election
2006
Series
2011,
0.000%,
8/01/45
(6)
2/33
at
100.00
Aa3
11,226,048
Puerto
Rico,
General
Obligation
Bonds,
Restructured
Series
2022A-1:
3,863
4.000%,
7/01/35
7/31
at
103.00
N/R
3,294,405
5,150
4.000%,
7/01/37
7/31
at
103.00
N/R
4,304,216
5,110
4.000%,
7/01/41
7/31
at
103.00
N/R
4,107,009
40,000
San
Diego
Community
College
District,
San
Diego
County,
California,
General
Obligation
Bonds,
Election
of
2006,
Series
2013,
0.000%,
8/01/41
(6)
8/23
at
57.57
AAA
22,599,200
35,295
San
Francisco
Bay
Area
Rapid
Transit
District,
California,
General
Obligation
Bonds,
Election
of
2016,
Green
Series
2020C-1,
4.000%,
8/01/45
8/29
at
100.00
Aaa
35,355,707
Nuveen
California
Municipal
Bond
Fund
(continued)
Portfolio
of
Investments
November
30,
2022
(Unaudited)
34
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Tax
Obligation/General
(continued)
$
1,535
San
Leandro
Unified
School
District,
Alameda
County,
California,
General
Obligation
Bonds,
Election
2006
Series
2010C,
0.000%,
8/01/39
-
AGC
Insured
(6)
8/28
at
100.00
AA
$
1,410,205
2,345
Temecula
Valley
Unified
School
District,
Riverside
County,
California,
General
Obligation
Bonds,
Election
2012
Series
2018C,
5.250%,
8/01/44
2/26
at
100.00
Aa1
2,478,313
2,000
Victor
Valley
Union
High
School
District,
San
Bernardino
County,
California,
General
Obligation
Bonds,
Series
2009A,
5.750%,
8/01/31
-
AGC
Insured
8/26
at
100.00
AA
2,212,740
3,080
Washington
Township
Health
Care
District,
Alameda
County,
California,
General
Obligation
Bonds,
2004
Election
Series
2013B,
5.000%,
8/01/43
8/24
at
100.00
A1
3,109,014
645
Washington
Township
Health
Care
District,
Alameda
County,
California,
General
Obligation
Bonds,
2012
Election
Series
2013A,
5.500%,
8/01/40
8/24
at
100.00
A1
666,059
8,640
Washington
Township
Health
Care
District,
Alameda
County,
California,
General
Obligation
Bonds,
2012
Election
Series
2015B,
4.000%,
8/01/45
8/25
at
100.00
A1
8,006,775
1,100
West
Contra
Costa
Unified
School
District,
Contra
Costa
County,
California,
General
Obligation
Bonds,
Series
2008B,
6.000%,
8/01/24
No
Opt.
Call
AA-
1,162,601
3,500
Yosemite
Community
College
District,
California,
General
Obligation
Bonds,
Capital
Appreciation,
Election
2004,
Series
2010D,
0.000%,
8/01/42
(6)
No
Opt.
Call
Aa2
2,694,860
255,398
Total
Tax
Obligation/General
237,313,941
Tax
Obligation/Limited
-
10.7%
995
Beaumont
Financing
Authority,
California,
Local
Agency
Revenue
Bonds,
Improvement
Area
19A,
Series
2015B,
5.000%,
9/01/35
9/25
at
100.00
N/R
1,020,870
1,655
Bell
Community
Housing
Authority,
California,
Lease
Revenue
Bonds,
Series
2005,
5.000%,
10/01/36
-
AMBAC
Insured
1/23
at
100.00
N/R
1,661,306
1,335
Brea
and
Olinda
Unified
School
District,
Orange
County,
California,
Certificates
of
Participation
Refunding,
Series
2002A,
5.125%,
8/01/26
-
AGM
Insured
1/23
at
100.00
AA
1,337,229
2,480
California
Community
College
Financing
Authority,
Lease
Revenue
Bonds,
Refunding
Series
2003,
0.000%,
6/01/33
-
AMBAC
Insured
No
Opt.
Call
AA+
1,596,426
2,040
California
Infrastructure
and
Economic
Development
Bank,
Lease
Revenue
Bonds,
California
State
Teachers
Retirement
System
Headquarters
Expansion,
Green
Bond-Climate
Bond
Certified
Series
2019,
5.000%,
8/01/44
8/29
at
100.00
AA
2,177,863
1,960
California
Infrastructure
and
Economic
Development
Bank,
Revenue
Bonds,
North
County
Center
for
Self-Sufficiency
Corporation,
Series
2004,
5.000%,
12/01/25
-
AMBAC
Insured
1/23
at
100.00
AA+
1,963,998
2,000
California
State
Public
Works
Board,
Lease
Revenue
Bonds,
Department
of
Corrections
&
Rehabilitation,
Various
Correctional
Facilities
Series
2014A,
5.000%,
9/01/39
9/24
at
100.00
Aa3
2,066,180
California
State
Public
Works
Board,
Lease
Revenue
Bonds,
Judicial
Council
of
California,
New
Stockton
Courthouse,
Series
2014B:
5,120
5.000%,
10/01/32
10/24
at
100.00
Aa3
5,329,510
2,600
5.000%,
10/01/33
10/24
at
100.00
Aa3
2,705,456
3,820
5.000%,
10/01/34
10/24
at
100.00
Aa3
3,963,136
2,000
5.000%,
10/01/39
10/24
at
100.00
Aa3
2,069,140
1,000
California
State
Public
Works
Board,
Lease
Revenue
Bonds,
Judicial
Council
of
California,
Various
Projects
Series
2013A,
5.000%,
3/01/30
3/23
at
100.00
Aa3
1,005,920
365
California
Statewide
Communities
Development
Authority,
Statewide
Community
Infrastructure
Program
Revenue
Bonds,
Series
2011A,
8.000%,
9/02/41
12/22
at
100.00
N/R
350,842
Chula
Vista
Municipal
Finance
Authority,
California,
Special
Tax
Revenue
Bonds,
Refunding
Series
2013:
1,915
5.500%,
9/01/27
9/23
at
100.00
AA-
1,955,445
2,165
5.500%,
9/01/29
9/23
at
100.00
AA-
2,208,820
1,520
5.500%,
9/01/30
9/23
at
100.00
AA-
1,550,065
35
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Tax
Obligation/Limited
(continued)
$
3,200
Dublin,
California,
Special
Tax
Bonds,
Community
Facilities
District
2015-1
Improvement
Area
2
Dublin
Crossing,
Series
2019,
5.000%,
9/01/44
9/26
at
103.00
N/R
$
3,278,912
1,500
Elk
Grove
Financing
Authority,
California,
Special
Tax
Revenue
Bonds,
Series
2015,
5.000%,
9/01/38
-
BAM
Insured
9/25
at
100.00
AA
1,573,200
Government
of
Guam,
Business
Privilege
Tax
Bonds,
Refunding
Series
2015D:
6,375
5.000%,
11/15/29
11/25
at
100.00
BB
6,520,223
3,725
5.000%,
11/15/39
11/25
at
100.00
BB
3,741,874
1,000
Huntington
Beach,
California,
Special
Tax
Bonds,
Community
Facilities
District
2003-1
Huntington
Center,
Refunding
Series
2013,
5.375%,
9/01/33
9/23
at
100.00
N/R
1,011,230
1,090
Irvine,
California,
Limited
Obligation
Improvement
Bonds,
Reassessment
District
15-2,
Series
2015,
5.000%,
9/02/42
9/25
at
100.00
N/R
1,106,143
Irvine,
California,
Special
Tax
Bonds,
Community
Facilities
District
2013-3
Great
Park,
Improvement
Area
1,
Refunding
Series
2014:
500
5.000%,
9/01/39
9/24
at
100.00
N/R
506,280
750
5.000%,
9/01/44
9/24
at
100.00
N/R
756,308
3,260
Jurupa
Community
Services
District,
California,
Special
Tax
Bonds,
Community
Facilities
District
33
Eastvale
Area,
Series
2014,
5.000%,
9/01/43
9/24
at
100.00
N/R
3,291,622
790
Lake
Elsinore
Public
Financing
Authority,
California,
Local
Agency
Revenue
Bonds,
Canyon
Hills
Improvement
Area
A
&
C,
Series
2014C,
5.000%,
9/01/40
9/24
at
100.00
N/R
798,358
1,620
Lake
Elsinore
Public
Financing
Authority,
California,
Local
Agency
Revenue
Bonds,
Refunding
Series
2015,
5.000%,
9/01/40
9/25
at
100.00
N/R
1,646,438
Lammersville
Joint
Unified
School
District,
California,
Special
Tax
Bonds,
Community
Facilities
District  2007-1
Mountain
House
-
Shea
Homes
Improvement
Area
1,
Series
2013:
1,000
6.000%,
9/01/38
9/23
at
100.00
N/R
1,014,130
1,750
6.000%,
9/01/43
9/23
at
100.00
N/R
1,771,070
505
Lancaster
Redevelopment
Agency,
California,
Tax
Allocation
Bonds,
Combined
Area
Sheriff's
Facilities
Projects,
Refunding
Series
2004,
5.000%,
12/01/23
-
SYNCORA
GTY
Insured
1/23
at
100.00
AA
505,914
390
Lancaster
Redevelopment
Agency,
California,
Tax
Allocation
Bonds,
Combined
Fire
Protection
Facilities
Project,
Refunding
Series
2004,
5.000%,
12/01/23
-
SYNCORA
GTY
Insured
1/23
at
100.00
AA
390,706
1,000
Lathrop,
California,
Limited
Obligation
Improvement
Bonds,
Crossroads
Assessment
District,
Series
2015,
5.000%,
9/02/40
9/25
at
100.00
N/R
1,016,340
5,075
Los
Angeles
County
Metropolitan
Transportation
Authority,
California,
Proposition
C
Sales
Tax
Revenue
Bonds,
Green
Senior
Lien
Series
2019A,
5.000%,
7/01/44
7/28
at
100.00
AAA
5,452,428
3,000
Los
Angeles
County
Public
Works
Financing
Authority,
California,
Lease
Revenue
Bonds,
Multiple
Capital
Project,
Series
2015A,
5.000%,
12/01/39
12/24
at
100.00
AA+
3,084,390
Los
Angeles
County
Public
Works
Financing
Authority,
California,
Lease
Revenue
Bonds,
Series
2019E-1:
7,000
5.000%,
12/01/44
12/29
at
100.00
AA+
7,614,950
4,495
5.000%,
12/01/49
12/29
at
100.00
AA+
4,843,587
115
Menifee
Union
School
District
Public
Financing
Authority,
California,
Special
Tax
Revenue
Bonds,
Series
2016A,
5.000%,
9/01/36
-
BAM
Insured
9/25
at
100.00
AA
119,331
1,455
Modesto,
California,
Speical
Tax
Bonds,
Community
Faclities
District
2004-
1
Village
One
2,
Refunding
Series
2014,
5.000%,
9/01/28
9/24
at
100.00
BBB+
1,501,735
570
ndio,
California,
Special
Tax
Bonds,
Community
Facilities
District
2004-3
Terra
Lago,
Improvement
Area
1,
Series
2015,
5.000%,
9/01/35
9/25
at
100.00
N/R
584,820
Oakland
Redevelopment
Successor
Agency,
California,
Tax
Allocation
Bonds,
Refunding
Subordinated
Series
2015-TE:
3,250
5.000%,
9/01/35
-
AGM
Insured
9/25
at
100.00
AA
3,409,608
3,215
5.000%,
9/01/36
-
AGM
Insured
9/25
at
100.00
AA
3,367,873
255
Orange
County,
California,
Special
Tax
Bonds,
Community
Facilities
District
2015-1
Esencia
Village,
Series
2015A,
5.250%,
8/15/45
8/25
at
100.00
N/R
259,475
Nuveen
California
Municipal
Bond
Fund
(continued)
Portfolio
of
Investments
November
30,
2022
(Unaudited)
36
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Tax
Obligation/Limited
(continued)
Patterson
Public
Finance
Authority,
California,
Revenue
Bonds,
Community
Facilities
District
2001-1,
Senior
Series
2013A:
$
2,630
5.250%,
9/01/30
9/23
at
100.00
N/R
$
2,659,824
2,350
5.750%,
9/01/39
9/23
at
100.00
N/R
2,376,461
375
Patterson
Public
Finance
Authority,
California,
Revenue
Bonds,
Community
Facilities
District
2001-1,
Subordinate
Lien
Series
2013B,
5.875%,
9/01/39
9/23
at
100.00
N/R
379,564
7,700
Peninsula
Corridor
Joint
Powers
Board,
California,
Measure
RR
Sales
Tax
Revenue
Bonds,
Green
Bonds-Climate
Bond
Certified,
Series
2022A,
5.000%,
6/01/51
6/31
at
100.00
AA+
8,436,197
Puerto
Rico
Sales
Tax
Financing
Corporation,
Sales
Tax
Revenue
Bonds,
Restructured
2018A-1:
6,940
0.000%,
7/01/33
7/28
at
86.06
N/R
4,008,405
36,031
5.000%,
7/01/58
7/28
at
100.00
N/R
34,186,573
Rancho
Cucamonga
Redevelopment
Agency
Successor
Agency,
California,
Tax
Allocation
Bonds,
Rancho
Redevelopment
Project,
Series
2014:
1,600
5.000%,
9/01/30
9/24
at
100.00
AA+
1,658,176
2,800
5.000%,
9/01/31
9/24
at
100.00
AA+
2,902,508
2,400
5.000%,
9/01/32
9/24
at
100.00
AA+
2,488,272
4,180
River
Islands
Public
Financing
Authority,
California,
Special
Tax
Bonds,
Community
Facilities
District
2003-1
Improvement
Area
1,
Refunding
Series
2022A-1,
5.250%,
9/01/52
-
AGM
Insured
9/29
at
103.00
AA
4,498,182
Roseville,
California,
Special
Tax
Bonds,
Community
Facilities
District
1
Westpark,
Refunding
Series
2015:
1,000
5.000%,
9/01/28
9/25
at
100.00
N/R
1,043,060
1,000
5.000%,
9/01/29
9/25
at
100.00
N/R
1,040,820
1,000
5.000%,
9/01/30
9/25
at
100.00
N/R
1,034,690
200
San
Clemente,
California,
Special
Tax
Revenue
Bonds,
Community
Facilities
District
2006-1
Marblehead
Coastal,
Series
2015,
5.000%,
9/01/40
9/25
at
100.00
N/R
203,264
3,390
San
Francisco
Bay
Area
Rapid
Transit
District,
California,
Sales
Tax
Revenue
Bonds,
Series
2019A,
4.000%,
7/01/38
7/27
at
100.00
AA+
3,420,951
395
San
Francisco
City
and
County
Redevelopment
Agency
Successor
Agency,
California,
Special
Tax
Bonds,
Community
Facilities
District
7,
Hunters
Point
Shipyard
Phase
One
Improvements,
Refunding
Series
2014,
5.000%,
8/01/39
8/24
at
100.00
N/R
399,732
1,955
San
Francisco
City
and
County
Redevelopment
Agency,
California,
Hotel
Occupancy
Tax
Revenue
Bonds,
Refunding
Series
2011,
5.000%,
6/01/25
-
AGM
Insured
1/23
at
100.00
AA
1,958,539
145
Signal
Hill
Redevelopment
Agency,
California,
Project
1
Tax
Allocation
Bonds,
Series
2011,
7.000%,
10/01/26
1/23
at
100.00
N/R
145,416
2,235
Stockton
Public
Financing
Authority,
California,
Revenue
Bonds,
Arch
Road
East
Community
Facility
District
99-02,
Series
2018A,
5.000%,
9/01/43
9/25
at
103.00
N/R
2,293,959
105
Temecula
Public
Financing
Authority,
California,
Special
Tax
Bonds,
Community
Facilities
District
16-01,
Series
2017,
6.125%,
9/01/37,
144A
9/27
at
100.00
N/R
109,419
3,120
Transbay
Joint
Powers
Authority,
California,
Tax
Allocation
Bonds,
Senior
Green
Series
2020A,
5.000%,
10/01/45
4/30
at
100.00
A-
3,218,342
395
Tustin,
California,
Special
Tax
Bonds,
Community
Facilities
District
06-1
Tustin
Legacy/Columbus
Villages,
Refunding
Series
2015A,
5.000%,
9/01/37
9/25
at
100.00
A-
408,663
Tustin,
California,Special
Tax
Bonds,
Community
Facilities
District
14-1
Tustin
Legacy/Standard
Pacific,
Refunding
Series
2015A:
50
5.000%,
9/01/40
9/25
at
100.00
N/R
50,816
100
5.000%,
9/01/45
9/25
at
100.00
N/R
101,143
Vista
Community
Development
Commission
Taxable
Non-
Housing
Tax
Allocation
Revenue
Bonds,
California,
Vista
Redevelopment
Project,
Series
2011:
7,600
6.000%,
9/01/33
1/23
at
100.00
AA
7,619,076
7,920
6.125%,
9/01/37
1/23
at
100.00
AA
7,939,958
187,471
Total
Tax
Obligation/Limited
186,711,161
37
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Transportation
-
18.5%
$
50
Alameda
Corridor
Transportation
Authority,
California,
Revenue
Bonds,
Refunding
Subordinate
Lien
Series
2016A,
5.000%,
10/01/25
No
Opt.
Call
BBB+
$
51,675
2,120
California
Municipal
Finance
Authority,
Special
Facility
Revenue
Bonds,
United
Airlines,
Inc.
Los
Angeles
International
Airport
Project,
Series
2019,
4.000%,
7/15/29,
(AMT)
No
Opt.
Call
B+
2,057,651
18,840
Foothill/Eastern
Transportation
Corridor
Agency,
California,
Toll
Road
Revenue
Bonds,
Refunding
Senior
Lien
Series
2021A,
4.000%,
1/15/46
1/31
at
100.00
A
17,346,553
Long
Beach,
California,
Harbor
Revenue
Bonds,
Series
2015D:
1,000
5.000%,
5/15/33
5/25
at
100.00
AA
1,054,290
2,785
5.000%,
5/15/34
5/25
at
100.00
AA
2,927,508
5,995
Long
Beach,
California,
Harbor
Revenue
Bonds,
Series
2019A,
5.000%,
5/15/44
5/29
at
100.00
Aa2
6,481,494
5,050
Los
Angeles
Department
of
Airports,
California,
Revenue
Bonds,
Los
Angeles
International
Airport,
Green
Series
2022G,
5.000%,
5/15/52,
(AMT)
11/31
at
100.00
AA
5,213,367
Los
Angeles
Department
of
Airports,
California,
Revenue
Bonds,
Los
Angeles
International
Airport,
Refunding
&
Subordinate
Series
2022C:
1,350
4.000%,
5/15/37,
(AMT)
5/32
at
100.00
AA-
1,307,745
1,250
4.000%,
5/15/38,
(AMT)
5/32
at
100.00
AA-
1,205,175
1,275
4.000%,
5/15/39,
(AMT)
5/32
at
100.00
AA-
1,226,920
3,135
Los
Angeles
Department
of
Airports,
California,
Revenue
Bonds,
Los
Angeles
International
Airport,
Senior
Lien
Series
2015D,
5.000%,
5/15/35,
(AMT)
5/25
at
100.00
AA
3,215,758
355
Los
Angeles
Department
of
Airports,
California,
Revenue
Bonds,
Los
Angeles
International
Airport,
Senior
Lien
Series
2015E,
5.000%,
5/15/41
5/25
at
100.00
AA
367,297
6,925
Los
Angeles
Department
of
Airports,
California,
Revenue
Bonds,
Los
Angeles
International
Airport,
Subordinate
Lien
Series
2016B,
5.000%,
5/15/46,
(AMT)
5/26
at
100.00
AA-
7,039,263
Los
Angeles
Department
of
Airports,
California,
Revenue
Bonds,
Los
Angeles
International
Airport,
Subordinate
Lien
Series
2018C:
1,935
5.000%,
5/15/36,
(AMT)
11/27
at
100.00
AA-
2,024,552
1,800
5.000%,
5/15/38,
(AMT)
11/27
at
100.00
AA-
1,869,426
24,440
5.000%,
5/15/44,
(AMT)
11/27
at
100.00
AA-
25,063,709
Los
Angeles
Department
of
Airports,
California,
Revenue
Bonds,
Los
Angeles
International
Airport,
Subordinate
Lien
Series
2019D:
2,000
5.000%,
5/15/30,
(AMT)
11/28
at
100.00
AA-
2,154,780
1,415
5.000%,
5/15/34,
(AMT)
11/28
at
100.00
AA-
1,504,287
3,275
5.000%,
5/15/37,
(AMT)
11/28
at
100.00
AA-
3,432,265
3,500
5.000%,
5/15/39,
(AMT)
11/28
at
100.00
AA-
3,647,455
Los
Angeles
Department
of
Airports,
California,
Revenue
Bonds,
Los
Angeles
International
Airport,
Subordinate
Lien
Series
2019F:
1,285
5.000%,
5/15/37,
(AMT)
5/29
at
100.00
AA-
1,351,242
12,950
5.000%,
5/15/44,
(AMT)
5/29
at
100.00
AA-
13,367,378
Los
Angeles
Department
of
Airports,
California,
Revenue
Bonds,
Los
Angeles
International
Airport,
Subordinate
Lien
Series
2021D:
10,225
5.000%,
5/15/37,
(AMT)
11/31
at
100.00
AA-
10,922,243
7,000
3.000%,
5/15/40,
(AMT)
11/31
at
100.00
AA-
5,660,130
Los
Angeles
Department
of
Airports,
California,
Revenue
Bonds,
Los
Angeles
International
Airport,
Subordinate
Lien
Series
2022A:
9,250
5.000%,
5/15/45,
(AMT)
5/32
at
100.00
AA-
9,639,148
1,000
4.000%,
5/15/49,
(AMT)
5/32
at
100.00
AA-
908,650
16,305
Riverside
County
Transportation
Commission,
California,
Toll
Revenue
Second
Lien
Bonds,
RCTC
91
Express
Lanes,
Refunding
Series
2021C,
4.000%,
6/01/47
6/31
at
100.00
A-
14,871,627
Nuveen
California
Municipal
Bond
Fund
(continued)
Portfolio
of
Investments
November
30,
2022
(Unaudited)
38
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Transportation
(continued)
Riverside
County
Transportation
Commission,
California,
Toll
Revenue
Senior
Lien
Bonds,
RCTC
91
Express
Lanes,
Refunding
Series
2021B-1:
$
3,085
4.000%,
6/01/40
6/31
at
100.00
A
$
2,949,939
10,815
4.000%,
6/01/46
6/31
at
100.00
A
10,009,066
San
Diego
County
Regional
Airport
Authority,
California,
Airport
Revenue
Bonds,
Subordinate
Series
2017A:
2,625
5.000%,
7/01/47
7/27
at
100.00
A+
2,697,450
2,000
5.000%,
7/01/47,
(AMT)
7/27
at
100.00
A+
2,026,160
4,000
San
Diego
County
Regional
Airport
Authority,
California,
Airport
Revenue
Bonds,
Subordinate
Series
2019B,
5.000%,
7/01/49,
(AMT)
7/29
at
100.00
A+
4,060,200
9,500
San
Diego
County
Regional
Airport
Authority,
California,
Airport
Revenue
Bonds,
Subordinate
Series
2021B,
5.000%,
7/01/51,
(AMT)
7/31
at
100.00
A+
9,699,310
6,500
San
Francisco
Airports
Commission,
California,
Revenue
Bonds,
San
Francisco
International
Airport,
Governmental
Purpose
Second
Series
2017B,
5.000%,
5/01/47
5/27
at
100.00
A+
6,681,350
7,620
San
Francisco
Airports
Commission,
California,
Revenue
Bonds,
San
Francisco
International
Airport,
Second
Governmental
Purpose
Series
2016C,
5.000%,
5/01/46
5/26
at
100.00
A+
7,804,861
4,295
San
Francisco
Airports
Commission,
California,
Revenue
Bonds,
San
Francisco
International
Airport,
Second
Series
2014A,
5.000%,
5/01/40,
(AMT)
5/24
at
100.00
A+
4,320,383
San
Francisco
Airports
Commission,
California,
Revenue
Bonds,
San
Francisco
International
Airport,
Second
Series
2016B:
10,000
5.000%,
5/01/41,
(AMT)
5/26
at
100.00
A+
10,196,500
17,855
5.000%,
5/01/46,
(AMT)
5/26
at
100.00
A+
18,084,258
5,000
San
Francisco
Airports
Commission,
California,
Revenue
Bonds,
San
Francisco
International
Airport,
Second
Series
2017A,
5.000%,
5/01/47,
(AMT)
5/27
at
100.00
A+
5,077,200
San
Francisco
Airports
Commission,
California,
Revenue
Bonds,
San
Francisco
International
Airport,
Second
Series
2018D:
7,170
5.000%,
5/01/43,
(AMT)
5/28
at
100.00
A+
7,346,167
9,320
5.000%,
5/01/48,
(AMT)
5/28
at
100.00
A+
9,484,871
6,175
San
Francisco
Airports
Commission,
California,
Revenue
Bonds,
San
Francisco
International
Airport,
Second
Series
2019A,
5.000%,
5/01/44,
(AMT)
5/29
at
100.00
A+
6,338,205
San
Francisco
Airports
Commission,
California,
Revenue
Bonds,
San
Francisco
International
Airport,
Second
Series
2019E:
18,500
5.000%,
5/01/45,
(AMT)
5/29
at
100.00
A+
18,958,245
3,515
5.000%,
5/01/50,
(AMT)
5/29
at
100.00
A+
3,581,469
16,460
San
Joaquin
Hills
Transportation
Corridor
Agency,
Orange
County,
California,
Refunding
Senior
Lien
Toll
Road
Revenue
Bonds,
Series
2021A,
4.000%,
1/15/50
1/32
at
100.00
A
14,832,271
10,000
San
Joaquin
Hills
Transportation
Corridor
Agency,
Orange
County,
California,
Toll
Road
Revenue
Bonds,
Refunding
Junior
Lien
Series
2014B,
5.250%,
1/15/44
1/25
at
100.00
A-
10,167,600
23,160
San
Joaquin
Hills
Transportation
Corridor
Agency,
Orange
County,
California,
Toll
Road
Revenue
Bonds,
Refunding
Series
1997A,
0.000%,
1/15/25
-
NPFG
Insured
No
Opt.
Call
Baa2
21,476,963
324,105
Total
Transportation
321,704,056
U.S.
Guaranteed
-
11.3%
(7)
8,310
Antelope
Valley
Community
College
District,
Los
Angeles
County,
California,
General
Obligation
Bonds,
Election
2016
Series
2017A,
5.250%,
8/01/42,
(Pre-refunded
2/15/27)
2/27
at
100.00
AA
9,186,123
8,455
Antelope
Valley
Community
College
District,
Los
Angeles
County,
California,
General
Obligation
Bonds,
Refunding
Series
2015,
0.000%,
8/01/30,
(Pre-refunded
2/15/25)
2/25
at
80.12
Aa2
6,392,656
4,450
Bay
Area
Toll
Authority,
California,
Revenue
Bonds,
San
Francisco
Bay
Area
Toll
Bridge,
Series
2013S-4,
5.000%,
4/01/27,
(Pre-refunded
4/01/23)
4/23
at
100.00
A1
4,489,694
39
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
U.S.
Guaranteed
(7)
(continued)
$
3,915
California
Educational
Facilities
Authority,
Revenue
Bonds,
Pepperdine
University,
Series
2015,
5.000%,
9/01/40,
(Pre-refunded
9/01/25)
9/25
at
100.00
AA-
$
4,174,525
2,430
California
Health
Facilities
Financing
Authority,
California,
Revenue
Bonds,
Sutter
Health,
Refunding
Series
2015A,
5.000%,
8/15/43,
(Pre-refunded
8/15/25)
8/25
at
100.00
A1
2,582,798
California
Health
Facilities
Financing
Authority,
California,
Revenue
Bonds,
Sutter
Health,
Refunding
Series
2016B:
5,360
5.000%,
11/15/46,
(Pre-refunded
11/15/26)
11/26
at
100.00
N/R
5,846,206
10,845
California
Health
Facilities
Financing
Authority,
California,
Revenue
Bonds,
Sutter
Health,
Series
2016A,
5.000%,
11/15/41,
(Pre-refunded
11/15/25)
11/25
at
100.00
A1
11,601,873
1,500
California
Municipal
Finance
Authority
Charter
School
Revenue
Bonds,
Albert
Einstein
Academies
Project,
Series
2013A,
6.750%,
8/01/33,
(Pre-
refunded
8/01/23)
8/23
at
100.00
BB
1,541,385
1,245
California
Municipal
Finance
Authority,
Revenue
Bonds,
Touro
College
and
University
System,
Series
2014A,
5.250%,
1/01/34,
(Pre-refunded
7/01/24)
7/24
at
100.00
N/R
1,295,111
California
School
Finance
Authority,
California,
Charter
School
Revenue
Bonds,
Aspire
Public
Schools,
Refunding
Series
2016:
40
5.000%,
8/01/46,
(Pre-refunded
8/01/25),
144A
8/25
at
100.00
N/R
42,427
California
State,
General
Obligation
Bonds,
Various
Purpose
Series
2013:
5,860
5.000%,
2/01/38,
(Pre-refunded
2/01/23)
2/23
at
100.00
Aa2
5,885,315
5,430
5.000%,
2/01/43,
(Pre-refunded
2/01/23)
2/23
at
100.00
Aa2
5,453,458
California
Statewide
Communities
Development
Authority,
Revenue
Bonds,
Cottage
Health
System
Obligated
Group,
Series
2015:
1,310
5.000%,
11/01/28,
(Pre-refunded
11/01/24)
11/24
at
100.00
AA-
1,368,413
1,100
5.000%,
11/01/31,
(Pre-refunded
11/01/24)
11/24
at
100.00
AA-
1,149,049
1,690
5.000%,
11/01/32,
(Pre-refunded
11/01/24)
11/24
at
100.00
AA-
1,765,357
500
Corona-Norco
Unified
School
District,
Riverside
County,
California,
General
Obligation
Bonds,
Capital
Appreciation,
Election
2006
Refunding
Series
2009C,
6.800%,
8/01/39,
(Pre-refunded
8/01/27)
-
AGM
Insured
8/27
at
100.00
AA
589,500
3,780
Foothill/Eastern
Transportation
Corridor
Agency,
California,
Toll
Road
Revenue
Bonds,
Refunding
Junior
Lien
Series
2013C,
6.500%,
1/15/43,
(Pre-refunded
1/15/24)
1/24
at
100.00
A-
3,944,014
Foothill/Eastern
Transportation
Corridor
Agency,
California,
Toll
Road
Revenue
Bonds,
Refunding
Series
2013A:
8,335
5.750%,
1/15/46,
(Pre-refunded
1/15/24)
1/24
at
100.00
A
8,635,560
8,415
6.000%,
1/15/53,
(Pre-refunded
1/15/24)
1/24
at
100.00
A
8,738,725
Golden
State
Tobacco
Securitization
Corporation,
California,
Enhanced
Tobacco
Settlement
Asset-Backed
Revenue
Bonds,
Refunding
Series
2015A:
17,210
5.000%,
6/01/40,
(Pre-refunded
6/01/25)
6/25
at
100.00
A+
18,274,955
21,090
5.000%,
6/01/40,
(Pre-refunded
6/01/25)
6/25
at
100.00
N/R
22,395,049
22,230
5.000%,
6/01/45,
(Pre-refunded
6/01/25)
6/25
at
100.00
Aa3
23,605,592
4,390
Golden
State
Tobacco
Securitization
Corporation,
California,
Enhanced
Tobacco
Settlement
Asset-Backed
Revenue
Bonds,
Series
2005A,
0.000%,
6/01/28
-
AMBAC
Insured,
(ETM)
No
Opt.
