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Nuveen Quality Municipal Income Fund (NAD)

Financial Services | Asset Management | Chicago, United States | NYSE
11.94 USD +0.01 (0.084%) ⇧ (July 13, 2026, 4 p.m. EDT)

Short-term:★★⯪☆☆Long-term:★⯪☆☆☆Dividends:★★⯪☆☆
Hot Take | July 11, 2026, 4:08 a.m. EDT

The immediate outlook remains flat due to a lack of directional momentum, though the asset sits near key support levels. However, the long-term picture is significantly compromised by a nearly 30% decline over the last nine years, driven by five consecutive years of negative annual performance ending with a drop last year. While the business generated strong operating margins recently, the persistent failure to generate capital appreciation suggests deep structural issues within the municipal bond strategy or the fund's ability to compete. The dividend yield of 7% is attractive on the surface but is misleading; the payout ratio exceeds 100%, indicating the fund is distributing more than it earns, which is unsustainable and erodes shareholder value over time.

Model Selection — Backtest MAE (log-scale, lower is better)
ModelMAE
MSTL ✓0.015546
AutoETS0.016752
AutoARIMA0.016752
AutoTheta0.016794

Forecast horizon: 45 days | Selected: MSTL

Forecast Reliability
Score 65%
H-stat 3.25
Ljung-Box p 0.000
Jarque-Bera p 0.344
Excess Kurtosis -0.46
Attribute Value
Sector Financial Services
Ex Dividend Date 2026-07-14
Last Dividend Date 2026-06-14
Debt to Equity Ratio 71.11
Revenue per Share 0.983
Market Cap 2,787,563,264
Trailing P/E 15.11
Beta 0.64
Profit Margins 28.49%
Website https://www.nuveen.com/CEF/Product/Overview.aspx?FundCode=NQU&refsrc=vu_nuveen.com/nqu

