Nuveen Funds Rated 4 & 5 Stars by Morningstar
Print
As of Date: 3/31/2025
Morningstar Ratings
Number of Funds in Category
Expense Ratios(%)Average Annual Total Returns(%)
Share
Class
Inception
Date
Morningstar
Category
Overall
Rating
3 YR5 YR10 YRNetGrossAs ofYTD1 YR3 YR5 YR10 YRSince
Incep
Municipal - National
Nuveen High Yield Municipal Bond Fund NHMAX
A06/07/99High Yield Muni
180
174
118
2.112.1107/31/24 -4.75 -2.36 -1.39 1.92 2.95 4.42
Nuveen High Yield Municipal Bond Fund NHMRX
I06/07/99High Yield Muni
180
174
118
1.911.9107/31/24 -0.51 2.22 0.26 3.03 3.61 4.81
I06/07/99High Yield Muni
180
174
118
1.911.9107/31/24 -0.51 2.22 0.26 3.03 3.61 4.81
Nuveen Intermediate Duration Municipal Bond Fund NUVBX
I11/29/76Muni National Interm
260
241
174
0.450.4507/31/24 0.36 1.85 1.67 1.46 2.21 5.24
I11/29/76Muni National Interm
260
241
174
0.450.4507/31/24 0.36 1.85 1.67 1.46 2.21 5.24
Nuveen Limited Term Municipal Bond Fund FLTRX
I02/06/97Muni National Short
208
197
148
0.430.4307/31/24 0.83 1.96 2.02 1.67 1.77 3.16
I02/06/97Muni National Short
208
197
148
0.430.4307/31/24 0.83 1.96 2.02 1.67 1.77 3.16
Nuveen Short Duration High Yield Municipal Bond Fund NVHAX
A02/01/13High Yield Muni
180
174
118
1.061.0707/31/24 -2.01 1.30 1.63 2.96 2.82 3.08
Nuveen Short Duration High Yield Municipal Bond Fund NVHIX
I02/01/13High Yield Muni
180
174
118
0.860.8707/31/24 0.44 3.98 2.66 3.66 3.27 3.49
I02/01/13High Yield Muni
180
174
118
0.860.8707/31/24 0.44 3.98 2.66 3.66 3.27 3.49
Municipal - State
Nuveen Arizona Municipal Bond Fund NMARX
I02/03/97Muni Single State Long
167
167
119
0.630.6309/30/24 -0.59 1.41 0.95 0.92 2.06 3.88
I02/03/97Muni Single State Long
167
167
119
0.630.6309/30/24 -0.59 1.41 0.95 0.92 2.06 3.88
Nuveen California Municipal Bond Fund NCSPX
I07/01/86Muni California Long
100
97
77
0.540.5406/28/24 -0.53 1.88 1.04 0.85 2.16 5.11
I07/01/86Muni California Long
100
97
77
0.540.5406/28/24 -0.53 1.88 1.04 0.85 2.16 5.11
Nuveen Colorado Municipal Bond Fund FCOTX
A05/04/87Muni Single State Long
167
167
119
0.790.7909/30/24 -4.80 -2.82 -0.49 -0.07 1.61 4.62
Nuveen Colorado Municipal Bond Fund FCORX
I02/25/97Muni Single State Long
167
167
119
0.590.5909/30/24 -0.60 1.48 1.11 0.99 2.25 4.08
I02/25/97Muni Single State Long
167
167
119
0.590.5909/30/24 -0.60 1.48 1.11 0.99 2.25 4.08
Nuveen Connecticut Municipal Bond Fund FCTRX
I02/25/97Muni Single State Long
167
167
119
0.600.6006/28/24 -0.56 1.58 0.91 0.64 1.73 3.83
I02/25/97Muni Single State Long
167
167
119
0.600.6006/28/24 -0.56 1.58 0.91 0.64 1.73 3.83
Nuveen Kansas Municipal Bond Fund FKSTX
A01/09/92Muni Single State Long
167
167
119
0.840.8409/30/24 -4.30 -3.68 -0.43 0.60 1.30 4.15
Nuveen Kansas Municipal Bond Fund FRKSX
I02/25/97Muni Single State Long
167
167
119
