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Buy Day today: Neutral (56) Mixed market breadth · no major macro event
NMAI

Nuveen Multi-Asset Income Fund

Financial Services · Asset Management · listed since 2021

14.10$ +0.5% vs. previous close Closing price · As of: Sep 25, 2026
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Price history

Chart

Interactive price chart (TradingView).

52-week range: 12.10 $ to 14.90 $ · Last price: 14.10 $ (As of: September 25, 2026)

Key figures

Key figures at a glance

Every figure we hold for this stock, grouped by topic. The question mark next to a label explains what the number means.

Basics

Market Cap ?The value of the entire company on the market: share price times total shares outstanding. 0.5$B
Shares Outstanding ?Total number of shares issued. Price times share count gives market cap. 33m
Float ?Share of stock freely tradable on the market — not locked up in the hands of founders, insiders, or major shareholders. –
Beta ?Volatility versus the overall market: 1 = moves like the market, 2 = twice as much, under 1 = calmer than the market. –

Performance

Perf. 1M ?Price performance over the last month. 5.70%
Perf. 3M ?Price performance over the last 3 months. 5.30%
Perf. 6M ?Price performance over the last 6 months. 8.50%
YTD Performance (%) ?Price performance since the start of the year (Year to Date). 14.42%
52-Week-High Distance ?How far the price sits below its highest point over the last 52 weeks. 0% means the stock is at its year high. 0.0%
Perf. 1Y ?Price performance over the last 12 months. 20.63%
Perf. 3Y ?Price performance over the last 3 years. 74.41%
Perf. Since Inception ?Price performance since the first available trading day (11/22/2021) — with a complete history, that is since the IPO. 34.36%

Technical Indicators

MA 38 Days ?Moving average of the last 38 trading days: the smoothed price path. A price above it signals short-term strength. 14.40$
MA 50 Days ?Moving average of the last 50 trading days — the most widely watched medium-term trend line. 14.30$
MA 200 Days ?Moving average of the last 200 trading days — the dividing line between a long-term uptrend and downtrend. 13.70$
RSI (14) ?Relative Strength Index over 14 days, scale 0 to 100: above 70 counts as overbought, below 30 as oversold. A hint on timing, not a verdict on the company. 42.1
Volatility 30 Days ?Price swings over the last 30 trading days, annualized. The higher the value, the more the price fluctuates. 15.2%
Volatility 250 Days ?Price swings over the last 250 trading days (roughly one market year), annualized. 14.7%

Calculated from the price history · as of 09/25/2026

Valuation

P/E ?Price-to-earnings ratio: how many years of profit does the stock cost? The lower, the cheaper the valuation. No earnings means no P/E. 5.7
Forward P/E ?P/E based on expected earnings for the next 12 months instead of past earnings — analysts' bet on the future. 0.0
PEG ?P/E divided by expected earnings growth: puts valuation in relation to growth. Around 1 is considered fair, well above that is pricey. –
P/B ?Price-to-book ratio: market value relative to book equity. 1.0
P/S ?Price-to-sales ratio: market value divided by annual sales. Important for companies that aren't (yet) profitable. 4.6
EV/EBITDA ?Enterprise value including debt (EV) relative to operating profit before depreciation and amortization (EBITDA) — more comparable than P/E because debt counts too. Extreme values arise when EBITDA is near zero. 0.0
Price/FCF ?Market value divided by free cash flow: how many years of freely available cash does the stock cost? More honest than P/E because cash flow is harder to dress up. 21.2

Profitability

Gross Margin ?Gross margin: what's left of sales after only direct production costs are deducted — the product's pricing power. –
EBIT Margin ?EBIT margin: operating profit as a percentage of sales — the earning power of the core business before interest and taxes. 0.0%
Net Margin ?Net margin: what's left of sales as profit after ALL costs, interest, and taxes. 0.0%
Return on Equity ?Return on equity: how much profit does the company generate per year on shareholders' equity? 0.0%
Return on Assets ?Return on assets: how much profit the company generates from its total assets (equity and debt combined). 0.0%

Balance Sheet & Safety

Equity Ratio ?Equity ratio: equity as a share of total assets. The higher, the more resilient the balance sheet. 68.8%
Debt/Equity ?Leverage ratio: financial debt divided by equity. Under 1 is generally seen as solid; negative values mean negative equity. 0.1
Altman Z″ ?Edward Altman's bankruptcy early-warning score. We use the Z″ variant, built from four balance-sheet ratios — it is designed for service companies and non-manufacturers and uses book value instead of market value. On that scale: below 1.1 = danger zone, 2.6 and up = safe zone, in between a grey area. Because the classic Altman Z is calculated differently, the two numbers are not directly comparable. The formula does not fit banks, insurers, or real-estate stocks. 2.05
Piotroski ?Balance-sheet health check by Joseph Piotroski: 9 yes/no criteria on profit, cash flow, leverage, and efficiency. 7+ is very solid, under 3 is a red flag. 5 out of 9

