Form 424B3 - Prospectus [Rule 424(b)(3)]
20 Mayo 2024 - 3:50PM
Edgar (US Regulatory)
Nuveen
Municipal Income Fund, Inc. (NYSE: NMI)
(the
“Fund”)
Supplement
Dated May 20, 2024
to
the Fund’s Currently Effective Prospectus
Effective
May 1, 2024, the information appearing under the heading “Management of the Fund – Investment Management and Sub-Advisory
Agreements – Complex-Level Fee” of the Prospectus is hereby deleted and replaced with the following:
Complex-Level
Fee. The overall complex-level fee, payable monthly, begins at a maximum rate of 0.1600% of the Fund’s average daily managed
assets, with breakpoints for eligible complex-level assets above $124.3 billion. Therefore, the maximum management fee rate for the Fund
is the Fund-level fee plus 0.1600%. The current overall complex-level fee schedule is as follows:
Complex-Level
Eligible Asset Breakpoint Level* |
|
Effective
Complex-Level Fee Rate at Breakpoint Level |
For
the first $124.3 billion |
|
0.1600% |
For
the next $75.7 billion |
|
0.1350% |
For
the next $200 billion |
|
0.1325% |
For
eligible assets over $400 billion |
|
0.1300% |
|
|
|
|
*
See “Investment Adviser, Sub-Adviser and Portfolio Managers” in the SAI for more detailed information about the complex-level
fee and eligible complex-level assets.
PLEASE
KEEP THIS WITH YOUR
FUND’S
PROSPECTUS FOR FUTURE REFERENCE
EGN-NMIP-0524P
Nuveen
Municipal Income Fund, Inc. (NYSE: NMI)
(the
“Fund”)
Supplement
Dated May 20, 2024
to
the Fund’s Currently Effective
Statement
of Additional Information (“SAI”)
Effective
May 1, 2024, the information appearing under the heading “Investment Adviser, Sub-Adviser and Portfolio Managers – Complex-Level
Fee” of the SAI is hereby deleted and replaced with the following:
Complex-Level
Fee. The overall complex-level fee, payable monthly, begins at a maximum rate of 0.1600% of the Fund’s average daily managed
assets, with breakpoints for eligible complex-level assets above $124.3 billion. Therefore, the maximum management fee rate for the Fund
is the Fund-level fee plus 0.1600%. The current overall complex-level fee schedule is as follows:
Complex-Level
Eligible Asset Breakpoint Level* |
|
Effective
Complex-Level Fee Rate at Breakpoint Level |
For
the first $124.3 billion |
|
0.1600% |
For
the next $75.7 billion |
|
0.1350% |
For
the next $200 billion |
|
0.1325% |
For
eligible assets over $400 billion |
|
0.1300% |
|
|
|
|
*
The complex-level fee is calculated based upon the aggregate daily “eligible assets” of all Nuveen-branded closed-end
funds and Nuveen Mutual Funds. Except as described below, eligible assets include the net assets of all Nuveen-branded closed-end funds
and Nuveen Mutual Funds organized in the United States. Eligible assets do not include the net assets of: Nuveen fund-of-funds, Nuveen
money market funds, Nuveen index funds, Nuveen Large Cap Responsible Equity Fund or Nuveen Life Large Cap Responsible Equity Fund. In
addition, eligible assets include a fixed percentage of the aggregate net assets of the active equity and fixed income Nuveen Mutual
Funds advised by Teachers Advisors, LLC (“TAL”) (except those identified above). Eligible assets will include all of the
aggregate net assets of TAL-advised active equity and fixed income Nuveen Mutual Funds (except those identified above) on May 1, 2033.
Eligible assets include closed-end fund assets managed by Nuveen Fund Advisors that are attributable to financial leverage. For these
purposes, financial leverage includes the closed-end funds’ use of preferred stock and borrowings and certain investments in the
residual interest certificates (also called inverse floating rate securities) in tender option bond (TOB) trusts, including the portion
of assets held by a TOB trust that has been effectively financed by the trust’s issuance of floating rate securities, subject to
an agreement by Nuveen Fund Advisors as to certain funds to limit the amount of such assets for determining eligible assets in certain
circumstances.
PLEASE
KEEP THIS WITH YOUR
FUND’S
SAI FOR FUTURE REFERENCE
EGN-NMIS-0524P
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