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Nuveen Real Asset Income Fund Class I (NRIIX)

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21.61 -0.07    -0.32%
13/11 - Delayed Data. Currency in USD
  • Morningstar Rating:
  • Total Assets: 694.45M
Type:  Fund
Market:  United States
Issuer:  Nuveen
Asset Class:  Equity
Nuveen Real Asset Income I 21.61 -0.07 -0.32%

NRIIX Overview

 
On this page you'll find an in-depth profile of Nuveen Real Asset Income Fund Class I. Learn about the key management, total assets, investment strategy and contact information of NRIIX among other information.
Category

World Allocation

Total Assets

694.45M

Expenses

0.91%

Inception Date

40799

Investment Strategy

The investment seeks a high level of current income; the secondary objective is to seek capital appreciation. The fund invests at least 80% of the sum of its net assets and the amount of any borrowings for investment purposes in securities issued by real asset related companies that are generating income at the time of purchase. It will invest in both equity securities and debt securities, but will not invest more than 40% of its net assets in debt securities. The fund will invest in non-U.S. securities, but will limit its exposure to emerging markets to 50% of its net assets at the time of purchase.

Contact Information

Address John Nuveen & Co. Inc.
Chicago,IL 60606
United States
Phone 312-917-8146

Top Executives

Name Title Since Until
Noah Pierce Hauser Senior Research Analyst, Head of North American Utilities 2024 Now
Biography Noah serves as Head of Infrastructure Investments for Nuveen, overseeing strategy, investment process and performance of the firm’s infrastructure platform and also serves as a portfolio manager for Nuveen's public global infrastructure strategies. Offerings span both the traditional public real assets and responsible investing-focused investment styles. Previously, Noah served as the head of North American and UK utilities. Prior to joining Nuveen in 2015, Noah worked at Xcel Energy as the director of investor relations. Previously, he was a buy-side investment analyst for an energy-focused, relative value equity strategy at Decade Capital Management, a Millennium Group company. In that role, Noah performed detailed analysis on regulated utilities, independent power producers, pipelines and master limited partnerships. He began his career working as a sell-side equity analyst covering regulated utilities and power companies at Barclays Capital and Lehman Brothers. Noah began working in the investment industry in 2008. Noah graduated with highest distinction from Emory University’s Goizueta Business School with a B.B.A. degree with concentrations in Finance and Accounting. He also holds the Chartered Financial Analyst® designation and is a member of the CFA Institute.
Benjamin T. Kerl Head of Real Estate Investments 2021 Now
Biography Ben is a portfolio manager for Nuveen’s Global Real Estate Securities strategy and Real Estate Securities strategy, as well as head of real estate investments for the Real Assets investment team at Nuveen. He specializes in real estate equities in the U.K., Europe and Canada. From 2012 through 2017, Ben also covered the multi-family and healthcare sectors for the firm’s Real Estate Securities strategy. Ben began working in the investment industry in 2012 when he joined the firm. Before joining the firm, he worked for eight years in the real estate and renewable energy industries. Most recently, Ben was an independent consultant providing project development services to national and international wind energy developers. He started his career as a real estate development manager at Lander Group, where he managed infill multifamily and commercial projects from 2005 to 2007. Ben graduated with a bachelor of commerce degree from McGill University in Montreal, Quebec.
Jean C. Lin Managing Director 2019 Now
Biography Jean C. Lin, CFA, entered the financial services industry in 1994. She joined Nuveen Asset Management, LLC as Managing Director, Portfolio Manager and High-Yield Research Analyst in September 2018. She also serves as Managing Director, Portfolio Manager and High-Yield Research Analyst for Teachers Advisors, LLC, TIAA-CREF Investment Management, LLC and other advisory affiliates of TIAA. She joined TIAA in 1994.
Brenda A. Langenfeld Portfolio Manager 2015 Now
Biography Brenda is a portfolio manager for Nuveen’s global fixed income team and a member of the preferred securities sector team. She is the lead manager for Nuveen’s preferred and income-focused closed-end funds and portfolio manager of the Preferred Securities and Income strategy. Brenda is also co-manager for the Real Asset Income strategy since 2015, which invests in income generating debt and equity securities from both the real estate and infrastructure segments, and in 2020 she became co-manager of the Credit Income strategy. Brenda joined the preferred securities sector team in 2011.