0.640.6409/30/24 - 0.77 1.21 1.67 1.94 4.04
I02/25/97Muni Single State Long
167
167
119
0.640.6409/30/24 - 0.77 1.21 1.67 1.94 4.04
Nuveen Kentucky Municipal Bond Fund FKYRX
I02/07/97Muni Single State Long
167
167
119
0.930.9309/30/24 -0.97 0.58 0.54 0.58 1.71 3.79
I02/07/97Muni Single State Long
167
167
119
0.930.9309/30/24 -0.97 0.58 0.54 0.58 1.71 3.79
Nuveen Louisiana Municipal Bond Fund FTLAX
A09/12/89Muni Single State Long
167
167
119
0.830.8309/30/24 -4.56 -3.90 -0.48 0.46 1.56 4.71
Nuveen Louisiana Municipal Bond Fund FTLRX
I02/25/97Muni Single State Long
167
167
119
0.630.6309/30/24 -0.33 0.55 1.17 1.55 2.21 4.11
I02/25/97Muni Single State Long
167
167
119
0.630.6309/30/24 -0.33 0.55 1.17 1.55 2.21 4.11
Nuveen Maryland Municipal Bond Fund NMDAX
A09/07/94Muni Single State Long
167
167
119
0.830.8309/30/24 -4.74 -2.91 -0.51 0.08 1.41 3.77
Nuveen Maryland Municipal Bond Fund NMMDX
I02/28/92Muni Single State Long
167
167
119
0.630.6309/30/24 -0.53 1.59 1.12 1.16 2.06 4.31
I02/28/92Muni Single State Long
167
167
119
0.630.6309/30/24 -0.53 1.59 1.12 1.16 2.06 4.31
Nuveen Massachusetts Municipal Bond Fund NBMAX
I12/22/86Muni Massachusetts
38
37
29
0.590.5906/28/24 -0.88 0.97 0.37 0.42 1.73 4.56
I12/22/86Muni Massachusetts
38
37
29
0.590.5906/28/24 -0.88 0.97 0.37 0.42 1.73 4.56
Nuveen Minnesota Intermediate Municipal Bond Fund FAMAX
A02/25/94Muni Minnesota
39
38
32
0.810.8109/30/24 -2.97 -1.34 0.45 0.36 1.42 3.49
Nuveen Minnesota Intermediate Municipal Bond Fund FAMTX
I02/25/94Muni Minnesota
39
38
32
0.610.6109/30/24 0.08 1.99 1.67 1.18 1.94 3.70
I02/25/94Muni Minnesota
39
38
32
0.610.6109/30/24 0.08 1.99 1.67 1.18 1.94 3.70
Nuveen Minnesota Municipal Bond Fund FJMNX
A07/11/88Muni Minnesota
39
38
32
0.790.7909/30/24 -4.61 -2.51 -0.48 -0.08 1.45 4.66
Nuveen Minnesota Municipal Bond Fund FYMNX
I08/01/97Muni Minnesota
39
38
32
0.590.5909/30/24 -0.39 1.92 1.17 1.00 2.09 4.06
I08/01/97Muni Minnesota
39
38
32
0.590.5909/30/24 -0.39 1.92 1.17 1.00 2.09 4.06
Nuveen Missouri Municipal Bond Fund FMOTX
A08/03/87Muni Single State Long
167
167
119
0.790.7909/30/24 -4.86 -3.01 -0.44 0.04 1.67 4.79
Nuveen Missouri Municipal Bond Fund FMMRX
I02/19/97Muni Single State Long
167
167
119
0.590.5909/30/24 -0.63 1.40 1.21 1.11 2.32 4.14
I02/19/97Muni Single State Long
167
167
119
0.590.5909/30/24 -0.63 1.40 1.21 1.11 2.32 4.14
Nuveen New Jersey Municipal Bond Fund NMNJX
I02/28/92Muni New Jersey
46
46
38
0.620.6206/28/24 -0.69 0.88 1.17 1.04 2.25 4.63
I02/28/92Muni New Jersey
46
46
38
0.620.6206/28/24 -0.69 0.88 1.17 1.04 2.25 4.63
Nuveen New Mexico Municipal Bond Fund FNMRX
I02/24/97Muni Single State Long
167
167
119
0.700.7009/30/24 -0.53 1.31 1.12 0.97 1.95 3.68
I02/24/97Muni Single State Long
167
167
119