Call
Aa3
3,753,450
6,000
Golden
State
Tobacco
Securitization
Corporation,
California,
Tobacco
Settlement
Asset-Backed
Bonds,
Series
2017A-1,
5.000%,
6/01/23,
(ETM)
No
Opt.
Call
N/R
6,077,700
2,585
Los
Angeles
Community
College
District,
California,
General
Obligation
Bonds,
Refunding
Series
2015A,
5.000%,
8/01/30,
(Pre-refunded
8/01/24)
8/24
at
100.00
Aaa
2,692,820
1,115
Rio
Elementary
School
District,
California,
Special
Tax
Bonds,
Community
Facilities
District
1,
Series
2013,
5.500%,
9/01/39,
(Pre-refunded
9/01/23)
9/23
at
100.00
N/R
1,139,787
6,470
Riverside
County
Transportation
Commission,
California,
Sales
Tax
Revenue
Bonds,
Limited
Tax
Series
2013A,
5.250%,
6/01/39,
(Pre-
refunded
6/01/23)
6/23
at
100.00
AA+
6,560,127
Nuveen
California
Municipal
Bond
Fund
(continued)
Portfolio
of
Investments
November
30,
2022
(Unaudited)
40
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
U.S.
Guaranteed
(7)
(continued)
Riverside
County
Transportation
Commission,
California,
Toll
Revenue
Senior
Lien
Bonds,
Series
2013A:
$
3,500
5.750%,
6/01/44,
(Pre-refunded
6/01/23)
6/23
at
100.00
A
$
3,558,205
8,250
5.750%,
6/01/48,
(Pre-refunded
6/01/23)
6/23
at
100.00
A
8,387,198
3,125
Rosemead
School
District,
Los
Angeles
County,
California,
General
Obligation
Bonds,
Election
2008
Series
2013B,
5.850%,
8/01/43,
(Pre-
refunded
8/01/23)
-
AGM
Insured
8/23
at
100.00
AA
3,194,313
2,000
San
Diego
Community
College
District,
San
Diego
County,
California,
General
Obligation
Bonds,
Refunding
Series
2016,
5.000%,
8/01/41,
(Pre-refunded
8/01/26)
8/26
at
100.00
AAA
2,174,400
2,000
San
Diego
Unified
School
District,
San
Diego
County,
California,
General
Obligation
Bonds,
Series
2009-1,
6.000%,
7/01/33,
(Pre-refunded
7/01/24)
7/24
at
100.00
Aa2
2,107,400
2,060
San
Mateo
Union
High
School
District,
San
Mateo
County,
California,
General
Obligation
Bonds,
Election
of
2006,
Series
2013A,
0.000%,
9/01/37,
(Pre-refunded
9/01/23)
9/23
at
48.21
Aaa
974,813
4,885
University
of
California
Regents,
Medical
Center
Pooled
Revenue
Bonds,
Series
2013J,
5.000%,
5/15/33,
(Pre-refunded
5/15/23)
5/23
at
100.00
AA-
4,942,790
1,395
Walnut
Valley
Unified
School
District,
Los
Angeles
County,
California,
General
Obligation
Bonds,
Election
2007
Measure
S,
Series
2014C,
5.000%,
8/01/39,
(Pre-refunded
8/01/24)
8/24
at
100.00
Aa1
1,451,790
1,700
Yosemite
Community
College
District,
California,
General
Obligation
Bonds,
Refunding
Series
2015,
5.000%,
8/01/32,
(Pre-refunded
8/01/25)
8/25
at
100.00
Aa2
1,807,678
192,975
Total
U.S.
Guaranteed
197,780,256
Utilities
-
12.3%
California
Pollution
Control
Financing
Authority,
Water
Furnishing
Revenue
Bonds,
Poseidon
Resources
Channelside
LP
Desalination
Project,
Series
2012:
5,000
5.000%,
7/01/37,
(AMT),
144A
7/23
at
100.00
BBB
4,903,450
18,060
5.000%,
11/21/45,
(AMT),
144A
7/23
at
100.00
BBB
17,138,037
California
Pollution
Control
Financing
Authority,
Water
Furnishing
Revenue
Bonds,
San
Diego
County
Water
Authoriity
Desalination
Project
Pipeline,
Refunding
Series
2019:
4,405
5.000%,
7/01/39,
144A
1/29
at
100.00
BBB
4,208,713
1,160
5.000%,
11/21/45,
144A
1/29
at
100.00
BBB
1,069,230
2,750
California
Statewide
Communities
Development
Authority,
Pollution
Control
Revenue
Bonds,
Southern
California
Edison
Company,
Refunding
Series
2006D,
2.625%,
11/01/33,
(Mandatory
Put
12/01/23)
No
Opt.
Call
A-
2,721,125
10,725
California
Statewide
Communities
Development
Authority,
Pollution
Control
Revenue
Bonds,
Southern
California
Edison
Company,
Series
2006C,
2.625%,
11/01/33,
(Mandatory
Put
12/01/23)
No
Opt.
Call
A-
10,612,388
80
California
Statewide
Community
Development
Authority,
Water
and
Wastewater
Revenue
Bonds,
Pooled
Financing
Program,
Series
2003A,
5.250%,
10/01/23
-
AGM
Insured
1/23
at
100.00
AA
80,178
140
Compton,
California,
Sewer
Revenue
Bonds,
Refunding
Series
1998,
5.375%,
9/01/23
-
NPFG
Insured
12/22
at
100.00
Baa2
140,291
2,290
Contra
Costa
Water
District,
Contra
Costa
County,
California,
Water
Revenue
Bonds,
Refunding
Series
2019V,
5.000%,
10/01/44
10/29
at
100.00
AA+
2,496,970
1,500
Eastern
Municipal
Water
District
Financing
Authority,
California,
Water
and
Wastewater
Revenue
Bonds,
Series
2015B,
5.000%,
7/01/40
7/25
at
100.00
AAA
1,562,145
1,985
Los
Angeles
Department
of
Water
and
Power,
California,
Power
System
Revenue
Bonds,
Series
2014D,
5.000%,
7/01/44
7/24
at
100.00
Aa2
2,035,836
5,000
Los
Angeles
Department
of
Water
and
Power,
California,
Power
System
Revenue
Bonds,
Series
2016A,
5.000%,
7/01/46
1/26
at
100.00
Aa2
5,212,900
4,165
Los
Angeles
Department
of
Water
and
Power,
California,
Power
System
Revenue
Bonds,
Series
2016B,
5.000%,
7/01/37
1/26
at
100.00
Aa2
4,401,614
2,930
Los
Angeles
Department
of
Water
and
Power,
California,
Power
System
Revenue
Bonds,
Series
2017A,
5.000%,
7/01/47
1/27
at
100.00
Aa2
3,078,785
9,780
Los
Angeles
Department
of
Water
and
Power,
California,
Power
System
Revenue
Bonds,
Series
2018A,
5.000%,
7/01/38
1/28
at
100.00
Aa2
10,575,114
41
Part
F
of
Form
N-PORT
was
prepared
in
accordance
with
U.S.
generally
accepted
accounting
principles
(“U.S.
GAAP”)
and
in
conformity
with
the
applicable
rules
and
regulations
of
the
U.S.
Securities
and
Exchange
Commission
(“SEC”)
related
to
interim
filings.
Part
F
of
Form
N-PORT
does
not
include
all
information
and
footnotes
required
by
U.S.
GAAP
for
complete
financial
statements.
Certain
footnote
disclosures
normally
included
in
financial
statements
prepared
in
accordance
with
U.S.
GAAP
have
been
condensed
or
omitted
from
this
report
pursuant
to
the
rules
of
the
SEC.
For
a
full
set
of
the
Fund’s
notes
to
financial
statements,
please
refer
to
the
Fund’s
most
recently
filed
annual
or
semi-annual
report.
Fair
Value
Measurements
The
Fund’s
investments
in
securities
are
recorded
at
their
estimated
fair
value
utilizing
valuation
methods
approved
by
the
Board
of
Directors/
Trustees.
Fair
value
is
defined
as
the
price
that
would
be
received
upon
selling
an
investment
or
transferring
a
liability
in
an
orderly
transaction
to
an
independent
buyer
in
the
principal
or
most
advantageous
market
for
the
investment.
U.S.
GAAP
establishes
the
three-tier
hierarchy
which
is
used
to
maximize
the
use
of
observable
market
data
and
minimize
the
use
of
unobservable
inputs
and
to
establish
classification
of
fair
value
measurements
for
disclosure
purposes.
Observable
inputs
reflect
the
assumptions
market
participants
would
use
in
pricing
the
asset
or
liability.
Observable
inputs
are
based
on
market
data
obtained
from
sources
independent
of
the
reporting
entity.
Unobservable
inputs
reflect
management’s
assumptions
about
the
assumptions
market
participants
would
use
in
pricing
the
asset
or
liability.
Unobservable
inputs
are
based
on
the
best
information
available
in
the
circumstances.
The
following
is
a
summary
of
the
three-tiered
hierarchy
of
valuation
input
levels.
Level
1
Inputs
are
unadjusted
and
prices
are
determined
using
quoted
prices
in
active
markets
for
identical
securities.
Level
2
Prices
are
determined
using
other
significant
observable
inputs
(including
quoted
prices
for
similar
securities,
interest
rates,
credit
spreads,
etc.).
Level
3
Prices
are
determined
using
significant
unobservable
inputs
(including
management’s
assumptions
in
determining
the
fair
value
of
investments).
The
following
table
summarizes
the
market
value
of
the
Fund's
investments
as
of
the
end
of
the
reporting
period,
based
on
the
inputs
used
to
value
them:
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Utilities
(continued)
Los
Angeles
Department
of
Water
and
Power,
California,
Power
System
Revenue
Bonds,
Series
2019A:
$
5,000
5.000%,
7/01/45
1/29
at
100.00
Aa2
$
5,379,150
5,000
5.250%,
7/01/49
1/29
at
100.00
Aa2
5,421,100
32,975
Los
Angeles
Department
of
Water
and
Power,
California,
Power
System
Revenue
Bonds,
Series
2020B,
5.000%,
7/01/50
7/30
at
100.00
Aa2
35,615,968
16,230
Los
Angeles
Department
of
Water
and
Power,
California,
Power
System
Revenue
Bonds,
Series
2021B,
5.000%,
7/01/51
1/31
at
100.00
Aa2
17,574,169
4,800
Los
Angeles
Department
of
Water
and
Power,
California,
Water
System
Revenue
Bonds,
Series
2022B,
5.000%,
7/01/43
1/32
at
100.00
Aa2
5,350,704
5,000
Los
Angeles
Department
of
Water
and
Power,
California,
Waterworks
Revenue
Bonds,
Series
2018B,
5.000%,
7/01/48
7/28
at
100.00
AA+
5,333,700
16,990
Los
Angeles
Department
of
Water
and
Power,
California,
Waterworks
Revenue
Bonds,
Series
2020C,
5.000%,
7/01/39
7/30
at
100.00
Aa2
18,921,763
3,370
Los
Angeles
Department
of
Water
and
Power,
California,
Waterworks
Revenue
Bonds,
Series
2021B,
5.000%,
7/01/51
1/31
at
100.00
Aa2
3,658,876
10,000
Los
Angeles,
California,
Wastewater
System
Revenue
Bonds,
Green
Series
2015C,
5.000%,
6/01/45
6/25
at
100.00
AA+
10,334,000
2,600
Los
Angeles,
California,
Wastewater
System
Revenue
Bonds,
Refunding
Subordinate
Lien
Series
2013A,
5.000%,
6/01/35
6/23
at
100.00
AA
2,630,186
16,665
Metropolitan
Water
District
of
Southern
California,
Water
Revenue
Bonds,
Series
2020A,
5.000%,
10/01/45
10/29
at
100.00
AAA
18,267,007
3,595
Pico
Rivera
Water
Authority,
California,
Revenue
Bonds,
Refunding
Water
System
Project,
Series
1999A,
5.500%,
5/01/29
-
NPFG
Insured
No
Opt.
Call
Baa2
3,830,976
2,180
Puerto
Rico
Aqueduct
and
Sewerage
Authority,
Revenue
Bonds,
Refunding
Senior
Lien
Series
2020A,
5.000%,
7/01/47,
144A
7/30
at
100.00
N/R
2,093,062
250
Puerto
Rico
Aqueduct
and
Sewerage
Authority,
Revenue
Bonds,
Refunding
Senior
Lien
Series
2021A,
4.000%,
7/01/42,
144A
7/31
at
100.00
N/R
211,935
8,110
Puerto
Rico
Aqueduct
and
Sewerage
Authority,
Revenue
Bonds,
Refunding
Senior
Lien
Series
2021B,
4.000%,
7/01/42,
144A
7/31
at
100.00
N/R
6,875,171
2,145
Santa
Clara
Valley
Water
District,
California,
Water
System
Revenue
Bonds,
Refunding  Series
2020A,
5.000%,
6/01/45
6/30
at
100.00
Aa1
2,345,257
204,880
Total
Utilities
214,079,800
$
1,824,231
Total
Long-Term
Investments
(cost
$1,796,021,993)
1,732,414,838
Other
Assets
Less
Liabilities
-
0.7%
12,615,802
Net
Assets
-
100%
$
1,745,030,640
Nuveen
California
Municipal
Bond
Fund
(continued)
Portfolio
of
Investments
November
30,
2022
(Unaudited)
42
Level
1
Level
2
Level
3
Total
Long-Term
Investments:
Municipal
Bonds
$
$
1,732,189,543
$
225,295
$
1,732,414,838
Total
$
$
1,732,189,543
$
225,295
$
1,732,414,838
(1)
All
percentages
shown
in
the
Portfolio
of
Investments
are
based
on
net
assets.
(2)
Optional
Call
Provisions:
Dates
(month
and
year)
and
prices
of
the
earliest
optional
call
or
redemption.
There
may
be
other
call
provisions
at
varying
prices
at
later
dates.
Certain
mortgage-backed
securities
may
be
subject
to
periodic
principal
paydowns.
(3)
For
financial
reporting
purposes,
the
ratings
disclosed
are
the
highest
of
Standard
&
Poor’s
Group
(“Standard
&
Poor’s”),
Moody’s
Investors
Service,
Inc.
(“Moody’s”)
or
Fitch,
Inc.
(“Fitch”)
rating.
This
treatment
of
split-rated
securities
may
differ
from
that
used
for
other
purposes,
such
as
for
Fund
investment
policies.
Ratings
below
BBB
by
Standard
&
Poor’s,
Baa
by
Moody’s
or
BBB
by
Fitch
are
considered
to
be
below
investment
grade.
Holdings
designated
N/R
are
not
rated
by
any
of
these
national
rating
agencies.
(4)
Defaulted
security.
A
security
whose
issuer
has
failed
to
fully
pay
principal
and/or
interest
when
due,
or
is
under
the
protection
of
bankruptcy.
(5)
For
fair
value
measurement
disclosure
purposes,
investment
classified
as
Level
3.
(6)
Step-up
coupon
bond,
a
bond
with
a
coupon
that
increases
("steps
up"),
usually
at
regular
intervals,
while
the
bond
is
outstanding.
The
rate
shown
is
the
coupon
as
of
the
end
of
the
reporting
period.
(7)
Backed
by
an
escrow
or
trust
containing
sufficient
U.S.
Government
or
U.S.
Government
agency
securities,
which
ensure
the
timely
payment
of
principal
and
interest.
144A
Investment
is
exempt
from
registration
under
Rule
144A
of
the
Securities
Act
of
1933,
as
amended.
These
investments
may
only
be
resold
in
transactions
exempt
from
registration,
which
are
normally
those
transactions
with
qualified
institutional
buyers.
AMT
Alternative
Minimum
Tax
ETM
Escrowed
to
maturity
43
Nuveen
Connecticut
Municipal
Bond
Fund
Portfolio
of
Investments
November
30,
2022
(Unaudited)
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
LONG-TERM
INVESTMENTS
-
100.9%   
X
218,566,591
MUNICIPAL
BONDS
-
100.9%  
X
218,566,591
Education
and
Civic
Organizations
-
18.4%
$
1,220
Connecticut
Health
and
Educational
Facilities
Authority,
Revenue
Bonds,
Avon
Old
Farms
School,
Series
2021D-1,
4.000%,
7/01/41
7/31
at
100.00
A3
$
1,181,302
Connecticut
Health
and
Educational
Facilities
Authority,
Revenue
Bonds,
Choate
Rosemary
Hall,
Series
2020F:
380
4.000%,
7/01/39
7/30
at
100.00
Aa2
386,422
1,100
4.000%,
7/01/42
7/30
at
100.00
Aa2
1,092,850
3,465
Connecticut
Health
and
Educational
Facilities
Authority,
Revenue
Bonds,
Connecticut
College,
Series
2022L,
5.000%,
7/01/42
No
Opt.
Call
A3
3,670,672
1,250
Connecticut
Health
and
Educational
Facilities
Authority,
Revenue
Bonds,
Connecticut
College,
Series
2022M,
4.000%,
7/01/52
7/32
at
100.00
A2
1,122,250
1,885
Connecticut
Health
and
Educational
Facilities
Authority,
Revenue
Bonds,
Fairfield
University,
Series
2016Q-1,
5.000%,
7/01/46
7/26
at
100.00
A2
1,941,663
750
Connecticut
Health
and
Educational
Facilities
Authority,
Revenue
Bonds,
Fairfield
University,
Series
2017R,
4.000%,
7/01/47
7/27
at
100.00
A2
693,292
Connecticut
Health
and
Educational
Facilities
Authority,
Revenue
Bonds,
Greenwich
Academy,
Series
2021G:
1,500
4.000%,
3/01/41
3/31
at
100.00
A1
1,498,080
1,000
4.000%,
3/01/46
3/31
at
100.00
A1
965,290
Connecticut
Health
and
Educational
Facilities
Authority,
Revenue
Bonds,
Hopkins
School,
Series
2022E:
1,545
5.250%,
7/01/47
7/32
at
100.00
AA-
1,682,211
1,000
5.000%,
7/01/53
7/32
at
100.00
AA-
1,037,300
5,095
Connecticut
Health
and
Educational
Facilities
Authority,
Revenue
Bonds,
Quinnipiac
University,
Refunding
Series
2015L,
5.000%,
7/01/45
7/25
at
100.00
A-
5,181,055
1,750
Connecticut
Health
and
Educational
Facilities
Authority,
Revenue
Bonds,
Quinnipiac
University,
Series
2016M,
5.000%,
7/01/35
7/26
at
100.00
A-
1,820,420
2,685
Connecticut
Health
and
Educational
Facilities
Authority,
Revenue
Bonds,
Sacred
Heart
University,
Series
2017I-1,
5.000%,
7/01/42
7/27
at
100.00
A
2,767,993
Connecticut
Health
and
Educational
Facilities
Authority,
Revenue
Bonds,
Sacred
Heart
University,
Series
2020K:
2,000
5.000%,
7/01/40
7/30
at
100.00
A
2,116,160
Connecticut
Health
and
Educational
Facilities
Authority,
Revenue
Bonds,
The
Taft
School
Isue,
Series
2021L:
790
3.000%,
7/01/41
7/31
at
100.00
Aa3
634,346
2,210
3.000%,
7/01/46
7/31
at
100.00
Aa3
1,644,815
3,170
Connecticut
Health
and
Educational
Facilities
Authority,
Revenue
Bonds,
Trinity
College,
Series
2020R,
4.000%,
6/01/45
6/30
at
100.00
A+
2,933,740
Connecticut
Health
and
Educational
Facilities
Authority,
Revenue
Bonds,
Trinity
College,
Series
2021S:
2,000
4.000%,
6/01/46
12/31
at
100.00
A+
1,889,740
1,925
4.000%,
6/01/51
12/31
at
100.00
A+
1,767,381
1,900
Connecticut
Health
and
Educational
Facilities
Authority,
Revenue
Bonds,
University
of
Hartford,
Series
2022P,
5.375%,
7/01/52
7/32
at
100.00
BBB-
1,891,393
Connecticut
Health
and
Educational
Facilities
Authority,
Revenue
Bonds,
University
of
New
Haven,
Series
2018K-1:
2,000
5.000%,
7/01/37
7/28
at
100.00
BBB-
1,970,880
50
5.000%,
7/01/38
7/28
at
100.00
BBB-
48,989
40,670
Total
Education
and
Civic
Organizations
39,938,244
Nuveen
Connecticut
Municipal
Bond
Fund
(continued)
Portfolio
of
Investments
November
30,
2022
(Unaudited)
44
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Health
Care
-
15.8%
$
4,600
Connecticut
Health
and
Educational
Facilities
Authority
Revenue
Bonds,
Hartford
HealthCare,
Series
2015F,
5.000%,
7/01/45
7/25
at
100.00
A+
$
4,626,358
695
Connecticut
Health
and
Educational
Facilities
Authority,
Revenue
Bonds,
Griffin
Hospital,
Series
2020G-1,
5.000%,
7/01/39,
144A
7/29
at
100.00
BB+
661,987
Connecticut
Health
and
Educational
Facilities
Authority,
Revenue
Bonds,
Hartford
HealthCare
Issue,
Series
2020A:
2,700
4.000%,
7/01/38
1/30
at
100.00
A+
2,590,731
1,685
4.000%,
7/01/40
1/30
at
100.00
A+
1,585,248
3,000
Connecticut
Health
and
Educational
Facilities
Authority,
Revenue
Bonds,
Hartford
HealthCare
Issue,
Series
2021A,
4.000%,
7/01/51
7/31
at
100.00
A+
2,689,110
500
Connecticut
Health
and
Educational
Facilities
Authority,
Revenue
Bonds,
Hartford
HealthCare,
Series
2014E,
5.000%,
7/01/42
7/24
at
100.00
A+
501,790
1,995
Connecticut
Health
and
Educational
Facilities
Authority,
Revenue
Bonds,
Middlesex
Hospital,
Series
2015O,
5.000%,
7/01/36
7/25
at
100.00
A3
2,023,928
Connecticut
Health
and
Educational
Facilities
Authority,
Revenue
Bonds,
Nuvance
Health
Series
2019A:
2,455
4.000%,
7/01/34
7/29
at
100.00
BBB+
2,343,174
2,235
4.000%,
7/01/36
7/29
at
100.00
BBB+
2,082,953
6,020
4.000%,
7/01/49
7/29
at
100.00
BBB+
5,124,766
1,885
Connecticut
Health
and
Educational
Facilities
Authority,
Revenue
Bonds,
Stamford
Hospital,
Series
2016K,
4.000%,
7/01/46
7/26
at
100.00
BBB+
1,644,983
2,350
Connecticut
Health
and
Educational
Facilities
Authority,
Revenue
Bonds,
Trinity
Health
Credit
Group,
Series
2016CT,
5.000%,
12/01/41
6/26
at
100.00
AA-
2,408,045
Connecticut
Health
and
Educational
Facilities
Authority,
Revenue
Bonds,
Yale-New
Haven
Health
Issue,
Series
2014E:
2,400
5.000%,
7/01/32
7/24
at
100.00
AA-
2,461,944
2,520
5.000%,
7/01/33
7/24
at
100.00
AA-
2,582,395
830
5.000%,
7/01/34
7/24
at
100.00
AA-
849,356
35,870
Total
Health
Care
34,176,768
Housing/Multifamily
-
0.8%
1,905
Connecticut
Housing
Finance
Authority,
Housing
Mortgage
Finance
Program
Bonds,
Series
2019B-1,
3.300%,
11/15/39
11/28
at
100.00
AAA
1,792,376
Housing/Single
Family
-
1.0%
Connecticut
Housing
Finance
Authority,
Housing
Mortgage
Finance
Program
Bonds,
Green
Series
2021B-3:
1,440
2.150%,
11/15/41
11/30
at
100.00
AAA
1,015,560
1,560
2.300%,
11/15/46
11/30
at
100.00
AAA
1,046,245
200
Connecticut
Housing
Finance
Authority,
Housing
Mortgage
Finance
Program
Bonds,
Series
2020E-3,
1.850%,
5/15/38
5/30
at
100.00
AAA
139,992
3,200
Total
Housing/Single
Family
2,201,797
Long-Term
Care
-
3.4%
1,100
Connecticut
Health
and
Educational
Facilities
Authority,
Revenue
Bonds,
Duncaster,
Inc.,
Series
2014A,
5.000%,
8/01/44
8/24
at
100.00
BBB
1,100,264
1,200
Connecticut
Health
and
Educational
Facilities
Authority,
Revenue
Bonds,
Healthcare
Facility
Expansion
Church
Home
of
Hartford
Inc.
Project,
Series
2016A,
5.000%,
9/01/46,
144A
9/26
at
100.00
BB
1,086,972
Connecticut
Health
and
Educational
Facilities
Authority,
Revenue
Bonds,
Mary
Wade
Home
Issue,
Series
2019A-1:
1,000
5.000%,
10/01/39,
144A
10/24
at
104.00
BB
896,820
200
5.000%,
10/01/54,
144A
10/24
at
104.00
BB
162,582
2,650
Connecticut
Health
and
Educational
Facilities
Authority,
Revenue
Bonds,
McLean
Affiliates,
Series
2020A,
5.000%,
1/01/45,
144A
1/26
at
102.00
BB+
2,494,578
Connecticut
Health
and
Educational
Facilities
Authority,
Revenue
Bonds,
The
Jerome
Home
Issue,
Series
2021E:
730
4.000%,
7/01/41
7/28
at
103.00
BBB
620,653
1,250
4.000%,
7/01/51
7/28
at
103.00
BBB
982,100
8,130
Total
Long-Term
Care
7,343,969
45
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Tax
Obligation/General
-
27.6%
Bridgeport,
Connecticut,
General
Obligation
Bonds,
Series
2014A:
$
600
5.000%,
7/01/32
-
AGM
Insured
7/24
at
100.00
AA
$
618,666
1,000
5.000%,
7/01/33
-
AGM
Insured
7/24
at
100.00
AA
1,030,220
1,065
5.000%,
7/01/34
-
AGM
Insured
7/24
at
100.00
AA
1,093,137
2,000
Bridgeport,
Connecticut,
General
Obligation
Bonds,
Series
2016D,
5.000%,
8/15/41
-
AGM
Insured
8/26
at
100.00
AA
2,083,980
Bridgeport,
Connecticut,
General
Obligation
Bonds,
Series
2021A:
765
4.000%,
8/01/41
8/31
at
100.00
A+
726,941
375
4.000%,
8/01/46
8/31
at
100.00
A+
339,641
2,425
Connecticut
Health
and
Educational
Facilities
Authoroity,
Revneue
Bonds,
Connecticut
State
University
System,
Series
2016P-1,
5.000%,
11/01/28
11/26
at
100.00
AA-
2,610,076
Connecticut
Housing
Finance
Authority,
State
Supported
Special
Obligation
Bonds,
Series
2021-27:
1,000
2.400%,
6/15/41
6/31
at
100.00
AA-
780,480
1,000
2.550%,
6/15/46
6/31
at
100.00
AA-
774,020
1,000
Connecticut
Housing
Finance
Authority,
State
Supported
Special
Obligation
Bonds,
Series
2021-28,
2.375%,
6/15/40
6/31
at
100.00
AA-
718,500
2,400
Connecticut
State,
General
Obligation
Bonds,
Series
2014A,
5.000%,
3/01/31
3/24
at
100.00
AA-
2,463,480
3,000
Connecticut
State,
General
Obligation
Bonds,
Series
2014F,
5.000%,
11/15/34
11/24
at
100.00
AA-
3,107,730
2,370
Connecticut
State,
General
Obligation
Bonds,
Series
2015F,
5.000%,
11/15/34
11/25
at
100.00
AA-
2,495,397
Connecticut
State,
General
Obligation
Bonds,
Series
2017A:
1,000
5.000%,
4/15/34
4/27
at
100.00
AA-
1,072,560
3,270
5.000%,
4/15/35
4/27
at
100.00
AA-
3,490,006
1,510
Connecticut
State,
General
Obligation
Bonds,
Series
2018A,
5.000%,
4/15/37
4/28
at
100.00
AA-
1,618,207
1,325
Connecticut
State,
General
Obligation
Bonds,
Series
2018C,
5.000%,
6/15/38
6/28
at
100.00
AA-
1,418,002
Connecticut
State,
General
Obligation
Bonds,
Series
2019A:
1,150
5.000%,
4/15/36
4/29
at
100.00
AA-
1,249,946
1,450
4.000%,
4/15/37,
(UB)
(4)
4/29
at
100.00
AA-
1,472,388
650
5.000%,
4/15/39,
(UB)
(4)
4/29
at
100.00
AA-
699,342
Connecticut
State,
General
Obligation
Bonds,
Series
2020A:
2,000
4.000%,
1/15/37
1/30
at
100.00
AA-
2,035,740
2,250
5.000%,
1/15/40
1/30
at
100.00
AA-
2,418,345
750
Connecticut
State,
General
Obligation
Bonds,
Series
2020C,
5.000%,
6/01/40
6/30
at
100.00
AA-
809,235
2,000
Connecticut
State,
General
Obligation
Bonds,
Series
2021A,
3.000%,
1/15/40
1/31
at
100.00
AA-
1,666,320
East
Haddam,
Connecticut,
General
Obligation
Bonds,
Series
2020A:
300
3.000%,
12/01/37
12/28
at
100.00
AA+
268,617
250
3.000%,
12/01/40
12/28
at
100.00
AA+
209,165
East
Lyme,
Connecticut,
General
Obligation
Bonds,
Series
2020:
880
3.000%,
7/15/38
7/28
at
100.00
AA
750,781
500
3.000%,
7/15/39
7/28
at
100.00
AA
420,555
325
3.000%,
7/15/40
7/28
at
100.00
AA
268,609
500
Hamden,
Connecticut,
General
Obligation
Bonds,
Series
2016,
5.000%,
8/15/33
-
BAM
Insured
8/24
at
100.00
AA
510,485
1,000
Hartford
County
Metropolitan
District,
Connecticut,
General
Obligation
Bonds,
Refunding
Series
2019C,
4.000%,
7/15/40
7/29
at
100.00
AA
1,000,630
1,035
Hartford
County
Metropolitan
District,
Connecticut,
General
Obligation
Bonds,
Series
2018,
5.000%,
7/15/35
7/28
at
100.00
AA
1,132,331
Hartford
County
Metropolitan
District,
Connecticut,
General
Obligation
Bonds,
Series
2019A:
1,000
4.000%,
7/15/38
7/29
at
100.00
AA
1,005,770
1,075
4.000%,
7/15/39
7/29
at
100.00
AA
1,079,558
Nuveen
Connecticut
Municipal
Bond
Fund
(continued)
Portfolio
of
Investments
November
30,
2022
(Unaudited)
46
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Tax
Obligation/General
(continued)
$
1,800
Hartford
County
Metropolitan
District,
Connecticut,
General
Obligation
Bonds,
Series
2021A,
4.000%,
9/01/41
9/31
at
100.00
AA
$
1,782,288
1,000
New
Haven,
Connecticut,
General
Obligation
Bonds,
Refunding
Series
2016A,
5.000%,
8/15/36
-
AGM
Insured
8/26
at
100.00
AA
1,052,520
New
Haven,
Connecticut,
General
Obligation
Bonds,
Series
2015:
795
5.000%,
9/01/32
-
AGM
Insured
9/25
at
100.00
AA
834,766
1,620
5.000%,
9/01/33
-
AGM
Insured
9/25
at
100.00
AA
1,698,311
500
5.000%,
9/01/35
-
AGM
Insured
9/25
at
100.00
AA
521,205
485
North
Haven,
Connecticut,
General
Obligation
Bonds,
Series
2006,
5.000%,
7/15/24
No
Opt.
