NMAI - Nuveen Multi-Asset Income Fund
Nuveen Multi-Asset Income Fund engages in the investment in a portfolio of equity and debt securities of issuers worldwide. The company was founded on April 22, 2021 and is headquartered in Chicago, IL.
- Sector
- Financial Services
- Industry
- Asset Management - Income
- Market Cap
- $470.0M
- P/E Ratio
- 5.78
- Beta
- 1.00
- 52-Week Range
- 11.99-14.38
- Dividend Yield
- $1.33
- IPO Date
- Nov 22, 2021
- Exchange
- NYSE
Frequently asked NMAI overview questions
- What is NMAI?
- NMAI is the ticker symbol for Nuveen Multi-Asset Income Fund, a listed mutual fund. Nuveen Multi-Asset Income Fund engages in the investment in a portfolio of equity and debt securities of issuers worldwide. The company was founded on April 22, 2021 and is headquartered in Chicago, IL. Listed on NYSE. NMAI is the equity ticker shown on this page; equity options traders use the security for directional, volatility, and income strategies via the listed options chain.
- What are NMAI's key statistics?
- Nuveen Multi-Asset Income Fund (NMAI) carries a market capitalization of $470.0M, 52-week range of 11.99-14.38. Daily price and reference data are accessible from the chart view; these structural inputs frame how downstream analytics (volatility, term structure, derived metrics) interpret the underlying instrument.
- What sector or industry does NMAI belong to?
- Nuveen Multi-Asset Income Fund operates in the Financial Services sector, in the Asset Management - Income industry. Sector classification affects how the ticker correlates with sector ETFs, how it reacts to macro factors like rate moves and commodity prices, and how its options pricing compares to sector peers. Compare NMAI's implied volatility and skew against sector benchmarks to gauge whether the options market is pricing single-name or systemic risk relative to the broader peer group.
- How current is the NMAI data on this page?
- Options snapshots refresh after each trading session; if no snapshot is currently posted for NMAI, it usually reflects low options liquidity or a recently listed name. Fund-level fields refresh from the vendor feed nightly. Registered investment-company filings (N-CSR, N-PX, N-CEN) update on the SEC EDGAR cadence; daily NAV is published by the sponsor after the close.