0.700.7009/30/24 -0.53 1.31 1.12 0.97 1.95 3.68
Nuveen New York Municipal Bond Fund NTNYX
I12/22/86Muni New York Long
79
75
61
0.560.5606/28/24 -0.62 1.54 0.91 0.99 1.99 5.03
I12/22/86Muni New York Long
79
75
61
0.560.5606/28/24 -0.62 1.54 0.91 0.99 1.99 5.03
Nuveen Ohio Municipal Bond Fund NXOHX
I02/03/97Muni Ohio
23
22
19
0.590.5909/30/24 -0.53 -0.41 0.73 0.86 2.00 3.98
I02/03/97Muni Ohio
23
22
19
0.590.5909/30/24 -0.53 -0.41 0.73 0.86 2.00 3.98
Nuveen Oregon Intermediate Municipal Bond Fund FOTAX
A02/01/99Muni Single State Interm
108
106
94
0.830.8309/30/24 -3.02 -1.93 0.16 -0.04 1.12 2.82
Nuveen Oregon Intermediate Municipal Bond Fund FORCX
I08/08/97Muni Single State Interm
108
106
94
0.630.6309/30/24 0.03 1.29 1.39 0.77 1.64 3.28
I08/08/97Muni Single State Interm
108
106
94
0.630.6309/30/24 0.03 1.29 1.39 0.77 1.64 3.28
Nuveen Virginia Municipal Bond Fund FVATX
A03/27/86Muni Single State Long
167
167
119
0.750.8009/30/24 -4.97 -3.27 -0.45 -0.14 1.39 4.72
Nuveen Virginia Municipal Bond Fund NMVAX
I02/03/97Muni Single State Long
167
167
119
0.550.6009/30/24 -0.77 1.21 1.17 0.93 2.04 4.01
I02/03/97Muni Single State Long
167
167
119
0.550.6009/30/24 -0.77 1.21 1.17 0.93 2.04 4.01
Nuveen Wisconsin Municipal Bond Fund FWIAX
A06/01/94Muni Single State Long
167
167
119
1.301.3909/30/24 -4.92 -4.24 -1.21 0.33 1.47 3.85
Nuveen Wisconsin Municipal Bond Fund FWIRX
I02/25/97Muni Single State Long
167
167
119
1.101.1909/30/24 -0.69 0.17 0.41 1.39 2.10 4.00
I02/25/97Muni Single State Long
167
167
119
1.101.1909/30/24 -0.69 0.17 0.41 1.39 2.10 4.00
Global Fixed Income
Nuveen Core Impact Bond Fund TSBHX
I12/04/15Intermediate Core Bond
422
380
276
0.430.4308/01/24 2.80 5.31 0.65 0.51 1.68 2.20
I12/04/15Intermediate Core Bond
422
380
276
0.430.4308/01/24 2.80 5.31 0.65 0.51 1.68 2.20
Nuveen Core Plus Bond Fund TCBHX
I12/04/15Intermediate Core-Plus Bond
530
478
346
0.390.3908/01/24 2.57 5.55 1.27 1.49 2.17 3.66
I12/04/15Intermediate Core-Plus Bond
530
478
346
0.390.3908/01/24 2.57 5.55 1.27 1.49 2.17 3.66
Nuveen Credit Income Fund FJSIX
A08/30/01High Yield Bond
586
537
423
1.021.2112/30/24 -4.01 3.38 4.26 6.91 3.69 5.52
Nuveen Credit Income Fund FJSYX
I08/30/01High Yield Bond
586
537
423
0.770.9612/30/24 0.78 8.79 6.22 8.21 4.43 6.00
I08/30/01High Yield Bond
586
537
423
0.770.9612/30/24 0.78 8.79 6.22 8.21 4.43 6.00
Nuveen Emerging Markets Debt Fund TEDLX
A09/26/14Emerging Markets Bond
217
205
131
0.920.9203/01/24 -1.90 3.62 3.23 5.37 3.71 3.36
Nuveen Emerging Markets Debt Fund TEDHX
I12/04/15Emerging Markets Bond
217
205
131
0.690.6903/01/24 2.24 8.27 4.86 6.50 4.41 4.06
I12/04/15Emerging Markets Bond
217
205
131
0.690.6903/01/24 2.24 8.27 4.86 6.50 4.41 4.06
Nuveen Floating Rate Income Fund NFRAX
A05/02/11Bank Loan
215
208
172