Call
Aa1
503,852
1,035
Oxford,
Connecticut,
General
Obligation
Bonds,
Series
2019A,
4.000%,
8/01/39
8/29
at
100.00
Aa2
1,037,308
2,370
Stratford,
Connecticut,
General
Obligation
Bonds,
Series
2017,
4.000%,
1/01/39
-
BAM
Insured
1/27
at
100.00
AA
2,357,368
Stratford,
Connecticut,
General
Obligation
Bonds,
Series
2020A:
365
4.000%,
7/01/38
-
BAM
Insured
7/30
at
100.00
AA
364,449
330
4.000%,
7/01/40
-
BAM
Insured
7/30
at
100.00
AA
323,700
Waterbury,
Connecticut,
General
Obligation
Bonds,
Lot
A
Series
2015:
555
5.000%,
8/01/30
-
BAM
Insured
8/25
at
100.00
AA
584,676
485
5.000%,
8/01/31
-
BAM
Insured
8/25
at
100.00
AA
510,511
765
5.000%,
8/01/32
-
BAM
Insured
8/25
at
100.00
AA
804,421
555
5.000%,
8/01/33
-
BAM
Insured
8/25
at
100.00
AA
582,733
555
5.000%,
8/01/34
-
BAM
Insured
8/25
at
100.00
AA
582,056
2,000
West
Haven,
Connecticut,
General
Obligation
Bonds,
Series
2012,
5.000%,
8/01/24
-
AGM
Insured
1/23
at
100.00
AA
2,003,400
750
West
Haven,
Connecticut,
General
Obligation
Bonds,
Series
2020,
4.000%,
3/15/40
-
BAM
Insured
3/30
at
100.00
AA
742,492
59,185
Total
Tax
Obligation/General
59,724,916
Tax
Obligation/Limited
-
18.0%
Connecticut
Higher
Education
Supplemental
Loan
Authority,
Revenue
Bonds,
CHELSA
Loan
Program,
Series
2021B:
750
5.000%,
11/15/27,
(AMT)
No
Opt.
Call
Aa3
791,250
545
5.000%,
11/15/28,
(AMT)
No
Opt.
Call
Aa3
579,907
560
5.000%,
11/15/29,
(AMT)
No
Opt.
Call
Aa3
600,673
500
5.000%,
11/15/30,
(AMT)
No
Opt.
Call
Aa3
540,445
1,930
Connecticut
Higher
Education
Supplemental
Loan
Authority,
State
Supported
Revenue
Bonds,
CHESLA
Loan
Program,
Series
2020B,
3.250%,
11/15/36,
(AMT)
11/29
at
100.00
Aa3
1,669,643
2,500
Connecticut
State,
Special
Tax
Obligation
Bonds,
Transportation
Infrastructure
Purposes
Series
2013A,
5.000%,
10/01/33
10/23
at
100.00
AA
2,541,775
1,390
Connecticut
State,
Special
Tax
Obligation
Bonds,
Transportation
Infrastructure
Purposes
Series
2015A,
5.000%,
8/01/33
8/25
at
100.00
AA
1,463,100
Connecticut
State,
Special
Tax
Obligation
Bonds,
Transportation
Infrastructure
Purposes
Series
2016A:
1,000
5.000%,
9/01/32
9/26
at
100.00
AA
1,074,930
3,500
5.000%,
9/01/33
9/26
at
100.00
AA
3,754,240
Connecticut
State,
Special
Tax
Obligation
Bonds,
Transportation
Infrastructure
Purposes
Series
2018A:
2,000
5.000%,
1/01/37
1/28
at
100.00
AA
2,159,460
2,000
5.000%,
1/01/38
1/28
at
100.00
AA
2,154,840
1,500
Connecticut
State,
Special
Tax
Obligation
Bonds,
Transportation
Infrastructure
Purposes,
Series
2021A,
4.000%,
5/01/40
5/31
at
100.00
AA
1,489,695
500
Great
Pond
Improvement
District,
Connecticut,
Special
Obligaiton
Revenue
Bonds,
Great
Pond
Phase
1
Project,
Series
20019,
4.750%,
10/01/48,
144A
10/26
at
102.00
N/R
437,970
2,720
Harbor
Point
Infrastructure
Improvement
District,
Connecticut,
Special
Obligation
Revenue
Bonds,
Harbor
Point
Project,
Refunding
Series
2017,
5.000%,
4/01/39,
144A
4/27
at
100.00
N/R
2,652,517
47
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Tax
Obligation/Limited
(continued)
$
635
Matching
Fund
Special
Purpose
Securitization
Corporation,
Virgin
Islands,
Revenue
Bonds,
Series
2022A,
5.000%,
10/01/39
10/32
at
100.00
N/R
$
640,347
1,900
Naugatuck,
Connecticut,
Certificates
of
Participation,
Incineration
Facilities
Project,
Series
2021A,
4.000%,
8/15/41,
(AMT)
8/29
at
100.00
AA-
1,783,549
Puerto
Rico
Sales
Tax
Financing
Corporation,
Sales
Tax
Revenue
Bonds,
Restructured
2018A-1:
2,950
4.550%,
7/01/40
7/28
at
100.00
N/R
2,747,424
1,860
0.000%,
7/01/46
7/28
at
41.38
N/R
468,757
1,300
4.750%,
7/01/53
7/28
at
100.00
N/R
1,187,810
100
Steel
Point
Infrastructure
Improvement
District,
Connecticut,
Special
Obligation
Revenue
Bonds,
Steelpointe
Harbor
Project,
Series
2021,
4.000%,
4/01/51
4/30
at
100.00
N/R
79,675
2,500
University
of
Connecticut,
General
Obligation
Bonds,
Series
2013A,
5.000%,
8/15/32
8/23
at
100.00
AA-
2,531,000
740
University
of
Connecticut,
General
Obligation
Bonds,
Series
2014A,
5.000%,
2/15/31
2/24
at
100.00
AA-
757,975
1,590
University
of
Connecticut,
General
Obligation
Bonds,
Series
2015A,
5.000%,
2/15/34
2/25
at
100.00
AA-
1,656,048
3,000
University
of
Connecticut,
General
Obligation
Bonds,
Series
2017A,
5.000%,
1/15/36
1/27
at
100.00
AA-
3,189,660
University
of
Connecticut,
General
Obligation
Bonds,
Series
2019A:
1,000
5.000%,
11/01/36
11/28
at
100.00
AA-
1,083,040
1,000
4.000%,
11/01/38
11/28
at
100.00
AA-
985,420
39,970
Total
Tax
Obligation/Limited
39,021,150
Transportation
-
2.9%
Connecticut
Airport
Authority,
Connecticut,
Customer
Facility
Charge
Revenue
Bonds,
Ground
Transportation
Center
Project,
Series
2019A:
1,500
4.000%,
7/01/49,
(AMT)
7/29
at
100.00
BBB+
1,259,250
5,000
5.000%,
7/01/49,
(AMT)
7/29
at
100.00
BBB+
4,977,650
6,500
Total
Transportation
6,236,900
U.S.
Guaranteed
-
4.9%
(5)
1,050
Connecticut
Health
and
Educational
Facilities
Authority,
Revenue
Bonds,
Norwich
Free
Academy,
Series
2013B,
4.000%,
7/01/34,
(Pre-refunded
7/01/23)
7/23
at
100.00
N/R
1,058,799
950
Connecticut
Health
and
Educational
Facilities
Authority,
Revenue
Bonds,
Westminster
School,
Series
2014H,
3.250%,
7/01/32,
(Pre-refunded
7/01/24)
7/24
at
100.00
A
958,436
Connecticut
Municipal
Electric
Energy
Cooperative,
Power
Supply
System
Revenue
Bonds,
Series
2013A:
200
5.000%,
1/01/38,
(Pre-refunded
1/01/23)
1/23
at
100.00
N/R
200,412
Greater
New
Haven
Water
Pollution
Control
Authority,
Connecticut,
Regional
Wastewater
System
Revenue
Bonds,
Refunding
Series
2014B:
500
5.000%,
8/15/30,
(Pre-refunded
8/15/24)
8/24
at
100.00
AA+
520,140
1,000
5.000%,
8/15/32,
(Pre-refunded
8/15/24)
8/24
at
100.00
AA+
1,040,280
2,250
Hartford
County
Metropolitan
District,
Connecticut,
Clean
Water
Project
Revenue
Bonds,
Refunding
Green
Bond
Series
2014A,
5.000%,
11/01/35,
(Pre-refunded
11/01/24)
11/24
at
100.00
AA
2,351,205
New
Haven,
Connecticut,
General
Obligation
Bonds,
Series
2014A:
810
5.000%,
8/01/30,
(Pre-refunded
8/01/24)
-
AGM
Insured
8/24
at
100.00
AA
841,898
700
5.000%,
8/01/31,
(Pre-refunded
8/01/24)
-
AGM
Insured
8/24
at
100.00
AA
727,566
850
5.000%,
8/01/32,
(Pre-refunded
8/01/24)
-
AGM
Insured
8/24
at
100.00
AA
883,473
850
5.000%,
8/01/34,
(Pre-refunded
8/01/24)
-
AGM
Insured
8/24
at
100.00
AA
883,473
1,055
South
Central
Connecticut
Regional
Water
Authority
Water
System
Revenue
Bonds,
Thirtieth
Series
2014A,
5.000%,
8/01/44,
(Pre-refunded
8/01/24)
8/24
at
100.00
AA-
1,097,253
10,215
Total
U.S.
Guaranteed
10,562,935
Nuveen
Connecticut
Municipal
Bond
Fund
(continued)
Portfolio
of
Investments
November
30,
2022
(Unaudited)
48
Part
F
of
Form
N-PORT
was
prepared
in
accordance
with
U.S.
generally
accepted
accounting
principles
(“U.S.
GAAP”)
and
in
conformity
with
the
applicable
rules
and
regulations
of
the
U.S.
Securities
and
Exchange
Commission
(“SEC”)
related
to
interim
filings.
Part
F
of
Form
N-PORT
does
not
include
all
information
and
footnotes
required
by
U.S.
GAAP
for
complete
financial
statements.
Certain
footnote
disclosures
normally
included
in
financial
statements
prepared
in
accordance
with
U.S.
GAAP
have
been
condensed
or
omitted
from
this
report
pursuant
to
the
rules
of
the
SEC.
For
a
full
set
of
the
Fund’s
notes
to
financial
statements,
please
refer
to
the
Fund’s
most
recently
filed
annual
or
semi-annual
report.
Fair
Value
Measurements
The
Fund’s
investments
in
securities
are
recorded
at
their
estimated
fair
value
utilizing
valuation
methods
approved
by
the
Board
of
Directors/
Trustees.
Fair
value
is
defined
as
the
price
that
would
be
received
upon
selling
an
investment
or
transferring
a
liability
in
an
orderly
transaction
to
an
independent
buyer
in
the
principal
or
most
advantageous
market
for
the
investment.
U.S.
GAAP
establishes
the
three-tier
hierarchy
which
is
used
to
maximize
the
use
of
observable
market
data
and
minimize
the
use
of
unobservable
inputs
and
to
establish
classification
of
fair
value
measurements
for
disclosure
purposes.
Observable
inputs
reflect
the
assumptions
market
participants
would
use
in
pricing
the
asset
or
liability.
Observable
inputs
are
based
on
market
data
obtained
from
sources
independent
of
the
reporting
entity.
Unobservable
inputs
reflect
management’s
assumptions
about
the
assumptions
market
participants
would
use
in
pricing
the
asset
or
liability.
Unobservable
inputs
are
based
on
the
best
information
available
in
the
circumstances.
The
following
is
a
summary
of
the
three-tiered
hierarchy
of
valuation
input
levels.
Level
1
Inputs
are
unadjusted
and
prices
are
determined
using
quoted
prices
in
active
markets
for
identical
securities.
Level
2
Prices
are
determined
using
other
significant
observable
inputs
(including
quoted
prices
for
similar
securities,
interest
rates,
credit
spreads,
etc.).
Level
3
Prices
are
determined
using
significant
unobservable
inputs
(including
management’s
assumptions
in
determining
the
fair
value
of
investments).
The
following
table
summarizes
the
market
value
of
the
Fund's
investments
as
of
the
end
of
the
reporting
period,
based
on
the
inputs
used
to
value
them:
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Utilities
-
8.1%
Connecticut
Municipal
Electric
Energy
Cooperative,
Power
Supply
System
Revenue
Bonds,
Series
2013A:
$
215
5.000%,
1/01/38
1/23
at
100.00
Aa3
$
215,443
2,000
Connecticut,
State
Revolving
Fund
General
Revenue
Bonds,
Green
Series
2019A,
5.000%,
2/01/39
2/29
at
100.00
AAA
2,189,020
60
Greater
New
Haven
Water
Pollution
Control
Authority,
Connecticut,
Regional
Wastewater
System
Revenue
Bonds,
Series
2005A,
5.000%,
8/15/35
-
NPFG
Insured
1/23
at
100.00
AA+
60,068
Guam
Government
Waterworks
Authority,
Water
and
Wastewater
System
Revenue
Bonds,
Refunding
Series
2017:
1,000
5.000%,
7/01/37
7/27
at
100.00
A-
1,017,850
1,000
5.000%,
7/01/40
7/27
at
100.00
A-
1,015,890
295
Guam
Government
Waterworks
Authority,
Water
and
Wastewater
System
Revenue
Bonds,
Series
2020A,
5.000%,
1/01/50
7/30
at
100.00
A-
296,378
1,000
Guam
Power
Authority,
Revenue
Bonds,
Series
2014A,
5.000%,
10/01/39
10/24
at
100.00
AA
1,029,320
1,010
Puerto
Rico
Aqueduct
and
Sewerage
Authority,
Revenue
Bonds,
Refunding
Senior
Lien
Series
2020A,
5.000%,
7/01/30,
144A
No
Opt.
Call
N/R
1,021,383
1,700
Puerto
Rico
Aqueduct
and
Sewerage
Authority,
Revenue
Bonds,
Refunding
Senior
Lien
Series
2021B,
5.000%,
7/01/29,
144A
No
Opt.
Call
N/R
1,719,686
3,000
South
Central
Connecticut
Regional
Water
Authority,
Water
System
Revenue
Bonds,
Refunding
Thirty-third
Series
2017B-1,
5.000%,
8/01/41
8/28
at
100.00
AA-
3,209,730
2,915
South
Central
Connecticut
Regional
Water
Authority,
Water
System
Revenue
Bonds,
Thirty-Fourth
Series
2019C,
5.000%,
8/01/44
8/29
at
100.00
AA-
3,138,639
500
Stamford,
Connecticut,
Water
Pollution
Control
System
and
Facility
Revenue
Bonds,
Series
2013A,
5.250%,
8/15/43
8/23
at
100.00
AA+
506,435
750
Stamford,
Connecticut,
Water
Pollution
Control
System
and
Facility
Revenue
Bonds,
Series
2019,
4.000%,
4/01/44
4/29
at
100.00
AA+
747,840
Stamford,
Connecticut,
Water
Pollution
Control
System
and
Facility
Revenue
Bonds,
Series
2020A:
115
3.000%,
11/15/33
11/30
at
100.00
AA+
109,461
1,300
4.000%,
11/15/45
11/30
at
100.00
AA+
1,290,393
16,860
Total
Utilities
17,567,536
$
222,505
Total
Long-Term
Investments
(cost
$233,569,677)
218,566,591
Floating
Rate
Obligations
-
(0.7)%  
(
1,570,000
)
Other
Assets
Less
Liabilities
-
(0.2)%
(
379,527
)
Net
Assets
-
100%
$
216,617,064
49
Level
1
Level
2
Level
3
Total
Long-Term
Investments:
Municipal
Bonds
$
$
218,566,591
$
$
218,566,591
Total
$
$
218,566,591
$
$
218,566,591
(1)
All
percentages
shown
in
the
Portfolio
of
Investments
are
based
on
net
assets.
(2)
Optional
Call
Provisions:
Dates
(month
and
year)
and
prices
of
the
earliest
optional
call
or
redemption.
There
may
be
other
call
provisions
at
varying
prices
at
later
dates.
Certain
mortgage-backed
securities
may
be
subject
to
periodic
principal
paydowns.
(3)
For
financial
reporting
purposes,
the
ratings
disclosed
are
the
highest
of
Standard
&
Poor’s
Group
(“Standard
&
Poor’s”),
Moody’s
Investors
Service,
Inc.
(“Moody’s”)
or
Fitch,
Inc.
(“Fitch”)
rating.
This
treatment
of
split-rated
securities
may
differ
from
that
used
for
other
purposes,
such
as
for
Fund
investment
policies.
Ratings
below
BBB
by
Standard
&
Poor’s,
Baa
by
Moody’s
or
BBB
by
Fitch
are
considered
to
be
below
investment
grade.
Holdings
designated
N/R
are
not
rated
by
any
of
these
national
rating
agencies.
(4)
Investment,
or
portion
of
investment,
has
been
pledged
to
collateralize
the
net
payment
obligations
for
investments
in
inverse
floating
rate
transactions.
(5)
Backed
by
an
escrow
or
trust
containing
sufficient
U.S.
Government
or
U.S.
Government
agency
securities,
which
ensure
the
timely
payment
of
principal
and
interest.
144A
Investment
is
exempt
from
registration
under
Rule
144A
of
the
Securities
Act
of
1933,
as
amended.
These
investments
may
only
be
resold
in
transactions
exempt
from
registration,
which
are
normally
those
transactions
with
qualified
institutional
buyers.
AMT
Alternative
Minimum
Tax
UB
Underlying
bond
of
an
inverse
floating
rate
trust
reflected
as
a
financing
transaction.
50
Nuveen
Massachusetts
Municipal
Bond
Fund
Portfolio
of
Investments
November
30,
2022
(Unaudited)
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
LONG-TERM
INVESTMENTS
-
93.1%   
X
593,192,272
MUNICIPAL
BONDS
-
93.1%  
X
593,192,272
Education
and
Civic
Organizations
-
20.2%
$
1,315
Lowell,
Massachusetts,
Collegiate
Charter
School
Revenue
Bonds,
Series
2019,
5.000%,
6/15/39
6/26
at
100.00
N/R
$
1,291,751
650
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
Babson
College,
Refunding
Series
2022,
4.000%,
10/01/44
4/32
at
100.00
A+
605,774
1,000
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
Bentley
College
Issue,
Series
2021A,
4.000%,
7/01/40
7/31
at
100.00
A2
962,000
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
Berklee
College
of
Music,
Series
2016:
1,260
5.000%,
10/01/39
10/26
at
100.00
A
1,309,593
5,165
5.000%,
10/01/46
10/26
at
100.00
A
5,337,563
3,000
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
Boston
College,
Series
2013S,
5.000%,
7/01/32
7/23
at
100.00
AA-
3,035,520
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
Boston
College,
Series
2017T:
2,350
5.000%,
7/01/39
7/27
at
100.00
AA-
2,484,396
1,020
5.000%,
7/01/42
7/27
at
100.00
AA-
1,075,835
7,000
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
Boston
University,
Series
2013X,
5.000%,
10/01/48
10/23
at
100.00
AA-
7,075,040
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
Brandeis
University
Issue,
Series
2018R:
1,195
5.000%,
10/01/37
10/28
at
100.00
A+
1,274,922
840
5.000%,
10/01/38
10/28
at
100.00
A+
894,020
1,000
5.000%,
10/01/39
10/28
at
100.00
A+
1,062,580
3,000
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
Emerson
College,
Series
2015,
5.000%,
1/01/35
1/25
at
100.00
BBB+
3,047,790
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
Emerson
College,
Series
2016A:
1,510
5.250%,
1/01/42
1/27
at
100.00
BBB+
1,544,987
1,500
5.000%,
1/01/47
1/27
at
100.00
BBB+
1,512,690
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
Emerson
College,
Series
2017A:
1,600
5.000%,
1/01/37
1/28
at
100.00
BBB+
1,646,688
6,020
5.000%,
1/01/40
1/28
at
100.00
BBB+
6,146,781
2,000
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
Emerson
College,
Series
2018,
5.000%,
1/01/43
1/28
at
100.00
BBB+
2,031,000
2,500
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
Emmanuel
College,
Series
2016A,
5.000%,
10/01/43
10/26
at
100.00
Baa2
2,509,075
2,055
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
Lesley
University,
Series
2016,
5.000%,
7/01/36
7/26
at
100.00
BBB+
2,090,038
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
MCPHS
University
Issue,
Series
2015H:
550
3.500%,
7/01/35
7/25
at
100.00
AA
541,359
235
5.000%,
7/01/37
7/25
at
100.00
AA
245,197
700
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
Merrimack
College,
Series
2017,
5.000%,
7/01/37
7/26
at
100.00
BBB-
715,309
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
Northeastern
University,
Series
2014A:
1,125
5.000%,
3/01/39
3/24
at
100.00
A1
1,136,194
2,065
5.000%,
3/01/44
3/24
at
100.00
A1
2,086,538
1,000
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
Northeastern
University,
Series
2020A,
5.000%,
10/01/35
10/30
at
100.00
A1
1,110,970
1,000
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
Simmons
College,
Series
2013J,
5.250%,
10/01/39
10/23
at
100.00
BBB
1,008,720
1,680
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
Simmons
University
Issue,
Series
2020M,
5.000%,
10/01/39
10/30
at
100.00
BBB
1,730,064
2,750
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
Springfield
College,
Green
Series
2021B,
4.000%,
6/01/41
6/30
at
100.00
BBB
2,494,002
51
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Education
and
Civic
Organizations
(continued)
$
2,495
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
Sterling
and
Francine
Clark
Art
Institute,
Series
2015,
5.000%,
7/01/33
7/25
at
100.00
AA
$
2,622,669
2,415
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
Sterling
and
Francine
Clark
Art
Institute,
Series
2016,
4.000%,
7/01/41
1/27
at
100.00
AA
2,417,391
610
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
Suffolk
University,
Refunding
Series
2019,
5.000%,
7/01/37
7/29
at
100.00
Baa2
633,778
5,000
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
Suffolk
University,
Refunding
Series
2020A,
4.000%,
7/01/45
7/30
at
100.00
Baa2
4,420,750
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
Suffolk
University,
Series
2021:
570
4.000%,
7/01/46
7/31
at
100.00
Baa2
500,317
1,470
4.000%,
7/01/51
7/31
at
100.00
Baa2
1,255,674
1,500
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
The
Broad
Institute,
Series
2017,
5.000%,
4/01/36
10/27
at
100.00
AA-
1,611,915
875
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
Tufts
University,
Series
2015Q,
5.000%,
8/15/38
8/25
at
100.00
AA-
908,836
1,000
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
Wheaton
College,
Series
2017H,
5.000%,
1/01/37
1/28
at
100.00
Baa2
1,025,060
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
Williams
College,
Refunding
Series
2021T:
345
5.000%,
7/01/34
7/31
at
100.00
AA+
396,881
440
5.000%,
7/01/35
7/31
at
100.00
AA+
503,026
360
5.000%,
7/01/36
7/31
at
100.00
AA+
409,784
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
Woods
Hole
Oceanographic
Institution,
Series
2018:
1,000
5.000%,
6/01/37
6/28
at
100.00
AA-
1,080,510
1,000
5.000%,
6/01/38
6/28
at
100.00
AA-
1,078,030
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
Worcester
Polytechnic
Institute,
Series
2017B:
5,000
5.000%,
9/01/42
9/27
at
100.00
A
5,166,000
7,000
5.000%,
9/01/45
9/27
at
100.00
A
7,201,950
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
Worcester
Polytechnic
Institute,
Series
2019:
745
5.000%,
9/01/33
9/29
at
100.00
A
801,054
1,000
4.000%,
9/01/44
9/29
at
100.00
A
929,490
3,500
5.000%,
9/01/49
9/29
at
100.00
A
3,598,490
Massachusetts
Development
Finance
Authority,
Revenue
Bonds,
Suffolk
University,
Refunding
Series
2017:
700
5.000%,
7/01/35
7/27
at
100.00
Baa2
723,184
500
5.000%,
7/01/36
7/27
at
100.00
Baa2
515,485
2,345
Massachusetts
Development
Finance
Authority,
Revenue
Bonds,
WGBH
Educational
Foundation,
Refunding
Series
2016,
5.000%,
1/01/36
7/26
at
100.00
AA-
2,487,365
2,100
Massachusetts
Development
Finance
Authority,
Revenue
Bonds,
WGBH
Educational
Foundation,
Series
2002A,
5.750%,
1/01/42
-
AMBAC
Insured
No
Opt.
Call
AAA
2,610,132
1,655
Massachusetts
Educational
Financing
Authority,
Education
Loan
Revenue
Bonds,
Issue
J,
Series
2016,
5.000%,
7/01/24,
(AMT)
No
Opt.
Call
AA
1,699,702
Massachusetts
Educational
Financing
Authority,
Education
Loan
Revenue
Bonds,
Issue
K,
Series
2017A:
1,480
5.000%,
7/01/24,
(AMT)
No
Opt.
Call
AA
1,517,666
2,800
5.000%,
7/01/26,
(AMT)
No
Opt.
Call
AA
2,944,788
Massachusetts
Educational
Financing
Authority,
Education
Loan
Revenue
Bonds,
Issue
L,
Senior
Series
2020B:
850
5.000%,
7/01/29,
(AMT)
No
Opt.
Call
AA
921,417
1,000
5.000%,
7/01/30,
(AMT)
No
Opt.
Call
AA
1,092,310
1,000
Massachusetts
Educational
Financing
Authority,
Student
Loan
Revenue
Bonds,
Issue
I
Series
2014,
5.000%,
1/01/27,
(AMT)
1/25
at
100.00
AA
1,026,360
2,500
University
of
Massachusetts
Building
Authority,
Project
Revenue
Bonds,
Senior
Series
2015-1,
5.000%,
11/01/40
11/25
at
100.00
Aa2
2,615,625
10,605
University
of
Massachusetts
Building
Authority,
Project
Revenue
Bonds,
Senior
Series
2022-1,
5.000%,
11/01/52
5/30
at
100.00
Aa2
11,268,343
Nuveen
Massachusetts
Municipal
Bond
Fund
(continued)
Portfolio
of
Investments
November
30,
2022
(Unaudited)
52
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Education
and
Civic
Organizations
(continued)
University
of
Massachusetts
Building
Authority,
Revenue
Bonds,
Refunding
Senior
Series
2019-1:
$
1,000
5.000%,
5/01/38
5/29
at
100.00
Aa2
$
1,086,050
2,000
5.000%,
5/01/39
5/29
at
100.00
Aa2
2,164,680
1,400
University
of
Massachusetts
Building
Authority,
Revenue
Bonds,
Refunding
Senior
Series
2021-1,
5.000%,
11/01/29
No
Opt.
Call
Aa2
1,593,242
125,345
Total
Education
and
Civic
Organizations
128,834,350
Health
Care
-
17.2%
2,160
Massachusetts
Development
Finance
Agency
Revenue
Bonds,
South
Shore
Hospital,
Series
2016I,
5.000%,
7/01/41
7/26
at
100.00
BBB
2,185,812
5,700
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
Baystate
Medical
Center
Issue,
Series
2014N,
5.000%,
7/01/44
7/24
at
100.00
A+
5,733,288
1,455
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
Berkshire
Health
Systems
Issue,
Refunding
Series
2021-I,
5.000%,
10/01/29
No
Opt.
Call
AA-
1,604,210
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
Beth
Israel
Lahey
Health
Issue,
Series
2019K:
1,250
5.000%,
7/01/36
7/29
at
100.00
A
1,331,475
2,650
5.000%,
7/01/37
7/29
at
100.00
A
2,809,345
1,400
5.000%,
7/01/38
7/29
at
100.00
A
1,477,728
275
5.000%,
7/01/39
7/29
at
100.00
A
288,450
250
5.000%,
7/01/41
7/29
at
100.00
A
258,155
7,800
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
Boston
Medical
Center
Issue,
Green
Bonds,
Series
2015D,
5.000%,
7/01/44
7/25
at
100.00
BBB
7,842,744
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
Boston
Medical
Center
Issue,
Series
2016E:
2,000
5.000%,
7/01/32
7/26
at
100.00
BBB
2,056,720
1,825
5.000%,
7/01/36
7/26
at
100.00
BBB
1,852,503
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
CareGroup
Issue,
Refunding
Series
2016-I:
1,675
5.000%,
7/01/30
7/26
at
100.00
A
1,764,160
1,500
5.000%,
7/01/37
7/26
at
100.00
A
1,555,980
1,935
5.000%,
7/01/38
7/26
at
100.00
A
2,004,080
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
CareGroup
Issue,
Series
2015H-1:
900
5.000%,
7/01/30
7/25
at
100.00
A
937,134
1,000
5.000%,
7/01/32
7/25
at
100.00
A
1,038,460
500
5.000%,
7/01/33
7/25
at
100.00
A
518,265
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
CareGroup
Issue,
Series
2018J-2:
5,000
5.000%,
7/01/43
7/28
at
100.00
A
5,121,250
4,100
5.000%,
7/01/48
7/28
at
100.00
A
4,172,488
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
Dana-Farber
Cancer
Institute
Issue,
Series
2016N:
1,925
5.000%,
12/01/41
12/26
at
100.00
A1
1,970,257
6,100
5.000%,
12/01/46
12/26
at
100.00
A1
6,177,470
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
Lahey
Health
System
Obligated
Group
Issue,
Series
2015F:
2,645
5.000%,
8/15/35
8/25
at
100.00
A
2,730,063
5,325
5.000%,
8/15/45
8/25
at
100.00
A
5,383,628
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
Mass
General
Brigham,
Sereis
2020A-2:
3,000
5.000%,
7/01/37
1/30
at
100.00
AA-
3,196,110
3,535
4.000%,
7/01/40
1/30
at
100.00
AA-
3,495,160
1,490
4.000%,
7/01/41
1/30
at
100.00
AA-
1,456,937
1,545
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
Milford
Regional
Medical
Center
Issue,
Series
2014F,
5.750%,
7/15/43
7/23
at
100.00
BB
1,557,870
53
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Health
Care
(continued)
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
Milford
Regional
Medical
Center
Issue,
Series
2020G:
$
100
5.000%,
7/15/30,
144A
No
Opt.