Dividend Data

Yield Summary
Last Yield 1yr Yield 3yr Avg 5yr Avg
0.60% 7.30% 6.59% 5.93%
Dividend History
Date Dividend Yield %
2026-06-15 0.071 0.595138
2026-05-15 0.071 0.609966
2026-04-15 0.071 0.601185
2026-03-13 0.071 0.593645
2026-02-13 0.071 0.580540
2026-01-15 0.071 0.586777
2025-12-15 0.071 0.588723
2025-11-14 0.071 0.593150
2025-10-15 0.071 0.594142
2025-09-15 0.071 0.603741
2025-08-15 0.076 0.676157
2025-07-15 0.076 0.673759
2025-06-13 0.076 0.676759
2025-05-15 0.076 0.673162
2025-04-15 0.076 0.687783
2025-03-14 0.076 0.651801
2025-02-14 0.076 0.639193
2025-01-15 0.076 0.652361
2024-12-13 0.076 0.639193
2024-11-15 0.076 0.633862
2024-10-15 0.076 0.620915
2024-09-13 0.076 0.618389
2024-08-15 0.076 0.633862
2024-07-15 0.076 0.644068
2024-06-14 0.076 0.644614
2024-05-14 0.052 0.464701
2024-04-12 0.052 0.471869
2024-03-14 0.052 0.464286
2024-02-14 0.044 0.390764
2024-01-11 0.044 0.388350
2023-12-14 0.044 0.385627
2023-11-14 0.044 0.413923
2023-10-12 0.038 0.378109
2023-09-14 0.038 0.358829
2023-08-14 0.038 0.346399
2023-07-13 0.038 0.336283
2023-06-14 0.038 0.342342
2023-05-12 0.038 0.336879
2023-04-13 0.038 0.327586
2023-03-14 0.040 0.355240
2023-02-14 0.040 0.341588
2023-01-12 0.040 0.337268
2022-12-14 0.047 0.407986
2022-11-14 0.047 0.428051
2022-10-13 0.047 0.424955
2022-09-14 0.054 0.451883
2022-08-12 0.054 0.409401
2022-07-14 0.054 0.423529
2022-06-14 0.060 0.497100
2022-05-12 0.060 0.482703
2022-04-13 0.060 0.464756
2022-03-14 0.060 0.442804
2022-02-14 0.060 0.432277
2022-01-13 0.060 0.391901
2021-12-14 0.060 0.382166
2021-11-12 0.060 0.376648
2021-10-14 0.060 0.386847
2021-09-14 0.060 0.366748
2021-08-12 0.060 0.371978
2021-07-14 0.060 0.369914
2021-06-14 0.060 0.376412
2021-05-13 0.060 0.392157
2021-04-08 0.060 0.394477
2021-03-12 0.060 0.402955
2021-02-11 0.060 0.388853
2021-01-14 0.060 0.396563
2020-12-14 0.060 0.398671
2020-11-12 0.060 0.408719
2020-10-14 0.060 0.412655
2020-09-14 0.057 0.391215
2020-08-13 0.057 0.384875
2020-07-14 0.057 0.396108
2020-06-12 0.057 0.406272
2020-05-14 0.057 0.428249
2020-04-14 0.054 0.385164
2020-03-12 0.054 0.406627
2020-02-25 0.023 0.152419
2020-02-13 0.031 0.207497
2020-01-14 0.054 0.366848
2019-12-12 0.054 0.372671
2019-11-14 0.054 0.375783
2019-10-11 0.054 0.376045
2019-09-12 0.054 0.379213
2019-08-14 0.054 0.372928
2019-07-12 0.054 0.381625
2019-06-13 0.054 0.391304
2019-05-14 0.054 0.391872
2019-04-12 0.054 0.404494
2019-03-14 0.054 0.404192
2019-02-14 0.054 0.406015
2019-01-14 0.054 0.415065
2018-12-13 0.054 0.430966
2018-11-14 0.054 0.428571
2018-10-12 0.054 0.435484
2018-09-13 0.054 0.412529
2018-08-14 0.058 0.439394
2018-07-12 0.058 0.437406
2018-06-14 0.058 0.441065
2018-05-14 0.058 0.440395
2018-04-12 0.058 0.443425
2018-03-14 0.058 0.443425
2018-02-14 0.058 0.436747
2018-01-11 0.058 0.420290
2017-12-14 0.062 0.440967
2017-11-14 0.060 0.429799
2017-10-12 0.060 0.425532
2017-09-14 0.060 0.418118
2017-08-11 0.064 0.451022
