TIAA has built expertise across a wide range of asset classes, from fixed income and equities to real estate and real assets. We’ve established a disciplined approach of balancing proven investment strategies with innovative ones. We offer our investment expertise across an array of product structures, including UCITS compliant funds.
Our UCITS compliant funds are part of our broad spectrum of investment solutions designed to help investors achieve their investment and risk management goals.
|Fund Name||Description||Fund profile|
|TIAA U.S. Bond ESG Fund|| Investment Objective: |
The TIAA U.S. Bond ESG Fund seeks favourable long-term total return through income and capital appreciation while giving special consideration to certain environmental, social and governance (“ESG”) criteria.
|TIAA Global Equity ESG Fund|| |
|TIAA Emerging Markets Debt Fund|| Fund Objective: |
The TIAA Emerging Markets Debt Fund seeks favourable long-term total return, through income and capital appreciation, by investing primarily in a portfolio of emerging markets fixed-income investments.
1 As of June 30, 2015
2 Pensions & Investments, May 18, 2015. Rankings based on institutional tax-exempt assets under management as of December 31, 2014 reported by each responding asset manager.
Investments in fixed income securities are not guaranteed and are subject to interest rate, inflation, and credit risks. Investments in socially responsible funds are subject to Social Criteria Risk, namely the risk that because social criteria excludes securities of certain issuers for non-financial reasons, investors may forgo some market opportunities available to those that don’t use these criteria. Investments in foreign securities are subject to special risks, including currency fluctuation and political and economic instability.
UCITS Funds are not for sale in the US or to a US person. UCITS Funds are distributed by Nuveen Securities LLC.
UCITS Funds are available only under the conditions of the Fund's current prospectus and Key Investor Information Documents. Information contained on this site does not constitute a solicitation of an offer to buy, or an offer to sell securities in any jurisdiction to any person to whom it is not lawful to make such an offer.
An investor should carefully consider the Fund objectives, risks, charges and expenses carefully before investing. The prospectus and Key Investor Information Documents contain this and other information about the Fund and is available free of charge on this site or through your financial professional. Please read the prospectus and Key Investor Information Documents carefully before investing.
We manage more than $639 billion in assets with a long-term perspective and deep expertise across a wide range of traditional and alternative asset classes.1
We’re one of the largest global asset managers across multiple asset classes.2
Our extensive capabilities give our portfolio managers ready access to investment opportunities across the globe, in both public and private markets.