0.990.9912/30/24 -2.67 3.65 5.20 7.51 3.94 4.41
Nuveen Floating Rate Income Fund NFRIX
I05/02/11Bank Loan
215
208
172
0.740.7412/30/24 0.41 7.13 6.53 8.45 4.52 4.91
I05/02/11Bank Loan
215
208
172
0.740.7412/30/24 0.41 7.13 6.53 8.45 4.52 4.91
Nuveen Green Bond Fund TGROX
A11/16/18Intermediate Core-Plus Bond
530
478
346
0.760.9108/01/24 -1.91 0.57 -0.51 0.42 - 1.47
Nuveen Green Bond Fund TGRKX
I11/16/18Intermediate Core-Plus Bond
530
478
346
0.540.6908/01/24 2.09 4.70 1.01 1.44 - 2.31
I11/16/18Intermediate Core-Plus Bond
530
478
346
0.540.6908/01/24 2.09 4.70 1.01 1.44 - 2.31
Nuveen High Yield Income Fund NCOIX
I04/28/10High Yield Bond
586
537
423
0.760.8312/30/24 0.26 7.01 4.98 7.30 4.49 5.80
I04/28/10High Yield Bond
586
537
423
0.760.8312/30/24 0.26 7.01 4.98 7.30 4.49 5.80
Nuveen International Bond Fund TIBNX
I08/05/16Global Bond-USD Hedged
113
99
60
0.700.7303/01/24 0.23 4.12 2.15 1.35 - 1.84
I08/05/16Global Bond-USD Hedged
113
99
60
0.700.7303/01/24 0.23 4.12 2.15 1.35 - 1.84
Nuveen Preferred Securities and Income Fund NPSAX
A12/19/06Preferred Stock
66
56
35
1.031.0312/30/24 -3.01 2.77 1.84 5.74 3.88 5.00
Nuveen Preferred Securities and Income Fund NPSRX
I12/19/06Preferred Stock
66
56
35
0.780.7812/30/24 1.92 8.19 3.76 7.04 4.65 5.55
I12/19/06Preferred Stock
66
56
35
0.780.7812/30/24 1.92 8.19 3.76 7.04 4.65 5.55
Global and International
Nuveen International Equity Fund TIEHX
I12/04/15Foreign Large Blend
651
615
425
0.560.5603/01/24 6.65 2.61 6.17 12.74 4.69 5.00
I12/04/15Foreign Large Blend
651
615
425
0.560.5603/01/24 6.65 2.61 6.17 12.74 4.69 5.00
Nuveen International Value Fund NGRRX
I12/20/99Foreign Large Value
341
317
224
0.901.0610/31/24 9.65 9.38 8.92 15.06 5.47 4.74
I12/20/99Foreign Large Value
341
317
224
0.901.0610/31/24 9.65 9.38 8.92 15.06 5.47 4.74
Nuveen Quant International Small Cap Equity Fund TLISX
A12/09/16Foreign Small/Mid Blend
88
80
49
1.101.1603/01/24 -2.51 -3.40 0.68 10.81 - 4.00
Nuveen Quant International Small Cap Equity Fund TAISX
I12/09/16Foreign Small/Mid Blend
88
80
49
0.820.8203/01/24 3.53 2.83 3.09 12.54 - 5.12
I12/09/16Foreign Small/Mid Blend
88
80
49
0.820.8203/01/24 3.53 2.83 3.09 12.54 - 5.12
Value
Nuveen Large Cap Value Opportunities Fund NQCRX
I12/15/06Large Value
1092
1030
808
0.751.3610/31/24 1.43 10.05 9.34 19.70 8.56 6.09
I12/15/06Large Value
1092
1030
808
0.751.3610/31/24 1.43 10.05 9.34 19.70 8.56 6.09
Nuveen Multi Cap Value Fund NQVAX
A12/09/02Mid-Cap Value
389
366
282
1.161.1710/31/24 -5.95 3.39 7.07 19.40 8.40 8.22
Nuveen Multi Cap Value Fund NQVRX
I11/04/97Mid-Cap Value
389
366
282
0.910.9210/31/24 -0.18 9.98 9.47 21.14 9.31 8.41
I11/04/97Mid-Cap Value
389
366
282
0.910.9210/31/24 -0.18 9.98 9.47 21.14 9.31 8.41
Nuveen Small Cap Value Opportunities Fund NSCAX
