Nuveen Municipal Value Fund Inc (NUV)
Nuveen Municipal Value Fund, Inc. is a closed-end fund listed on the New York Stock Exchange under the ticker NUV. The fund is organized as an investment vehicle focused on U.S. fixed income markets, with an emphasis on municipal securities and related investments that are intended to generate income exempt from regular federal income taxes. Its portfolio may also include derivative instruments, and its holdings are described as generally rated Baa or BBB or better. The fund is managed by Nuveen Fund Advisors LLC and Nuveen Asset Management, LLC, and it uses a fundamental, bottom-up approach in constructing its portfolio. Performance is measured against the S&P National Municipal Bond Index. The fund was formed on April 8, 1987, and is domiciled in the United States.
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| Ticker | Fair Value | Fair Value Upside/Downside | Fair Value Rating | Analyst Price Target | Analyst Target Upside/Downside | Analyst Target Rating | Overall Financial Health | Upcoming Dividend Ex-Date | Dividend Payment Date | Upcoming Dividend | Dividend Yield | Next Earnings Date | P/E Ratio | Price-to-Book Ratio | Price-to-Sales Ratio | Market Cap | Enterprise Value | Total Debt / Total Capital | Free Float / Shares Outstanding | Altman Z-Score | Payout Ratio | Free Cash Flow / Net Income |
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NYSE-NUV
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Fair
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July 15, 2026
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August 3, 2026
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0.39
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4.3%
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1.922 B
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