Gute NAC
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Eröffnet am: | 12.01.14 22:16 | von: buran | Anzahl Beiträge: | 56 |
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In Euro: 9,6412 € | NYSE, 10.01.14:::::::::::: das Laubenpieperfest
buran,Die Börsen Bimm Bamm Piepe
13.01.14 13,16 13,17§13,06 13,11 $ 57.098 0,73 M
..glorreich dieser Anblick dieses Aufstaunen diese schlummernd Wucht des holden Papierchen mit Kennnummer ..man kann es fühlen das Atmen das Lebendige zu Börsenzeiten des Weges zum Zenit grazil daherschreitend ..herrlich und wunderhübsch anzusehen ..also musst Du Einordern ..dann kannst auch Du es in Deinem heimischen Depot noch besser einsehen
buran & NAC,Die Börsen GLORIAaaaaaaaaas
In Euro: 9,6433 € | NYSE, 14.01.14:::::::::::::: labimmel labammel labumm bumm bumm
Kosmonova buran,Die Börsen Gute NAC Ticker Labimmel
Open: 13.13 §
Bid:§12.70 x 1600
Ask:§13.24 x 3000
1y Target Est: N/A
Beta: -0.11§
Next Earnings Date: N/A
Day's Range: 13.13 - 13.20
52wk Range: 11.91 - 16.45
Volume: 56,034§
Avg Vol (3m): 77,873
Market Cap: 310.22M
P/E (ttm): N/A
EPS (ttm): -1.28
Div & Yield: 0.89 (6.70%)
http://finance.yahoo.com/q?s=nac&ql=1
Nuveen Energy MLP Total Return Fund Declares Quarterly Distribution
Business WireNuveen Investments
January 2, 2014 4:00 PM
CHICAGO--(BUSINESS WIRE)--
Nuveen Investments, a leading global provider of investment services to institutions as well as individual investors, today announced that 87 Nuveen closed-end funds declared regular monthly distributions. Additionally, Nuveen Energy MLP Total Return Fund (JMF), is declaring a quarterly distribution. These funds represent a broad range of tax-exempt, taxable fixed and floating rate income investment strategies for investors seeking to build sophisticated and diversified long-term investment portfolios for cash flow. The funds’ monthly distributions are listed below.
The following dates apply to today's distribution declarations for the following Closed-End Funds:
Record Date January 15, 2014
Ex-Dividend Date January 13, 2014
Payable Date February 3, 2014
Reinvest Date February 3, 2014
Monthly Tax-Free Distribution Per Share
Change From
Amount§ Previous Month
Ticker
Fund Name
NXP §Select Portfolio $.0525 -
NXQ §Select Portfolio 2 $.0525 -
NXR §Select Portfolio 3 $.0525 -
NXC §CA Select Portfolio $.0570 -
NXN §NY Select Portfolio $.0525 -
NUV §Municipal Value $.0370 -
NUW §Municipal Value 2 $.0670 -
NCA §CA Municipal Value $.0390 -
NNY §NY Municipal Value $.0325 .0015
NMI §Municipal Income $.0475 -
NIM §Select Maturities $.0285 -
NYV §NY Municipal Value 2 $.0560 -
NCB §CA Municipal Value 2 $.0650 -
NJV §NJ Municipal Value $.0520 -
NPN §PA Municipal Value $.0530 -
Leveraged Funds
National
NPI §Premium Income $.0720 -
NPP §Performance Plus $.0770 -
NMA Advantage $.0670 - §
NMO §Market Opportunity $.0670 .0025
NQM §Investment Quality $.0800 -
NQI §Quality Municipal $.0620 -
NQS §Select Quality $.0665 .0015
