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Nuveen Missouri Quality Municipal Income Fund (NOM)

Single State Muni Bond Funds - One Fund States

Data as of April 24, 2024
Current
Market Price $9.92 (- $0.01)
NAV (April 24, 2024) $11.57 (- $0.02)
Fund Listed NYSE MKT
Premium / Discount -14.26% (+0.06%)
Fund Info
Inception May 20, 1993
Sponsor Nuveen Fund Advisors
Website https://www.nuveen.com...
Phone 800-257-8787
NAV Symbol XNOMX
Location Illinois
Incorporated Massachusetts
Staggered Board Yes
Term Date N/A
Objective: Current income exempt from federal and Missouri income tax; investment grade municipal securities
Capital & Leverage
Outstanding Shares 2,349,992
Total Assets (Reported: March 30, 2024) $46M
Estimated Total Assets $45M
Net Assets $27M
Market Cap $23M
Portfolio Turnover 15.00%
Total Leverage 40.22%
Structural Leverage (out of total) 96.77%
Portfolio Leverage (out of total) 3.23%
Expense Ratio 4.40%
Non Lev Exp Ratio 1.39%
Rel Lev Cost 4.47%
Discount Data
Average Discount (3 Yr) -2.46%
Discount Low(3 Yr) -17.19%
Discount High(3 Yr) 16.58%
Discount Rel Range (3 Yr) 8.68%
Comp Discount -0.47
Discount St Dev (1Yr) 1.00
Z-Stat
Z-Stat (6mo) 0.62
Z-Stat (1Yr) 0.07
Z-Stat (3Yr) -1.12
Comp Z-Stat (6mo) 0.26
Comp Z-Stat (3Yr) -0.12
Distribution Data
Market Yield 4.78%
Income Yield 4.78%
Lev Adj NAV Yield 2.92%
Distribution Frequency M
Current Distribution $0.040
Current Income $0.040
Ex-Date 4/12/24
Payable Date 5/1/24
Div Growth (3yr) -10.23%
Dividend Change 25.4% on 3/1/24
Expected Div 5/1/24
RoC (1yr) 0.00%
RoC (3yr) 0.00%
Tax Dividend Data 2023
Income 0%
ST Gains 0%
QDI 0%
LT Gains 0%
RoC 0%
Volume & Liquidity
Average Daily $ (K) $58
Avg Volume 30 day 8,125
Avg Volume 90 day 5,888
Volume Trend 37.99%
Comp Volume Trend 20.63%
Correlation & Volatility
Price Correlation (1yr)
vs. S&P 500 (TR)
49.0%
Price Correlation (1yr)
vs. CEFA's 12 Major CEF Sectors Index
68.0%
Price Correlation (1yr)
vs. CEFA's State Municipal Index (Non NY/CA)
85.0%
Most Correlated Peer (Mk Pr): NMT 85.0%
NAV - Price Correlation (30 d) 90.4%
NAV - Price Correlation (90 d) 89.4%
NAV - Price Correlation (1 Yr) 96.5%
Price St Dev (1Yr) 10.1%
NAV St Dev (1Yr) 7.0%
Earnings
Earnings / Share (3/31/24) $0.027
Earn Coverage 68.61%
Earnings Trend Up
UNII / Share (3/31/24) $-0.034
Rel UNII -7.09
UNII Trend Down
Bond Specific Data
Maturity 17.45
Duration 11.06
Credit Rating (rbo) A
Investment Grade 86.90%
Non Investment Grade 4.00%
Unrated Bonds 9.00%
Average Bond Price 100.38
Discount vs Price -13.88
Coupon 4.69%
Zero Coupon 0.30%
AMT 9.14%
AMT Yield 4.66%
Bond Calls Risk 20.80%
Performance
NAV Beta (2yr)
vs. S&P 500 (TR)
1.07
NAV Beta (2yr)
vs. CEFA's 12 Major CEF Sectors Index
0.60
NAV Beta (2yr)
vs. CEFA's State Municipal Index (Non NY/CA)
1.00

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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.

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