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Nuveen Massachusetts Quality Municipal Income Fund (NMT)

Single State Muni Bond Funds - One Fund States

Data as of April 18, 2024
Current
Market Price $10.50 (- $0.04)
NAV (April 18, 2024) $12.11 ( $0.00)
Fund Listed NYSE
Premium / Discount -13.29% (-0.33%)
Fund Info
Inception March 18, 1993
Sponsor Nuveen Fund Advisors
Website https://www.nuveen.com...
Phone 800-257-8787
NAV Symbol XNMTX
Location Illinois
Incorporated Massachusetts
Staggered Board Yes
Term Date N/A
Objective: Current income exempt from regular federal income taxes and Massachusetts personal income taxes; investment grade municipal securities
Related Indexes
State Municipal Index (Non NY/CA)
Capital & Leverage
Outstanding Shares 9,324,616
Total Assets (Reported: March 30, 2024) $189M
Estimated Total Assets $186M
Net Assets $113M
Market Cap $98M
Portfolio Turnover 12.00%
Total Leverage 39.14%
Structural Leverage (out of total) 100.00%
Portfolio Leverage (out of total) 0.00%
Expense Ratio 3.97%
Non Lev Exp Ratio 1.15%
Rel Lev Cost 4.39%
Discount Data
Average Discount (3 Yr) -8.55%
Discount Low(3 Yr) -17.94%
Discount High(3 Yr) 5.56%
Discount Rel Range (3 Yr) 19.75%
Comp Discount 0.26
Discount St Dev (1Yr) 1.14
Z-Stat
Z-Stat (6mo) 0.98
Z-Stat (1Yr) 1.38
Z-Stat (3Yr) -0.76
Comp Z-Stat (6mo) 0.31
Comp Z-Stat (3Yr) 0.22
Distribution Data
Market Yield 4.74%
Income Yield 4.74%
Lev Adj NAV Yield 2.96%
Distribution Frequency M
Current Distribution $0.042
Current Income $0.042
Ex-Date 4/12/24
Payable Date 5/1/24
Div Growth (3yr) -9.78%
Dividend Change 33.9% on 3/1/24
Expected Div 5/1/24
RoC (1yr) 0.57%
RoC (3yr) 0.16%
Tax Dividend Data 2023
Income 0%
ST Gains 0%
QDI 0%
LT Gains 0%
RoC 0%
Volume & Liquidity
Average Daily $ (K) $175
Avg Volume 30 day 14,070
Avg Volume 90 day 16,634
Volume Trend -15.41%
Comp Volume Trend -24.62%
Correlation & Volatility
Price Correlation (1yr)
vs. S&P 500 (TR)
57.0%
Price Correlation (1yr)
vs. CEFA's 12 Major CEF Sectors Index
79.0%
Price Correlation (1yr)
vs. CEFA's State Municipal Index (Non NY/CA)
93.0%
Most Correlated Peer (Mk Pr): NMS 89.0%
NAV - Price Correlation (30 d) 84.6%
NAV - Price Correlation (90 d) 36.3%
NAV - Price Correlation (1 Yr) 96.1%
Price St Dev (1Yr) 8.6%
NAV St Dev (1Yr) 6.3%
Earnings
Earnings / Share (2/29/24) $0.027
Earn Coverage 65.06%
Earnings Trend Up
UNII / Share (2/29/24) $-0.025
Rel UNII -5.06
UNII Trend Down
Bond Specific Data
Maturity 20.27
Duration 12.88
Credit Rating (rbo) AA
Investment Grade 93.10%
Non Investment Grade 1.30%
Unrated Bonds 5.70%
Average Bond Price 95.76
Discount vs Price -17.53
Coupon 4.77%
Zero Coupon 2.90%
AMT 0.00%
AMT Yield 4.74%
Bond Calls Risk 12.60%
Performance
NAV Beta (2yr)
vs. S&P 500 (TR)
0.97
NAV Beta (2yr)
vs. CEFA's 12 Major CEF Sectors Index
0.58
NAV Beta (2yr)
vs. CEFA's State Municipal Index (Non NY/CA)
0.93

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NOTES: Distribution type sourced from CEFdata.com. For specific information about a fund's distribution sources, visit the fund sponsor's website.

The following information applies to closed-end funds and business development companies in general: Fund shares are not guaranteed or endorsed by any bank or other insured depository institution, and are not federally insured by the Federal Deposit Insurance Corporation (FDIC). Shares of closed-end funds (CEFs) and business development companies (BDCs) are subject to investment risks, including the possible loss of principal invested. There can be no assurance that fund objectives will be achieved. Closed-end funds and business development companies frequently trade at a discount to their net asset value. NAV returns are net of fund expenses, and assume reinvestment of distributions.

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