The investment seeks total return. Under normal market conditions, the fund attempts to maintain a consistent risk level through changing market conditions by investing in financial instruments whose performance is expected to correspond to a variety of different asset classes. It may have exposure to any asset class, including: any commodity; any currency; U.S. and foreign equity securities; U.S. and foreign real estate; U.S. and foreign corporate bonds; U.S. and foreign government bonds; asset-backed securities; mortgage-backed securities; inflation-protected securities; and municipal bonds.
Fund filings (PDF) »
James Colon (Started: May 4, 2012)
David Wilson (Started: Dec 31, 2013)
# Contact ?>
Nuveen Investment Trust, John Nuveen & Co. Inc., Chicago, IL 60606, USA