Nuveen Global High Income Fund - SHS (JGH)

Historical Portfolio Holders from Q4 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / SHS
Shares, excl. options Q2 2024
7.53M
Holdings value Q2 2024
$96.3M
Value change Q2 2024
-$1.99M
Grand Portfolio weight change Q2 2024
0%
Number of holders
53
Number of buys Q2 2024
12
Number of sells Q2 2024
-29
Average buys Q2 2024 %
+0%
Average sells Q2 2024 %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q2 7.53M $96.3M -$1.99M $12.79 53
2024 Q1 7.66M $97.9M -$6.97M $12.78 51
2023 Q4 8.59M $105M -$3.45M $12.20 48
2023 Q3 7.39M $84.5M +$1.05M $11.44 46
2023 Q2 9.07M $101M +$2.28M $11.17 47
2023 Q1 8.83M $97.9M +$905K $11.09 49
2022 Q4 8.79M $98.9M +$2.6M $11.25 46
2022 Q3 8.57M $90.3M -$951K $10.54 47
2022 Q2 8.6M $99.6M +$10.9M $11.58 48
2022 Q1 8.63M $123M +$3.62M $14.24 49
2021 Q4 8.38M $133M -$3.82M $15.88 47
2021 Q3 8.53M $137M -$9.38M $16.06 50
2021 Q2 9.11M $148M -$11.7M $16.21 52
2021 Q1 9.79M $151M +$3.09M $15.47 52
2020 Q4 9.58M $149M +$4.25M $15.55 51
2020 Q3 9.16M $124M +$3.33M $13.53 48
2020 Q2 8.99M $119M +$6.96M $13.25 39
2020 Q1 7.91M $88.5M +$5.88M $11.18 40
2019 Q4 8.26M $135M +$7.73M $16.38 50
2019 Q3 7.8M $121M -$256K $15.56 57
2019 Q2 7.81M $121M +$1.42M $15.47 55
2019 Q1 7.71M $117M +$9.9M $15.16 60
2018 Q4 7.07M $96.5M +$10.6M $13.65 59
2018 Q3 6.22M $97M +$1.34M $15.59 59
2018 Q2 6.16M $95.1M +$802K $15.44 56
2018 Q1 6.05M $97.6M -$408K $16.12 54
2017 Q4 6.06M $102M -$3.53M $16.91 56
2017 Q3 6.21M $108M -$10.6M $17.37 47
2017 Q2 6.86M $116M +$3.88M $16.87 56
2017 Q1 6.64M $109M +$1.06M $16.47 53
2016 Q4 6.58M $105M +$10.3M $15.99 51
2016 Q3 5.91M $92.8M -$11.9M $15.70 48
2016 Q2 6.71M $96.6M -$21.3M $14.39 49
2016 Q1 8.18M $113M -$1.56M $13.87 48
2015 Q4 8.21M $113M +$3.34M $13.74 51
2015 Q3 7.26M $105M +$3.09M $14.42 47
2015 Q2 7.54M $126M +$5.3M $16.71 51
2015 Q1 7.26M $124M -$104M $17.07 53
2014 Q4 13.4M $230M +$225M $17.25 56