A12/08/04Small Blend
582
559
399
1.201.3510/31/24 -11.45 -1.12 5.87 17.63 6.48 7.57
Nuveen Small Cap Value Opportunities Fund NSCRX
I12/08/04Small Blend
582
559
399
0.951.1010/31/24 -5.98 5.17 8.25 19.32 7.38 8.16
I12/08/04Small Blend
582
559
399
0.951.1010/31/24 -5.98 5.17 8.25 19.32 7.38 8.16
Nuveen Small/Mid Cap Value Fund NSMAX
A12/15/06Small Blend
582
559
399
1.311.4210/31/24 -10.30 -1.77 5.20 18.49 7.28 6.13
Nuveen Small/Mid Cap Value Fund NSMRX
I12/15/06Small Blend
582
559
399
1.061.1710/31/24 -4.75 4.50 7.58 20.20 8.19 6.68
I12/15/06Small Blend
582
559
399
1.061.1710/31/24 -4.75 4.50 7.58 20.20 8.19 6.68
Growth
Nuveen Winslow Large-Cap Growth ESG Fund NWCAX
A05/15/09Large Growth
1027
949
745
0.901.0811/29/24 -15.23 -3.58 7.19 16.34 13.16 14.87
Nuveen Winslow Large-Cap Growth ESG Fund NVLIX
I05/15/09Large Growth
1027
949
745
0.650.8311/29/24 -10.01 2.56 9.60 18.01 14.11 15.59
I05/15/09Large Growth
1027
949
745
0.650.8311/29/24 -10.01 2.56 9.60 18.01 14.11 15.59
Core
Nuveen Core Equity Fund TIIRX
A03/31/06Large Blend
1272
1169
889
0.700.7003/01/24 -12.00 -1.74 7.54 17.42 10.95 7.75
Nuveen Core Equity Fund TGIHX
I12/04/15Large Blend
1272
1169
889
0.500.5003/01/24 -6.51 4.52 9.90 19.04 11.83 7.91
I12/04/15Large Blend
1272
1169
889
0.500.5003/01/24 -6.51 4.52 9.90 19.04 11.83 7.91
Nuveen Quant Small Cap Equity Fund TCSEX
A10/01/02Small Blend
582
559
399
0.720.7203/01/24 -13.94 -7.22 1.81 16.14 7.03 9.50
Nuveen Quant Small Cap Equity Fund TSCHX
I12/04/15Small Blend
582
559
399
0.500.5003/01/24 -8.61 -1.29 4.11 17.80 7.91 10.03
I12/04/15Small Blend
582
559
399
0.500.5003/01/24 -8.61 -1.29 4.11 17.80 7.91 10.03
Nuveen Quant Small/Mid Cap Equity Fund TSMEX
A08/05/16Small Blend
582
559
399
0.790.7903/01/24 -11.97 -4.09 3.41 18.19 - 10.77
Nuveen Quant Small/Mid Cap Equity Fund TSMNX
I08/05/16Small Blend
582
559
399
0.590.5903/01/24 -6.46 2.03 5.71 19.86 - 11.87
I08/05/16Small Blend
582
559
399
0.590.5903/01/24 -6.46 2.03 5.71 19.86 - 11.87
Nuveen Small Cap Select Fund ARSTX
I05/06/92Small Blend
582
559
399
0.941.1002/28/25 -10.14 -4.50 2.78 16.36 7.70 9.81
I05/06/92Small Blend
582
559
399
0.941.1002/28/25 -10.14 -4.50 2.78 16.36 7.70 9.81
Real Assets
Nuveen Global Infrastructure Fund FGIAX
A12/17/07Infrastructure
82
75
47
1.221.3005/01/24 0.50 10.43 3.27 10.29 5.96 5.85
Nuveen Global Infrastructure Fund FGIYX
I12/17/07Infrastructure
82
75
47
0.971.0505/01/24 6.68 17.38 5.59 11.88 6.86 6.47
I12/17/07Infrastructure
82
75
47
0.971.0505/01/24 6.68 17.38 5.59 11.88 6.86 6.47
Nuveen Global Real Estate Securities Fund NGJAX
A03/20/18Global Real Estate
165
161
123
1.301.8305/01/24 -3.78 -2.26 -5.64 5.78 - 3.62
Nuveen Global Real Estate Securities Fund NGJIX
I03/20/18Global Real Estate
165
161
123
1.051.5805/01/24 2.16 3.97 -3.52 7.30 - 4.75
