Nuveen AMT-Free Municipal Credit Income Fund - COM (NVG)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
41.7M
Holdings value Q2 2024
$520M
Value change Q2 2024
-$19.6M
Grand Portfolio weight change Q2 2024
0%
Number of holders
240
Number of buys Q2 2024
98
Number of sells Q2 2024
-97
Average buys Q2 2024 %
+0%
Average sells Q2 2024 %
-0.001%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q2 41.7M $520M -$19.6M $12.46 240
2024 Q1 43.3M $525M +$10.8M $12.15 248
2023 Q4 39.6M $468M +$18.7M $11.82 247
2023 Q3 40.9M $422M +$38.8M $10.31 230
2023 Q2 37.1M $434M +$45.4M $11.70 235
2023 Q1 32.9M $388M +$39.1M $11.78 240
2022 Q4 29.8M $362M +$59.7M $12.14 242
2022 Q3 24.5M $286M +$2.74M $11.67 232
2022 Q2 24.4M $320M -$11.6M $13.11 248
2022 Q1 24.3M $359M +$8.21M $14.79 245
2021 Q4 24.3M $436M +$10.7M $17.93 260
2021 Q3 23M $394M +$38.8K $17.15 239
2021 Q2 23.1M $412M -$4.65M $17.86 244
2021 Q1 23.4M $395M -$13.4M $16.90 237
2020 Q4 22M $370M -$12.4M $16.78 236
2020 Q3 24.6M $386M -$12.1M $15.66 214
2020 Q2 25.2M $386M -$8.97M $15.28 213
2020 Q1 24.2M $356M +$22.1M $14.68 212
2019 Q4 23.2M $386M +$42.6M $16.67 213
2019 Q3 19.8M $332M +$30.4M $16.73 181
2019 Q2 17.9M $285M -$22.7M $15.87 184
2019 Q1 19.4M $293M -$47.1M $15.11 183
2018 Q4 22.7M $317M +$51.5M $13.98 185
2018 Q3 18.4M $268M -$6.32M $14.56 184
2018 Q2 19.4M $283M -$7.43M $14.59 190
2018 Q1 19.6M $284M -$5.31M $14.51 176
2017 Q4 20M $309M -$15M $15.44 186
2017 Q3 20.5M $316M -$11.1M $15.39 176
2017 Q2 21.1M $319M +$6.57M $15.15 165
2017 Q1 20.5M $300M -$28M $14.62 169
2016 Q4 22.4M $324M +$19.4M $14.46 169
2016 Q3 20.5M $330M -$43M $16.07 174
2016 Q2 23.3M $379M +$274M $16.26 175
2016 Q1 6.22M $94.4M -$697K $15.17 54
2015 Q4 6.3M $91.2M +$5.94M $14.48 48
2015 Q3 5.94M $82.7M +$1.83M $13.93 49
2015 Q2 5.87M $79.6M +$1.5M $13.56 51
2015 Q1 5.8M $84.1M -$11.9M $14.51 55
2014 Q4 6.52M $92M -$2.94M $14.11 56
2014 Q3 6.6M $93.2M -$8.69M $14.11 57
2014 Q2 7.22M $102M +$10.8M $14.16 55
2014 Q1 6.3M $84M +$7.63M $13.33 52