In the release dated February 3, 2014, the distribution information for NVY PrC and NXM PrC has been removed and will be replaced in connection with a reorganization that will be effective prior to the open of business on February 10, 2014. The remaining distribution information remains unchanged.

The corrected release reads:

NUVEEN CLOSED-END FUNDS DECLARE MONTHLY DISTRIBUTIONS

Nuveen Investments, a leading global provider of investment services to institutions as well as individual investors, today announced that 83 Nuveen closed-end funds declared regular monthly distributions. These funds represent a broad range of tax-exempt, taxable fixed and floating rate income investment strategies for investors seeking to build sophisticated and diversified long-term investment portfolios for cash flow. The funds’ monthly distributions are listed below.

The following dates apply to today's distribution declarations for the following Closed-End Funds:

Record Date   February 14, 2014 Ex-Dividend Date February 12, 2014 Payable Date March 3, 2014 Reinvest Date March 3, 2014     Monthly Tax-Free Distribution Per Share   Change From Amount   Previous Month

Ticker

Fund Name

NXP Select Portfolio $.0525 - NXQ Select Portfolio 2 $.0525 - NXR Select Portfolio 3 $.0525 - NXC CA Select Portfolio $.0570 - NXN NY Select Portfolio $.0525 - NUV Municipal Value $.0370 - NUW Municipal Value 2 $.0670 - NCA CA Municipal Value $.0390 - NNY NY Municipal Value $.0325 - NMI Municipal Income $.0475 - NIM Select Maturities $.0285 - NYV NY Municipal Value 2 $.0560 - NCB CA Municipal Value 2 $.0650 - NJV NJ Municipal Value $.0520 - NPN PA Municipal Value $.0530 -

Leveraged Funds

National

NPI Premium Income $.0720 - NPP Performance Plus $.0770 - NMA Advantage $.0670 - NMO Market Opportunity $.0670 - NQM Investment Quality $.0800 - NQI Quality Municipal $.0620 - NQS Select Quality $.0665 - NQU Quality Income $.0685 - Change From Amount   Previous Month NIO Municipal Opportunity $.0730 - NPF Premier $.0720 - NPM Premium Income 2 $.0720 - NPT Premium Income 4 $.0680 - NAD Dividend Advantage $.0740 - NEA AMT-Free Municipal Income $.0685 - NXZ Dividend Advantage 2 $.0695 - NZF Dividend Advantage 3 $.0595 - NVG Dividend Advantage Municipal $.0580 - NMZ High Income Opportunity Fund $.0760 - NEV Enhanced Municipal Value Fund $.0800 - NID Int. Duration Municipal Term Fund $.0570 - NIQ Int. Duration Quality Municipal Term Fund $.0495 -

California

NKX CA AMT-Free Municipal Income $.0700 - NCP Performance Plus $.0790 - NCO Market Opportunity $.0800 - NQC Investment Quality $.0770 - NVC Select Quality $.0830 - NUC Quality Income $.0850 - NCU Premium Income $.0700 - NAC Dividend Advantage $.0740 - NVX Dividend Advantage 2 $.0750 - NZH Dividend Advantage 3 $.0670 -

New York

NRK AMT-Free Municipal Income $.0690 - NNP Performance Plus $.0710 - NAN Dividend Advantage $.0630 - NXK Dividend Advantage 2 $.0550 -

Other State Funds

NAZ AZ Premium Income $.0655 - NTC CT Premium Income $.0570 - NKG GA Dividend Advantage 2 $.0535 - NMT MA Premium Income $.0555 - NMB MA Dividend Advantage $.0540 - NGX Insured MA Tax-Free Advantage $.0480 - NMY MD Premium Income $.0555 - NUM MI Quality Income $.0740 - NOM MO Premium Income $.0610 - NNC NC Premium Income $.0503 - NQJ NJ Investment Quality $.0670 - NNJ NJ Premium Income $.0710 - NXJ NJ Dividend Advantage $.0605 - NUJ NJ Dividend Advantage 2 $.0575 - NUO OH Quality Income $.0800 - NTX TX Quality Income $.0580 - NPV VA Premium Income $.0615 -   Monthly Taxable Distribution Per Share

Closed-End Funds:

Change From

Ticker

Taxable Funds

Amount   Previous Month

Preferred Securities

JTP Quality Preferred Income Fund $.0520 - JPS Quality Preferred Income Fund 2 $.0550 - JHP Quality Preferred Income Fund 3 $.0520 - JPC Preferred Income Opportunities Fund $.0633 - JPI Preferred and Income Term Fund $.1690 - JPW Nuveen Flexible Investment Income Fund $.1260 -

Floating Rate: Corporate Loans

NSL Senior Income Fund $.0360 - JFR Floating Rate Income Fund $.0615 - JRO Floating Rate Income Opportunity Fund $.0645 - JSD Short Duration Credit Opportunities Fund $.1140 - JQC Credit Strategies Income Fund $.0545 -

Mortgage-Backed Securities

JLS Mortgage Opportunity Term Fund $.1405 - JMT Mortgage Opportunity Term Fund 2 $.1425 -

Taxable Municipal

NBB Build America Bond Fund $.1160 - NBD Build America Bond Opportunity Fund $.1140 -

Real Assets

JRI Real Asset Income and Growth $.1345 -

The following dates apply to today's distribution declarations for the following MTP Shares:

Record Date   February 14, 2014   Ex-Dividend Date February 12, 2014 Payable Date March 3, 2014  