Call
BB
$
106,998
100
5.000%,
7/15/37,
144A
7/30
at
100.00
BB
100,040
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
Partners
HealthCare
System
Issue,
Series
2016Q:
1,250
4.000%,
7/01/41
7/26
at
100.00
AA-
1,222,263
2,250
5.000%,
7/01/41
7/26
at
100.00
AA-
2,301,457
4,710
5.000%,
7/01/47
7/26
at
100.00
AA-
4,790,258
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
Partners
HealthCare
System
Issue,
Series
2017S-1:
2,200
5.000%,
7/01/37
1/28
at
100.00
AA-
2,329,954
6,330
4.000%,
7/01/41
1/28
at
100.00
AA-
6,189,537
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
Southcoast
Health
System
Obligated
Group
Issue,
Series
2013F:
1,750
5.000%,
7/01/27
7/23
at
100.00
BBB+
1,764,210
1,000
5.000%,
7/01/37
7/23
at
100.00
BBB+
1,003,860
365
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
Southcoast
Health
System
Obligated
Group
Issue,
Series
2021G,
4.000%,
7/01/46
7/31
at
100.00
A-
324,649
3,800
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
The
Lowell
General
Hospital,
Series
2013G,
5.000%,
7/01/44
7/23
at
100.00
BBB+
3,808,436
890
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
UMass
Memorial
Health
Care
Obligated
Group
Issue,
Series
2017K,
5.000%,
7/01/38
1/27
at
100.00
A-
906,376
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
UMass
Memorial
Health
Care
Obligated
Group
Issue,
Series
2017L:
400
3.625%,
7/01/37
7/27
at
100.00
A-
348,832
6,855
5.000%,
7/01/44
7/27
at
100.00
A-
6,930,131
555
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
UMass
Memorial
Health
Care,
Series
2016I,
5.000%,
7/01/36
7/26
at
100.00
A-
569,819
500
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
Wellforce
Issue,
Series
2019A,
5.000%,
7/01/44
1/29
at
100.00
BBB+
500,760
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
Wellforce
Issue,
Series
2020C:
3,355
3.000%,
10/01/45
-
AGM
Insured
10/30
at
100.00
AA
2,510,245
3,400
4.000%,
10/01/45
-
AGM
Insured
10/30
at
100.00
AA
3,108,586
108,750
Total
Health
Care
109,336,153
Housing/Multifamily
-
2.2%
5,000
Massachusetts
Development
Finance
Agency,
Multifamily
Housing
Revenue
Bonds,
Salem
Heights
II
Preservation
Associates
LP,
Social
Series
2021A,
2.300%,
1/01/42
No
Opt.
Call
AA+
3,742,450
2,195
Massachusetts
Housing
Finance
Agency,
Housing
Bonds,
Series
2019B-1,
3.100%,
12/01/44
12/28
at
100.00
AA+
1,771,343
2,000
Massachusetts
Housing
Finance
Agency,
Housing
Bonds,
Series
2020A-1,
3.000%,
12/01/45
12/28
at
100.00
AA+
1,525,220
1,800
Massachusetts
Housing
Finance
Agency,
Housing
Bonds,
Sustainability
Green
Series
2020C-1,
2.450%,
12/01/45
12/29
at
100.00
AA+
1,264,518
Massachusetts
Housing
Finance
Agency,
Housing
Bonds,
Sustainability
Green
Series
2020D-1:
1,500
2.200%,
12/01/40
6/30
at
100.00
AA+
1,091,100
1,100
2.375%,
12/01/45
6/30
at
100.00
AA+
761,068
Massachusetts
Housing
Finance
Agency,
Housing
Bonds,
Sustainability
Green
Series
2021A-1:
500
2.000%,
12/01/36
6/30
at
100.00
AA+
380,435
410
2.375%,
12/01/46
6/30
at
100.00
AA+
272,437
325
2.450%,
12/01/51
6/30
at
100.00
AA+
205,744
2,685
Massachusetts
Housing
Finance
Agency,
Housing
Bonds,
Sustainability
Green
Series
2022C-1,
5.000%,
12/01/47
6/32
at
100.00
AA+
2,798,710
17,515
Total
Housing/Multifamily
13,813,025
Nuveen
Massachusetts
Municipal
Bond
Fund
(continued)
Portfolio
of
Investments
November
30,
2022
(Unaudited)
54
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Housing/Single
Family
-
0.8%
$
1,500
Massachusetts
Housing
Finance
Agency,
Single
Family
Housing
Revenue
Bonds,
Series
2020-218,
2.400%,
6/01/44
12/29
at
100.00
AA+
$
1,062,315
1,500
Massachusetts
Housing
Finance
Agency,
Single
Family
Housing
Revenue
Bonds,
Social
Series
2021-221,
2.300%,
6/01/44
6/30
at
100.00
AA+
1,041,855
Massachusetts
Housing
Finance
Agency,
Single
Family
Housing
Revenue
Bonds,
Social
Series
2021-223:
1,200
1.950%,
6/01/32
12/30
at
100.00
AA+
1,005,888
750
2.000%,
12/01/32
12/30
at
100.00
AA+
625,463
1,380
2.050%,
6/01/33
12/30
at
100.00
AA+
1,143,785
500
2.100%,
12/01/33
12/30
at
100.00
AA+
411,990
6,830
Total
Housing/Single
Family
5,291,296
Long-Term
Care
-
0.9%
Massachusetts
Development
Finance
Agency
Revenue
Refunding
Bonds,
NewBridge
on
the
Charles,
Inc.
Issue,
Series
2017:
1,910
4.125%,
10/01/42,
144A
12/22
at
105.00
BB+
1,811,769
275
5.000%,
10/01/47,
144A
12/22
at
105.00
BB+
280,175
560
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
Berkshire
Retirement
Community
Lennox,
Series
2015,
5.000%,
7/01/31
7/25
at
100.00
A+
573,479
525
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
Carleton-
Willard
Village,
Series
2019,
5.000%,
12/01/42
12/25
at
103.00
A-
536,466
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
Loomis
Communities,
Series
2013A:
240
5.250%,
1/01/26
1/23
at
100.00
BBB
240,533
790
5.750%,
1/01/28
1/23
at
100.00
BBB
792,070
550
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
Loomis
Communities,
Series
2021,
4.000%,
1/01/51
1/27
at
103.00
BBB
446,814
400
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
Orchard
Cove,
Inc.,
Refunding
Series
2019,
5.000%,
10/01/39
10/24
at
104.00
BBB
403,392
1,020
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
Salem
Community
Corporation,
Refunding
Series
2022,
5.125%,
1/01/40
1/32
at
100.00
N/R
936,615
6,270
Total
Long-Term
Care
6,021,313
Tax
Obligation/General
-
16.3%
825
Andover,
Massachusetts,
General
Obligation
Bonds,
Municipal
Purpose
Loan
Series
2022,
4.000%,
7/15/42
7/31
at
100.00
AAA
838,868
Central
Berkshire
Regional
School
District,
Dalton,
Massachusetts,
General
Obligation
Bonds,
State
Qualified
Series
2019:
1,400
3.000%,
6/01/38
6/28
at
100.00
AA
1,216,152
1,440
3.000%,
6/01/39
6/28
at
100.00
AA
1,224,634
1,490
3.000%,
6/01/40
6/28
at
100.00
AA
1,250,348
10,000
Dennis-Yarmouth
Regional
School
District,
Barnstable
County,
Massachusetts,
General
Obligation
Bond,  Anticipation
Note
Series
2022,
4.500%,
11/14/23
No
Opt.
Call
N/R
10,181,000
Fall
River,
Massachusetts,
General
Obligation
Bonds,
State
Qualified
Municipal
Purpose
Loan
Series
2021:
1,655
4.000%,
12/01/32
12/29
at
100.00
Aa2
1,728,449
1,610
4.000%,
12/01/33
12/29
at
100.00
Aa2
1,672,242
1,615
Higham,
Massachusetts,
General
Obligation
Bonds,
Water
Series
2020,
3.000%,
2/15/38
8/28
at
100.00
AAA
1,436,591
1,740
Hudson,
Massachusetts,
General
Obligation
Bonds,
Municipal
Purpose
Loan
Series
2011,
5.000%,
2/15/32
1/23
at
100.00
AA
1,742,975
2,000
Massachusetts
Development
Finance
Agency,
Special
Obligation
Bonds,
Commonwealth
Contract  Assistance,
Series
2015A,
4.000%,
5/01/45
5/25
at
100.00
Aa1
2,000,860
3,000
Massachusetts
State,
General
Obligation
Bonds,
Consolidated
Loan,
Series
2015C,
5.000%,
7/01/45
7/25
at
100.00
Aa1
3,091,350
1,190
Massachusetts
State,
General
Obligation
Bonds,
Consolidated
Loan,
Series
2016A,
5.000%,
3/01/46
3/24
at
100.00
Aa1
1,207,481
3,000
Massachusetts
State,
General
Obligation
Bonds,
Consolidated
Loan,
Series
2017A,
5.000%,
4/01/42
4/27
at
100.00
Aa1
3,163,260
55
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Tax
Obligation/General
(continued)
$
5,000
Massachusetts
State,
General
Obligation
Bonds,
Consolidated
Loan,
Series
2017F,
5.000%,
11/01/46
11/27
at
100.00
Aa1
$
5,271,500
Massachusetts
State,
General
Obligation
Bonds,
Consolidated
Loan,
Series
2018A:
3,750
5.000%,
1/01/42
1/28
at
100.00
Aa1
3,991,800
2,490
5.000%,
1/01/45
1/28
at
100.00
Aa1
2,638,628
950
5.000%,
1/01/46
1/28
at
100.00
Aa1
1,005,433
11,110
Massachusetts
State,
General
Obligation
Bonds,
Consolidated
Loan,
Series
2019A,
5.000%,
1/01/49
1/29
at
100.00
Aa1
11,789,932
10,000
Massachusetts
State,
General
Obligation
Bonds,
Consolidated
Loan,
Series
2019C,
5.000%,
5/01/42
5/29
at
100.00
Aa1
10,825,300
7,000
Massachusetts
State,
General
Obligation
Bonds,
Consolidated
Loan,
Series
2022C,
5.250%,
10/01/47
10/32
at
100.00
Aa1
7,832,930
1,250
Massachusetts
State,
General
Obligation
Bonds,
Refunding
Series
2020D,
4.000%,
11/01/40
11/30
at
100.00
Aa1
1,258,388
1,000
North
Reading,
Massachusetts,
General
Obligation
Bonds,
Municipal
Purpose
Loan
Series
2012,
5.000%,
5/15/35
1/23
at
100.00
Aa2
1,001,550
5,000
Northeast
Metropolitan
Regional
Vocational
Technical
School
District,
Massachusetts,
General
Obligation
Bonds,
School
Series
2022,
4.000%,
4/15/47
4/31
at
100.00
AA
4,849,450
2,010
Pentucket
Regional
School
District,
Massachusetts,
General
Obligation
Bonds,
Series
2019,
3.000%,
9/01/43
9/27
at
100.00
Aa2
1,644,823
3,000
Puerto
Rico,
General
Obligation
Bonds,
Restructured
Series
2022A-1,
4.000%,
7/01/46
7/31
at
103.00
N/R
2,317,020
7,555
Revere,
Massachusetts,
General
Obligation
Bonds,
State
Qualified
Municipal
Purpose
Loan
Series
2022,
4.000%,
8/01/47
,(WI/DD,
Settling
12/08/22)
8/31
at
100.00
AA
7,474,841
3,215
Scituate,
Massachusetts,
General
Obligation
Bonds,
Municipal
Purpose
Loan
Series
2015,
4.000%,
9/15/33
9/24
at
100.00
AA+
3,259,721
2,170
Tisbury,
Massachusetts,
General
Obligation
Bonds,
Municipal
Purpose
Loan
Series
2022,
4.000%,
8/15/42
8/30
at
100.00
AA+
2,190,073
2,615
Waltham,
Massachusetts,
General
Obligation
Bonds,
School
Series
2020,
3.000%,
10/15/33
10/29
at
100.00
AA+
2,506,608
3,440
Webster,
Massachusetts,
General
Obligation
Bonds,
Municipal
Purpose
Loan
Series
2022,
4.000%,
12/01/42
,(WI/DD,
Settling
12/20/22)
No
Opt.
Call
0
3,426,242
102,520
Total
Tax
Obligation/General
104,038,449
Tax
Obligation/Limited
-
18.7%
Government
of
Guam,
Business
Privilege
Tax
Bonds,
Refunding
Series
2015D:
1,355
5.000%,
11/15/27
11/25
at
100.00
BB
1,390,772
1,000
5.000%,
11/15/39
11/25
at
100.00
BB
1,004,530
Guam
Government,
Limited
Obligation
Section
30
Revenue
Bonds,
Series
2016A:
1,160
5.000%,
12/01/31
12/26
at
100.00
BB
1,191,413
2,000
5.000%,
12/01/46
12/26
at
100.00
BB
1,986,740
1,010
Martha's
Vineyard
Land
Bank,
Massachusetts,
Revenue
Bonds,
Refunding
Green
Series
2014,
5.000%,
5/01/33
-
BAM
Insured
11/24
at
100.00
AA
1,048,915
500
Martha's
Vineyard
Land
Bank,
Massachusetts,
Revenue
Bonds,
Refunding
Green
Series
2017,
5.000%,
5/01/36
-
BAM
Insured
5/27
at
100.00
AA
534,440
2,500
Massachusetts
Bay
Transportation
Authority,
Sales
Tax
Revenue
Bonds,
Senior
Lien
Series
2015A,
5.000%,
7/01/45
7/25
at
100.00
AA
2,582,350
2,050
Massachusetts
Bay
Transportation
Authority,
Sales
Tax
Revenue
Bonds,
Subordinated
Series
2017A-2,
5.000%,
7/01/44
7/27
at
100.00
AA
2,165,702
10,000
Massachusetts
Bay
Transportation
Authority,
Sales
Tax
Revenue
Bonds,
Subordinated
Series
2020B-1,
5.000%,
7/01/45
7/28
at
100.00
AA
10,660,300
Massachusetts
Bay
Transportation
Authority,
Sales
Tax
Revenue
Bonds,
Subordinated
Series
2021A-1:
4,330
4.000%,
7/01/39
7/31
at
100.00
AA
4,379,319
1,000
4.000%,
7/01/51
7/31
at
100.00
AA
958,910
5,570
Massachusetts
Bay
Transportation
Authority,
Sales
Tax
Revenue
Bonds,
Subordinated
Sustainability
Series
2017A-1,
5.000%,
7/01/41
7/27
at
100.00
AA
5,907,876
Nuveen
Massachusetts
Municipal
Bond
Fund
(continued)
Portfolio
of
Investments
November
30,
2022
(Unaudited)
56
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Tax
Obligation/Limited
(continued)
$
1,125
Massachusetts
College
Building
Authority,
Project
Revenue
Bonds,
Refunding
Series
2003B,
5.375%,
5/01/23
-
SYNCORA
GTY
Insured
No
Opt.
Call
AA
$
1,138,646
500
Massachusetts
College
Building
Authority,
Project
Revenue
Bonds,
Refunding
Series
2022A,
4.000%,
5/01/42
5/32
at
100.00
Aa2
489,455
1,310
Massachusetts
College
Building
Authority,
Revenue
Bonds,
Refunding
Series
2011A,
5.000%,
5/01/24
No
Opt.
Call
Aa2
1,353,073
1,650
Massachusetts
School
Building
Authority,
Dedicated
Sales
Tax
Revenue
Bonds,
Refunding
Senior
Series
2015C,
5.000%,
8/15/37
8/25
at
100.00
AAA
1,727,864
Massachusetts
School
Building
Authority,
Dedicated
Sales
Tax
Revenue
Bonds,
Senior
Social
Series
2020A:
5,000
4.000%,
8/15/45
8/30
at
100.00
AAA
4,970,500
3,020
5.000%,
8/15/50
8/30
at
100.00
AAA
3,260,966
7,000
Massachusetts
School
Building
Authority,
Dedicated
Sales
Tax
Revenue
Bonds,
Subordinated
Series
2018A,
5.250%,
2/15/48
2/28
at
100.00
AA+
7,465,780
9,960
Massachusetts
School
Building
Authority,
Dedicated
Sales
Tax
Revenue
Bonds,
Subordinated
Series
2019A,
5.000%,
2/15/44
2/29
at
100.00
AA+
10,631,404
2,800
Massachusetts
State,
Transportation
Fund
Revenue
Bonds,
Rail
Enhancement
&
Accelerated
Bridge
Program,
Series
2016A,
5.000%,
6/01/41
6/26
at
100.00
AA+
2,925,608
3,180
Massachusetts
State,
Transportation
Fund
Revenue
Bonds,
Rail
Enhancement
&
Accelerated
Bridge
Programs,
Series
2017A,
5.000%,
6/01/47
6/27
at
100.00
AA+
3,347,363
5,540
Massachusetts
State,
Transportation
Fund
Revenue
Bonds,
Rail
Enhancement
&
Accelerated
Bridge
Programs,
Series
2019A,
5.000%,
6/01/49
6/29
at
100.00
AA+
5,925,972
3,500
Massachusetts
State,
Transportation
Fund
Revenue
Bonds,
Rail
Enhancement
Program,
Series
2015A,
5.000%,
6/01/45
6/25
at
100.00
AA+
3,610,985
10,000
Massachusetts
State,
Transportation
Fund
Revenue
Bonds,
Rail
Enhancement
Program,
Sustainability  Green
Series
2022A,
5.000%,
6/01/50
6/31
at
100.00
AA+
10,868,400
4,805
Massachusetts
State,
Transportation
Fund
Revenue
Bonds,
Refunding
Series
2017A,
5.000%,
6/01/43
12/27
at
100.00
AA+
5,091,426
Massachusetts
State,
Transportation
Fund
Revenue
Bonds,
Refunding
Series
2021A:
1,665
5.000%,
6/01/42
6/31
at
100.00
AA+
1,840,857
5,000
5.000%,
6/01/43
6/31
at
100.00
AA+
5,515,100
1,510
Matching
Fund
Special
Purpose
Securitization
Corporation,
Virgin
Islands,
Revenue
Bonds,
Series
2022A,
5.000%,
10/01/39
10/32
at
100.00
N/R
1,522,714
Puerto
Rico
Sales
Tax
Financing
Corporation,
Sales
Tax
Revenue
Bonds,
Restructured
2018A-1:
3,177
4.550%,
7/01/40
7/28
at
100.00
N/R
2,958,835
4,510
0.000%,
7/01/46
7/28
at
41.38
N/R
1,136,610
4,300
4.750%,
7/01/53
7/28
at
100.00
N/R
3,928,910
5,708
5.000%,
7/01/58
7/28
at
100.00
N/R
5,415,808
117,735
Total
Tax
Obligation/Limited
118,937,543
Transportation
-
5.7%
1,250
Massachusetts
Department
of
Transportation,
Metropolitan
Highway
System
Revenue
Bonds,
Refunding
Senior
Lien
Series
2019A,
5.000%,
1/01/37
1/29
at
100.00
A+
1,360,225
1,500
Massachusetts
Port
Authority,
Revenue
Bonds,
Refunding
Series
2017A,
5.000%,
7/01/42,
(AMT)
7/27
at
100.00
AA
1,545,105
1,250
Massachusetts
Port
Authority,
Revenue
Bonds,
Refunding
Series
2021A,
5.000%,
7/01/39
7/31
at
100.00
AA
1,398,463
Massachusetts
Port
Authority,
Revenue
Bonds,
Refunding
Series
2021B:
1,200
5.000%,
7/01/40,
(AMT)
7/31
at
100.00
AA
1,270,272
5,750
5.000%,
7/01/44,
(AMT)
7/24
at
100.00
AA
5,807,155
1,780
Massachusetts
Port
Authority,
Revenue
Bonds,
Series
2014A,
5.000%,
7/01/34
7/24
at
100.00
AA
1,835,376
Massachusetts
Port
Authority,
Revenue
Bonds,
Series
2015A:
1,425
5.000%,
7/01/40
7/25
at
100.00
AA
1,482,256
2,000
5.000%,
7/01/45
7/25
at
100.00
AA
2,063,380
57
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Transportation
(continued)
$
1,750
Massachusetts
Port
Authority,
Revenue
Bonds,
Series
2015B,
5.000%,
7/01/45,
(AMT)
7/25
at
100.00
AA
$
1,776,582
10,000
Massachusetts
Port
Authority,
Revenue
Bonds,
Series
2019C,
5.000%,
7/01/49,
(AMT)
7/29
at
100.00
AA
10,292,900
2,500
Massachusetts
Port
Authority,
Revenue
Bonds,
Series
2021E,
5.000%,
7/01/46,
(AMT)
7/31
at
100.00
AA
2,606,525
4,675
Massachusetts
Port
Authority,
Special
Facilities
Revenue
Bonds,
BOSFUEL
Corporation,
Series
2019A,
5.000%,
7/01/49,
(AMT)
7/29
at
100.00
A1
4,745,359
35,080
Total
Transportation
36,183,598
U.S.
Guaranteed
-
4.6%
(4)
1,045
Boston,
Massachusetts,
General
Obligation
Bonds,
Series
2013A,
4.000%,
3/01/25,
(Pre-refunded
3/01/23)
3/23
at
100.00
AAA
1,048,971
1,890
Massachusetts
College
Building
Authority,
Project
Revenue
Bonds,
Green
Series
2014B,
5.000%,
5/01/44,
(Pre-refunded
5/01/24)
5/24
at
100.00
Aa2
1,953,731
5,915
Massachusetts
Development
Finance
Agency
Revenue
Bonds,
Childrens
Hospital
Issue,
Series
2014P,
5.000%,
10/01/46,
(Pre-refunded
10/01/24)
10/24
at
100.00
AA
6,169,996
2,340
Massachusetts
Development
Finance
Agency,
Hospital
Revenue
Bonds,
Cape
Cod
Healthcare
Obligated
Group,
Series
2013,
5.250%,
11/15/41,
(Pre-refunded
11/15/23)
11/23
at
100.00
N/R
2,398,360
6,000
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
Atrius
Health
Issue,
Series
2019A,
5.000%,
6/01/39,
(Pre-refunded
6/01/29)
6/29
at
100.00
N/R
6,803,940
665
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
North
Hill
Communities
Issue,
Series
2013A,
6.250%,
11/15/28,
(Pre-refunded
11/15/23),
144A
11/23
at
100.00
N/R
686,087
2,500
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
Partners
HealthCare
System,
Series
2014M-4,
5.000%,
7/01/44,
(Pre-refunded
7/01/23)
7/23
at
100.00
AA-
2,536,275
1,550
Massachusetts
Development
Finance
Agency,
Revenue
Bonds,
Phillips
Academy
,
Series
2014A,
5.000%,
9/01/43,
(Pre-refunded
9/01/23)
9/23
at
100.00
Aaa
1,578,411
Massachusetts
School
Building
Authority,
Dedicated
Sales
Tax
Revenue
Bonds,
Senior
Series
2013A:
1,650
5.000%,
5/15/38,
(Pre-refunded
5/15/23)
5/23
at
100.00
N/R
1,668,546
1,475
5.000%,
5/15/38,
(Pre-refunded
5/15/23)
5/23
at
100.00
AAA
1,491,918
1,820
Massachusetts
Water
Resources
Authority,
General
Revenue
Bonds,
Green
Series
2016C,
5.000%,
8/01/40,
(Pre-refunded
8/01/26)
8/26
at
100.00
AA+
1,969,404
1,000
Massachusetts
Water
Resources
Authority,
General
Revenue
Bonds,
Series
2016B,
5.000%,
8/01/40,
(Pre-refunded
8/01/26)
8/26
at
100.00
AA+
1,082,090
27,850
Total
U.S.
Guaranteed
29,387,729
Utilities
-
6.5%
4,000
Boston
Water
and
Sewer
Commission,
Massachusetts,
General
Revenue
Bonds,
Senior
Series
2018A,
4.000%,
11/01/40
5/26
at
100.00
AAA
4,032,880
2,805
Guam
Government
Waterworks
Authority,
Water
and
Wastewater
System
Revenue
Bonds,
Refunding
Series
2017,
5.000%,
7/01/40
7/27
at
100.00
A-
2,849,571
920
Guam
Government
Waterworks
Authority,
Water
and
Wastewater
System
Revenue
Bonds,
Series
2016,
5.000%,
1/01/46
7/26
at
100.00
A-
924,508
2,500
Guam
Government
Waterworks
Authority,
Water
and
Wastewater
System
Revenue
Bonds,
Series
2020A,
5.000%,
1/01/50
7/30
at
100.00
A-
2,511,675
2,700
Massachusetts
Clean
Water
Trust,
State
Revolving
Fund
Bonds,
Green
18
Series
2015,
5.000%,
2/01/45
2/24
at
100.00
AAA
2,747,223
1,650
Massachusetts
Clean
Water
Trust,
State
Revolving
Fund
Bonds,
Green
23B
Series
2021,
5.000%,
2/01/41
2/31
at
100.00
AAA
1,846,400
Massachusetts
Municipal
Wholesale
Electric
Company,
MMWEC,
Revenue
Bonds,
Project
2015A,
Series
2021A:
1,000
4.000%,
7/01/39
1/32
at
100.00
AA-
977,130
1,310
4.000%,
7/01/40
1/32
at
100.00
AA-
1,269,652
1,400
4.000%,
7/01/41
1/32
at
100.00
AA-
1,344,406
4,750
4.000%,
7/01/51
1/32
at
100.00
AA-
4,305,685
Massachusetts
Water
Resources
Authority,
General
Revenue
Bonds,
Series
2017B:
1,000
5.000%,
8/01/39
8/27
at
100.00
AA+
1,068,750
1,870
5.000%,
8/01/42
8/27
at
100.00
AA+
1,985,566
Nuveen
Massachusetts
Municipal
Bond
Fund
(continued)
Portfolio
of
Investments
November
30,
2022
(Unaudited)
58
Part
F
of
Form
N-PORT
was
prepared
in
accordance
with
U.S.
generally
accepted
accounting
principles
(“U.S.
GAAP”)
and
in
conformity
with
the
applicable
rules
and
regulations
of
the
U.S.
Securities
and
Exchange
Commission
(“SEC”)
related
to
interim
filings.
Part
F
of
Form
N-PORT
does
not
include
all
information
and
footnotes
required
by
U.S.
GAAP
for
complete
financial
statements.
Certain
footnote
disclosures
normally
included
in
financial
statements
prepared
in
accordance
with
U.S.
GAAP
have
been
condensed
or
omitted
from
this
report
pursuant
to
the
rules
of
the
SEC.
For
a
full
set
of
the
Fund’s
notes
to
financial
statements,
please
refer
to
the
Fund’s
most
recently
filed
annual
or
semi-annual
report.
Fair
Value
Measurements
The
Fund’s
investments
in
securities
are
recorded
at
their
estimated
fair
value
utilizing
valuation
methods
approved
by
the
Board
of
Directors/
Trustees.
Fair
value
is
defined
as
the
price
that
would
be
received
upon
selling
an
investment
or
transferring
a
liability
in
an
orderly
transaction
to
an
independent
buyer
in
the
principal
or
most
advantageous
market
for
the
investment.
U.S.
GAAP
establishes
the
three-tier
hierarchy
which
is
used
to
maximize
the
use
of
observable
market
data
and
minimize
the
use
of
unobservable
inputs
and
to
establish
classification
of
fair
value
measurements
for
disclosure
purposes.
Observable
inputs
reflect
the
assumptions
market
participants
would
use
in
pricing
the
asset
or
liability.
Observable
inputs
are
based
on
market
data
obtained
from
sources
independent
of
the
reporting
entity.
Unobservable
inputs
reflect
management’s
assumptions
about
the
assumptions
market
participants
would
use
in
pricing
the
asset
or
liability.
Unobservable
inputs
are
based
on
the
best
information
available
in
the
circumstances.
The
following
is
a
summary
of
the
three-tiered
hierarchy
of
valuation
input
levels.
Level
1
Inputs
are
unadjusted
and
prices
are
determined
using
quoted
prices
in
active
markets
for
identical
securities.
Level
2
Prices
are
determined
using
other
significant
observable
inputs
(including
quoted
prices
for
similar
securities,
interest
rates,
credit
spreads,
etc.).
Level
3
Prices
are
determined
using
significant
unobservable
inputs
(including
management’s
assumptions
in
determining
the
fair
value
of
investments).
The
following
table
summarizes
the
market
value
of
the
Fund's
investments
as
of
the
end
of
the
reporting
period,
based
on
the
inputs
used
to
value
them:
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Utilities
(continued)
$
5,330
Massachusetts
Water
Resources
Authority,
General
Revenue
Bonds,
Series
2020B,
5.000%,
8/01/45
8/30
at
100.00
AA+
$
5,807,142
4,945
Puerto
Rico
Aqueduct
and
Sewerage
Authority,
Revenue
Bonds,
Refunding
Senior
Lien
Series
2020A,
5.000%,
7/01/30,
144A
No
Opt.
Call
N/R
5,000,730
3,000
Puerto
Rico
Aqueduct
and
Sewerage
Authority,
Revenue
Bonds,
Refunding
Senior
Lien
Series
2021B,
5.000%,
7/01/37,
144A
7/31
at
100.00
N/R
2,955,930
1,010
Springfield
Water
and
Sewer
Commission,
Massachusetts,
General
Revenue
Bonds,
Series
2017C,
5.000%,
4/15/33
4/27
at
100.00
AA
1,092,487
625
Springfield
Water
and
Sewer
Commission,
Massachusetts,
General
Revenue
Bonds,
Series
2019E,
4.000%,
4/15/39
4/29
at
100.00
AA
629,081
40,815
Total
Utilities
41,348,816
Total
Long-Term
Investments
(cost
$621,504,216)
593,192,272
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
SHORT-TERM
INVESTMENTS
-
 0.9%  
X
6,000,000
MUNICIPAL
BONDS
-
0.9%  
X
6,000,000
Health
Care
-
0.9%
$
6,000
Massachusetts
Health
and
Educational
Facilities
Authority,
Revenue
Bonds,
Partners
HealthCare
System
Inc.,
Variable
Rate
Demand
Obligations,
Series
1997P,
1.750%,
7/01/27,
(Mandatory
Put
12/07/22)
(5)
12/22
at
100.00
AA-
$
6,000,000
$
6,000
Total
Short-Term
Investments
(cost
$6,000,000)
$
6,000,000
Total
Investments
(cost
$627,504,216)
-
94.0%
599,192,272
Other
Assets
Less
Liabilities
-
6.0%
38,089,472
Net
Assets
-
100%
$
637,281,744
Level
1
Level
2
Level
3
Total
Long-Term
Investments:
Municipal
Bonds
$
$
593,192,272
$
$
593,192,272
Short-Term
Investments:
Municipal
Bonds
6,000,000
6,000,000
Total
$
$
599,192,272
$
$
599,192,272
59
(1)
All
percentages
shown
in
the
Portfolio
of
Investments
are
based
on
net
assets.