Growth

Sales Growth Last Quarter ?Sales growth in the most recently reported quarter versus the same quarter a year ago (YoY). 0.00%
EPS Growth Last Quarter ?Growth in earnings per share in the most recently reported quarter versus the same quarter a year ago (YoY). 0.00%
Sales Growth (Year) ?Sales growth in the last fiscal year versus the year before. 137.82%
Forward Sales Growth ?Sales growth analysts expect over the next 12 months — an estimate, not a guarantee. –
Forward EPS Growth ?Earnings-per-share growth analysts expect over the next 12 months — an estimate, not a guarantee. –

Dividend

This stock currently pays no dividend.

Quality & Screener

Stage ?Weinstein phases 1 through 4: 1 = basing, 2 = uptrend (the only buy phase), 3 = topping, 4 = downtrend. Measured against the 30-week line. –
RS Rating ?Relative strength from 1 to 99: an RS of 95 means the stock has outperformed 95% of all stocks. –
EPS Rating ?Earnings growth rating from 1 to 99 versus all stocks — high values mean above-average earnings growth. –
Fundamental Rating ?Our own Fundamental Rating: 0 to 100 points with an A+ to F grade. 50 points is the average across the universe, 100 the best possible score. It scores growth, earnings surprises, analyst estimates, margins, cash flow, and balance-sheet safety — every stock percentile-ranked against all others. Grades: A+ from 95, A from 75, B from 55, C from 45, D from 25, E from 5, F below. B (65 out of 100)

Comparison

Industry comparison

The stock alongside the largest companies in the same group. The median row is the middle value of the companies shown above — not of the whole industry.

Industry: Asset Management

Industry comparison
Company Market cap ($B) P/E EV/EBITDA Gross Margin % EBIT Margin % Sales Growth (Year) % Perf. 1Y %
Nuveen Multi-Asset Income Fund NMAI 0.5 5.7 0.0 – 0.0 137.8 20.6
BlackRock Inc BLK 183.2 27.3 14.9 47.2 35.6 18.7 -3.3
Blackstone Group Inc BX 148.6 30.3 15.7 100.0 38.0 21.6 -29.8
KKR & Co. Inc. KKR 93.4 32.6 1.1 54.8 11.0 -11.0 -30.2
Apollo Global Management, Inc. APO 72.6 76.7 7.9 36.1 13.5 16.0 -10.6
Brookfield Asset Management Ltd. BAM 71.7 28.5 18.2 74.4 64.5 15.8 -20.1
State Street Corp STT 50.4 18.4 0.0 100.0 27.8 3.0 64.4
Ameriprise Financial Inc AMP 44.8 12.4 0.0 54.9 37.2 9.6 -0.1
Ares Management LP ARES 41.9 56.1 18.4 37.4 18.4 66.6 -21.8
Median of companies shown 71.7 28.5 7.9 54.8 27.8 16.0 -10.6

Based on the most recently reported figures. Only stocks from the same trading venue are lined up, so the market caps are counted in one currency. Compare in a chart →

Fiscal years

Annual Figures

Fiscal years from the audited annual reports, oldest first. EBIT is the operating profit before interest and taxes; total assets are everything the company owns.

Revenue, operating income and net income per fiscal year $M

Revenue Operating income Net income

2021 · Revenue: 78 $M 2021 · Operating income: 13 $M 2021 · Net income: 13 $M 2022 · Revenue: -145 $M 2022 · Operating income: -147 $M 2022 · Net income: -147 $M 2023 · Revenue: 9 $M 2023 · Operating income: 65 $M 2023 · Net income: 55 $M 2024 · Revenue: 31 $M 2024 · Operating income: 45 $M 2024 · Net income: 36 $M 2025 · Revenue: 73 $M 2025 · Operating income: 91 $M 2025 · Net income: 81 $M
20212022202320242025
Annual Figures
Fiscal Year Revenue ($M) EBIT ($M) Net Income ($M) EPS ($) Operating Cash Flow ($M) Equity ($M) Total Assets ($M)
2021 78 13 13 0.38 117 670 1,011
2022 -145 -147 -147 -4.38 -97 448 694
2023 9 65 55 1.64 11 460 642
2024 31 45 36 1.07 28 440 650
2025 73 91 81 2.43 9 478 695

Quarters

Quarterly Figures

Each bar is one quarter, the last one is the most recent. Use the switch to step through the individual figures.