2017-07-12 0.064 0.452937
2017-06-13 0.064 0.453901
2017-05-11 0.064 0.465793
2017-04-11 0.064 0.465116
2017-03-13 0.064 0.482291
2017-02-13 0.068 0.491329
2017-01-11 0.068 0.483642
2016-12-13 0.068 0.500000
2016-11-10 0.072 0.522876
2016-10-12 0.072 0.501393
2016-09-20 0.052 0.349462
2016-09-07 0.018 0.116883
2016-08-11 0.070 0.443038
2016-07-13 0.070 0.450450
2016-06-13 0.070 0.447570
2016-05-11 0.071 0.458656
2016-04-13 0.071 0.468956
2016-03-11 0.071 0.488308
2016-02-10 0.071 0.483322
2016-01-13 0.071 0.490670
2015-12-11 0.072 0.506685
2015-11-10 0.071 0.510424
2015-10-13 0.071 0.515988
2015-09-11 0.071 0.527489
2015-08-12 0.071 0.519386
2015-07-13 0.071 0.518627
2015-06-11 0.071 0.511896
2015-05-13 0.074 0.526690
2015-04-13 0.074 0.522230
2015-03-11 0.074 0.525568
2015-02-11 0.074 0.518934
2015-01-13 0.074 0.513889
2014-12-23 0.001 0.007018
2014-12-11 0.074 0.522599
2014-11-12 0.074 0.521127
2014-10-10 0.074 0.530847
2014-09-11 0.074 0.530086
2014-08-13 0.074 0.537010
2014-07-11 0.074 0.539752
2014-06-11 0.074 0.528194
2014-05-13 0.074 0.528949
2014-04-11 0.074 0.552239
2014-03-12 0.074 0.550595
2014-02-12 0.074 0.552239
2014-01-13 0.074 0.562738
2013-12-11 0.091 0.746514
2013-11-13 0.073 0.582602
2013-10-10 0.073 0.584000
2013-09-11 0.073 0.593496
2013-08-13 0.073 0.585875
2013-07-11 0.073 0.548048
2013-06-12 0.073 0.527457
2013-05-13 0.073 0.483764
2013-04-11 0.073 0.481213
2013-03-13 0.073 0.483124
2013-02-13 0.073 0.464081
2013-01-11 0.073 0.453980
2012-12-12 0.078 0.488722
2012-11-13 0.076 0.479193
2012-10-11 0.076 0.479798
2012-09-12 0.076 0.491273
2012-08-13 0.076 0.501981
2012-07-11 0.076 0.498688
2012-06-13 0.076 0.505319
2012-05-11 0.076 0.506667
2012-04-11 0.076 0.517711
2012-03-13 0.076 0.506667
2012-02-13 0.076 0.507005
2012-01-11 0.076 0.525225
2011-12-13 0.124 0.870175
2011-11-10 0.076 0.556777
2011-10-12 0.076 0.569288
2011-09-13 0.076 0.557185
2011-08-11 0.076 0.575322
2011-07-13 0.076 0.560472
2011-06-13 0.076 0.580153
2011-05-11 0.076 0.585968
2011-04-13 0.076 0.602219
2011-03-11 0.076 0.596078
2011-02-11 0.076 0.603654
2011-01-12 0.076 0.615883
2010-12-13 0.076 0.592824
2010-11-10 0.076 0.546763
2010-10-13 0.076 0.521620
2010-09-13 0.076 0.507682
2010-08-11 0.076 0.510410
2010-07-13 0.076 0.550725
2010-06-11 0.076 0.545585
2010-05-12 0.076 0.543634
2010-04-13 0.076 0.544023
2010-03-11 0.076 0.547156
2010-02-10 0.076 0.557594
2010-01-13 0.076 0.562546
2009-12-11 0.076 0.571859
2009-11-10 0.074 0.567050
2009-10-13 0.074 0.547337
2009-09-11 0.074 0.542920
2009-08-12 0.072 0.570975
2009-07-13 0.072 0.574163
2009-06-11 0.072 0.573705
2009-05-13 0.072 0.595041
2009-04-13 0.066 0.601093
2009-03-11 0.066 0.627376
2009-02-11 0.066 0.568965
2009-01-13 0.066 0.589286
2008-12-11 0.066 0.768335
2008-11-12 0.066 0.628571
2008-10-10 0.066 0.835443
2008-09-11 0.066 0.525060
2008-08-13 0.064 0.501567
2008-07-11 0.064 0.490798
2008-06-11 0.064 0.481928
2008-05-13 0.064 0.477612