(2)
Optional
Call
Provisions:
Dates
(month
and
year)
and
prices
of
the
earliest
optional
call
or
redemption.
There
may
be
other
call
provisions
at
varying
prices
at
later
dates.
Certain
mortgage-backed
securities
may
be
subject
to
periodic
principal
paydowns.
(3)
For
financial
reporting
purposes,
the
ratings
disclosed
are
the
highest
of
Standard
&
Poor’s
Group
(“Standard
&
Poor’s”),
Moody’s
Investors
Service,
Inc.
(“Moody’s”)
or
Fitch,
Inc.
(“Fitch”)
rating.
This
treatment
of
split-rated
securities
may
differ
from
that
used
for
other
purposes,
such
as
for
Fund
investment
policies.
Ratings
below
BBB
by
Standard
&
Poor’s,
Baa
by
Moody’s
or
BBB
by
Fitch
are
considered
to
be
below
investment
grade.
Holdings
designated
N/R
are
not
rated
by
any
of
these
national
rating
agencies.
(4)
Backed
by
an
escrow
or
trust
containing
sufficient
U.S.
Government
or
U.S.
Government
agency
securities,
which
ensure
the
timely
payment
of
principal
and
interest.
(5)
Investment
has
a
maturity
of
greater
than
one
year,
but
has
variable
rate
and/or
demand
features
which
qualify
it
as
a
short-term
investment.
The
rate
disclosed,
as
well
as
the
reference
rate
and
spread,
where
applicable,
is
that
in
effect
as
of
the
end
of
the
reporting
period.
This
rate
changes
periodically
based
on
market
conditions
or
a
specified
market
index.
144A
Investment
is
exempt
from
registration
under
Rule
144A
of
the
Securities
Act
of
1933,
as
amended.
These
investments
may
only
be
resold
in
transactions
exempt
from
registration,
which
are
normally
those
transactions
with
qualified
institutional
buyers.
AMT
Alternative
Minimum
Tax
WI/DD
Purchased
on
a
when-issued
or
delayed
delivery
basis.
60
Nuveen
New
Jersey
Municipal
Bond
Fund
Portfolio
of
Investments
November
30,
2022
(Unaudited)
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
LONG-TERM
INVESTMENTS
-
100.6%   
X
432,989,120
MUNICIPAL
BONDS
-
100.6%  
X
432,989,120
Consumer
Discretionary
-
0.2%
Middlesex
County
Improvement
Authority,
New
Jersey,
Senior
Revenue
Bonds,
Heldrich
Center
Hotel/Conference
Center
Project,
Series
2005A:
$
935
5.000%,
1/01/32
(4)
1/23
at
100.00
Caa3
$
614,192
240
5.125%,
1/01/37
(4)
1/23
at
100.00
Caa3
157,781
1,175
Total
Consumer
Discretionary
771,973
Consumer
Staples
-
3.6%
Tobacco
Settlement
Financing
Corporation,
New
Jersey,
Tobacco
Settlement
Asset-Backed
Bonds,
Series
2018A:
4,435
4.000%,
6/01/37
6/28
at
100.00
A-
4,180,342
3,970
5.000%,
6/01/46
6/28
at
100.00
BBB+
3,894,650
540
5.250%,
6/01/46
6/28
at
100.00
BBB+
544,093
7,015
Tobacco
Settlement
Financing
Corporation,
New
Jersey,
Tobacco
Settlement
Asset-Backed
Bonds,
Series
2018B,
5.000%,
6/01/46
6/28
at
100.00
BBB-
6,788,977
15,960
Total
Consumer
Staples
15,408,062
Education
and
Civic
Organizations
-
13.5%
Atlantic
County
Improvement
Authority,
New
Jersey,
General
Obligation
Lease
Revenue
Bonds,
Stockton
University
Atlantic
City
Campus
Phase
II,
Series
2021A:
1,000
4.000%,
7/01/47
-
AGM
Insured
7/31
at
100.00
AA
927,570
2,240
4.000%,
7/01/53
-
AGM
Insured
7/31
at
100.00
AA
2,049,667
715
Camden
County
Improvement
Authority,
New
Jersey,
School
Revenue
Bonds,
KIPP:
Cooper
Norcross
Academy
2022
Project,
Social
Series
2022,
6.000%,
6/15/62
12/30
at
100.00
BBB
742,864
1,250
Essex
County
Improvement
Authority,
New
Jersey,
General
Obligation
Lease
Revenue
Bonds,
Institute
of
Technology
CHF-Newark,
LLC-NJIT
Student
Housing
Project,
Series
2021A,
4.000%,
8/01/60
-
BAM
Insured
8/31
at
100.00
AA
1,146,450
1,000
Gloucester
County
Improvement
Authority,
New
Jersey,
Revenue
Bonds,
Rowan
University
Fossil
Park
&
Student
Center
Projects,
Series
2021,
4.000%,
7/01/46
-
BAM
Insured
7/30
at
100.00
AA
958,940
Gloucester
County
Improvement
Authority,
New
Jersey,
Revenue
Bonds,
Rowan
University
Project,
County
Gauranteed
Loan,
Series
2019:
3,050
5.000%,
7/01/44
7/29
at
100.00
Aa1
3,281,465
3,320
4.000%,
7/01/48
7/29
at
100.00
Aa1
3,218,408
225
New
Jersey
Economic
Development
Authority,
Charter
School
Revenue
Bonds,
Foundation
Academy
Charter
School,
Series
2018A,
5.000%,
7/01/38
1/28
at
100.00
BBB-
227,399
New
Jersey
Economic
Development
Authority,
Charter
School
Revenue
Bonds,
North
Star
Academy
Charter
School
of
Newark,
Series
2017:
2,805
4.000%,
7/15/37
7/27
at
100.00
BBB-
2,578,637
100
5.000%,
7/15/47
7/27
at
100.00
BBB-
100,698
100
New
Jersey
Economic
Development
Authority,
Charter
School
Revenue
Bonds,
Teaneck
Community
Charter
School,
Series
2017A,
5.125%,
9/01/52,
144A
9/27
at
100.00
BB
90,086
945
New
Jersey
Economic
Development
Authority,
Revenue
Bonds,
The
Seeing
Eye
Inc.,
Refunding
Series
2015,
5.000%,
3/01/25
No
Opt.
Call
A
988,149
New
Jersey
Economic
Development
Authority,
Revenue
Bonds,
The
Seeing
Eye
Inc.,
Refunding
Series
2017:
355
3.000%,
6/01/32
12/27
at
100.00
A
333,576
195
5.000%,
6/01/32
12/27
at
100.00
A
205,873
1,145
New
Jersey
Educational
Facilities
Authority,
Revenue
Bonds,
College
of
New
Jersey,
Refunding
Series
2016F,
3.000%,
7/01/40
7/26
at
100.00
A
884,810
61
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Education
and
Civic
Organizations
(continued)
$
1,470
New
Jersey
Educational
Facilities
Authority,
Revenue
Bonds,
Kean
University,
Refunding
Series
2015H,
4.000%,
7/01/39
-
AGM
Insured
7/25
at
100.00
AA
$
1,451,963
New
Jersey
Educational
Facilities
Authority,
Revenue
Bonds,
Montclair
State
University,
Refunding
Series
2015D:
2,000
5.000%,
7/01/31
7/25
at
100.00
A+
2,075,480
1,055
3.750%,
7/01/33
7/25
at
100.00
A+
1,026,694
New
Jersey
Educational
Facilities
Authority,
Revenue
Bonds,
Rider
University,
Series  2017F:
360
3.750%,
7/01/37
7/27
at
100.00
BB
284,090
1,370
4.000%,
7/01/42
7/27
at
100.00
BB
1,055,462
2,265
5.000%,
7/01/47
7/27
at
100.00
BB
1,991,116
1,225
New
Jersey
Educational
Facilities
Authority,
Revenue
Bonds,
Seton
Hall
University,
Refunding
Series
2015C,
5.000%,
7/01/32
7/25
at
100.00
BBB+
1,265,376
710
New
Jersey
Educational
Facilities
Authority,
Revenue
Bonds,
Seton
Hall
University,
Series
2013D,
5.000%,
7/01/38
7/23
at
100.00
BBB+
713,557
New
Jersey
Educational
Facilities
Authority,
Revenue
Bonds,
Seton
Hall
University,
Series
2016C:
1,870
3.000%,
7/01/41
7/26
at
100.00
BBB+
1,456,711
2,430
3.000%,
7/01/46
7/26
at
100.00
BBB+
1,783,644
1,085
4.000%,
7/01/46
7/26
at
100.00
BBB+
973,408
1,000
New
Jersey
Educational
Facilities
Authority,
Revenue
Bonds,
Seton
Hall
University,
Series
2020C,
3.250%,
7/01/49
-
AGM
Insured
7/30
at
100.00
AA
769,610
4,500
New
Jersey
Educational
Facilities
Authority,
Revenue
Bonds,
Stevens
Institute
of
Technology
Issue,
Green
Series
2020A,
4.000%,
7/01/50
7/30
at
100.00
BBB+
3,937,185
New
Jersey
Educational
Facilities
Authority,
Revenue
Bonds,
Stevens
Institute
of
Technology,
Series
2017A:
1,000
5.000%,
7/01/42
7/27
at
100.00
BBB+
1,019,650
500
4.000%,
7/01/47
7/27
at
100.00
BBB+
444,055
1,110
5.000%,
7/01/47
7/27
at
100.00
BBB+
1,124,519
1,375
New
Jersey
Educational
Facilities
Authority,
Revenue
Bonds,
William
Paterson
University,
Series
2017B,
5.000%,
7/01/47
-
AGM
Insured
7/27
at
100.00
AA
1,427,415
835
New
Jersey
Higher
Education
Student
Assistance
Authority,
Student
Loan
Revenue
Bonds,
Refunding
Senior
Series
2021B,
2.500%,
12/01/40,
(AMT)
12/29
at
100.00
AA
680,099
New
Jersey
Higher
Education
Student
Assistance
Authority,
Student
Loan
Revenue
Bonds,
Refunding
Series
2018A:
1,900
3.750%,
12/01/31,
(AMT)
6/28
at
100.00
Aaa
1,872,678
430
4.000%,
12/01/35,
(AMT)
6/28
at
100.00
Aaa
430,632
770
New
Jersey
Higher
Education
Student
Assistance
Authority,
Student
Loan
Revenue
Bonds,
Refunding
Subordinate
Series
2021C,
3.250%,
12/01/51,
(AMT)
12/29
at
100.00
BBB
545,560
New
Jersey
Higher
Education
Student
Assistance
Authority,
Student
Loan
Revenue
Bonds,
Senior
Lien
Series
2016-1A:
950
3.500%,
12/01/32,
(AMT)
12/25
at
100.00
Aaa
886,198
215
4.000%,
12/01/39,
(AMT)
12/25
at
100.00
Aaa
213,437
New
Jersey
Higher
Education
Student
Assistance
Authority,
Student
Loan
Revenue
Bonds,
Senior
Lien
Series
2017-1A:
575
3.750%,
12/01/33,
(AMT)
12/26
at
100.00
Aaa
569,020
70
4.000%,
12/01/40,
(AMT)
12/26
at
100.00
Aaa
69,604
1,470
New
Jersey
Higher
Education
Student
Assistance
Authority,
Student
Loan
Revenue
Bonds,
Senior
Series
2019B,
3.250%,
12/01/39,
(AMT)
6/28
at
100.00
Aa1
1,324,793
735
New
Jersey
Higher
Education
Student
Assistance
Authority,
Student
Loan
Revenue
Bonds,
Senior
Series
2020B,
3.500%,
12/01/39,
(AMT)
12/28
at
100.00
Aa1
711,767
335
New
Jersey
Higher
Education
Student
Assistance
Authority,
Student
Loan
Revenue
Bonds,
Series
2012-1A,
4.375%,
12/01/26,
(AMT)
12/22
at
100.00
Aaa
335,171
500
New
Jersey
Higher
Education
Student
Assistance
Authority,
Student
Loan
Revenue
Bonds,
Series
2012-1B,
5.750%,
12/01/39,
(AMT)
12/22
at
100.00
Aaa
500,565
New
Jersey
Higher
Education
Student
Assistance
Authority,
Student
Loan
Revenue
Bonds,
Series
2013-1A:
355
3.625%,
12/01/25,
(AMT)
1/23
at
100.00
Aaa
355,014
575
4.000%,
12/01/28,
(AMT)
12/22
at
100.00
Aaa
575,075
285
4.000%,
12/01/31,
(AMT)
12/22
at
100.00
Aaa
280,221
295
4.125%,
12/01/35,
(AMT)
12/22
at
100.00
Aaa
284,855
Nuveen
New
Jersey
Municipal
Bond
Fund
(continued)
Portfolio
of
Investments
November
30,
2022
(Unaudited)
62
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Education
and
Civic
Organizations
(continued)
New
Jersey
Higher
Education
Student
Assistance
Authority,
Student
Loan
Revenue
Bonds,
Series
2014-1A-1:
$
455
4.250%,
12/01/32,
(AMT)
12/23
at
100.00
Aaa
$
449,949
440
4.500%,
12/01/36,
(AMT)
12/23
at
100.00
Aaa
435,543
995
New
Jersey
Higher
Education
Student
Assistance
Authority,
Student
Loan
Revenue
Bonds,
Series
2015-1A,
4.000%,
12/01/30,
(AMT)
12/24
at
100.00
Aaa
996,950
1,870
New
Jersey
Higher
Education
Student
Assistance
Authority,
Student
Loan
Revenue
Bonds,
Subordinate
Series
2017-C,
4.250%,
12/01/47,
(AMT)
12/26
at
100.00
Aaa
1,862,931
1,460
New
Jersey
Higher
Education
Student
Assistance
Authority,
Student
Loan
Revenue
Bonds,
Subordinate
Series
2019C,
3.625%,
12/01/49,
(AMT)
6/28
at
100.00
A2
1,177,227
3,005
New
Jersey
Institute
of
Technology,
New
Jersey,
General
Obligation
Bonds,
Series
2015A,
5.000%,
7/01/45
7/25
at
100.00
A1
3,100,709
62,290
Total
Education
and
Civic
Organizations
58,192,525
Financials
-
0.1%
439
New
Jersey
Economic
Development
Authority,
Revenue
Refunding
Bonds,
Kapkowski
Road
Landfill
Project,
Series
2002,
6.500%,
4/01/28
2002
1
No
Opt.
Call
Baa2
436,393
Health
Care
-
12.9%
Camden
County
Improvement
Authority,
New
Jersey,
Health
Care
Redevelopment
Revenue
Bonds,
Cooper
Health
System
Obligated
Group
Issue,
Refunding
Series
2014A:
1,720
5.000%,
2/15/25
2/24
at
100.00
A-
1,743,667
800
5.000%,
2/15/28
2/24
at
100.00
A-
806,112
2,000
5.000%,
2/15/33
2/24
at
100.00
A-
2,010,280
800
Camden
County
Improvement
Authority,
New
Jersey,
Health
Care
Redevelopment
Revenue
Bonds,
Cooper
Health
System
Obligated
Group
Issue,
Series
2013A,
5.750%,
2/15/42
2/23
at
100.00
A-
802,640
New
Jersey
Health
Care
Facilities
Authority,
Revenue
Bonds,
Atlanticare
Health
System
Obligated
Group
Issue,
Series
2021:
1,800
2.375%,
7/01/46
7/31
at
100.00
AA-
1,186,560
1,800
3.000%,
7/01/46
7/31
at
100.00
AA-
1,349,082
1,000
3.000%,
7/01/51
7/31
at
100.00
AA-
727,840
195
New
Jersey
Health
Care
Facilities
Finance
Authority,
Revenue
Bonds,
AHS
Hospital
Corporation,
Series
2008A,
5.000%,
7/01/27
1/23
at
100.00
AA-
195,242
2,080
New
Jersey
Health
Care
Facilities
Financing
Authority,
Revenue
Bonds,
AHS
Hospital
Corporation,
Refunding
Series
2016,
4.000%,
7/01/41
1/27
at
100.00
AA-
2,036,465
2,130
New
Jersey
Health
Care
Facilities
Financing
Authority,
Revenue
Bonds,
Barnabas
Health,
Refunding
Series
2014A,
5.000%,
7/01/44
7/24
at
100.00
AA-
2,148,893
New
Jersey
Health
Care
Facilities
Financing
Authority,
Revenue
Bonds,
Hackensack
Meridian
Health
Obligated
Group,
Refunding
Series
2017A:
3,230
5.000%,
7/01/28
7/27
at
100.00
AA-
3,511,462
1,465
5.000%,
7/01/57
7/27
at
100.00
AA-
1,492,191
New
Jersey
Health
Care
Facilities
Financing
Authority,
Revenue
Bonds,
Hunterdon
Medical
Center,
Refunding
Series
2014A:
1,000
4.000%,
7/01/45
7/24
at
100.00
A+
939,040
4,480
New
Jersey
Health
Care
Facilities
Financing
Authority,
Revenue
Bonds,
Inspira
Health
Obligated
Group
Issue,
Refunding
Series
2016A,
4.000%,
7/01/41
7/26
at
100.00
AA-
4,352,320
4,950
New
Jersey
Health
Care
Facilities
Financing
Authority,
Revenue
Bonds,
Inspira
Health
Obligated
Group
Issue,
Series
2017A,
5.000%,
7/01/42
7/27
at
100.00
AA-
5,045,238
570
New
Jersey
Health
Care
Facilities
Financing
Authority,
Revenue
Bonds,
Meridian
Health
System
Obligated
Group,
Refunding
Series
2013A,
5.000%,
7/01/32
7/23
at
100.00
AA-
573,825
New
Jersey
Health
Care
Facilities
Financing
Authority,
Revenue
Bonds,
Princeton
HealthCare
System,
Series
2016A:
465
5.000%,
7/01/32
7/26
at
100.00
AA
495,058
575
5.000%,
7/01/33
7/26
at
100.00
AA
610,420
600
5.000%,
7/01/34
7/26
at
100.00
AA
634,392
63
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Health
Care
(continued)
New
Jersey
Health
Care
Facilities
Financing
Authority,
Revenue
Bonds,
Robert
Wood
Johnson
University
Hospital
Issue,
Series
2014A:
$
2,060
5.000%,
7/01/39
7/24
at
100.00
AA-
$
2,096,153
420
5.000%,
7/01/43
7/24
at
100.00
AA-
424,540
2,135
New
Jersey
Health
Care
Facilities
Financing
Authority,
Revenue
Bonds,
RWJ
Barnabas
Health
Obligated
Group,
Refunding
Series
2016A,
5.000%,
7/01/43
7/26
at
100.00
AA-
2,181,692
New
Jersey
Health
Care
Facilities
Financing
Authority,
Revenue
Bonds,
RWJ
Barnabas
Health
Obligated
Group,
Series
2021A:
3,145
3.000%,
7/01/51
7/31
at
100.00
AA-
2,289,057
2,900
4.000%,
7/01/51
7/31
at
100.00
AA-
2,667,043
New
Jersey
Health
Care
Facilities
Financing
Authority,
Revenue
Bonds,
Saint
Joseph's
Healthcare
System
Obligated
Group
Issue,
Refunding
Series
2016:
2,710
3.000%,
7/01/32
7/26
at
100.00
BBB-
2,351,359
360
4.000%,
7/01/34
7/26
at
100.00
BBB-
342,806
2,835
5.000%,
7/01/41
7/26
at
100.00
BBB-
2,848,466
2,685
4.000%,
7/01/48
7/26
at
100.00
BBB-
2,255,158
New
Jersey
Health
Care
Facilities
Financing
Authority,
Revenue
Bonds,
University
Hospital
Issue,
Refunding
Series
2015A:
1,500
4.125%,
7/01/38
-
AGM
Insured
7/25
at
100.00
AA
1,503,030
755
5.000%,
7/01/46
-
AGM
Insured
7/25
at
100.00
AA
762,822
New
Jersey
Health
Care
Facilities
Financing
Authority,
Revenue
Bonds,
Valley
Health
System
Obligated
Group,
Series
2019:
3,470
4.000%,
7/01/44
7/29
at
100.00
A+
3,291,712
2,695
3.000%,
7/01/49
7/29
at
100.00
A+
1,916,522
59,330
Total
Health
Care
55,591,087
Housing/Multifamily
-
6.1%
600
New
Jersey
Economic
Development
Authority,
Revenue
Bonds,
Provident
Group
-
Kean
Properties
LLC
-
Kean
University
Student
Housing
Project,
Series
2017A,
5.000%,
7/01/47
1/27
at
100.00
B
531,780
2,440
New
Jersey
Economic
Development
Authority,
Revenue
Bonds,
West
Campus
Housing
LLC
-
New
Jersey
City
University
Student
Housing
Project,
Series
2015,
5.000%,
7/01/47
7/25
at
100.00
BB-
2,139,636
1,482
New
Jersey
Housing
&
Mortgage
Finance
Agency,
Multifamily
Conduit
Revenue
Bonds,
Cherry
Garden
Apartments
Project,
Series
2021B,
2.375%,
1/01/39
2022
1
No
Opt.
Call
Aaa
1,153,774
2,355
New
Jersey
Housing
&
Mortgage
Finance
Agency,
Multifamily
Conduit
Revenue
Bonds,
Riverside
Village
Family
Apartments
Phase
1
Project,
Series
2019F,
1.350%,
12/01/22
No
Opt.
Call
Aaa
2,355,000
New
Jersey
Housing
and
Mortgage
Finance
Agency,
Multifamily
Housing
Revenue
Bonds,
Series
2013-2:
1,770
4.350%,
11/01/33,
(AMT)
1/23
at
100.00
AA
1,765,522
1,015
4.600%,
11/01/38,
(AMT)
1/23
at
100.00
AA
1,002,516
1,010
4.750%,
11/01/46,
(AMT)
1/23
at
100.00
AA
967,085
1,560
New
Jersey
Housing
and
Mortgage
Finance
Agency,
Multifamily
Revenue
Bonds,
Series
2015A,
4.000%,
11/01/45
11/24
at
100.00
AA-
1,438,710
1,135
New
Jersey
Housing
and
Mortgage
Finance
Agency,
Multifamily
Revenue
Bonds,
Series
2016A,
3.750%,
11/01/45
11/25
at
100.00
AA-
1,014,088
2,145
New
Jersey
Housing
and
Mortgage
Finance
Agency,
Multifamily
Revenue
Bonds,
Series
2016B,
3.600%,
11/01/40
11/25
at
100.00
AA-
1,968,724
875
New
Jersey
Housing
and
Mortgage
Finance
Agency,
Multifamily
Revenue
Bonds,
Series
2017D,
3.900%,
11/01/32,
(AMT)
5/26
at
100.00
AA-
865,638
Nuveen
New
Jersey
Municipal
Bond
Fund
(continued)
Portfolio
of
Investments
November
30,
2022
(Unaudited)
64
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Housing/Multifamily
(continued)
New
Jersey
Housing
and
Mortgage
Finance
Agency,
Multifamily
Revenue
Bonds,
Series
2018A:
$
1,935
3.600%,
11/01/33
11/27
at
100.00
AA-
$
1,875,537
1,865
3.875%,
11/01/38
11/27
at
100.00
AA-
1,778,333
1,045
3.950%,
11/01/43
11/27
at
100.00
AA-
973,930
650
4.000%,
11/01/48
11/27
at
100.00
AA-
589,817
500
4.100%,
11/01/53
11/27
at
100.00
AA-
449,420
New
Jersey
Housing
and
Mortgage
Finance
Agency,
Multifamily
Revenue
Bonds,
Series
2019A:
1,750
2.900%,
11/01/39
11/28
at
100.00
AA-
1,493,170
530
3.000%,
11/01/44
11/28
at
100.00
AA-
423,761
870
3.050%,
11/01/49
11/28
at
100.00
AA-
665,211
490
3.150%,
5/01/53
11/28
at
100.00
AA-
372,581
600
New
Jersey
Housing
and
Mortgage
Finance
Agency,
Multifamily
Revenue
Bonds,
Series
2020A,
2.450%,
11/01/45
11/29
at
100.00
AA-
411,846
2,470
New
Jersey
Housing
and
Mortgage
Finance
Agency,
Multifamily
Revenue
Bonds,
Series
2021A,
2.450%,
11/01/41
11/30
at
100.00
AA-
1,852,549
29,092
Total
Housing/Multifamily
26,088,628
Housing/Single
Family
-
4.3%
New
Jersey
Housing
and
Mortgage
Finance
Agency,
Single
Family
Housing
Revenue
Bonds,
Series
2018A:
1,725
3.600%,
4/01/33
10/27
at
100.00
AA
1,674,164
1,130
3.750%,
10/01/35
10/27
at
100.00
AA
1,073,410
2,150
New
Jersey
Housing
and
Mortgage
Finance
Agency,
Single
Family
Housing
Revenue
Bonds,
Series
2018B,
3.800%,
10/01/32,
(AMT)
10/27
at
100.00
AA
2,066,472
2,710
New
Jersey
Housing
and
Mortgage
Finance
Agency,
Single
Family
Housing
Revenue
Bonds,
Series
2019C,
4.000%,
4/01/49
4/28
at
100.00
AA
2,474,555
New
Jersey
Housing
and
Mortgage
Finance
Agency,
Single
Family
Housing
Revenue
Bonds,
Series
2020E:
1,575
2.250%,
10/01/40
4/29
at
100.00
AA
1,190,495
1,590
3.500%,
4/01/51
4/29
at
102.44
AA
1,563,861
7,090
New
Jersey
Housing
and
Mortgage
Finance
Agency,
Single
Family
Housing
Revenue
Bonds,
Series
2021H,
2.300%,
10/01/46
4/30
at
100.00
AA
4,956,619
New
Jersey
Housing
and
Mortgage
Finance
Agency,
Single
Family
Housing
Revenue
Bonds,
Social
Series
2022I:
1,910
4.500%,
10/01/42
4/31
at
100.00
AA
1,933,837
1,465
4.600%,
10/01/46
4/31
at
100.00
AA
1,482,316
21,345
Total
Housing/Single
Family
18,415,729
Long-Term
Care
-
0.6%
530
New
Jersey
Economic
Development
Authority,
Fixed
Rate
Revenue
Bonds,
Lions
Gate
Project,
Series
2014,
5.250%,
1/01/44
1/24
at
100.00
N/R
473,465
2,170
New
Jersey
Economic
Development
Authority,
Revenue
Bonds,
White
Horse
HMT
Urban
Renewal
LLC
Project,
Series
2020,
5.000%,
1/01/40,
144A
1/28
at
102.00
N/R
1,645,338
495
New
Jersey
Health
Care
Facilities
Financing
Authority,
Revenue
Bonds,
Village
Drive
Healthcare
Urban
Renewal
LLC,
Series
2018,
5.750%,
10/01/38,
144A
10/26
at
102.00
N/R
385,565
3,195
Total
Long-Term
Care
2,504,368
Tax
Obligation/General
-
13.6%
2,000
Cherry
Hill
Township,
Camden
County,
New
Jersey,
General
Obligation
Bonds,
Bond
Anticipation
Note
Series
2022,
5.000%,
10/23/23
No
Opt.
Call
N/R
2,038,480
735
Cumberland
County
Improvement
Authority,
New
Jersey,
General
Obligation
Lease
Revenue
Bonds,
Vineland
Public
Safety
Building
Project,
Series
2017,
3.250%,
12/15/37
12/27
at
100.00
AA
665,248
1,470
Cumberland
County,
New
Jersey,
General
Obligation
Bonds,
Series
2021,
2.000%,
5/15/29
5/28
at
100.00
AA-
1,323,412
Essex
County
Improvement
Authority,
New
Jersey,
Project
Consolidation
Revenue
Bonds,
Refunding
Series
2007:
840
5.250%,
12/15/22
-
AMBAC
Insured
No
Opt.
Call
Aaa
840,848
65
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Tax
Obligation/General
(continued)
$
1,000
Essex
County,
New
Jersey,
General
Obligation
Bonds,
Improvement
Series
2022,
4.000%,
8/15/32
8/30
at
100.00
Aaa
$
1,080,180
15
Flemington-Raritan
Regional
School
District,
Hunterdon
County,
New
Jersey,
General
Obligation
Bonds,
Series
2019,
2.375%,
9/01/34
9/26
at
100.00
AA
12,598
Gloucester
Township,
New
Jersey,
General
Obligation
Bonds,
Series
2019:
1,000
2.000%,
2/01/28
-
BAM
Insured
No
Opt.
Call
AA
909,120
1,500
2.250%,
2/01/29
-
BAM
Insured
No
Opt.
Call
AA
1,361,550
180
Hamilton
Township,
Mercer
County
Board
of
Education,
New
Jersey,
General
Obligation
Bonds,
Series
2017,
3.250%,
12/15/38
12/27
at
100.00
AA
159,736
1,040
Harrison,
New
Jersey,
General
Obligation
Bonds,
Parking
Utility
Series
2018,
3.375%,
3/01/34
-
BAM
Insured
3/28
at
100.00
AA
1,024,795
Hudson
County
Improvement
Authority,
New
Jersey,
County
Guaranteed
Governmental
Loan
Revenue
Bonds,
Guttenberg
General
Obligation
Bond
Project,
Series
2018:
125
3.250%,
8/01/34
8/25
at
100.00
AA
120,793
340
5.000%,
8/01/42
8/25
at
100.00
AA
351,366
Hudson
County
Improvement
Authority,
New
Jersey,
County
Secured
Lease
Revenue
Bonds,
Hudson
County
Vocational
Technical
Schools
Project,
Series
2016:
6,490
5.000%,
5/01/46,
(UB)
(5)
5/26
at
100.00
AA
6,737,334
1,000
5.250%,
5/01/51
5/26
at
100.00
AA
1,043,710
2,295
Jersey
City,
New
Jersey,
General
Obligation
Bonds,
General
Improvement
Series
2022A,
3.000%,
2/15/37
2/29
at
100.00
Aa3
2,001,607
1,675
Monmouth
County
Improvement
Authority,
New
Jersey,
Governmental
Pooled
Loan
Revenue
Bonds,
Series
2021A,
3.000%,
3/01/35
3/31
at
100.00
AAA
1,550,732
220
Montclair
Township,
Essex
County,
New
Jersey,
General
Obligation
Bonds,
Refunding
Parking
Utility
Series
2014A,
5.000%,
1/01/37
1/24
at
100.00
AAA
224,211
610
New
Brunswick
Parking
Authority,
Middlesex
County,
New
Jersey,
Guaranteed
Parking
Revenue
Bonds,
Refunding
Series
2012,
5.000%,
9/01/30
1/23
at
100.00
A+
611,013
New
Brunswick
Parking
Authority,
Middlesex
County,
New
Jersey,
Guaranteed
Parking
Revenue
Bonds,
Refunding
Series
2016A:
1,900
5.000%,
9/01/32
-
BAM
Insured
9/26
at
100.00
AA
2,028,421
1,340
5.000%,
9/01/39
-
BAM
Insured
9/26
at
100.00
AA
1,405,499
1,000
New
Brunswick,
New
Jersey,
General
Obligation
Bonds,
Cultural
Center
Project,
Series
2017,
4.000%,
9/15/44
-
AGM
Insured
9/27
at
100.00
AA
972,470
New
Jersey
State,
General
Obligation
Bonds,
Covid-19
Emergency
Series
2020A:
4,890
4.000%,
6/01/31
No
Opt.
