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NXP: Nuveen Select Tax-Free Income Portfolio

Nuveen Select Tax-Free Income Portfolio is a closed-ended fixed income mutual fund launched by Nuveen Investments Inc. The fund is co-managed by Nuveen Fund Advisors LLC and Nuveen Asset Management, L...

- USD
Price
USD
Fair Value
Upside
- - -
52-week range

Analysis

Fiscal Years
Trailing Twelve Months
Fiscal Halfs
Fiscal Quarters
Daily
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The following section summarizes insights on Nuveen Select Tax-Free Income Portfolio's Current Ratio:

Mar 2016Mar 2018Mar 2020Mar 2022Mar 20240.0x1.0x2.0x3.0x4.0x5.0x

Performance Summary
  • Nuveen Select Tax-Free Income Portfolio's latest twelve months current ratio is 1.2x
  • Nuveen Select Tax-Free Income Portfolio's current ratio for fiscal years ending March 2020 to 2024 averaged 2.6x.
  • Nuveen Select Tax-Free Income Portfolio's operated at median current ratio of 2.6x from fiscal years ending March 2020 to 2024.
  • Looking back at the last 5 years, Nuveen Select Tax-Free Income Portfolio's current ratio peaked in March 2022 at 4.0x.
  • Nuveen Select Tax-Free Income Portfolio's current ratio hit its 5-year low in March 2024 of 1.3x.
  • Nuveen Select Tax-Free Income Portfolio's current ratio decreased in 2020 (2.7x, -19.4%), 2021 (2.3x, -15.6%), 2023 (2.6x, -35.0%), and 2024 (1.3x, -49.7%) and increased in 2022 (4.0x, +72.3%).

How does Nuveen Select Tax Freeome Portfolio's Current Ratio benchmark against competitors?

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Metric Usage: Current Ratio

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current_ratio
Slug
number
Datatype
text
Format
current
Default Period
FY, Q, LTM, YTD
Periods Supported
Free
Plan

To view the full list of supported financial metrics please see Complete Metrics Listing.

Similar Metrics

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Metrics similar to Current Ratio in the risk category include:

  • Net Debt / Equity - A ratio that measures the level of the net debt relative to the book value of common equity. This ratio is also called net gearing ratio.
  • Cash / Total Capital - A ratio that measures the level of the cash relative to the market value of total capital.
  • Degree of Financial Leverage (DFL) - The degree of financial leverage measures the sensitivity of a company's earnings per share to fluctuations in operating income, as a result of changes in its capital structure.
  • Realized Volatility (90d Annualized) - Realized volatility (also known as rolling volatility) over the last 90 days.
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Current Ratio

A ratio that compares a company's current total assets to its current total liabilities.

Definition of Current Ratio

Sector Benchmark Analysis

Sector
Industry Group
Industry
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5.6x75.6x145.6x215.6x285.6x0100200

The chart above depicts the distribution of current ratio for companies operating in the Financials sector in the Developed economic region. Over 2,570 companies were considered in this analysis, and 2,471 had meaningful values. The average current ratio of companies in the sector is 12.3x with a standard deviation of 33.2x.

Nuveen Select Tax-Free Income Portfolio's Current Ratio of 1.2x ranks in the 37.1% percentile for the sector. The following table provides additional summary stats:

Current Ratio In The Financials Sector
Economic Risk RegionDeveloped
Total Constituents2,573
Included Constituents2,471
Min0.0x
Max285.4x
Median1.8x
Mean12.3x
Standard Deviation33.2x

You can find companies with similar current ratio using this stock screener.

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