NQU §Quality Income $.0685 .0030
Change From
Amount§
Previous Month
NIO §Municipal Opportunity $.0730 -
NPF Premier $.0720 .0020 §
NPM §Premium Income 2 $.0720 -
NPT §Premium Income 4 $.0680 -
NAD §Dividend Advantage $.0740 .0010
NEA §AMT-Free Municipal Income $.0685 -
NXZ §Dividend Advantage 2 $.0695 .0025
NZF §Dividend Advantage 3 $.0595 .0015
NVG §Dividend Advantage Municipal $.0580 .0035
NMZ §High Income Opportunity Fund $.0760 .0030
NEV §Enhanced Municipal Value Fund $.0800 -
NID §Int. Duration Municipal Term Fund $.0570 .0020
NIQ §Int. Duration Quality Municipal Term Fund $.0495 .0015
California
NKX §CA AMT-Free Municipal Income $.0700 -
NCP §Performance Plus $.0790 -
NCO §Market Opportunity $.0800 -
NQC §Investment Quality $.0770 -
NVC §Select Quality $.0830 -
NUC §Quality Income $.0850 -
NCU §Premium Income $.0700 -
NAC §Dividend Advantage $.0740 -
NVX §Dividend Advantage 2 $.0750 -
NZH §Dividend Advantage 3 $.0670 -
New York
NRK §AMT-Free Municipal Income $.0690 -
NNP §Performance Plus $.0710 -
NAN §Dividend Advantage $.0630 -
NXK §Dividend Advantage 2 $.0550 -
Other State Funds
NAZ §AZ Premium Income $.0655 .0015
NTC §CT Premium Income $.0570 -
NKG §GA Dividend Advantage 2 $.0535 -
NMT §MA Premium Income $.0555 -
NMB §MA Dividend Advantage $.0540 -
NGX §Insured MA Tax-Free Advantage $.0480 -
NMY §MD Premium Income $.0555 -
NUM §MI Quality Income $.0740 -
NOM §MO Premium Income $.0610 -
NNC §NC Premium Income $.0503 -
NQJ §NJ Investment Quality $.0670 -
NNJ §NJ Premium Income $.0710 -
NXJ §NJ Dividend Advantage $.0605 .0055
NUJ §NJ Dividend Advantage 2 $.0575 .0010
NUO §OH Quality Income $.0800 -
NQP §PA Investment Quality $.0700 -
NPY §PA Premium Income 2 $.0700 -
NXM §PA Dividend Advantage $.0595 -
Change From
Amount§ Previous Month
NVY §PA Dividend Advantage 2 $.0585 -
NTX §TX Quality Income $.0580 -
NPV §VA Premium Income $.0615 .0020
Monthly Taxable Distribution Per Share
Closed-End Funds:
Change From
Ticker
Taxable Funds
Amount§ Previous Month
Preferred Securities
JTP §Quality Preferred Income Fund $.0520 -
JPS §Quality Preferred Income Fund 2 $.0550 -
JHP §Quality Preferred Income Fund 3 $.0520 -
JPC §Preferred Income Opportunities Fund $.0633 -
JPI §Preferred and Income Term Fund $.1690 -
JPW §Nuveen Flexible Investment Income Fund $.1260 -
Floating Rate: Corporate Loans
NSL §Senior Income Fund $.0360 -
JFR §Floating Rate Income Fund $.0615 -
JRO §Floating Rate Income Opportunity Fund $.0645 -
JSD §Short Duration Credit Opportunities Fund $.1140 -
JQC §Credit Strategies Income Fund $.0545 -
Mortgage-Backed Securities
JLS §Mortgage Opportunity Term Fund $.1405 -
JMT §Mortgage Opportunity Term Fund 2 $.1425 -
Taxable Municipal
NBB §Build America Bond Fund $.1160 -
NBD §Build America Bond Opportunity Fund $.1140 -
Real Assets
JRI §Real Asset Income and Growth $.1345 -
The following dates apply to the distribution for the Nuveen Energy MLP Total Return Fund (JMF).