Call
A2
5,182,862
2,200
3.000%,
6/01/32
No
Opt.
Call
A2
2,096,644
1,980
4.000%,
6/01/32
No
Opt.
Call
A2
2,096,167
Newark
Board
of
Education,
Essex
County,
New
Jersey,
General
Obligation
Bonds,
School
Energy
Savings
Series
2021:
250
4.000%,
7/15/35
-
BAM
Insured
7/31
at
100.00
AA
251,960
600
4.000%,
7/15/36
-
BAM
Insured
7/31
at
100.00
AA
603,324
Newark,
Essex
County,
New
Jersey,
Mass
Transit
Access
Tax
Revenue
Bonds,
Mulberry
Pedestrian
Bridge
Redevelopment
Project,
Series
2022:
500
5.375%,
11/15/52
-
AGM
Insured
11/32
at
100.00
AA
537,040
600
6.000%,
11/15/62
-
AGM
Insured
11/32
at
100.00
AA
671,778
1,500
Ocean
City,
New
Jersey,
General
Obligation
Bonds,
General
Improvement
Series
2019,
2.250%,
9/15/33
9/26
at
100.00
AA
1,281,630
2,625
Passaic
County,
New
Jersey,
General
Obligation
Bonds,
General
Improvement
Series
2019A,
1.000%,
12/01/34
12/27
at
100.00
Aa1
1,867,661
Puerto
Rico,
General
Obligation
Bonds,
Restructured
Series
2022A-1:
1,054
5.625%,
7/01/29
No
Opt.
Call
N/R
1,080,403
2,477
4.000%,
7/01/33
7/31
at
103.00
N/R
2,158,309
167
4.000%,
7/01/37
7/31
at
103.00
N/R
139,573
Nuveen
New
Jersey
Municipal
Bond
Fund
(continued)
Portfolio
of
Investments
November
30,
2022
(Unaudited)
66
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Tax
Obligation/General
(continued)
$
1,145
Somers
Point,
New
Jersey,
General
Obligation
Bonds,
Improvement
Sewer
Utility
Series
2019,
2.000%,
10/01/31
10/26
at
100.00
AA-
$
993,631
2,460
South
Orange
&
Maplewood
School
District,
Essex
County,
New
Jersey,
General
Obligation
Bonds,
Series
2021,
2.375%,
8/15/46
8/29
at
100.00
Aa2
1,622,518
625
South
Orange
Village
Township,
New
Jersey,
General
Obligation
Bonds,
Refunding
Series
2020,
4.000%,
1/15/24
No
Opt.
Call
AA
634,487
3,725
Union
County
Utilities
Authority,
New
Jersey,
Resource
Recovery
Facility
Lease
Revenue
Bonds,
Covantan
Union
Inc.
Lessee,
Refunding
Series
2011B,
5.250%,
12/01/31,
(AMT)
1/23
at
100.00
AA+
3,731,817
2,515
Union
County
Utilities
Authority,
New
Jersey,
Solid
Waste
System
County
Deficiency
Revenue
Bonds,
Series
2011A,
5.000%,
6/15/41
1/23
at
100.00
Aaa
2,518,144
3,775
Union
County,
New
Jersey,
General
Obligation
Bonds,
Series
2018,
3.000%,
3/01/27
9/25
at
100.00
Aaa
3,784,173
1,280
Verona
Township
Board
of
Education,
Essex
County,
New
Jersey,
General
Obligation
Bonds,
Refunding
Series
2020,
2.250%,
3/01/39
3/27
at
100.00
AA-
945,203
61,143
Total
Tax
Obligation/General
58,660,447
Tax
Obligation/Limited
-
20.4%
2,100
Bergen
County
Improvement
Authority,
New
Jersey,
County
Guaranteed
Revenue
Bonds,
Bergen
New
Bridge
Medical
Center
Project,
Series
2022,
5.000%,
8/01/47
8/32
at
100.00
Aaa
2,327,514
650
Bergen
County
Improvement
Authority,
New
Jersey,
Guaranteed
Lease
Revenue
Bonds,
County
Administration
Complex
Project,
Series
2005,
5.000%,
11/15/26
No
Opt.
Call
Aaa
707,902
Camden
County
Improvement
Authority,
New
Jersey,
County
Guaranteed
Loan
Revenue
Bonds,
Capital
Program,
Series
2022:
300
5.000%,
1/15/31
,(WI/DD,
Settling
12/06/22)
No
Opt.
Call
Aa1
342,963
225
5.000%,
1/15/33
,(WI/DD,
Settling
12/06/22)
1/32
at
100.00
Aa1
258,428
3,655
Camden
County
Improvement
Authority,
New
Jersey,
County
Guaranteed
Loan
Revenue
Bonds,
City
Hall
Project,
Series
2018,
3.250%,
12/01/37
12/28
at
100.00
Aa1
3,390,013
1,795
Garden
State
Preservation
Trust,
New
Jersey,
Open
Space
and
Farmland
Preservation
Bonds,
Series
2005A,
5.750%,
11/01/28
-
AGM
Insured
No
Opt.
Call
AA
1,972,687
New
Jersey
Economic
Development
Authority,
New
Jersey,
Transit
Transportation
Project
Revenue
Bonds,
Portal
North
Bridge
Project
Series
2022A:
3,600
5.250%,
11/01/47
11/32
at
100.00
A3
3,790,800
5,025
5.000%,
11/01/52
11/32
at
100.00
A3
5,144,947
2,985
New
Jersey
Economic
Development
Authority,
New
Jersey,
Transit
Transportation
Project
Revenue
Bonds,
Series
2020A,
4.000%,
11/01/39
11/29
at
100.00
A3
2,838,526
2,480
New
Jersey
Economic
Development
Authority,
Revenue
Bonds,
Motor
Vehicle
Surcharge,
Refunding
Subordinate
Series
2017A,
3.375%,
7/01/30
7/27
at
100.00
Baa3
2,386,752
2,000
New
Jersey
Economic
Development
Authority,
Revenue
Bonds,
New
Jersey
Transit
Corporation
Projects
Sublease,
Refunding
Series
2017B,
5.000%,
11/01/25
No
Opt.
Call
A3
2,109,540
New
Jersey
Economic
Development
Authority,
School
Facilities
Construction
Bonds,
Series
2015WW:
4,110
5.250%,
6/15/40
6/25
at
100.00
A3
4,197,790
1,000
New
Jersey
Economic
Development
Authority,
School
Facilities
Construction
Bonds,
Social
Series
2021QQQ,
5.000%,
6/15/32
12/30
at
100.00
A3
1,102,280
1,625
New
Jersey
Economic
Development
Authority,
School
Facilities
Construction
Financing
Program
Bonds,
Refunding
Series
2014PP,
5.000%,
6/15/26
6/24
at
100.00
A3
1,670,695
New
Jersey
Transportation
Trust
Fund
Authority,
Federal
Highway
Reimbursement
Revenue
Notes,
Series
2016A-1:
255
5.000%,
6/15/29
6/26
at
100.00
A+
268,780
175
5.000%,
6/15/30
6/26
at
100.00
A+
184,272
2,870
New
Jersey
Transportation
Trust
Fund
Authority,
Federal
Highway
Reimbursement
Revenue
Notes,
Series
2018A,
5.000%,
6/15/31
6/26
at
100.00
A+
3,014,361
695
New
Jersey
Transportation
Trust
Fund
Authority,
Transportation
Program
Bonds,
Series
2022BB,
4.000%,
6/15/46
12/31
at
100.00
A3
633,805
67
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Tax
Obligation/Limited
(continued)
New
Jersey
Transportation
Trust
Fund
Authority,
Transportation
Program
Bonds,
Series
2022CC:
$
2,250
5.250%,
6/15/43
,(WI/DD,
Settling
12/08/22)
No
Opt.
Call
A3
$
2,384,340
1,170
5.250%,
6/15/46
,(WI/DD,
Settling
12/08/22)
No
Opt.
Call
A3
1,234,538
1,800
5.000%,
6/15/48
,(WI/DD,
Settling
12/08/22)
No
Opt.
Call
A3
1,843,317
14,360
New
Jersey
Transportation
Trust
Fund
Authority,
Transportation
System
Bonds,
Capital
Appreciation
Series
2010A,
0.000%,
12/15/30
No
Opt.
Call
A3
10,239,254
1,930
New
Jersey
Transportation
Trust
Fund
Authority,
Transportation
System
Bonds,
Refunding
Series
2006A,
5.500%,
12/15/22
No
Opt.
Call
A3
1,932,084
New
Jersey
Transportation
Trust
Fund
Authority,
Transportation
System
Bonds,
Refunding
Series
2006C:
6,925
0.000%,
12/15/32
-
AGM
Insured
No
Opt.
Call
AA
4,627,285
4,765
0.000%,
12/15/33
-
AGM
Insured
No
Opt.
Call
AA
3,025,155
1,045
0.000%,
12/15/34
-
AGM
Insured
No
Opt.
Call
AA
626,415
1,550
New
Jersey
Transportation
Trust
Fund
Authority,
Transportation
System
Bonds,
Series
2010D,
5.000%,
12/15/24
No
Opt.
Call
A3
1,610,776
135
New
Jersey
Transportation
Trust
Fund
Authority,
Transportation
System
Bonds,
Series
2013AA,
5.000%,
6/15/36
6/23
at
100.00
A3
135,659
1,035
New
Jersey
Transportation
Trust
Fund
Authority,
Transportation
System
Bonds,
Series
2019A,
4.000%,
12/15/39
12/29
at
100.00
A3
986,396
New
Jersey
Transportation
Trust
Fund
Authority,
Transportation
System
Bonds,
Series
2019BB:
2,290
3.500%,
6/15/46
12/28
at
100.00
A3
1,910,455
1,000
4.000%,
6/15/50
12/28
at
100.00
A3
902,080
2,050
5.000%,
6/15/50
12/28
at
100.00
A3
2,081,447
New
Jersey
Transportation
Trust
Fund
Authority,
Transportation
System
Bonds,
Series
2020AA:
1,000
5.000%,
6/15/45
12/30
at
100.00
A3
1,025,270
1,040
4.000%,
6/15/50
12/30
at
100.00
A3
938,163
2,930
New
Jersey
Transportation
Trust
Fund
Authority,
Transportation
System
Bonds,
Series
2021A,
4.000%,
6/15/34
6/31
at
100.00
A3
2,937,472
1,140
Passaic
County
Improvement
Authority,
New
Jersey,
Lease
Revenue
Bonds,
Preakness
Healthcare
Center
Expansion
Project,
Refunding
Series
2015,
3.750%,
5/01/36
5/25
at
100.00
AA
1,130,128
1,725
Passaic
County
Improvement
Authority,
New
Jersey,
Lease
Revenue
Bonds,
Preakness
Healthcare
Center
Expansion
Project,
Series
2012,
3.500%,
5/01/35
1/23
at
100.00
Aa1
1,700,229
1,690
Puerto
Rico
Public
Finance
Corporation,
Commonwealth
Appropriation
Bonds,
Series
1998A,
5.125%,
6/01/24
-
AMBAC
Insured
No
Opt.
Call
Aaa
1,722,397
2,805
Puerto
Rico
Sales
Tax
Financing
Corporation,
Sales
Tax
Revenue
Bonds,
Restructured
2018A-1,
5.000%,
7/01/58
7/28
at
100.00
N/R
2,661,412
2,764
Puerto
Rico
Sales
Tax
Financing
Corporation,
Sales
Tax
Revenue
Bonds,
Taxable
Restructured
Cofina
Project
Series
2019A-2,
4.329%,
7/01/40
7/28
at
100.00
N/R
2,503,963
3,000
Union
County
Improvement
Authority,
New
Jersey,
Lease
Revenue
Bonds,
Plainfield
-
Park
Madison
Redevelopment
Project,
Refunding
Series
2013A,
5.000%,
3/01/34,
(UB)
(5)
No
Opt.
Call
AA+
3,397,050
95,944
Total
Tax
Obligation/Limited
87,897,340
Transportation
-
13.7%
1,100
Delaware
River
and
Bay
Authority,
Delaware
and
New
Jersey,
Revenue
Bonds,
Series
2012A,
5.000%,
1/01/42
1/23
at
100.00
A1
1,101,903
Delaware
River
and
Bay
Authority,
Delaware
and
New
Jersey,
Revenue
Bonds,
Series
2014A:
360
5.000%,
1/01/34
1/24
at
100.00
A1
367,355
1,520
4.125%,
1/01/39
1/24
at
100.00
A1
1,526,308
2,000
5.000%,
1/01/44
1/24
at
100.00
A1
2,018,960
1,020
Delaware
River
and
Bay
Authority,
Delaware
and
New
Jersey,
Revenue
Bonds,
Series
2019,
4.000%,
1/01/44
1/29
at
100.00
A1
1,007,770
1,635
Delaware
River
Joint
Toll
Bridge
Commission,
New
Jersey
and
Pennsylvania,
Bridge
System
Revenue
Bonds,
Refunding
Series
2015,
4.000%,
7/01/35
-
BAM
Insured
7/25
at
100.00
AA
1,670,283
Nuveen
New
Jersey
Municipal
Bond
Fund
(continued)
Portfolio
of
Investments
November
30,
2022
(Unaudited)
68
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Transportation
(continued)
Delaware
River
Joint
Toll
Bridge
Commission,
New
Jersey
and
Pennsylvania,
Bridge
System
Revenue
Bonds,
Series
2017:
$
1,000
5.000%,
7/01/42
7/27
at
100.00
A1
$
1,041,050
3,865
5.000%,
7/01/47
7/27
at
100.00
A1
3,997,647
Delaware
River
Joint
Toll
Bridge
Commission,
New
Jersey
and
Pennsylvania,
Bridge
System
Revenue
Bonds,
Series
2019A:
1,125
5.000%,
7/01/30
7/29
at
100.00
A1
1,267,211
1,285
5.000%,
7/01/31
7/29
at
100.00
A1
1,434,369
1,000
3.000%,
7/01/49
7/29
at
100.00
A1
742,010
1,760
Delaware
River
Port
Authority,
New
Jersey
and
Pennsylvania,
Revenue
Bonds,  Series
2013,
5.000%,
1/01/40
1/24
at
100.00
A+
1,783,760
Delaware
River
Port
Authority,
Pennsylvania
and
New
Jersey,
Revenue
Refunding
Bonds,
Port
District
Project,
Series
2012:
1,000
5.000%,
1/01/24
1/23
at
100.00
A
1,001,980
1,095
5.000%,
1/01/26
1/23
at
100.00
A
1,097,168
1,070
5.000%,
1/01/27
1/23
at
100.00
A
1,072,119
New
Jersey
Economic
Development
Authority,
Private
Activity
Bonds,
The
Goethals
Bridge
Replacement
Project,
Series
2013:
1,260
5.000%,
7/01/23,
(AMT)
No
Opt.
Call
A2
1,266,880
1,705
5.000%,
1/01/31
-
AGM
Insured,
(AMT)
1/24
at
100.00
AA
1,712,212
1,445
5.625%,
1/01/52,
(AMT)
1/24
at
100.00
A-
1,450,187
New
Jersey
Economic
Development
Authority,
Special
Facilities
Revenue
Bonds,
Continental
Airlines
Inc.,
Series
1999:
1,060
5.125%,
9/15/23,
(AMT)
1/23
at
101.00
Ba3
1,062,703
2,025
5.250%,
9/15/29,
(AMT)
1/23
at
101.00
Ba3
2,031,743
380
New
Jersey
Economic
Development
Authority,
Special
Facilities
Revenue
Bonds,
Continental
Airlines
Inc.,
Series
2000A
&
2000B,
5.625%,
11/15/30,
(AMT)
3/24
at
101.00
Ba3
382,398
New
Jersey
Economic
Development
Authority,
Special
Facility
Revenue
Bonds,
Port
Newark
Container
Terminal
LLC
Project,
Refunding
Series
2017:
2,985
5.000%,
10/01/37,
(AMT)
10/27
at
100.00
Baa2
3,007,686
2,610
5.000%,
10/01/47,
(AMT)
10/27
at
100.00
Baa2
2,566,074
1,315
New
Jersey
Turnpike
Authority,
Revenue
Bonds,
Series
2005A,
5.250%,
1/01/29
-
AGM
Insured
No
Opt.
Call
AA
1,491,631
1,025
New
Jersey
Turnpike
Authority,
Turnpike
Revenue
Bonds,
Series
2021A,
4.000%,
1/01/51
1/31
at
100.00
AA-
969,199
2,500
New
Jersey
Turnpike
Authority,
Turnpike
Revenue
Bonds,
Series
2022A,
4.000%,
1/01/43
7/32
at
100.00
AA-
2,454,425
New
Jersey
Turnpike
Authority,
Turnpike
Revenue
Bonds,
Series
2022B:
1,980
4.500%,
1/01/48
1/33
at
100.00
AA-
2,013,521
2,250
5.250%,
1/01/52
1/33
at
100.00
AA-
2,470,478
1,810
Port
Authority
of
New
York
and
New
Jersey,
Consolidated
Revenue
Bonds,
One
Hundred
Seventy
Ninth
Series
2013,
5.000%,
12/01/43
12/23
at
100.00
AA-
1,845,711
5,000
Port
Authority
of
New
York
and
New
Jersey,
Consolidated
Revenue
Bonds,
Two
Hundred
Thirty
Series
2022,
3.000%,
12/01/31
No
Opt.
Call
AA-
4,911,900
Port
Authority
of
New
York
and
New
Jersey,
Consolidated
Revenue
Bonds,
Two
Hundred
Twelfth
Series
2019:
2,000
4.000%,
9/01/38
9/29
at
100.00
AA-
2,008,080
1,415
4.000%,
9/01/39
9/29
at
100.00
AA-
1,418,042
South
Jersey
Transportation
Authority,
New
Jersey,
Transportation
System
Revenue
Bonds,
Refunding
Series
2019A:
1,770
5.000%,
11/01/31
-
AGM
Insured
11/29
at
100.00
AA
1,924,680
1,000
5.000%,
11/01/33
-
AGM
Insured
11/29
at
100.00
AA
1,079,330
200
South
Jersey
Transportation
Authority,
New
Jersey,
Transportation
System
Revenue
Bonds,
Series
2020A,
5.000%,
11/01/45
11/30
at
100.00
BBB+
206,190
69
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Transportation
(continued)
South
Jersey
Transportation
Authority,
New
Jersey,
Transportation
System
Revenue
Bonds,
Series
2022A:
$
1,100
4.625%,
11/01/47
11/32
at
100.00
BBB+
$
1,091,387
650
5.250%,
11/01/52
-
BAM
Insured
11/32
at
100.00
AA
698,549
58,320
Total
Transportation
59,192,899
U.S.
Guaranteed
-
3.5%
(6)
1,945
Cumberland
County
Improvement
Authority,
New
Jersey,
County
General
Obligation
Revenue
Bonds,
Technical
High
School
Project,
Series
2014,
5.000%,
9/01/39,
(Pre-refunded
9/01/24)
-
AGM
Insured
9/24
at
100.00
AA
2,025,231
Essex
County
Improvement
Authority,
New
Jersey,
Project
Consolidation
Revenue
Bonds,
Refunding
Series
2007:
5
5.250%,
12/15/22
-
AMBAC
Insured,
(ETM)
No
Opt.
Call
Aaa
5,005
1,215
New
Jersey
Economic
Development
Authority,
Revenue
Bonds,
United
Methodist
Homes
of
New
Jersey
Obligated
Group
Issue,
Refunding
Series
2013,
5.000%,
7/01/34,
(Pre-refunded
7/01/23)
7/23
at
100.00
N/R
1,230,516
New
Jersey
Economic
Development
Authority,
Revenue
Bonds,
United
Methodist
Homes
of
New
Jersey
Obligated
Group
Issue,
Refunding
Series
2014A:
165
3.750%,
7/01/24,
(ETM)
No
Opt.
Call
N/R
166,455
405
5.000%,
7/01/29,
(Pre-refunded
7/01/24)
7/24
at
100.00
N/R
418,916
New
Jersey
Economic
Development
Authority,
School
Facilities
Construction
Bonds,
Series
2015WW:
250
5.250%,
6/15/40,
(Pre-refunded
6/15/25)
6/25
at
100.00
N/R
266,147
New
Jersey
Economic
Development
Authority,
School
Facilities
Construction
Financing
Program
Bonds,
Refunding
Series
2013NN:
2,055
5.000%,
3/01/30,
(Pre-refunded
3/01/23)
3/23
at
100.00
A3
2,067,926
1,225
5.000%,
3/01/31,
(Pre-refunded
3/01/23)
3/23
at
100.00
A3
1,232,705
New
Jersey
Education
Facilities
Authority
Revenue
Bonds,
The
College
of
New
Jersey
Issue,
Series
2013A:
770
5.000%,
7/01/38,
(Pre-refunded
7/01/23)
7/23
at
100.00
A2
780,950
1,015
5.000%,
7/01/43,
(Pre-refunded
7/01/23)
7/23
at
100.00
A2
1,029,433
New
Jersey
Health
Care
Facilities
Financing
Authority,
Revenue
Bonds,
Hunterdon
Medical
Center,
Refunding
Series
2014A:
655
5.000%,
7/01/45,
(Pre-refunded
7/01/24)
7/24
at
100.00
A+
678,023
280
New
Jersey
Health
Care
Facilities
Financing
Authority,
Revenue
Bonds,
Kennedy
Health
System
Obligated
Group
Issue,
Refunding
Series
2012,
3.750%,
7/01/27,
(ETM)
No
Opt.
Call
N/R
285,925
New
Jersey
Health
Care
Facilities
Financing
Authority,
Revenue
Bonds,
Palisades
Medical
Center
Obligated
Group
Issue,
Refunding
Series
2013:
665
5.250%,
7/01/31,
(Pre-refunded
7/01/23)
7/23
at
100.00
N/R
675,407
145
5.250%,
7/01/31,
(Pre-refunded
7/01/23)
7/23
at
100.00
N/R
147,101
360
5.500%,
7/01/43,
(Pre-refunded
7/01/23)
7/23
at
100.00
N/R
366,149
80
5.500%,
7/01/43,
(Pre-refunded
7/01/23)
7/23
at
100.00
N/R
81,274
480
New
Jersey
Health
Care
Facilities
Financing
Authority,
Revenue
Bonds,
Saint
Luke's
Warren
Hospital
Obligated
Group,
Series
2013,
4.000%,
8/15/37,
(Pre-refunded
8/15/23)
8/23
at
100.00
A-
484,618
1,500
New
Jersey
Turnpike
Authority,
Revenue
Bonds,
Series
2012B,
5.000%,
1/01/28,
(Pre-refunded
1/01/23)
1/23
at
100.00
AA-
1,503,165
1,415
Rutgers
State
University,
New
Jersey,
Revenue
Bonds,
Refunding
Series
2013L,
5.000%,
5/01/43,
(Pre-refunded
5/01/23)
5/23
at
100.00
Aa3
1,429,815
205
Salem
County
Pollution
Control
Financing
Authority,
New
Jersey,
Pollution
Control
Revenue
Bonds,
Chambers
Project,
Refunding
Series
2014A,
5.000%,
12/01/23,
(AMT),
(ETM)
No
Opt.
Call
N/R
207,388
14,835
Total
U.S.
Guaranteed
15,082,149
Nuveen
New
Jersey
Municipal
Bond
Fund
(continued)
Portfolio
of
Investments
November
30,
2022
(Unaudited)
70
Part
F
of
Form
N-PORT
was
prepared
in
accordance
with
U.S.
generally
accepted
accounting
principles
(“U.S.
GAAP”)
and
in
conformity
with
the
applicable
rules
and
regulations
of
the
U.S.
Securities
and
Exchange
Commission
(“SEC”)
related
to
interim
filings.
Part
F
of
Form
N-PORT
does
not
include
all
information
and
footnotes
required
by
U.S.
GAAP
for
complete
financial
statements.
Certain
footnote
disclosures
normally
included
in
financial
statements
prepared
in
accordance
with
U.S.
GAAP
have
been
condensed
or
omitted
from
this
report
pursuant
to
the
rules
of
the
SEC.
For
a
full
set
of
the
Fund’s
notes
to
financial
statements,
please
refer
to
the
Fund’s
most
recently
filed
annual
or
semi-annual
report.
Fair
Value
Measurements
The
Fund’s
investments
in
securities
are
recorded
at
their
estimated
fair
value
utilizing
valuation
methods
approved
by
the
Board
of
Directors/
Trustees.
Fair
value
is
defined
as
the
price
that
would
be
received
upon
selling
an
investment
or
transferring
a
liability
in
an
orderly
transaction
to
an
independent
buyer
in
the
principal
or
most
advantageous
market
for
the
investment.
U.S.
GAAP
establishes
the
three-tier
hierarchy
which
is
used
to
maximize
the
use
of
observable
market
data
and
minimize
the
use
of
unobservable
inputs
and
to
establish
classification
of
fair
value
measurements
for
disclosure
purposes.
Observable
inputs
reflect
the
assumptions
market
participants
would
use
in
pricing
the
asset
or
liability.
Observable
inputs
are
based
on
market
data
obtained
from
sources
independent
of
the
reporting
entity.
Unobservable
inputs
reflect
management’s
assumptions
about
the
assumptions
market
participants
would
use
in
pricing
the
asset
or
liability.
Unobservable
inputs
are
based
on
the
best
information
available
in
the
circumstances.
The
following
is
a
summary
of
the
three-tiered
hierarchy
of
valuation
input
levels.
Level
1
Inputs
are
unadjusted
and
prices
are
determined
using
quoted
prices
in
active
markets
for
identical
securities.
Level
2
Prices
are
determined
using
other
significant
observable
inputs
(including
quoted
prices
for
similar
securities,
interest
rates,
credit
spreads,
etc.).
Level
3
Prices
are
determined
using
significant
unobservable
inputs
(including
management’s
assumptions
in
determining
the
fair
value
of
investments).
The
following
table
summarizes
the
market
value
of
the
Fund's
investments
as
of
the
end
of
the
reporting
period,
based
on
the
inputs
used
to
value
them:
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Utilities
-
8.1%
New
Jersey
Economic
Development
Authority,
Energy
Facilities
Revenue
Bonds,
UMM
Energy
Partners,
LLC
Project,
Series
2012A:
$
500
5.000%,
6/15/37,
(AMT)
1/23
at
100.00
Baa2
$
500,070
1,000
5.125%,
6/15/43,
(AMT)
1/23
at
100.00
Baa2
1,000,100
1,975
New
Jersey
Economic
Development
Authority,
Natural
Gas
Facilities
Revenue
Bonds,
New
Jersey
Natural
Gas
Company
Project,
Refunding
Series
2011A,
2.750%,
8/01/39
8/24
at
100.00
A1
1,583,022
1,045
New
Jersey
Economic
Development
Authority,
Water
Facilities
Revenue
Bonds,
Middlesex
Water
Company,
Series
2012C,
5.000%,
10/01/23
No
Opt.
Call
A+
1,063,862
4,195
New
Jersey
Economic
Development
Authority,
Water
Facilities
Revenue
Bonds,
Middlesex
Water
Company,
Series
2019,
4.000%,
8/01/59,
(AMT)
8/29
at
100.00
A+
3,435,286
5,000
New
Jersey
Economic
Development
Authority,
Water
Facilities
Revenue
Bonds,
New
Jersey-American
Water
Company
Inc.
Project,
Refunding
Series
2019A,
2.200%,
10/01/39,
(AMT),
(Mandatory
Put
12/03/29)
12/29
at
100.00
A+
4,404,400
3,150
New
Jersey
Economic
Development
Authority,
Water
Facilities
Revenue
Bonds,
New
Jersey-American
Water
Company
Inc.
Project,
Refunding
Series
2020B,
1.200%,
11/01/34,
(AMT),
(Mandatory
Put
6/01/23)
No
Opt.
Call
A+
3,119,382
New
Jersey
Infrastructure
Bank,
Environmental
Infrastructure
Bonds,
Green
Series
2021A-1:
3,520
3.000%,
9/01/31
9/30
at
100.00
AAA
3,470,544
4,935
3.000%,
9/01/32
9/30
at
100.00
AAA
4,783,792
5,085
3.000%,
9/01/33
9/30
at
100.00
AAA
4,851,751
695
Passaic
County
Utilities
Authority,
New
Jersey,
Solid
Waste
Disposal
Revenue
Bonds,
Refunding
Series
2018,
5.000%,
3/01/37
No
Opt.
Call
AA
792,411
1,260
Puerto
Rico
Aqueduct
and
Sewerage
Authority,
Revenue
Bonds,
Refunding
Senior
Lien
Series
2020A,
5.000%,
7/01/30,
144A
No
Opt.
Call
N/R
1,274,200
5,000
Salem
County
Pollution
Control
Financing
Authority,
New
Jersey,
Revenue
Bonds,
Atlantic
City
Electric
Company
Project,
Refunding
Series
2020,
2.250%,
6/01/29
No
Opt.
Call
A
4,468,700
37,360
Total
Utilities
34,747,520
$
460,427
Total
Long-Term
Investments
(cost
$458,709,720)
432,989,120
Floating
Rate
Obligations
-
(1.8)%  
(
7,590,000
)
Other
Assets
Less
Liabilities
-
1.2%
5,165,798
Net
Assets
-
100%
$
430,564,918
71
Level
1
Level
2
Level
3
Total
Long-Term
Investments:
Municipal
Bonds
$
$
432,989,120
$
$
432,989,120
Total
$
$
432,989,120
$
$
432,989,120
(1)
All
percentages
shown
in
the
Portfolio
of
Investments
are
based
on
net
assets.
(2)
Optional
Call
Provisions:
Dates
(month
and
year)
and
prices
of
the
earliest
optional
call
or
redemption.
There
may
be
other
call
provisions
at
varying
prices
at
later
dates.
Certain
mortgage-backed
securities
may
be
subject
to
periodic
principal
paydowns.
(3)
For
financial
reporting
purposes,
the
ratings
disclosed
are
the
highest
of
Standard
&
Poor’s
Group
(“Standard
&
Poor’s”),
Moody’s
Investors
Service,
Inc.
(“Moody’s”)
or
Fitch,
Inc.
(“Fitch”)
rating.
