NUVEEN NEW YORK QUALITY MUNICIPAL INCOME FUND - COM (NAN)

Historical Holders from Q1 2014 to Q4 2025

Type / Class
Equity / COM
Symbol
NAN on NYSE
Price per share
$11.26
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
3,998,869
Holdings value
$45,732,972
% of all portfolios
0%
Share change
+127,076
Value change
+$1,453,296
Average buys %
+0%
Average sells %
-0%
Number of holders
54
Price from insider filings
$11.46
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, NUVEEN NEW YORK QUALITY MUNICIPAL INCOME FUND - COM (NAN) has 54 institutional shareholders filing 13F forms. They hold 3,998,869 shares .

Institutional Holders of NUVEEN NEW YORK QUALITY MUNICIPAL INCOME FUND - COM (NAN) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q4 60,081 $677,284 +$159,433 $11.26 4
2025 Q3 3,998,869 $45,732,972 +$1,453,296 $11.43 54
2025 Q2 3,856,989 $44,040,795 +$2,332,492 $11.41 52
2025 Q1 3,684,624 $41,964,004 -$7,590,335 $11.38 51
2024 Q4 4,346,309 $49,562,411 -$8,676,398 $11.40 47
2024 Q3 5,053,925 $59,584,907 -$16,092,260 $11.79 51
2024 Q2 6,470,708 $72,836,515 -$6,174,727 $11.25 54
2024 Q1 6,914,379 $75,701,778 -$700,583 $10.95 51
2023 Q4 6,686,125 $73,792,836 +$13,950,005 $11.04 50
2023 Q3 6,133,917 $59,300,899 +$7,478,773 $9.67 58
2023 Q2 5,354,975 $57,564,909 +$27,546 $10.75 54
2023 Q1 5,351,559 $59,086,906 +$4,429,311 $11.04 53
2022 Q4 4,952,861 $52,993,611 +$5,160,821 $10.70 52
2022 Q3 4,506,420 $47,182,520 -$198,220 $10.47 56
2022 Q2 4,500,557 $52,799,368 +$1,520,491 $11.73 60
2022 Q1 4,357,894 $54,788,928 +$6,982,446 $12.57 62
2021 Q4 3,775,362 $55,832,855 +$2,483,344 $14.79 56
2021 Q3 3,599,098 $52,979,748 +$1,118,937 $14.72 49
2021 Q2 3,510,968 $52,870,883 -$10,209,881 $15.06 45
2021 Q1 4,229,659 $60,292,719 -$3,100,473 $14.25 51
2020 Q4 4,233,569 $59,900,491 -$1,687,495 $14.15 53
2020 Q3 4,319,749 $59,052,991 -$809,009 $13.67 48
2020 Q2 5,251,877 $70,850,727 -$3,915,134 $13.49 47
2020 Q1 4,667,378 $61,261,667 +$3,791,551 $13.13 52
2019 Q4 4,389,761 $62,466,856 -$3,239,168 $14.20 51
2019 Q3 4,614,928 $65,794,859 -$3,588,662 $14.26 49
2019 Q2 4,849,607 $67,256,311 +$875,493 $13.86 48
2019 Q1 4,908,172 $66,857,011 +$5,717,841 $13.39 43
2018 Q4 4,469,542 $54,751,007 -$1,686,022 $12.25 41
2018 Q3 4,574,043 $56,308,105 +$7,027,463 $12.31 49
2018 Q2 3,998,025 $50,340,221 +$6,982,314 $12.59 51
2018 Q1 3,279,303 $41,614,216 +$5,800,013 $12.69 42
2017 Q4 2,727,495 $37,718,365 +$91,450 $13.83 37
2017 Q3 2,331,659 $32,876,000 -$1,666,379 $14.10 32
2017 Q2 2,435,870 $34,416,000 -$5,040,788 $14.13 30
2017 Q1 2,792,112 $37,829,000 -$3,156,520 $13.55 34
2016 Q4 3,036,080 $40,744,000 +$2,348,913 $13.42 38
2016 Q3 2,804,056 $42,974,496 +$240,853 $15.33 31
2016 Q2 2,786,725 $43,671,000 -$6,398,241 $15.67 28
2016 Q1 3,188,815 $47,013,000 -$9,645,828 $14.74 32
2015 Q4 3,854,761 $54,847,808 +$300,574 $14.23 33
2015 Q3 3,949,378 $53,002,000 +$564,050 $13.42 32
2015 Q2 3,906,559 $52,878,252 +$35,730,298 $13.53 33
2015 Q1 1,266,073 $17,566,658 -$372,927 $13.87 23
2014 Q4 1,327,387 $17,960,486 +$616,082 $13.53 27
2014 Q3 1,241,908 $16,552,192 +$773,385 $13.33 24
2014 Q2 1,156,970 $15,878,277 +$582,139 $13.73 24
2014 Q1 1,084,292 $14,422,455 +$776,801 $13.30 24