Ticker

MuniFund Term Preferred

Monthly Tax-Free Distribution Per Share NAN PrC Nuveen New York Dividend Advantage Municipal Fund MTP .022500 NAN PrD Nuveen New York Dividend Advantage Municipal Fund MTP .020833 NCU PrC Nuveen California Premium Income Municipal Fund MTP .016667 NGX PrC Nuveen Massachusetts AMT-Free Municipal Income Fund MTP .022083 NKG PrC Nuveen Georgia Dividend Advantage Municipal Fund 2 MTP .022083 NKG PrD Nuveen Georgia Dividend Advantage Municipal Fund 2 MTP .022083 NKG PrE Nuveen Georgia Dividend Advantage Municipal Fund 2 MTP .022083 NMB PrC Nuveen Massachusetts Dividend Advantage Municipal Fund MTP .021667 NMT PrC Nuveen Massachusetts Premium Income Municipal Fund MTP .022083 NMT PrD Nuveen Massachusetts Premium Income Municipal Fund MTP .022917 NMY PrC Nuveen Maryland Premium Income Municipal Fund MTP .022083 NMY PrD Nuveen Maryland Premium Income Municipal Fund MTP .024167 NNC PrC Nuveen North Carolina Premium Income Municipal Fund MTP .022083 NNC PrD Nuveen North Carolina Premium Income Municipal Fund MTP .021667 NNC PrE Nuveen North Carolina Premium Income Municipal Fund MTP .021667 NNC PrF Nuveen North Carolina Premium Income Municipal Fund MTP .021667 NNC PrG Nuveen North Carolina Premium Income Municipal Fund MTP .022083 NOM PrC Nuveen Missouri Premium Income Municipal Fund MTP .017500 NRK PrC Nuveen New York AMT-Free Municipal Income Fund MTP .021250 NTC PrC Nuveen Connecticut Premium Income Municipal Fund MTP .022083 NTC PrD Nuveen Connecticut Premium Income Municipal Fund MTP .021250 NTC PrE Nuveen Connecticut Premium Income Municipal Fund MTP .021667 NTC PrF Nuveen Connecticut Premium Income Municipal Fund MTP .021667 NTC PrG Nuveen Connecticut Premium Income Municipal Fund MTP .022083 NTX PrC Nuveen Texas Quality Income Municipal Fund MTP .019167 NUJ PrC Nuveen New Jersey Dividend Advantage Municipal Fund 2 MTP .016667 NXK PrC Nuveen New York Dividend Advantage Municipal Fund 2 MTP .021250 NZF PrC Nuveen Dividend Advantage Municipal Fund 3 MTP .023333 NMY PrG Nuveen Maryland Premium Income Municipal Fund MTP .022083 NMY PrE Nuveen Maryland Premium Income Municipal Fund MTP .021667 NMY PrF Nuveen Maryland Premium Income Municipal Fund MTP .021667 NMY PrH Nuveen Maryland Premium Income Municipal Fund MTP .023750

Monthly distributions from Nuveen's municipal closed-end funds and portfolios are generally exempt from regular Federal income taxes, and monthly distributions of single-state municipal funds and portfolios are also exempt from state and, in some cases, local income taxes for in-state residents. Unless otherwise stated in the funds' objectives, monthly distributions of the municipal funds and portfolios may be subject to the Federal Alternative Minimum Tax for some shareholders.*

All of Nuveen’s closed-end funds seek to pay stable distributions at rates that reflect each fund’s past results and projected future performance. During certain periods, each fund may pay distributions at a rate that may be more or less than the amount of net investment income actually earned by the fund during the period. If a fund cumulatively earned more than it has paid in distributions, it holds the excess in reserve as undistributed net investment income (UNII) as part of the fund’s net asset value (NAV). Conversely, if a fund has cumulatively paid distributions in excess of its earnings, the excess constitutes negative UNII that is likewise reflected in the fund’s NAV. Each fund will, over time, pay all of its net investment income as distributions to shareholders. The funds’ positive or negative UNII balances are disclosed from time to time in their periodic shareholder reports, and are also on www.nuveen.com/cef

In addition, distributions for certain funds investing in real estate investment trusts (REITs) may later be characterized as capital gains and/or a return of capital, depending on the character of the dividends reported to each fund after year-end by REIT securities held by each fund. The Nuveen preferred securities funds, JTP, JPS and JHP may invest in REITs; a list of funds that are likely to be affected by re-characterization is posted to www.nuveen.com each January, and updated tax characteristics are posted to the web site and mailed to shareholders via form 1099-DIV during the first quarter of the year.

Nuveen Investments provides high-quality investment services designed to help secure the long-term goals of institutional and individual investors as well as the consultants and financial advisors who serve them. Nuveen Investments markets a wide range of specialized investment solutions which provide investors access to capabilities of its high-quality boutique investment affiliates—Nuveen Asset Management, LLC, Symphony Asset Management LLC, NWQ Investment Management Company, LLC, Santa Barbara Asset Management, LLC, Tradewinds Global Investors, LLC, Winslow Capital Management, LLC and Gresham Investment Management LLC, all of which are registered investment advisers and subsidiaries of Nuveen Investments, Inc. Funds distributed by Nuveen Securities, LLC., a subsidiary of Nuveen Investments, Inc. In total, Nuveen Investments managed nearly $215 billion as of September 30, 2013. For more information, please visit the Nuveen Investments website at www.nuveen.com.

*Nuveen does not provide tax advice; consult a professional tax advisor regarding your specific tax situation.

Nuveen InvestmentsMedia Contact:Kristyna Munoz(312) 917-8343KRISTYNA.MUNOZ@NUVEEN.COM

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