2008-04-11 0.064 0.476545
2008-03-12 0.064 0.500000
2008-02-13 0.064 0.461095
2008-01-11 0.064 0.455192
2007-12-12 0.067 0.496664
2007-11-13 0.064 0.486692
2007-10-11 0.064 0.465455
2007-09-12 0.067 0.459534
2007-08-13 0.067 0.476868
2007-07-11 0.067 0.460481
2007-06-13 0.067 0.456093
2007-05-11 0.067 0.436198
2007-04-11 0.067 0.451178
2007-03-13 0.067 0.435065
2007-02-13 0.069 0.448343
2007-01-10 0.069 0.437540
2006-12-13 0.071 0.459845
2006-11-13 0.069 0.448926
2006-10-11 0.069 0.453053
2006-09-13 0.069 0.459387
2006-08-11 0.069 0.469707
2006-07-12 0.069 0.478834
2006-06-13 0.069 0.474227
2006-05-11 0.072 0.495527
2006-04-11 0.072 0.504202
2006-03-13 0.072 0.482897
2006-02-13 0.075 0.502008
2006-01-11 0.075 0.497018
2005-12-13 0.075 0.528541
2005-11-10 0.079 0.545957
2005-10-12 0.079 0.530557
2005-09-13 0.079 0.504148
2005-08-11 0.083 0.538611
2005-07-13 0.083 0.534106
2005-06-13 0.083 0.553333
2005-05-11 0.083 0.560054
2005-04-13 0.083 0.578397
2005-03-11 0.083 0.568493
2005-02-11 0.086 0.573333
2005-01-12 0.086 0.589445
2004-12-13 0.086 0.577181
2004-11-10 0.086 0.587432
2004-10-13 0.086 0.564675
2004-09-13 0.086 0.566535
2004-08-11 0.086 0.586630
2004-07-13 0.086 0.590659
2004-06-14 0.086 0.608634
2004-05-12 0.086 0.632353
2004-04-13 0.086 0.592695
2004-03-11 0.086 0.530210
2004-02-11 0.085 0.531582
2004-01-13 0.085 0.535264
2003-12-11 0.085 0.557377
2003-11-12 0.085 0.565912
2003-10-10 0.085 0.573549
2003-09-11 0.085 0.577054
2003-08-13 0.083 0.570839
2003-07-11 0.083 0.529675
2003-06-11 0.083 0.519724
2003-05-13 0.082 0.534550
2003-04-11 0.082 0.552561
2003-03-12 0.082 0.544850
2003-02-12 0.082 0.549230
2003-01-13 0.082 0.573026
2002-12-11 0.082 0.567867
2002-11-13 0.081 0.550272
2002-10-10 0.081 0.533597
2002-09-11 0.081 0.529758
2002-08-13 0.079 0.522487
2002-07-11 0.079 0.524568
2002-06-12 0.079 0.525615
2002-05-13 0.078 0.526316
2002-04-11 0.078 0.536082
2002-03-13 0.078 0.539419
2002-02-13 0.076 0.513167
2002-01-11 0.076 0.504983
2001-12-12 0.076 0.507682
2001-11-13 0.076 0.495760
2001-10-11 0.076 0.503645
2001-08-13 0.074 0.494652
2001-07-11 0.074 0.497312
2001-06-13 0.074 0.502035
2001-05-11 0.073 0.499658
2001-04-10 0.074 0.506156
2001-03-13 0.074 0.508941
2001-02-13 0.071 0.485636
2001-01-10 0.071 0.489655
2000-12-13 0.071 0.523502
2000-11-13 0.070 0.551724
2000-10-11 0.070 0.546341
2000-09-13 0.070 0.541063
2000-08-11 0.070 0.535885
2000-07-12 0.069 0.552000
2000-06-13 0.070 0.557214
2000-05-11 0.073 0.602062
2000-04-12 0.073 0.581095
2000-03-13 0.073 0.602062
2000-02-11 0.074 0.574757
2000-01-12 0.074 0.571981
1999-12-13 0.074 0.586139
1999-11-10 0.074 0.563810
1999-10-13 0.074 0.519298
1999-09-13 0.074 0.501695
1999-08-11 0.074 0.497479
1999-07-22 0.074 0.493333
Additional Data
dividendRate 0.85
dividendYield 7.09
exDividendDate 2026-07-15
trailingAnnualDividendRate 0.0
trailingAnnualDividendYield 0.0
lastDividendValue 0.071
lastDividendDate 2026-06-15
dividendDate 2019-02-01