Record Date January 15, 2014
Ex-Dividend Date January 13, 2014
Payable Date February 17, 2014
Reinvest Date February 17, 2014
Quarterly Taxable Distribution Per Share
Change From
Ticker
Taxable Fund
Amount§ Previous Quarter
JMF §Energy MLP Total Return Fund $.3160 -
The following dates apply to today's distribution declarations for the following MTP Shares:
Record Date January 15, 2014
Ex-Dividend Date January 13, 2014
Payable Date February 3, 2014
Ticker
MuniFund Term Preferred
Monthly Tax-Free
Distribution Per Share
NAN PrC Nuveen New York Dividend Advantage Municipal Fund MTP .022500
NAN PrD Nuveen New York Dividend Advantage Municipal Fund MTP .020833
NCU PrC Nuveen California Premium Income Municipal Fund MTP .016667
NGX PrC Nuveen Massachusetts AMT-Free Municipal Income Fund MTP .022083
NKG PrC Nuveen Georgia Dividend Advantage Municipal Fund 2 MTP .022083
NKG PrD Nuveen Georgia Dividend Advantage Municipal Fund 2 MTP .022083
NKG PrE Nuveen Georgia Dividend Advantage Municipal Fund 2 MTP .022083
NMB PrC Nuveen Massachusetts Dividend Advantage Municipal Fund MTP .021667
NMT PrC Nuveen Massachusetts Premium Income Municipal Fund MTP .022083
NMT PrD Nuveen Massachusetts Premium Income Municipal Fund MTP .022917
NMY PrC Nuveen Maryland Premium Income Municipal Fund MTP .022083
NMY PrD Nuveen Maryland Premium Income Municipal Fund MTP .024167
NNC PrC Nuveen North Carolina Premium Income Municipal Fund MTP .022083
NNC PrD Nuveen North Carolina Premium Income Municipal Fund MTP .021667
NNC PrE Nuveen North Carolina Premium Income Municipal Fund MTP .021667
NNC PrF Nuveen North Carolina Premium Income Municipal Fund MTP .021667
NNC PrG Nuveen North Carolina Premium Income Municipal Fund MTP .022083
NOM PrC Nuveen Missouri Premium Income Municipal Fund MTP .017500
NRK PrC Nuveen New York AMT-Free Municipal Income Fund MTP .021250
NTC PrC Nuveen Connecticut Premium Income Municipal Fund MTP .022083
NTC PrD Nuveen Connecticut Premium Income Municipal Fund MTP .021250
NTC PrE Nuveen Connecticut Premium Income Municipal Fund MTP .021667
NTC PrF Nuveen Connecticut Premium Income Municipal Fund MTP .021667
NTC PrG Nuveen Connecticut Premium Income Municipal Fund MTP .022083
NTX PrC Nuveen Texas Quality Income Municipal Fund MTP .019167
NUJ PrC Nuveen New Jersey Dividend Advantage Municipal Fund 2 MTP .016667
NVY PrC Nuveen Pennsylvania Dividend Advantage Municipal Fund 2 MTP .017917
NXK PrC Nuveen New York Dividend Advantage Municipal Fund 2 MTP .021250
NXM PrC Nuveen Pennsylvania Dividend Advantage Municipal Fund MTP .017500
NZF PrC Nuveen Dividend Advantage Municipal Fund 3 MTP .023333
NMY PrG Nuveen Maryland Premium Income Municipal Fund MTP .022083
NMY PrE Nuveen Maryland Premium Income Municipal Fund MTP .021667
NMY PrF Nuveen Maryland Premium Income Municipal Fund MTP .021667
NMY PrH Nuveen Maryland Premium Income Municipal Fund MTP .023750
Monthly distributions from Nuveen's municipal closed-end funds and portfolios are generally exempt from regular Federal income taxes, and monthly distributions of single-state municipal funds and portfolios are also exempt from state and, in some cases, local income taxes for in-state residents. Unless otherwise stated in the funds' objectives, monthly distributions of the municipal funds and portfolios may be subject to the Federal Alternative Minimum Tax for some shareholders.*
All of Nuveen’s closed-end funds seek to pay stable distributions at rates that reflect each fund’s past results and projected future performance. During certain periods, each fund may pay distributions at a rate that may be more or less than the amount of net investment income actually earned by the fund during the period. If a fund cumulatively earned more than it has paid in distributions, it holds the excess in reserve as undistributed net investment income (UNII) as part of the fund’s net asset value (NAV). Conversely, if a fund has cumulatively paid distributions in excess of its earnings, the excess constitutes negative UNII that is likewise reflected in the fund’s NAV. Each fund will, over time, pay all of its net investment income as distributions to shareholders. The funds’ positive or negative UNII balances are disclosed from time to time in their periodic shareholder reports, and are also on www.nuveen.com/cef
In addition, distributions for certain funds investing in real estate investment trusts (REITs) may later be characterized as capital gains and/or a return of capital, depending on the character of the dividends reported to each fund after year-end by REIT securities held by each fund. The Nuveen preferred securities funds, JTP, JPS and JHP may invest in REITs; a list of funds that are likely to be affected by re-characterization is posted to www.nuveen.com each January, and updated tax characteristics are posted to the web site and mailed to shareholders via form 1099-DIV during the first quarter of the year.