I03/20/18Global Real Estate
165
161
123
1.051.5805/01/24 2.16 3.97 -3.52 7.30 - 4.75
Asset Allocation
Nuveen Lifestyle Aggressive Growth Fund TSALX
A12/09/11Aggressive Allocation
183
167
131
0.941.0510/01/24 -7.85 -2.61 3.99 13.37 7.83 9.86
Nuveen Lifestyle Aggressive Growth Fund TSAHX
I12/04/15Aggressive Allocation
183
167
131
0.750.8610/01/24 -2.11 3.59 6.28 14.95 8.73 10.64
I12/04/15Aggressive Allocation
183
167
131
0.750.8610/01/24 -2.11 3.59 6.28 14.95 8.73 10.64
Nuveen Lifestyle Conservative Fund TSCLX
A12/09/11Moderately Conservative Allocation
426
390
289
0.760.8410/01/24 -5.25 -1.39 1.63 5.57 4.06 5.15
Nuveen Lifestyle Conservative Fund TLSHX
I12/04/15Moderately Conservative Allocation
426
390
289
0.590.6710/01/24 0.57 4.86 3.86 7.04 4.89 5.86
I12/04/15Moderately Conservative Allocation
426
390
289
0.590.6710/01/24 0.57 4.86 3.86 7.04 4.89 5.86
Index
Nuveen Large Cap Growth Index Fund TRIHX
I12/04/15Large Growth
1027
949
745
0.160.1603/01/24 -9.98 7.61 9.94 19.89 14.94 12.18
I12/04/15Large Growth
1027
949
745
0.160.1603/01/24 -9.98 7.61 9.94 19.89 14.94 12.18
Nuveen S&P 500 Index Fund TISAX
I12/04/15Large Blend
1272
1169
889
0.180.1803/01/24 -4.31 8.05 8.87 18.38 12.32 10.75
I12/04/15Large Blend
1272
1169
889
0.180.1803/01/24 -4.31 8.05 8.87 18.38 12.32 10.75
Alternatives
Nuveen Equity Long/Short Fund NELAX
A12/30/08Long-Short Equity
99
88
56
2.182.3712/30/24 -10.30 -0.76 5.93 12.60 6.86 8.79
Nuveen Equity Long/Short Fund NELIX
I12/30/08Long-Short Equity
99
88
56
1.932.1212/30/24 -4.76 5.57 8.32 14.24 7.77 9.46
I12/30/08Long-Short Equity
99
88
56
1.932.1212/30/24 -4.76 5.57 8.32 14.24 7.77 9.46
Target Date
Nuveen Lifecycle 2015 Fund TCNHX
I12/04/15Target-Date 2015
92
82
49
0.460.6110/01/24 0.88 4.98 3.45 7.20 5.20 5.65
I12/04/15Target-Date 2015
92
82
49
0.460.6110/01/24 0.88 4.98 3.45 7.20 5.20 5.65
Nuveen Lifecycle 2020 Fund TCWHX
I12/04/15Target-Date 2020
123
112
66
0.480.6210/01/24 0.64 4.85 3.63 7.82 5.57 5.90
I12/04/15Target-Date 2020
123
112
66
0.480.6210/01/24 0.64 4.85 3.63 7.82 5.57 5.90
Nuveen Lifecycle 2025 Fund TCQHX
I12/04/15Target-Date 2025
166
145
94
0.480.6310/01/24 0.30 4.67 3.89 8.85 6.06 6.21
I12/04/15Target-Date 2025
166
145
94
0.480.6310/01/24 0.30 4.67 3.89 8.85 6.06 6.21
Nuveen Lifecycle 2030 Fund TCHHX
I12/04/15Target-Date 2030
188
162
105
0.490.6510/01/24 -0.10 4.48 4.28 9.99 6.61 6.50
I12/04/15Target-Date 2030
188
162
105
0.490.6510/01/24 -0.10 4.48 4.28 9.99 6.61 6.50
Nuveen Lifecycle 2035 Fund TCYHX
I12/04/15Target-Date 2035
180
156
105
0.520.7010/01/24 -0.47 4.38 4.83 11.21 7.17 6.91
I12/04/15Target-Date 2035
180
156
105
0.520.7010/01/24 -0.47 4.38 4.83 11.21 7.17 6.91
Nuveen Lifecycle 2045 Fund TTFHX
I12/04/15Target-Date 2045
180
156
105