Tryg T. Sarsland Managing Director 2015 Now
Biography Tryg is a portfolio manager for Nuveen’s Global Infrastructure strategy, which invests in listed infrastructure companies from around the world. He joined the global infrastructure team in 2011. Tryg is also a portfolio manager for the firm’s Real Asset Income strategy, which invests in income-generating debt and equity securities from both the real estate and infrastructure segments, since 2015. In addition, he serves as the director of research -infrastructure, with responsibility for direct management of the U.S.-based equity research analysts dedicated to the Global Infrastructure and Real Asset Income teams. Tryg also maintains analyst responsibilities for the Global Infrastructure and Real Asset Income strategies, specializing in non-U.S. utilities.Before joining the firm in 2011, he was vice president and director of project finance at National Wind, LLC, where he spearheaded the development, procurement and investment of funds for wind energy projects. He was also vice president with Meridian Companies, LLC, and Standard Chartered Bank.Tryg graduated with a B.A. from St. John’s University and an M.B.A. from St. Cloud State University
Jay L. Rosenberg Equity Portfolio Manager 2011 2024
Biography Jay L. Rosenberg entered the financial services industry in 1995. He has been a Managing Director and Lead Portfolio Manager of the Real Estate Securities and Global Infrastructure at Nuveen Asset Management since joining the firm in 2011. He has been Lead Portfolio Manager of the Real Asset Income strategy since September 2011, and in May 2014 he was named Head of Investments for Real Assets. Jay graduated from the University of Wisconsin–Madison, where he received a B.S. He received a master’s degree in urban planning and public policy from the University of Illinois–Chicago.
Jeffrey T. Schmitz Senior Research Analyst, Research Analyst 2011 2018
Biography Jeffrey Schmitz, CFA, began working in the financial industry in 1987 and joined Nuveen Fund Advisors in 2006. Previously, he worked as a senior credit research analyst at Deephaven Capital Management and as a trading risk manager at Cargill Financial Services. He also held various risk oversight roles with the Office of the Comptroller of the Currency. He received a B.A. in finance from the University of St. Thomas and an M.B.A. in finance from the University of Minnesota’s Carlson School of Management. He holds the Chartered Financial Analyst designation and is a member of the CFA Institute and the CFA Society of Minnesota.
John G. Wenker Head, Managing Director 2011 2015
Biography John serves in a strategic role as head of real assets for Nuveen Asset Management, responsible for the investment process and performance of the firm’s equity real estate, debt real estate, global infrastructure and real asset income strategies. John is the lead manager of the firm’s Real Estate Debt Strategy and co-portfolio manager of the Real Estate Securities Strategy, which invests primarily in equity real estate investment trusts (REITs). He also co-manages the Global Infrastructure Strategy, which invests in listed infrastructure companies from around the world, and the Real Asset Income Strategy, which invests in income-generating debt and equity securities from both the real estate and infrastructure segments. As a company spokesperson on real estate issues, John is featured in local and national media outlets throughout the year. He has been quoted in major business publications such as BusinessWeek and The Wall Street Journal. John has also appeared on a number of business programs for CNBC TV’s “Squawk Box” and Bloomberg TV. John’s background features a unique blend of nearly four decades of experience in public policy, urban planning, real estate finance and valuation, and portfolio management. In 1973, he began working for the city of St. Paul’s finance department, serving in a number of roles in property assessment and valuation, planning and economic development. A decade later, John joined the financial services industry as a mortgage banker at Norwest Mortgage and then as a public finance investment banker focused on housing and government projects for Miller & Schroeder Financial. He also worked for the Minneapolis Community Development Agency managing several of its finance departments including the commercial real estate and housing revenue bond programs. John joined the firm in 1992 as a portfolio manager forfour real estate debt closed-end funds. He took over management of the firm’s equity Real Estate Securities Strategy in October 1999. He was also a member of the teams that launched the Global Infrastructure Strategy in 2007 and the Real Asset Income Strategy in 2011. John earned a B.A. in public administration from Metropolitan State University and an M.B.A. in financefrom the University of St. Thomas.
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