This
treatment
of
split-rated
securities
may
differ
from
that
used
for
other
purposes,
such
as
for
Fund
investment
policies.
Ratings
below
BBB
by
Standard
&
Poor’s,
Baa
by
Moody’s
or
BBB
by
Fitch
are
considered
to
be
below
investment
grade.
Holdings
designated
N/R
are
not
rated
by
any
of
these
national
rating
agencies.
(4)
Defaulted
security.
A
security
whose
issuer
has
failed
to
fully
pay
principal
and/or
interest
when
due,
or
is
under
the
protection
of
bankruptcy.
(5)
Investment,
or
portion
of
investment,
has
been
pledged
to
collateralize
the
net
payment
obligations
for
investments
in
inverse
floating
rate
transactions.
(6)
Backed
by
an
escrow
or
trust
containing
sufficient
U.S.
Government
or
U.S.
Government
agency
securities,
which
ensure
the
timely
payment
of
principal
and
interest.
144A
Investment
is
exempt
from
registration
under
Rule
144A
of
the
Securities
Act
of
1933,
as
amended.
These
investments
may
only
be
resold
in
transactions
exempt
from
registration,
which
are
normally
those
transactions
with
qualified
institutional
buyers.
AMT
Alternative
Minimum
Tax
ETM
Escrowed
to
maturity
UB
Underlying
bond
of
an
inverse
floating
rate
trust
reflected
as
a
financing
transaction.
WI/DD
Purchased
on
a
when-issued
or
delayed
delivery
basis.
72
Nuveen
New
York
Municipal
Bond
Fund
Portfolio
of
Investments
November
30,
2022
(Unaudited)
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
LONG-TERM
INVESTMENTS
-
95.6%   
X
1,125,705,522
MUNICIPAL
BONDS
-
95.6%  
X
1,125,705,522
Consumer
Staples
-
3.1%
$
15,110
Erie
County
Tobacco
Asset
Securitization
Corporation,
New
York,
Tobacco
Settlement
Asset-Backed
Bonds,
Series
2005A,
5.000%,
6/01/38
1/23
at
100.00
BBB
$
14,681,480
76,105
Erie
County
Tobacco
Asset
Securitization
Corporation,
New
York,
Tobacco
Settlement
Asset-Backed
Bonds,
Series
2005C,
0.000%,
6/01/50,
144A
1/23
at
17.90
N/R
7,714,764
New
York
Counties
Tobacco
Trust
VI,
New
York,
Tobacco
Settlement
Pass-Through
Bonds,
Series
Series
2016A-1:
1,310
5.625%,
6/01/35
No
Opt.
Call
A-
1,336,514
6,885
5.750%,
6/01/43
No
Opt.
Call
BBB-
7,104,907
1,330
New
York
Counties
Tobacco
Trust
VI,
New
York,
Tobacco
Settlement
Pass-
Through
Bonds,
Turbo
Term
Series
2016A.
Including
2016A-1,
2016A-
2A
and
2016A-2B,
5.000%,
6/01/45
6/26
at
100.00
BB+
1,252,927
10,000
Suffolk
Tobacco
Asset
Securitization
Corporation,
New
York,
Tobacco
Settlement
Asset-Backed
Bonds,
Series
2021B-2,
0.000%,
6/01/66
6/31
at
27.72
N/R
1,049,600
3,000
TSASC
Inc.,
New
York,
Tobacco
Asset-Backed
Bonds,
Series
2006,
5.000%,
6/01/48
6/27
at
100.00
N/R
2,784,000
113,740
Total
Consumer
Staples
35,924,192
Education
and
Civic
Organizations
-
10.8%
2,045
Buffalo
and
Erie
County
Industrial
Land
Development
Corporation,
New
York,
Revenue
Bonds,
Enterprise
Charter
School
Project,
Series
2011A,
7.500%,
12/01/40
1/23
at
100.00
CCC
1,869,723
Build
New
York
City
Resource
Corporation,
New
York,
Revenue
Bonds,
Bronx
Charter
School
for
Excellence,
Series
2013A:
1,630
5.000%,
4/01/33
4/23
at
100.00
BBB-
1,635,460
1,250
5.500%,
4/01/43
4/23
at
100.00
BBB-
1,254,088
2,500
Build
New
York
City
Resource
Corporation,
New
York,
Revenue
Bonds,
Children's
Aid
Society
Project,
Series
2015.,
5.000%,
7/01/40
7/25
at
100.00
A+
2,538,525
2,500
Build
New
York
City
Resource
Corporation,
New
York,
Revenue
Bonds,
Childrens
Aid
Society
Project,
Series
2015.
BUILD
NYC
CHILDRENS
AID
SOCIETY,
5.000%,
7/01/45
7/25
at
100.00
A+
2,527,025
Build
New
York
City
Resource
Corporation,
New
York,
Revenue
Bonds,
City
University
of
New
York
-
Queens
College,
Q
Student
Residences,
LLC
Project,
Refunding
Series
2014A:
1,000
5.000%,
6/01/38
6/24
at
100.00
Aa2
1,020,990
4,050
5.000%,
6/01/43
6/24
at
100.00
Aa2
4,118,405
500
Build
New
York
City
Resource
Corporation,
New
York,
Revenue
Bonds,
Global
Community
Charter
School
Project,
Series
2022A,
5.000%,
6/15/42
6/32
at
100.00
BB+
475,450
Build
New
York
City
Resource
Corporation,
New
York,
Revenue
Bonds,
Metropolitan
College
of
New
York,
Series
2014:
2,240
5.000%,
11/01/39
11/24
at
100.00
BB-
2,068,819
2,200
5.500%,
11/01/44
11/24
at
100.00
BB-
2,092,420
Build
New
York
City
Resource
Corporation,
New
York,
Revenue
Bonds,
South
Bronx
Charter
School
for
International
Cultures
and
the
Arts
Project,
Series
2013A:
1,050
5.000%,
4/15/33,
144A
4/23
at
100.00
BB+
1,040,718
1,875
5.000%,
4/15/43,
144A
4/23
at
100.00
BB+
1,752,150
2,395
Build
NYC
Resource
Corporation,
New
York,
Revenue
Bonds,
Family
Life
Academy
Charter
School,
Series
2020C-1,
5.000%,
6/01/55,
144A
12/30
at
100.00
N/R
1,840,773
73
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Education
and
Civic
Organizations
(continued)
Build
NYC
Resource
Corporation,
New
York,
Revenue
Bonds,
Richmond
Preparatory
Charter
School
Project,
Social
Impact
Project
Series
2021A:
$
500
5.000%,
6/01/41,
144A
6/29
at
100.00
N/R
$
468,445
2,620
5.000%,
6/01/56,
144A
6/29
at
100.00
N/R
2,280,736
595
Dormitory
Authority
of
the
State
of
New
York,
General
Revenue
Bonds,
Saint
Johns
University,
Series
2015A,
5.000%,
7/01/37
7/25
at
100.00
A-
611,595
3,835
Dormitory
Authority
of
the
State
of
New
York,
General
Revenue
Bonds,
Yeshiva
University,
Series
2022A,
5.000%,
7/15/42
7/32
at
100.00
BBB-
3,923,243
Dormitory
Authority
of
the
State
of
New
York,
Housing
Revenue
Bonds,
Fashion
Institute
of
Technology,
Series
2007:
1,670
5.250%,
7/01/29
-
FGIC
Insured
No
Opt.
Call
Baa2
1,737,101
735
5.250%,
7/01/34
-
FGIC
Insured
No
Opt.
Call
Baa2
761,048
1,600
Dormitory
Authority
of
the
State
of
New
York,
Revenue
Bonds,
Barnard
College,
Refunding
Series
2015A,
5.000%,
7/01/43
7/25
at
100.00
A3
1,622,224
9,000
Dormitory
Authority
of
the
State
of
New
York,
Revenue
Bonds,
Fordham
University,
Series
2020,
4.000%,
7/01/46
7/29
at
100.00
A
8,553,420
2,760
Dormitory
Authority
of
the
State
of
New
York,
Revenue
Bonds,
Icahn
School
of
Medicine
at
Mount
Sinai,
Refunding
Series
2015A,
5.000%,
7/01/40
7/25
at
100.00
A-
2,805,926
Dormitory
Authority
of
the
State
of
New
York,
Revenue
Bonds,
New
School
University,
Series
2015A:
4,270
5.000%,
7/01/45
7/25
at
100.00
A3
4,316,159
2,605
Dormitory
Authority
of
the
State
of
New
York,
Revenue
Bonds,
New
School
University,
Series
2022A,
4.000%,
7/01/47
7/32
at
100.00
A3
2,266,324
1,055
Dormitory
Authority
of
the
State
of
New
York,
Revenue
Bonds,
New
York
University,
Series
2001-1,
5.500%,
7/01/40
-
AMBAC
Insured
No
Opt.
Call
AAA
1,256,452
3,450
Dormitory
Authority
of
the
State
of
New
York,
Revenue
Bonds,
New
York
University,
Series
2015A,
5.000%,
7/01/35
7/25
at
100.00
Aa2
3,626,778
1,215
Dormitory
Authority
of
the
State
of
New
York,
Revenue
Bonds,
New
York
University,
Series
2016A,
4.000%,
7/01/43
7/26
at
100.00
Aa2
1,196,046
1,500
Dormitory
Authority
of
the
State
of
New
York,
Revenue
Bonds,
New
York
University,
Series
2018A,
5.000%,
7/01/48
7/28
at
100.00
Aa2
1,586,145
Dormitory
Authority
of
the
State
of
New
York,
Revenue
Bonds,
New
York
University,
Series
2019A:
1,040
5.000%,
7/01/37
7/29
at
100.00
Aa2
1,144,905
660
5.000%,
7/01/42
7/29
at
100.00
Aa2
714,120
10,000
4.000%,
7/01/45
7/29
at
100.00
Aa2
9,781,700
3,375
Dormitory
Authority
of
the
State
of
New
York,
Revenue
Bonds,
Rockefeller
University,
Green
Series
2019B,
5.000%,
7/01/50
7/29
at
100.00
Aa1
3,583,541
875
Dormitory
Authority
of
the
State
of
New
York,
Revenue
Bonds,
Rockefeller
University,
Series
2020A,
5.000%,
7/01/53
7/30
at
100.00
Aa1
931,376
8,665
Dormitory
Authority
of
the
State
of
New
York,
Revenue
Bonds,
Rockefeller
University,
Series
2022A,
4.000%,
7/01/42
7/32
at
100.00
Aa1
8,481,129
100
Dormitory
Authority
of
the
State
of
New
York,
Revenue
Bonds,
Saint
Joseph's
College,
Series
2021,
5.000%,
7/01/51
7/30
at
100.00
BBB-
102,406
3,450
Dormitory
Authority
of
the
State
of
New
York,
Revenue
Bonds,
Vaughn
College
of
Aeronautics
&
Technology,
Series
2016A,
5.500%,
12/01/36,
144A
12/26
at
100.00
BB-
3,423,401
9,175
Dutchess
County
Local
Development
Corporation,
New
York,
Revenue
Bonds,
Marist
College
Project,
Series
2022,
5.000%,
7/01/52
7/32
at
100.00
A+
9,531,724
7,500
Glen
Cove
Local
Economic
Assistance
Corporation,
New
York,
Revenue
Bonds,
Garvies
Point
Public
Improvement
Project,
Capital
Appreciation
Series
2016B,
0.000%,
1/01/45
No
Opt.
Call
N/R
1,818,825
3,040
Glen
Cove
Local
Economic
Assistance
Corporation,
New
York,
Revenue
Bonds,
Garvies
Point
Public
Improvement
Project,
Capital
Appreciation
Series
2016C,
5.625%,
1/01/55
1/34
at
100.00
N/R
2,526,118
7,835
Monroe
County
Industrial
Development
Corporation,
New
York,
Revenue
Bonds,  University
of
Rochester
Project,
Series
2020A,
4.000%,
7/01/50
7/30
at
100.00
AA-
7,349,073
405
New
Rochelle
Corporation,
New
York,
Local
Development
Revenue
Bonds,
Iona
College
Project,
Series
2015A,
5.000%,
7/01/40
7/25
at
100.00
BBB
412,233
Nuveen
New
York
Municipal
Bond
Fund
(continued)
Portfolio
of
Investments
November
30,
2022
(Unaudited)
74
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Education
and
Civic
Organizations
(continued)
$
2,095
New
York
City
Industrial
Development
Agency,
New
York,
PILOT
Payment
in
Lieu
of
Taxes
Revenue
Bonds,
Queens
Baseball
Stadium
Project,
Refunding
Series
2021A,
3.000%,
1/01/37
-
AGM
Insured
1/31
at
100.00
AA
$
1,763,697
2,620
New
York
City
Industrial
Development
Agency,
New
York,
PILOT
Payment
in
Lieu
of
Taxes
Revenue
Bonds,
Yankee
Stadium
Project,
Series
2020A,
4.000%,
3/01/45
-
AGM
Insured
9/30
at
100.00
AA
2,444,329
750
Oneida
County
Local
Development
Corporation,
New
York,
Revenue
Bonds,
Utica
College
Project,
Series
2019,
4.000%,
7/01/39
7/29
at
100.00
BBB-
653,625
10,000
Onondaga
County
Trust
For
Cultural
Resources,
New
York,
Revenue
Bonds,
Syracuse
University
Project,
Series
2019,
5.000%,
12/01/45
12/29
at
100.00
AA-
10,827,200
Yonkers
Economic
Development
Corporation,
New
York,
Educational
Revenue
Bonds,
Lamartine/Warburton
LLC-
Charter
School
of
Educational
Excellence
Project,
Series
2019A:
200
4.000%,
10/15/29
No
Opt.
Call
N/R
187,154
205
5.000%,
10/15/39
10/29
at
100.00
N/R
189,984
134,635
Total
Education
and
Civic
Organizations
127,112,728
Financials
-
0.9%
5,710
Liberty
Development
Corporation,
New
York,
Goldman
Sachs
Headquarter
Revenue
Bonds,
Series
2005,
5.250%,
10/01/35
No
Opt.
Call
A2
6,273,006
3,475
Liberty
Development
Corporation,
New
York,
Goldman
Sachs
Headquarters
Revenue
Bonds
Series
2007,
5.500%,
10/01/37
No
Opt.
Call
A2
3,890,888
9,185
Total
Financials
10,163,894
Health
Care
-
11.0%
Dormitory
Authority
of
the
State
of
New
York,
General
Revenue
Bonds,
Northwell
Health
Obligated
Group,
Series
2022A:
15,600
4.000%,
5/01/45
5/32
at
100.00
A-
14,653,080
18,290
4.250%,
5/01/52
5/32
at
100.00
A-
17,531,880
9,255
5.000%,
5/01/52
5/32
at
100.00
A-
9,653,150
3,250
Dormitory
Authority
of
the
State
of
New
York,
Revenue
Bonds,
Montefiore
Obligated
Group,
Series
2018A,
5.000%,
8/01/35
8/28
at
100.00
BBB-
3,218,897
Dormitory
Authority
of
the
State
of
New
York,
Revenue
Bonds,
Montefiore
Obligated
Group,
Series
2020A:
1,200
5.000%,
9/01/30
3/30
at
100.00
BBB-
1,221,144
2,680
5.000%,
9/01/34
3/30
at
100.00
BBB-
2,673,381
2,620
5.000%,
9/01/35
3/30
at
100.00
BBB-
2,593,328
11,400
4.000%,
9/01/50
3/30
at
100.00
BBB-
8,956,410
2,300
Dormitory
Authority
of
the
State
of
New
York,
Revenue
Bonds,
North
Shore
Long
Island
Jewish
Obligated
Group,
Series
2015A,
5.000%,
5/01/43
5/25
at
100.00
A-
2,332,085
29,985
Dormitory
Authority
of
the
State
of
New
York,
Revenue
Bonds,
NYU
Langone
Hospitals
Obligated
Group,
Series
2020A,
4.000%,
7/01/53
7/30
at
100.00
A+
27,234,476
Dormitory
Authority
of
the
State
of
New
York,
Revenue
Bonds,
Orange
Regional
Medical
Center
Obligated
Group,
Series
2015:
1,100
5.000%,
12/01/32,
144A
6/25
at
100.00
BBB-
1,106,787
1,100
5.000%,
12/01/33,
144A
6/25
at
100.00
BBB-
1,106,017
1,000
5.000%,
12/01/35,
144A
6/25
at
100.00
BBB-
1,003,560
1,800
Dormitory
Authority
of
the
State
of
New
York,
Revenue
Bonds,
Orange
Regional
Medical
Center
Obligated
Group,
Series
2017,
5.000%,
12/01/36,
144A
6/27
at
100.00
BBB-
1,808,604
Dutchess
County
Local
Development
Corporation,
New
York,
Revenue
Bonds,
Health
Quest
Systems,
Inc.
Project,
Series
2016B:
2,000
4.000%,
7/01/41
7/26
at
100.00
BBB+
1,750,260
9,325
5.000%,
7/01/46
7/26
at
100.00
BBB+
9,337,309
5,375
Genesee
County
Funding
Corporation,
New
York,
Revenue
Bonds,
Rochester
Regional
Health
Project,
Series
2022A,
5.250%,
12/01/52
12/32
at
100.00
BBB+
5,468,901
75
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Health
Care
(continued)
$
1,395
Monroe
County
Industrial
Development
Corporation,
New
York,
Revenue
Bonds,
Rochester
General
Hospital
Project,
Series
2013A,
5.000%,
12/01/42
1/23
at
100.00
BBB+
$
1,395,349
2,600
Monroe
County
Industrial
Development
Corporation,
New
York,
Revenue
Bonds,
Rochester
Regional
Health
Project,
Series
2020A,
4.000%,
12/01/46
12/30
at
100.00
BBB+
2,239,562
375
Monroe
County
Industrial
Development
Corporation,
New
York,
Tax-
Exempt
Revenue
Bonds,
Highland
Hospital
of
Rochester
Project,
Series
2015,
5.000%,
7/01/34
7/25
at
100.00
A
385,496
2,000
New
York
City
Health
and
Hospitals
Corporation,
New
York,
Health
System
Revenue
Bonds,
Series
2020A,
4.000%,
2/15/45
2/31
at
100.00
Aa3
1,948,240
12,310
Westchester
County
Local
Development
Corporation,
New
York,
Revenue
Bonds,
Westchester
Medical
Center
Obligated
Group
Project,
Refunding
Series
2016,
5.000%,
11/01/46
11/25
at
100.00
BBB-
12,319,971
136,960
Total
Health
Care
129,937,887
Housing/Multifamily
-
0.1%
1,355
New
York
State
Housing
Finance
Agency,
Multifamily
Housing
Revenue
Bonds,
Cannon
Street
Senior
Housing
Project,
Series
2007A,
5.300%,
2/15/39,
(AMT)
1/23
at
100.00
Aa1
1,356,192
Industrials
-
2.0%
17,020
New
York
Liberty
Development
Corporation,
New
York,
Liberty
Revenue
Bonds,
3
World
Trade
Center
Project,
Class
1
Series
2014,
5.000%,
11/15/44,
144A
11/24
at
100.00
N/R
16,087,304
7,550
New
York
Liberty
Development
Corporation,
New
York,
Liberty
Revenue
Bonds,
3
World
Trade
Center
Project,
Class
2
Series
2014,
5.150%,
11/15/34,
144A
11/24
at
100.00
N/R
7,503,190
80
New
York
Liberty
Development
Corporation,
New
York,
Liberty
Revenue
Bonds,
7
World
Trade
Center
Project,
Refunding
Green
Series
2022A-
CL2,
3.500%,
9/15/52
3/30
at
100.00
A2
61,956
24,650
Total
Industrials
23,652,450
Long-Term
Care
-
0.2%
650
Dormitory
Authority
of
the
State
of
New
York,
Non-State
Supported
Debt,
Ozanam
Hall
of
Queens
Nursing
Home
Revenue
Bonds,
Series
2006,
5.000%,
11/01/31
1/23
at
100.00
A1
654,700
550
Monroe
County
Industrial
Development
Corporation,
New
York,
Revenue
Bonds,
Saint
Anns
Community
Project,
Series
2019,
5.000%,
1/01/40
1/26
at
103.00
N/R
465,608
New
York
City
Industrial
Development
Agency,
New
York,
Civic
Facility
Revenue
Bonds,
Special
Needs
Facilities
Pooled
Program,
Series
2008A-1:
155
5.800%,
7/01/23,
144A
1/23
at
100.00
N/R
151,503
395
6.100%,
7/01/28,
144A
1/23
at
100.00
N/R
329,157
210
6.200%,
7/01/33,
144A
1/23
at
100.00
N/R
156,423
1,960
Total
Long-Term
Care
1,757,391
Materials
-
0.2%
Build
New
York
City
Resource
Corporation,
New
York,
Solid
Waste
Disposal
Revenue
Bonds,
Pratt
Paper
NY,
Inc.
Project,
Series
2014:
555
4.500%,
1/01/25,
(AMT),
144A
No
Opt.
Call
N/R
560,200
2,145
5.000%,
1/01/35,
(AMT),
144A
1/25
at
100.00
N/R
2,169,818
2,700
Total
Materials
2,730,018
Nuveen
New
York
Municipal
Bond
Fund
(continued)
Portfolio
of
Investments
November
30,
2022
(Unaudited)
76
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Tax
Obligation/General
-
6.1%
$
3,190
Nassau
County,
New
York,
General
Obligation
Bonds,
General
Improvement
Bonds
Series
2019B,
5.000%,
4/01/35
-
AGM
Insured
4/30
at
100.00
AA
$
3,529,767
2,070
Nassau
County,
New
York,
General
Obligation
Bonds,
General
Improvement
Series
2021A,
4.000%,
4/01/44
-
AGM
Insured
4/31
at
100.00
AA
2,056,193
Nassau
County,
New
York,
General
Obligation
Bonds,
General
Improvment
Series
2016C:
2,000
5.000%,
4/01/39
-
BAM
Insured
4/26
at
100.00
AA
2,109,960
1,000
5.000%,
4/01/40
-
BAM
Insured
4/26
at
100.00
AA
1,053,680
New
York
City,
New
York,
General
Obligation
Bonds,
Fiscal
2013
Series
F-1:
35
5.000%,
3/01/37
3/23
at
100.00
AA
35,162
2,000
New
York
City,
New
York,
General
Obligation
Bonds,
Fiscal
2014
Series
D-1,
5.000%,
8/01/30
8/23
at
100.00
AA
2,028,320
2,500
New
York
City,
New
York,
General
Obligation
Bonds,
Fiscal
2015
Series
A,
5.000%,
8/01/32
8/24
at
100.00
AA
2,583,150
5,845
New
York
City,
New
York,
General
Obligation
Bonds,
Fiscal
2018
Series
B-1,
5.000%,
10/01/39
10/27
at
100.00
AA
6,187,926
New
York
City,
New
York,
General
Obligation
Bonds,
Fiscal
2018
Series
E-1:
17,000
5.000%,
3/01/39
3/28
at
100.00
AA
18,017,280
1,050
5.000%,
3/01/40
3/28
at
100.00
AA
1,109,356
5,000
New
York
City,
New
York,
General
Obligation
Bonds,
Fiscal
2020
Series
B-1,
4.000%,
10/01/40
10/29
at
100.00
AA
4,960,700
New
York
City,
New
York,
General
Obligation
Bonds,
Fiscal
2021
Series
C:
8,800
4.000%,
8/01/37
8/30
at
100.00
AA
8,844,704
5,350
5.000%,
8/01/42
8/30
at
100.00
AA
5,788,165
5,800
New
York
City,
New
York,
General
Obligation
Bonds,
Fiscal
2021
Series
F-1,
5.000%,
3/01/50
3/31
at
100.00
AA
6,176,536
Puerto
Rico,
General
Obligation
Bonds,
Restructured
Series
2022A-1:
5,633
4.000%,
7/01/35
7/31
at
103.00
N/R
4,803,879
910
4.000%,
7/01/37
7/31
at
103.00
N/R
760,551
2,770
4.000%,
7/01/41
7/31
at
103.00
N/R
2,226,304
70,953
Total
Tax
Obligation/General
72,271,633
Tax
Obligation/Limited
-
23.9%
2,000
Dormitory
Authority
of
the
State
of
New
York,
Master
Boces
Program,
Lease
Revenue
Bonds,
St
Lawrence-Lewis
Issue,
Series
2020B,
4.000%,
8/15/40
-
BAM
Insured
8/28
at
100.00
AA
1,969,880
Dormitory
Authority
of
the
State
of
New
York,
Residential
Insitutions
for
Children
Revenue
Bonds,
Series
2008-A1:
1,585
5.000%,
6/01/33
1/23
at
100.00
Aa1
1,588,376
1,985
5.000%,
6/01/38
1/23
at
100.00
Aa1
1,989,307
20
Dormitory
Authority
of
the
State
of
New
York,
Revenue
Bonds,
School
Districts
Financing
Program,
Series
2009C,
5.125%,
10/01/36
-
AGC
Insured
1/23
at
100.00
AA
20,045
3,115
Dormitory
Authority
of
the
State
of
New
York,
State
Personal
Income
Tax
Revenue
Bonds,
General
Purpose
Series
2014C.
Group
C,
5.000%,
3/15/42
3/24
at
100.00
AA+
3,174,683
Dormitory
Authority
of
the
State
of
New
York,
State
Personal
Income
Tax
Revenue
Bonds,
General
Purpose
Series
2015B
Group
B:
2,830
5.000%,
2/15/32
2/25
at
100.00
AA+
2,955,567
1,000
Dormitory
Authority
of
the
State
of
New
York,
State
Personal
Income
Tax
Revenue
Bonds,
General
Purpose
Series
2015B
Group
C,
5.000%,
2/15/38
2/25
at
100.00
AA+
1,032,470
6,000
Dormitory
Authority
of
the
State
of
New
York,
State
Personal
Income
Tax
Revenue
Bonds,
General
Purpose
Series
2015E,
5.000%,
3/15/30
9/25
at
100.00
AA+
6,341,520
3,850
Dormitory
Authority
of
the
State
of
New
York,
State
Personal
Income
Tax
Revenue
Bonds,
General
Purpose,
Series
2019A.
Bidding
Group
1,2,3,4,
5.000%,
3/15/40
3/29
at
100.00
Aa1
4,148,298
77
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Tax
Obligation/Limited
(continued)
$
8,865
Dormitory
Authority
of
the
State
of
New
York,
State
Personal
Income
Tax
Revenue
Bonds,
General
Purpose,
Series
2019D,
4.000%,
2/15/38
2/30
at
100.00
Aa1
$
8,930,690
10,905
Dormitory
Authority
of
the
State
of
New
York,
State
Sales
Tax
Revenue
Bonds,
Series
2017A
Group
C,
5.000%,
3/15/41
3/27
at
100.00
AA+
11,469,225
16,235
Dormitory
Authority
of
the
State
of
New
York,
State
Sales
Tax
Revenue
Bonds,
Series
2018A,
5.000%,
3/15/42
3/28
at
100.00
AA+
17,175,656
15,000
Dormitory
Authority
of
the
State
of
New
York,
State
Sales
Tax
Revenue
Bonds,
Series
2018C,
4.000%,
3/15/45
3/28
at
100.00
AA+
14,255,550
2,765
Dormitory
Authority
of
the
State
of
New
York,
State
Sales
Tax
Revenue
Bonds,
Series
2018E
Group
4,
5.000%,
3/15/45
9/28
at
100.00
AA+
2,924,015
Government
of
Guam,
Business
Privilege
Tax
Bonds,
Refunding
Series
2015D:
2,000
5.000%,
11/15/28
11/25
at
100.00
BB
2,049,100
2,000
5.000%,
11/15/32
11/25
at
100.00
BB
2,038,200
2,170
Hudson
Yards
Infrastructure
Corporation,
New
York,
Revenue
Bonds,
Green
Fiscal
2022
Series
A,
4.000%,
2/15/36
2/32
at
100.00
Aa2
2,215,527
Hudson
Yards
Infrastructure
Corporation,
New
York,
Revenue
Bonds,
Second
Indenture
Fiscal
2017
Series
A:
5,710
5.000%,
2/15/39
2/27
at
100.00
Aa2
6,000,125
5,000
5.000%,
2/15/42
2/27
at
100.00
Aa2
5,226,950
5,450
Metropolitan
Transportation
Authority,
New
York,
Dedicated
Tax
Fund
Bonds,
Series
2022A,
5.000%,
11/15/46
5/32
at
100.00
AA
5,817,820
4,000
Monroe
County
Industrial
Development
Agency,
New
York,
School
Facility
Revenue
Bonds,
Rochester
Schools
Modernization
Project,
Series
2013,
5.000%,
5/01/28
5/23
at
100.00
AA
4,038,560
3,000
New
York
City
Transitional
Finance
Authority,
New
York,
Building
Aid
Revenue
Bonds,
Fiscal
2019
Subseries
S-1,
5.000%,
7/15/43
7/28
at
100.00
AA
3,164,490
New
York
City
Transitional
Finance
Authority,
New
York,
Building
Aid
Revenue
Bonds,
Fiscal
2020
Subseries
S-1B:
5,620
4.000%,
7/15/42
7/29
at
100.00
AA
5,478,432
9,335
4.000%,
7/15/43
7/29
at
100.00
AA
9,050,003
8,500
New
York
City
Transitional
Finance
Authority,
New
York,
Building
Aid
Revenue
Bonds,
Fiscal
Series
2015S-2,
5.000%,
7/15/40
7/25
at
100.00
AA
8,767,920
New
York
City
Transitional
Finance
Authority,
New
York,
Building
Aid
Revenue
Bonds,
Fiscal
Series
2016S-1:
1,615
5.000%,
7/15/34
1/26
at
100.00
AA
1,686,060
1,165
5.000%,
7/15/35
1/26
at
100.00
AA
1,214,862
3,950
New
York
City
Transitional
Finance
Authority,
New
York,
Future
Tax
Secured
Bonds,
Subordinate
Fiscal
2013
Series
I,
5.000%,
5/01/38
5/23
at
100.00
AAA
3,974,371
2,480
New
York
City
Transitional
Finance
Authority,
New
York,
Future
Tax
Secured
Bonds,
Subordinate
Fiscal
2014
Series
B-1,
5.000%,
11/01/36
5/24
at
100.00
AAA
2,538,578
5,715
New
York
City
Transitional
Finance
Authority,
New
York,
Future
Tax
Secured
Bonds,
Subordinate
Fiscal
2014
Series
D-1,
5.000%,
2/01/35
2/24
at
100.00
AAA
5,837,015
5,000
New
York
City
Transitional
Finance
Authority,
New
York,
Future
Tax
Secured
Bonds,
Subordinate
Fiscal
2015
Series
E-1,
5.000%,
2/01/41
2/25
at
100.00
AAA
5,132,400
5,000
New
York
City
Transitional
Finance
Authority,
New
York,
Future
Tax
Secured
Bonds,
Subordinate
Fiscal
2016
Series
A-1,
5.000%,
8/01/36
8/25
at
100.00
AAA
5,199,900
5,000
New
York
City
Transitional
Finance
Authority,
New
York,
Future
Tax
Secured
Bonds,
Subordinate
Fiscal
2016
Series
E-1,
5.000%,
2/01/39
2/26
at
100.00
AAA
5,202,950
5,000
New
York
City
Transitional
Finance
Authority,
New
York,
Future
Tax
Secured
Bonds,
Subordinate
Fiscal
2017
Series
B-1,
5.000%,
8/01/38
8/26
at
100.00
AAA
5,246,100
5,000
New
York
City
Transitional
Finance
Authority,
New
York,
Future
Tax
Secured
Bonds,
Subordinate
Fiscal
2017
Series
F-1,
5.000%,
5/01/38
5/27
at
100.00
AAA
5,301,950
4,020
New
York
City
Transitional
Finance
Authority,
New
York,
Future
Tax
Secured
Bonds,
Subordinate
Fiscal
2020
Subseries
B-1,
4.000%,
11/01/47
11/29
at
100.00
AAA
3,819,884
5,715
New
York
City
Transitional
Finance
Authority,
New
York,
Future
Tax
Secured
Bonds,
Subordinate
Fiscal
2020
Subseries
C-1,
4.000%,
5/01/45
11/30
at
100.00
AAA
5,485,943
850
New
York
City
Transitional
Finance
Authority,
New
York,
Future
Tax
Secured
Bonds,
Subordinate
Fiscal
2022
Subseries
C-1,
4.000%,
2/01/42
2/32
at
100.00
AAA
827,815
Nuveen
New
York
Municipal
Bond
Fund
(continued)
Portfolio
of
Investments
November
30,
2022
(Unaudited)
78
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Tax
Obligation/Limited
(continued)
$
5,000
New
York
City,
New
York,
Educational
Construction
Fund
Revenue
Bonds,
Series
2021B,
5.000%,
4/01/52
4/31
at
100.00
AA-
$
5,280,050
New
York
State
Thruway
Authority,
State
Personal
Income
Tax
Revenue
Bonds,
Bidding
Group
1
Series
2022A:
9,585
5.000%,
3/15/45
9/32
at
100.00
AA+
10,346,528
2,040
5.000%,
3/15/48
9/32
at
100.00
AA+
2,190,736
1,650
New
York
State
Thruway
Authority,
State
Personal
Income
Tax
Revenue
Bonds,
Climate
Certified
Green
Series
2022C,
5.000%,
3/15/53
9/32
at
100.00
AA+
1,759,626
5,380
New
York
State
Urban
Development
Corporation,
State
Personal
Income
Tax
Revenue
Bonds,
General
Purpose
Group
1,
Series
2019A,
4.000%,
3/15/48
9/28
at
100.00
Aa1
5,040,845
New
York
State
Urban
Development
Corporation,
State
Personal
Income
Tax
Revenue
Bonds,
General
Purpose,
Series
2020C:
7,000
5.000%,
3/15/47
9/30
at
100.00
Aa1
7,464,730
3,800
4.000%,
3/15/49
9/30
at
100.00
Aa1
3,547,300
Puerto
Rico
Sales
Tax
Financing
Corporation,
Sales
Tax
Revenue
Bonds,
Restructured
2018A-1:
1,044
0.000%,
7/01/33
7/28
at
86.06
N/R
602,994
27,103
5.000%,
7/01/58
7/28
at
100.00
N/R
25,715,597
2,000
Suffolk
County
Judicial
Facilities
Agency,
New
York,
Lease
Revenue
Bonds,
H.