0.530.7410/01/24 -1.42 3.97 5.75 13.63 8.22 6.62
I12/04/15Target-Date 2045
180
156
105
0.530.7410/01/24 -1.42 3.97 5.75 13.63 8.22 6.62
Nuveen Lifecycle 2050 Fund TFTHX
I12/04/15Target-Date 2050
181
157
105
0.530.7410/01/24 -1.65 3.80 5.88 13.88 8.36 6.68
I12/04/15Target-Date 2050
181
157
105
0.530.7410/01/24 -1.65 3.80 5.88 13.88 8.36 6.68
Nuveen Lifecycle 2055 Fund TTRHX
I12/04/15Target-Date 2055
181
157
99
0.530.7510/01/24 -1.74 3.81 5.92 14.04 8.45 8.64
I12/04/15Target-Date 2055
181
157
99
0.530.7510/01/24 -1.74 3.81 5.92 14.04 8.45 8.64
Nuveen Lifecycle Index 2040 Fund TLZHX
I12/04/15Target-Date 2040
183
157
105
0.200.2710/01/24 - 6.67 6.03 12.65 8.24 9.44
I12/04/15Target-Date 2040
183
157
105
0.200.2710/01/24 - 6.67 6.03 12.65 8.24 9.44
Nuveen Lifecycle Index 2045 Fund TLMHX
I12/04/15Target-Date 2045
180
156
105
0.200.2710/01/24 -0.29 6.79 6.37 13.84 8.71 9.74
I12/04/15Target-Date 2045
180
156
105
0.200.2710/01/24 -0.29 6.79 6.37 13.84 8.71 9.74
Nuveen Lifecycle Index 2050 Fund TLLHX
I12/04/15Target-Date 2050
181
157
105
0.200.2810/01/24 -0.41 6.88 6.51 14.14 8.88 9.85
I12/04/15Target-Date 2050
181
157
105
0.200.2810/01/24 -0.41 6.88 6.51 14.14 8.88 9.85
Nuveen Lifecycle Index 2055 Fund TTIHX
I12/04/15Target-Date 2055
181
157
99
0.200.2810/01/24 -0.47 6.90 6.59 14.34 8.99 9.11
I12/04/15Target-Date 2055
181
157
99
0.200.2810/01/24 -0.47 6.90 6.59 14.34 8.99 9.11
Nuveen Lifecycle Index 2060 Fund TVIHX
I12/04/15Target-Date 2060
180
151
49
0.200.2910/01/24 -0.51 6.95 6.68 14.55 9.10 9.05
I12/04/15Target-Date 2060
180
151
49
0.200.2910/01/24 -0.51 6.95 6.68 14.55 9.10 9.05
Nuveen Lifecycle Index 2065 Fund TFIHX
I09/30/20Target-Date 2065+
147
62
- 0.190.3510/01/24 -0.57 6.92 6.77 - - 10.19
I09/30/20Target-Date 2065+
147
62
- 0.190.3510/01/24 -0.57 6.92 6.77 - - 10.19
Nuveen Lifecycle Retirement Income Fund TLRRX
A11/30/07Moderately Conservative Allocation
426
390
289
0.620.8410/01/24 -5.10 -1.34 1.16 5.21 4.02 4.39

LW - Load Waived

Morningstar ratings may vary among share classes and are based on historical total returns, which are not indicative of future results. Some funds may have experienced negative returns over the time periods rated.

Returns quoted represent past performance which is no guarantee of future results. Investment returns and principal value will fluctuate so that when shares are redeemed, they may be worth more or less than their original cost. Returns less than one year are cumulative. Current performance may be higher or lower than the performance shown. Returns without sales charges would be lower if the sales charge were included. Returns do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of shares. For the most recent month-end performance visit www.nuveen.com or call (800) 257-8787.