Revenue & Profit

Cash Flow

Balance Sheet

Margins

Per Share

Click the chart or tab into it, then use ← and → to step through the periods.

None of the selected stocks reports this metric. Pick another metric or switch between annual and quarterly.

These companies report in different currencies — switch on “Indexed” or pick a margin for a fair comparison.

The figures could not be loaded right now.

Sales Per Quarter ($M)
2022: Q4 · -35.7 $M Q4 2023: Q2 · -1.9 $M Q2 2023: Q4 · 11.0 $M Q4 2024: Q2 · 13.1 $M Q2 2024: Q4 · 17.6 $M Q4 2025: Q2 · 38.4 $M Q2 2025: Q4 · 34.6 $M Q4

Source: fundamental data

Quarterly Figures
Quarter EPS (Earnings Per Share) EPS YoY (%) Sales ($M) Sales YoY (%) Net Margin (%) OCF ($M) FCF ($M)
2022: Q4 – – -36 -145.60 – -10 -10
2023: Q2 – – -2 -103.10 – 5 5
2023: Q4 – – 11 130.90 302.70 6 6
2024: Q2 – – 13 780.20 154.00 9 9
2024: Q4 – – 18 59.50 88.50 5 5
2025: Q2 – – 38 193.20 103.20 -18 -18
2025: Q4 – – 35 96.60 120.10 26 26

What Do These Terms Mean?

EPS (Earnings Per Share):
Quarterly profit divided by the total share count — how much of the profit works out to a single share.
YoY (Year over Year):
Change versus the same quarter a year ago — this is how you compare without seasonal distortion (e.g. the holiday shopping season).
Sales:
All revenue for the quarter, before any costs are deducted — the top line of the income statement.
Net Margin:
What percentage of sales is left over as profit in the end. Negative means the company is posting a loss.
OCF (Operating Cash Flow):
The cash that actually flows into the till from the core business during the quarter — harder to dress up than book profit.
FCF (Free Cash Flow):
Operating cash flow minus capital expenditures — the money that's genuinely free to use, say for paying down debt, buybacks, or dividends.

Compare with other stocks →

AI classification

AI Rating

Not yet rated — we only show a category once an SEC-backed file with at least two cited passages is available.

How the Rating Is Built

Growth

Growth Score

Ten checks against the annual reports — each one passed counts a point.

4 of 10 Weak growth
  • Revenue grows by more than 15% a year over three years no data
  • More than 10% revenue growth is expected for the coming year no data
  • Share count grows by less than 3% a year 0.0%
  • Revenue growth plus cash-flow margin add up to at least 40 ("Rule of 40") 149.5%
  • Gross margin at 40% or higher and without meaningful erosion 91.6%
  • Goodwill from acquisitions does not grow faster than revenue 0.0%
  • Net debt below twice EBITDA 2.2 x EBITDA
  • Operating cash flow covers the profits of the last three years -124 m
  • Return on capital at 15% or higher, or up versus two years ago 13.8%
  • Insiders hold at least 10% or are net buyers 0.0%

A criterion without figures counts neither as passed nor as failed; a score is only produced from 7 judgeable criteria upwards. Source: fundamental data. All ten criteria in detail

Quality check

AAQS

3/10

The AAQS (AlleAktien Quality Score) checks 10 quality criteria on growth, profitability, and balance-sheet strength — per the methodology developed and published by AlleAktien, calculated by us from our own fundamental data. A stock counts as a quality stock from 9 out of 10 points. Where a company has a shorter listing history, we calculate over the fiscal years available (at least five).

  • Sales growth 10Y > 5% -1.7%
  • Exp. sales growth 3Y > 5% –
  • EBIT growth 10Y > 5% 62.7%
  • Exp. EBIT growth 3Y > 5% –
  • Net debt < 4x EBIT 2.2x
  • EBIT positive, 10Y straight 4
  • Max. EBIT decline < 50% 100.0%
  • Return on equity > 15% 17.0%
  • ROCE > 15% 13.8%
  • Expected return > 10% –

View stocks with the full AAQS score · Read the methodology at AlleAktien

Source: fundamental data

The company

About the Company

Headquarters
Chicago, IL
Address
333 West Wacker Drive, 60606-1220 Chicago, United States
Phone
312 917 7700
IPO Date
11/22/2021
ISIN
US6707501085
Stock Split
1457:1600 on 11/22/2021

Data as of: September 25, 2026 · Source: fundamental data & SEC filings (annual and quarterly reports, 10-K/10-Q)

Note: pure fact-based analysis, not investment advice and not a solicitation to buy or sell. All figures without guarantee.

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