Lee
Dennison
Building,
Series
2013,
5.000%,
11/01/33
11/23
at
100.00
A
2,032,820
Syracuse
Industrial
Development
Authority,
New
York,
PILOT
Revenue
Bonds,
Carousel
Center
Project,
Refunding
Series
2016A:
5,750
5.000%,
1/01/29,
(AMT)
1/26
at
100.00
Caa1
4,836,900
1,930
5.000%,
1/01/32,
(AMT)
1/26
at
100.00
Caa1
1,496,194
1,250
5.000%,
1/01/34,
(AMT)
1/26
at
100.00
Caa1
923,388
5,430
5.000%,
1/01/36,
(AMT)
1/26
at
100.00
Caa1
3,862,576
2,340
Triborough
Bridge
and
Tunnel
Authority,
New
York,
Payroll
Mobility
Tax
Bonds,
Senior
Lien
Series
2021B-1,
4.000%,
5/15/56
5/31
at
100.00
AA+
2,182,448
9,500
Triborough
Bridge
and
Tunnel
Authority,
New
York,
Payroll
Mobility
Tax
Bonds,
Senior
Lien
Series
2022
A,
4.000%,
5/15/51
5/32
at
100.00
AA+
9,005,430
2,255
Triborough
Bridge
and
Tunnel
Authority,
New
York,
Payroll
Mobility
Tax
Senior
Lien
Bonds,
Series
2022C,
4.125%,
5/15/52
5/32
at
100.00
AA+
2,187,373
10,000
Triborough
Bridge
and
Tunnel
Authority,
New
York,
Sales
Tax
Revenue
Bonds,
MTA
Bridges
&
Tunnels,
TBTA
Capital
Lockbox-City
Sales
Tax,
Series
2022A,
4.000%,
5/15/52
11/32
at
100.00
AAA
9,492,600
282,507
Total
Tax
Obligation/Limited
281,258,372
Transportation
-
24.9%
1,500
Buffalo
and
Fort
Erie
Public
Bridge
Authority,
New
York,
Toll
Bridge
System
Revenue
Bonds,
Series
2017,
5.000%,
1/01/42
1/27
at
100.00
A+
1,560,525
2,000
Metropolitan
Transportation
Authority,
New
York,
Transportation
Revenue
Bonds,
Green
Climate
Bond
Certified
Series
2020A-1,
5.000%,
11/15/48
5/30
at
100.00
A3
1,962,200
Metropolitan
Transportation
Authority,
New
York,
Transportation
Revenue
Bonds,
Green
Climate
Bond
Certified
Series
2020C-1:
3,600
4.750%,
11/15/45
5/30
at
100.00
A3
3,509,424
9,200
5.000%,
11/15/50
5/30
at
100.00
A3
9,027,132
2,000
5.250%,
11/15/55
5/30
at
100.00
A3
2,020,020
2,500
Metropolitan
Transportation
Authority,
New
York,
Transportation
Revenue
Bonds,
Refunding
Green
Series
2016B,
5.000%,
11/15/37
11/26
at
100.00
A3
2,533,175
7,500
Metropolitan
Transportation
Authority,
New
York,
Transportation
Revenue
Bonds,
Refunding
Series
2015D-1,
5.000%,
11/15/30
11/25
at
100.00
A3
7,648,650
6,655
Metropolitan
Transportation
Authority,
New
York,
Transportation
Revenue
Bonds,
Refunding
Series
2017D,
4.000%,
11/15/42
5/28
at
100.00
A3
5,794,109
2,500
Metropolitan
Transportation
Authority,
New
York,
Transportation
Revenue
Bonds,
Series
2013E,
5.000%,
11/15/32
11/23
at
100.00
A3
2,521,025
1,800
Metropolitan
Transportation
Authority,
New
York,
Transportation
Revenue
Bonds,
Series
2014D-1,
5.000%,
11/15/39
11/24
at
100.00
A3
1,802,160
8,450
Metropolitan
Transportation
Authority,
New
York,
Transportation
Revenue
Bonds,
Series
2015C-1,
5.250%,
11/15/30
11/25
at
100.00
A3
8,695,135
79
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Transportation
(continued)
Metropolitan
Transportation
Authority,
New
York,
Transportation
Revenue
Bonds,
Series
2016C-1:
$
2,500
5.000%,
11/15/34
11/26
at
100.00
A3
$
2,546,550
2,700
5.000%,
11/15/56
11/26
at
100.00
A3
2,625,399
New
York
City
Industrial
Development
Agency,
New
York,
Civic
Facility
Revenue
Bonds,
Bronx
Parking
Development
Company,
LLC
Project,
Series
2007:
2,800
0.000%,
10/01/37
(4)
1/23
at
100.00
N/R
2,240,000
2,000
2.350%,
10/01/46
(4)
1/23
at
100.00
N/R
1,600,000
9,500
New
York
City,
Industrial
Development
Agency,
Senior
Airport
Facilities
Revenue
Refunding
Bonds,
TrIPs
Obligated
Group,
Series
2012A,
5.000%,
7/01/28,
(AMT)
1/23
at
100.00
BBB+
9,504,085
New
York
Liberty
Development
Corporation,
New
York,
Liberty
Revenue
Bonds,
Secured
by
Port
Authority
Consolidated
Bonds,
Refunding
Series
1WTC-2021:
1,755
3.000%,
2/15/42
-
AGM
Insured
2/30
at
100.00
AA
1,377,534
2,695
4.000%,
2/15/43
-
BAM
Insured
2/30
at
100.00
AA
2,582,942
New
York
State
Thruway
Authority,
General
Revenue
Bonds,
Series
2020N:
5,000
4.000%,
1/01/42
1/30
at
100.00
A1
4,800,900
3,000
4.000%,
1/01/43
1/30
at
100.00
A1
2,874,990
New
York
State
Thruway
Authority,
General
Revenue
Junior
Indebtedness
Obligations,
Series
2016A:
2,225
5.000%,
1/01/36
1/26
at
100.00
A2
2,317,894
8,515
5.000%,
1/01/46
1/26
at
100.00
A2
8,725,405
New
York
Transportation
Development
Corporation,
New
York,
Facility
Revenue
Bonds,
Thruway
Service
Areas
Project,
Series
2021:
3,720
4.000%,
10/31/46,
(AMT)
10/31
at
100.00
BBB-
3,200,539
21,355
4.000%,
4/30/53,
(AMT)
10/31
at
100.00
BBB-
17,361,402
New
York
Transportation
Development
Corporation,
New
York,
Special
Facilities
Bonds,
LaGuardia
Airport
Terminal
B
Redevelopment
Project,
Series
2016A:
4,750
4.000%,
7/01/31,
(AMT)
7/24
at
100.00
Baa2
4,639,372
24,965
5.250%,
1/01/50,
(AMT)
7/24
at
100.00
Baa2
25,044,389
New
York
Transportation
Development
Corporation,
New
York,
Special
Facility
Revenue
Bonds,
American
Airlines,
Inc.
John
F
Kennedy
International
Airport
Project,
Refunding
Series
2016:
11,545
5.000%,
8/01/26,
(AMT)
12/22
at
100.00
B
11,545,693
12,610
5.000%,
8/01/31,
(AMT)
12/22
at
100.00
B
12,610,126
1,745
New
York
Transportation
Development
Corporation,
New
York,
Special
Facility
Revenue
Bonds,
American
Airlines,
Inc.
John
F
Kennedy
International
Airport
Project,
Series
2020,
5.375%,
8/01/36,
(AMT)
8/30
at
100.00
B
1,767,266
New
York
Transportation
Development
Corporation,
New
York,
Special
Facility
Revenue
Bonds,
Terminal
4
John
F
Kennedy
International
Airport
Project,
Series
2020A:
215
4.000%,
12/01/38,
(AMT)
12/30
at
100.00
Baa1
193,485
120
4.000%,
12/01/39,
(AMT)
12/30
at
100.00
Baa1
107,096
New
York
Transportation
Development
Corporation,
New
York,
Special
Facility
Revenue
Bonds,
Terminal
4
John
F
Kennedy
International
Airport
Project,
Series
2020C:
2,490
5.000%,
12/01/34
12/30
at
100.00
Baa1
2,604,416
1,745
5.000%,
12/01/35
12/30
at
100.00
Baa1
1,816,510
New
York
Transportation
Development
Corporation,
New
York,
Special
Facility
Revenue
Bonds,
Terminal
4
John
F
Kennedy
International
Airport
Project,
Series
2022:
2,010
5.000%,
12/01/35,
(AMT)
12/32
at
100.00
Baa1
2,048,512
10,000
5.000%,
12/01/36,
(AMT)
12/32
at
100.00
Baa1
10,149,300
Nuveen
New
York
Municipal
Bond
Fund
(continued)
Portfolio
of
Investments
November
30,
2022
(Unaudited)
80
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Transportation
(continued)
New
York
Transportation
Development
Corporation,
Special
Facility
Revenue
Bonds,
Delta
Air
Lines,
Inc.
-
LaGuardia
Airport
Terminals
C&D
Redevelopment
Project,
Series
2018:
$
1,300
5.000%,
1/01/27,
(AMT)
No
Opt.
Call
Baa3
$
1,321,567
10,200
5.000%,
1/01/28,
(AMT)
No
Opt.
Call
Baa3
10,399,818
10,035
5.000%,
1/01/31,
(AMT)
1/28
at
100.00
Baa3
10,207,903
1,300
New
York
Transportation
Development
Corporation,
Special
Facility
Revenue
Bonds,
Delta
Air
Lines,
Inc.
-
LaGuardia
Airport
Terminals
C&D
Redevelopment
Project,
Series
2020,
4.375%,
10/01/45,
(AMT)
10/30
at
100.00
Baa3
1,188,382
Niagara
Frontier
Transportation
Authority,
New
York,
Airport
Revenue
Bonds,
Buffalo
International
Airport,
Series
2014A:
2,000
5.000%,
4/01/25,
(AMT)
4/24
at
100.00
A3
2,038,380
3,775
5.000%,
4/01/26,
(AMT)
4/24
at
100.00
A3
3,841,213
3,330
Port
Authority
of
New
York
and
New
Jersey,
Consolidated
Revenue
Bonds,
One
Hundred
Eighty-Forth
Series
2014,
5.000%,
9/01/39
9/24
at
100.00
AA-
3,418,412
Port
Authority
of
New
York
and
New
Jersey,
Consolidated
Revenue
Bonds,
One
Hundred
Eighty-Ninth
Series
2015:
2,520
5.000%,
5/01/40
5/25
at
100.00
AA-
2,594,970
480
5.000%,
5/01/45
5/25
at
100.00
AA-
494,280
5,000
Port
Authority
of
New
York
and
New
Jersey,
Consolidated
Revenue
Bonds,
One
Hundred
Eighty-Sixth
Series
2014,
5.000%,
10/15/44,
(AMT)
10/24
at
100.00
AA-
5,049,100
15,000
Port
Authority
of
New
York
and
New
Jersey,
Consolidated
Revenue
Bonds,
One
Hundred
Ninety-Eighth
Series
2016,
5.250%,
11/15/56
11/26
at
100.00
AA-
15,727,650
2,500
Port
Authority
of
New
York
and
New
Jersey,
Consolidated
Revenue
Bonds,
Two
Hundred
Eighteen
Series
2019,
5.000%,
11/01/44,
(AMT)
11/29
at
100.00
AA-
2,558,550
4,225
Port
Authority
of
New
York
and
New
Jersey,
Consolidated
Revenue
Bonds,
Two
Hundred
Eleventh
Series
2018,
4.000%,
9/01/43
9/28
at
100.00
AA-
4,141,303
10,230
Port
Authority
of
New
York
and
New
Jersey,
Consolidated
Revenue
Bonds,
Two
Hundred
Fifth
Series
2017,
5.000%,
11/15/47
11/27
at
100.00
AA-
10,667,435
1,200
Port
Authority
of
New
York
and
New
Jersey,
Consolidated
Revenue
Bonds,
Two
Hundred
Thirty
One
Series
2022,
5.500%,
8/01/40,
(AMT)
8/32
at
100.00
AA-
1,326,780
4,800
Port
Authority
of
New
York
and
New
Jersey,
Consolidated
Revenue
Bonds,
Two
Hundred
Twentieth
Series
2019,
4.000%,
11/01/59,
(AMT)
11/29
at
100.00
AA-
4,153,968
6,815
Triborough
Bridge
and
Tunnel
Authority,
New
York,
General
Purpose
Revenue
Bonds,
MTA
Bridges
&
Tunnels,
Refunding
Series
2017B,
5.000%,
11/15/38
5/27
at
100.00
AA-
7,206,931
3,905
Triborough
Bridge
and
Tunnel
Authority,
New
York,
General
Purpose
Revenue
Bonds,
MTA
Bridges
&
Tunnels,
Series
2014A,
5.000%,
11/15/39
5/24
at
100.00
AA-
3,983,490
12,740
Triborough
Bridge
and
Tunnel
Authority,
New
York,
General
Purpose
Revenue
Bonds,
MTA
Bridges
&
Tunnels,
Series
2017A,
5.000%,
11/15/37
5/27
at
100.00
AA-
13,525,294
8,825
Triborough
Bridge
and
Tunnel
Authority,
New
York,
General
Revenue
Bonds,
MTA
Bridges
&
Tunnels,
Series
2020A,
4.000%,
11/15/54
11/30
at
100.00
AA-
8,101,085
297,845
Total
Transportation
293,303,871
U.S.
Guaranteed
-
3.5%
(5)
Dormitory
Authority
of
the
State
of
New
York,
Insured
Revenue
Bonds,
Touro
College
and
University
System,
Series
2014A:
2,930
5.500%,
1/01/39,
(Pre-refunded
7/01/24)
7/24
at
100.00
N/R
3,062,465
3,065
5.500%,
1/01/44,
(Pre-refunded
7/01/24)
7/24
at
100.00
N/R
3,203,569
1,500
Dormitory
Authority
of
the
State
of
New
York,
Lease
Revenue
Bonds,
State
University
Dormitory
Facilities,
Refunding
Series
2013A,
5.000%,
7/01/27,
(Pre-refunded
7/01/23)
7/23
at
100.00
Aa3
1,521,765
Dormitory
Authority
of
the
State
of
New
York,
Revenue
Bonds,
New
School
University,
Series
2015A:
320
5.000%,
7/01/45,
(Pre-refunded
7/01/25)
7/25
at
100.00
N/R
338,195
5,000
Dormitory
Authority
of
the
State
of
New
York,
Revenue
Bonds,
Pratt
Institute,
Series
2015A,
5.000%,
7/01/44,
(Pre-refunded
7/01/24)
7/24
at
100.00
N/R
5,167,900
81
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
U.S.
Guaranteed
(5)
(continued)
Dormitory
Authority
of
the
State
of
New
York,
State
Personal
Income
Tax
Revenue
Bonds,
General
Purpose
Series
2015B
Group
B:
$
5
5.000%,
2/15/32,
(Pre-refunded
2/15/25)
2/25
at
100.00
N/R
$
5,250
3,520
Metropolitan
Transportation
Authority,
New
York,
Transportation
Revenue
Bonds,
Series
2013A,
5.000%,
11/15/31,
(Pre-refunded
5/15/23)
5/23
at
100.00
A3
3,558,755
1,000
Metropolitan
Transportation
Authority,
New
York,
Transportation
Revenue
Bonds,
Series
2013C,
5.000%,
11/15/32,
(Pre-refunded
5/15/23)
5/23
at
100.00
A3
1,011,470
5,375
New
York
City
Trust
for
Cultural
Resources,
New
York,
Revenue
Bonds,
Wildlife
Conservation
Society,
Series
2013A,
5.000%,
8/01/33,
(Pre-
refunded
8/01/23)
8/23
at
100.00
A+
5,463,258
New
York
City
Trust
for
Cultural
Resources,
New
York,
Revenue
Bonds,
Wildlife
Conservation
Society,
Series
2014A:
3,800
5.000%,
8/01/38,
(Pre-refunded
8/01/23)
8/23
at
100.00
A+
3,862,396
10,000
5.000%,
8/01/43,
(Pre-refunded
8/01/23)
8/23
at
100.00
A+
10,164,200
New
York
City,
New
York,
General
Obligation
Bonds,
Fiscal
2013
Series
F-1:
1,810
5.000%,
3/01/32,
(Pre-refunded
3/01/23)
3/23
at
100.00
AA
1,821,657
Western
Nassau
County
Water
Authority,
New
York,
Water
System
Revenue
Bonds,
Series
2015A:
675
5.000%,
4/01/40,
(Pre-refunded
4/01/25)
4/25
at
100.00
A1
709,864
1,050
5.000%,
4/01/45,
(Pre-refunded
4/01/25)
4/25
at
100.00
A1
1,104,232
40,050
Total
U.S.
Guaranteed
40,994,976
Utilities
-
8.9%
Long
Island
Power
Authority,
New
York,
Electric
System
General
Revenue
Bonds,
Series
2000A:
2,000
0.000%,
6/01/24
-
AGM
Insured
No
Opt.
Call
AA
1,919,340
2,000
0.000%,
6/01/25
-
AGM
Insured
No
Opt.
Call
AA
1,863,480
2,980
Long
Island
Power
Authority,
New
York,
Electric
System
General
Revenue
Bonds,
Series
2014A,
5.000%,
9/01/44
9/24
at
100.00
A
3,050,954
2,910
Long
Island
Power
Authority,
New
York,
Electric
System
General
Revenue
Bonds,
Series
2017,
5.000%,
9/01/42
9/27
at
100.00
A
3,053,841
10,000
New
York
City
Municipal
Water
Finance
Authority,
New
York,
Water
and
Sewer
System
Second
General
Resolution
Revenue
Bonds,
Fiscal
2013
Series
DD,
5.000%,
6/15/35
6/23
at
100.00
AA+
10,091,400
7,465
New
York
City
Municipal
Water
Finance
Authority,
New
York,
Water
and
Sewer
System
Second
General
Resolution
Revenue
Bonds,
Fiscal
2017
Adjustable
Rate
Series
BB-1,
5.000%,
6/15/46
6/27
at
100.00
AA+
7,870,574
5,000
New
York
City
Municipal
Water
Finance
Authority,
New
York,
Water
and
Sewer
System
Second
General
Resolution
Revenue
Bonds,
Fiscal
2017
Series
DD,
5.250%,
6/15/47
12/26
at
100.00
AA+
5,235,600
9,885
New
York
City
Municipal
Water
Finance
Authority,
New
York,
Water
and
Sewer
System
Second
General
Resolution
Revenue
Bonds,
Fiscal
2020
Series
CC-1,
4.000%,
6/15/49
12/29
at
100.00
AA+
9,432,662
1,265
New
York
City
Municipal
Water
Finance
Authority,
New
York,
Water
and
Sewer
System
Second
General
Resolution
Revenue
Bonds,
Fiscal
2020
Series
EE,
4.000%,
6/15/42
6/30
at
100.00
AA+
1,263,406
500
New
York
State
Environmental
Facilities
Corporation,
State
Clean
Water
and
Drinking
Water
Revolving
Funds
Revenue
Bonds,
New
York
City
Municipal
Water
Finance
Authority
Projects,
Second
Resolution
Subordinated
Series
2014A,
5.000%,
6/15/30
6/24
at
100.00
AAA
517,415
6,810
New
York
State
Environmental
Facilities
Corporation,
State
Clean
Water
and
Drinking
Water
Revolving
Funds
Revenue
Bonds,
New
York
City
Municipal
Water
Finance
Authority
Projects-Second
Resolution
Bonds,
Series
2016A,
5.000%,
6/15/41
6/26
at
100.00
AAA
7,172,360
3,300
New
York
State
Environmental
Facilities
Corporation,
State
Clean
Water
and
Drinking
Water
Revolving
Funds
Revenue
Bonds,
New
York
City
Municipal
Water
Finance
Authority
Projects-Second
Resolution
Bonds,
Subordinated
SRF
Series
2017E,
5.000%,
6/15/47
6/27
at
100.00
AAA
3,480,642
Nuveen
New
York
Municipal
Bond
Fund
(continued)
Portfolio
of
Investments
November
30,
2022
(Unaudited)
82
Part
F
of
Form
N-PORT
was
prepared
in
accordance
with
U.S.
generally
accepted
accounting
principles
(“U.S.
GAAP”)
and
in
conformity
with
the
applicable
rules
and
regulations
of
the
U.S.
Securities
and
Exchange
Commission
(“SEC”)
related
to
interim
filings.
Part
F
of
Form
N-PORT
does
not
include
all
information
and
footnotes
required
by
U.S.
GAAP
for
complete
financial
statements.
Certain
footnote
disclosures
normally
included
in
financial
statements
prepared
in
accordance
with
U.S.
GAAP
have
been
condensed
or
omitted
from
this
report
pursuant
to
the
rules
of
the
SEC.
For
a
full
set
of
the
Fund’s
notes
to
financial
statements,
please
refer
to
the
Fund’s
most
recently
filed
annual
or
semi-annual
report.
Fair
Value
Measurements
The
Fund’s
investments
in
securities
are
recorded
at
their
estimated
fair
value
utilizing
valuation
methods
approved
by
the
Board
of
Directors/
Trustees.
Fair
value
is
defined
as
the
price
that
would
be
received
upon
selling
an
investment
or
transferring
a
liability
in
an
orderly
transaction
to
an
independent
buyer
in
the
principal
or
most
advantageous
market
for
the
investment.
U.S.
GAAP
establishes
the
three-tier
hierarchy
which
is
used
to
maximize
the
use
of
observable
market
data
and
minimize
the
use
of
unobservable
inputs
and
to
establish
classification
of
fair
value
measurements
for
disclosure
purposes.
Observable
inputs
reflect
the
assumptions
market
participants
would
use
in
pricing
the
asset
or
liability.
Observable
inputs
are
based
on
market
data
obtained
from
sources
independent
of
the
reporting
entity.
Unobservable
inputs
reflect
management’s
assumptions
about
the
assumptions
market
participants
would
use
in
pricing
the
asset
or
liability.
Unobservable
inputs
are
based
on
the
best
information
available
in
the
circumstances.
The
following
is
a
summary
of
the
three-tiered
hierarchy
of
valuation
input
levels.
Level
1
Inputs
are
unadjusted
and
prices
are
determined
using
quoted
prices
in
active
markets
for
identical
securities.
Level
2
Prices
are
determined
using
other
significant
observable
inputs
(including
quoted
prices
for
similar
securities,
interest
rates,
credit
spreads,
etc.).
Level
3
Prices
are
determined
using
significant
unobservable
inputs
(including
management’s
assumptions
in
determining
the
fair
value
of
investments).
The
following
table
summarizes
the
market
value
of
the
Fund's
investments
as
of
the
end
of
the
reporting
period,
based
on
the
inputs
used
to
value
them:
Principal
Amount
(000)
Description
(1)
Optional
Call
Provisions
(2)
Ratings
(3)
Value
Utilities
(continued)
$
6,470
New
York
State
Environmental
Facilities
Corporation,
State
Clean
Water
and
Drinking
Water
Revolving
Funds
Revenue
Bonds,
New
York
City
Municipal
Water
Finance
Authority
Projects-Second
Resolution
Bonds,
Subordinated
SRF
Series
2018B,
5.000%,
6/15/43
6/28
at
100.00
AAA
$
6,919,924
2,000
New
York
State
Environmental
Facilities
Corporation,
State
Clean
Water
and
Drinking
Water
Revolving
Funds
Revenue
Bonds,
New
York
City
Municipal
Water
Finance
Authority
Projects-Second
Resolution
Bonds,
Subordinated
SRF
Series
2022A,
5.000%,
6/15/51
6/32
at
100.00
AAA
2,185,500
3,065
New
York
State
Environmental
Facilities
Corporation,
State
Revolving
Funds
Revenue
Bonds,
2010
Master
Financing
Program,
Green
Series
2017C,
5.000%,
8/15/47
8/27
at
100.00
AAA
3,238,295
10,480
New
York
State
Power
Authority,
General
Revenue
Bonds,
Series
2020A,
4.000%,
11/15/55
5/30
at
100.00
AA
9,918,796
2,430
Niagara
Area
Development
Corporation,
New
York,
Solid
Waste
Disposal
Facility
Revenue
Refunding
Bonds,
Covanta
Energy
Project,
Series
2018A,
4.750%,
11/01/42,
(AMT),
144A
7/23
at
100.00
B1
2,197,352
1,565
Suffolk
County
Industrial
Development
Agency,
New
York,
Revenue
Bonds,
Nissequogue
Cogeneration
Partners
Facility,
Series
1998,
5.500%,
1/01/23,
(AMT)
12/22
at
100.00
N/R
1,565,830
Utility
Debt
Securitization
Authority,
New
York,
Restructuring
Bonds,
Refunding
Series
2015:
845
5.000%,
12/15/35
12/25
at
100.00
AAA
891,805
4,405
5.000%,
12/15/36
12/25
at
100.00
AAA
4,635,910
4,750
5.000%,
12/15/37
12/25
at
100.00
AAA
4,994,767
1,795
Utility
Debt
Securitization
Authority,
New
York,
Restructuring
Bonds,
Series
2013TE,
5.000%,
12/15/41
12/23
at
100.00
AAA
1,831,905
Utility
Debt
Securitization
Authority,
New
York,
Restructuring
Bonds,
Series
2017:
8,000
5.000%,
12/15/38
12/27
at
100.00
AAA
8,668,480
3,000
5.000%,
12/15/39
12/27
at
100.00
AAA
3,241,680
102,920
Total
Utilities
105,241,918
$
1,219,460
Total
Long-Term
Investments
(cost
$1,139,574,921)
1,125,705,522
Other
Assets
Less
Liabilities
-
4.4%
51,287,744
Net
Assets
-
100%
$
1,176,993,266
83
Level
1
Level
2
Level
3
Total
Long-Term
Investments:
Municipal
Bonds
$
$
1,125,705,522
$
$
1,125,705,522
Total
$
$
1,125,705,522
$
$
1,125,705,522
(1)
All
percentages
shown
in
the
Portfolio
of
Investments
are
based
on
net
assets.
(2)
Optional
Call
Provisions:
Dates
(month
and
year)
and
prices
of
the
earliest
optional
call
or
redemption.
There
may
be
other
call
provisions
at
varying
prices
at
later
dates.
Certain
mortgage-backed
securities
may
be
subject
to
periodic
principal
paydowns.
(3)
For
financial
reporting
purposes,
the
ratings
disclosed
are
the
highest
of
Standard
&
Poor’s
Group
(“Standard
&
Poor’s”),
Moody’s
Investors
Service,
Inc.
(“Moody’s”)
or
Fitch,
Inc.
(“Fitch”)
rating.
This
treatment
of
split-rated
securities
may
differ
from
that
used
for
other
purposes,
such
as
for
Fund
investment
policies.
Ratings
below
BBB
by
Standard
&
Poor’s,
Baa
by
Moody’s
or
BBB
by
Fitch
are
considered
to
be
below
investment
grade.
Holdings
designated
N/R
are
not
rated
by
any
of
these
national
rating
agencies.
(4)
Defaulted
security.
A
security
whose
issuer
has
failed
to
fully
pay
principal
and/or
interest
when
due,
or
is
under
the
protection
of
bankruptcy.
(5)
Backed
by
an
escrow
or
trust
containing
sufficient
U.S.
Government
or
U.S.
Government
agency
securities,
which
ensure
the
timely
payment
of
principal
and
interest.
144A
Investment
is
exempt
from
registration
under
Rule
144A
of
the
Securities
Act
of
1933,
as
amended.
These
investments
may
only
be
resold
in
transactions
exempt
from
registration,
which
are
normally
those
transactions
with
qualified
institutional
buyers.
AMT
Alternative
Minimum
Tax