Equity funds are subject to market risk or the risk that stocks in the portfolio will decline in response to such factors as adverse company news, industry developments or a general economic decline. Value securities may never reach their full market value and value style investing may fall out of favor and underperform growth or other style investing during given periods. Growth style investing may fall out of favor or underperform other equity style investments over any period of time. In addition, certain growth stocks may shift characteristics over a market cycle. Small and mid-cap stocks are subject to more risks and volatility. Foreign investments present risks not typically associated with domestic investments such as adverse political, currency, economic, social or regulatory developments in a country including excessive taxation, lack of liquidity or differing legal and accounting standards. These risks are magnified in emerging markets.

Bond funds are subject to market risk; interest rate risk or the risk that interest rates will rise, causing bond prices to fall; and credit risk which is the risk that an issuer of a bond will be unable to make interest and principal payments when due. High yield or below investment grade bonds are generally considered speculative and the credit risk is heightened for these funds.

Income from municipal bond funds is generally exempt from regular federal income taxes. Income may be subject to state and local taxes and the federal alternative minimum tax unless otherwise specified. Capital gains distributions are subject to tax.

As with all mutual funds, loss of principal is also a risk.

Effective October 7, 2002, the Nuveen Tradewinds International Value Fund, pursuant to shareholder approval, (a) changed its name and primary investment strategy and (b) changed its sub-adviser. Therefore, the Fund’s performance and ratings for the periods prior to October 7, 2002 are not necessarily indicative of the performance that the Fund, as currently managed, would have generated. See the prospectus for more information.

On December 6, 2002, the Nuveen NWQ Multi-Cap Value Fund acquired the assets and performance history of the PBHG Special Equity Fund (the “predecessor Fund”). NWQ served as adviser to the predecessor Fund. The investment goals, strategies and policies of the Fund are substantially similar to those of the predecessor Fund. See the prospectus for more information.

The Nuveen Global and International Funds charge a 2% redemption fee on the proceeds of Fund shares redeemed or exchanged within 30 days of acquisition. The Funds may waive the fee in specified circumstances. See the prospectus for additional information.

Load-waived (LW) Class A share star ratings do not include any front-end sales load and are intended for those investors who have access to such purchase terms (e.g., plan participants of a defined contribution plan). Not all A share mutual funds for which Morningstar calculates a load-waived A share star rating may actually waive their front-end sales load. Absent the waiver, ratings would be lower. All of the funds above offer A shares at maximum sales charge which varies by fund; and I shares which have no sales charge. Ratings are for the share class cited only; other share classes have different performance and different Morningstar RatingsTM.

For each fund with at least a three-year history, Morningstar calculates a Morningstar RatingTM based on a Risk-Adjusted Return measure that accounts for variation in a fund's monthly performance (including the effects of sales charges, loads and redemption fees), placing more emphasis on downward variations and rewarding consistent performance. Within each asset class, the top 10%, the next 22.5%, 35%, 22.5%, and the bottom 10% receive 5, 4, 3, 2, or 1 star, respectively. (Each share class is counted as a fraction of one fund within this scale and rated separately, which may cause slight variations in the distribution percentages.) Each fund is rated exclusively against U.S. domiciled funds. The Overall Morningstar Rating™ is based on the weighted average of the number of stars assigned to the fund's applicable time periods. In cases where the fund has changed investment categories, its historical information is given less weight. If the fund has been in existence at least 10 years, the 10-year rating accounts for 50%, the 5-year for 30%, and the 3-year for 20%. If the fund has been in existence at least 5 years, but less than 10 years, the 5-year rating accounts for 60% and the 3-year for 40%. If the fund has been in existence for 3 years, but less than 5 years, the 3-year rating accounts for 100%.

The Morningstar information contained herein: (1) is proprietary to Morningstar; (2) may not be copied; and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use of this information. ©2013 Morningstar, Inc. All Rights Reserved.


An investor should carefully consider the Fund’s objectives, risks, charges and expenses before investing. For a prospectus containing this and other information about the Fund, please contact your financial advisor or Nuveen Investments at (800) 257-8787. Read the prospectus carefully before you invest or send money.
Funds distributed by Nuveen Securities, LLC.