Nuveen Investments provides high-quality investment services designed to help secure the long-term goals of institutional and individual investors as well as the consultants and financial advisors who serve them. Nuveen Investments markets a wide range of specialized investment solutions which provide investors access to capabilities of its high-quality boutique investment affiliates—Nuveen Asset Management, LLC, Symphony Asset Management LLC, NWQ Investment Management Company, LLC, Santa Barbara Asset Management, LLC, Tradewinds Global Investors, LLC, Winslow Capital Management, LLC and Gresham Investment Management LLC, all of which are registered investment advisers and subsidiaries of Nuveen Investments, Inc. Funds distributed by Nuveen Securities, LLC., a subsidiary of Nuveen Investments, Inc. In total, Nuveen Investments managed nearly $215 billion as of September 30, 2013. For more information, please visit the Nuveen Investments website at www.nuveen.com.
*Nuveen does not provide tax advice; consult a professional tax advisor regarding your specific tax situation.
Contact:
Nuveen Investments
Media Contact:
Kristyna Munoz, (312) 917-8343
kristyna.munoz@nuveen.comhttp://finance.yahoo.com/news/...sed-end-funds-declare-210000041.html
52-Week Change3: -18.68%
S&P500 52-Week Change3: 24.22%
52-Week High (Jan 24, 2013)3: 16.45
52-Week Low (Aug 19, 2013)3: 11.91
50-Day Moving Average3: 12.67
200-Day Moving Average3: 12.67
http://finance.yahoo.com/q/ks?s=NAC+Key+Statistics
Revenue Per Share (ttm): 1.10
Qtrly Revenue Growth (yoy): 1.50%
Gross Profit (ttm): 33.95M
EBITDA (ttm)6: N/A
Net Income Avl to Common (ttm): -30.06M
Diluted EPS (ttm): -1.28
Qtrly Earnings Growth (yoy): N/A
http://finance.yahoo.com/q/ks?s=NAC+Key+Statistics
Total Cash Per Share (mrq): N/A
Total Debt (mrq): 180.57M
Total Debt/Equity (mrq): 57.55
Current Ratio (mrq): 0.49
Book Value Per Share (mrq): 13.34
http://finance.yahoo.com/q/ks?s=NAC+Key+Statistics
In Euro: 9,6922 € | NYSE, 16.01.14:::::::: ..::hopshopshopshopshopshopshopshopshops
Avg Vol (10 day)3: 73,363
Shares Outstanding5: 23.53M
Float: N/A§
% Held by Insiders1: 10.48%
% Held by Institutions1: 5.60%
Shares Short (as of Dec 31, 2013)3: 5.95K
Short Ratio (as of Dec 31, 2013)3: N/A
Short % of Float (as of Dec 31, 2013)3: N/A
Shares Short (prior month)3: 19.47K
http://finance.yahoo.com/q/ks?s=NAC+Key+Statistics
http://finance.yahoo.com/q/pr?s=NAC+Profile
Sector: Financial §
Industry:§Closed-End Fund - Debt
Full Time Employees: N/A
http://finance.yahoo.com/q/pr?s=NAC+Profile
In Euro: 9,8754 € | NYSE, 17.01.14::::::::::::::::: so sieht ne Brüller Tickerschluss Lampe aus
Kosmonova buran,Die Börsen NAC Ticker Klatsche
http://www.ariva.de/...ividend_adv-aktie/times_and_sales?boerse_id=21
Kosmonova buran,Die Börsen Tickerschlampagne WODKA Hopse