Info Dump

Attribute Value
52 Week Change 0.05851066
Address1 333 West Wacker Drive
All Time High 16.46
All Time Low 6.69
Ask 0.0
Ask Size 3,100
Average Daily Volume10 Day 623,370
Average Daily Volume3 Month 616,455
Average Volume 616,455
Average Volume10Days 623,370
Beta 0.637
Bid 0.0
Bid Size 3,300
Book Value 12.235
City Chicago
Country United States
Crypto Tradeable 0
Currency USD
Current Price 11.94
Current Ratio 4.346
Custom Price Alert Confidence HIGH
Date Short Interest 1,782,777,600
Day High 11.95
Day Low 11.885
Debt To Equity 71.11
Dividend Date 1,548,979,200
Dividend Rate 0.85
Dividend Yield 7.09
Earnings Growth 0.508
Earnings Quarterly Growth 0.508
Earnings Timestamp End 1,751,630,400
Earnings Timestamp Start 1,751,281,140
Ebitda Margins 0.0
Enterprise To Revenue 20.964
Enterprise Value 4,808,453,120
Eps Trailing Twelve Months 0.79
Esg Populated 0
Ex Dividend Date 1,784,073,600
Exchange NYQ
Exchange Data Delayed By 0
Exchange Timezone Name America/New_York
Exchange Timezone Short Name EDT
Fifty Day Average 11.8594
Fifty Day Average Change 0.080599785
Fifty Day Average Change Percent 0.0067962785
Fifty Two Week Change Percent 5.851066
Fifty Two Week High 12.31
Fifty Two Week High Change -0.37000084
Fifty Two Week High Change Percent -0.030056931
Fifty Two Week Low 11.04
Fifty Two Week Low Change 0.8999996
Fifty Two Week Low Change Percent 0.081521705
Fifty Two Week Range 11.04 - 12.31
Financial Currency USD
First Trade Date Milliseconds 927,725,400,000
Five Year Avg Dividend Yield 5.76
Free Cashflow 77,810,128
Full Exchange Name NYSE
Gmt Off Set Milliseconds -14,400,000
Gross Margins 1.0
Gross Profits 229,367,280
Has Pre Post Market Data 1
Held Percent Insiders 0.00059
Held Percent Institutions 0.19947
Implied Shares Outstanding 233,464,265
Industry Asset Management
Industry Disp Asset Management
Industry Key asset-management
Is Earnings Date Estimate 1
Language en-US
Last Dividend Date 1,781,481,600
Last Dividend Value 0.071
Last Fiscal Year End 1,761,868,800
Long Business Summary Nuveen Quality Municipal Income Fund is a closed-ended fixed income mutual fund launched by Nuveen Investments, Inc. The fund is co-managed by Nuveen Fund Advisors LLC and Nuveen Asset Management, LLC. It invests in the fixed income markets of the United States. The fund invests in undervalued municipal securities and other related investments, the income from which is exempt from regular federal income taxes. It seeks to invest in investment grade securities with an average maturity of around 18 years. The fund employs fundamental analysis with a focus on bottom-up stock picking approach to create its portfolio. It benchmarks the performance of its portfolio against Standard & Poor's (S&P). The fund was formerly known as Nuveen Dividend Advantage Municipal Fund. Nuveen Quality Municipal Income Fund was formed on January 15, 1999 and is domiciled in the United States.
Long Name Nuveen Quality Municipal Income Fund
Market us_market
Market Cap 2,787,563,264
Market State PRE
Max Age 86,400
Message Board Id finmb_3598840
Most Recent Quarter 1,761,868,800
Net Income To Common 65,356,292
Next Fiscal Year End 1,793,404,800
Non Diluted Market Cap 2,787,563,324
Open 11.93
Operating Cashflow 251,555,136
Operating Margins 0.85885
Payout Ratio 1.0899
Phone 312 917 7700
Pre Market Change -0.009999275
Pre Market Change Percent -0.08374602
Pre Market Price 11.93
Pre Market Time 1,784,026,901
Previous Close 11.93
Price Hint 2
Price To Book 0.97588885
Price To Sales Trailing12 Months 12.153274
Profit Margins 0.28494
Quick Ratio 4.346
Quote Source Name Delayed Quote
Quote Type EQUITY
Recommendation Key none
Region US
Regular Market Change 0.00999928
Regular Market Change Percent 0.0838162
Regular Market Day High 11.95
Regular Market Day Low 11.885
Regular Market Day Range 11.885 - 11.95
Regular Market Open 11.93
Regular Market Previous Close 11.93
Regular Market Price 11.94
Regular Market Time 1,783,972,802
Regular Market Volume 529,243
Return On Assets 0.02451
Return On Equity 0.02232
Revenue Growth -0.016
Revenue Per Share 0.983
Sand P52 Week Change 0.20365608
Sector Financial Services
Sector Disp Financial Services
Sector Key financial-services
Shares Outstanding 233,464,265
Shares Percent Shares Out 0.002
Shares Short 470,884
Shares Short Previous Month Date 1,780,012,800
Shares Short Prior Month 327,662
Short Name Nuveen Quality Municipal Income
Short Percent Of Float 0.002
Short Ratio 0.81
Source Interval 15
State IL
Symbol NAD
Total Cash 6,710,473
Total Cash Per Share 0.029
Total Debt 2,030,646,016
Total Revenue 229,367,280
Tradeable 0
Trailing Annual Dividend Rate 0.0
Trailing Annual Dividend Yield 0.0
Trailing Eps 0.79
Trailing P E 15.113923
Trailing Peg Ratio None
Triggerable 1
Two Hundred Day Average 11.92225
Two Hundred Day Average Change 0.017749786
Two Hundred Day Average Change Percent 0.001488795
Type Disp Equity
Volume 529,243
Website https://www.nuveen.com/CEF/Product/Overview.aspx?FundCode=NQU&refsrc=vu_nuveen.com/nqu
Zip 60,606-1220