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Smart Investors Daily
SP

NYSE · SPXX

Nuveen S&P 500 Dynamic Overwrite Fund

Financial Services · Asset Management

$19.08

Down-$0.03 (-0.16%)

Updated Aug 24, 2026, 8:43 PM

SID Score

5.9/10

Composite research score

Smart Money

Institutional and insider signal

Market cap
323.01M
P/E ratio
10.6
Dividend yield
8.85%
52-week range
$15.78 – $19.39
Volume
115.09K
Avg. volume
52.39K

Price performance

SPXX price history

1M range · 20 trading sessions · Daily adjusted prices

SPXX closed at $19.08 after 20 trading sessions, up 2.97% for the selected period.

Last close
$19.08
Period change
+2.97%
Period low
$18.21
Period high
$19.22
Daily close
View OHLC price history
SPXX OHLC price history, latest 40 sessions
DateOpenHighLowCloseVolume
Aug 21, 2026$19.13$19.1999$18.54$19.08115.09K
Aug 20, 2026$19.13$19.15$18.95$18.99132.17K
Aug 19, 2026$19.12$19.20$19.06$19.16149.23K
Aug 18, 2026$19.16$19.18$18.9929$19.09197.3K
Aug 17, 2026$19.19$19.2673$19.1101$19.19231.01K
Aug 14, 2026$19.25$19.29$19.09$19.15221.68K
Aug 13, 2026$19.12$19.25$19.11$19.22282.79K
Aug 12, 2026$19.19$19.19$19.0561$19.16257.29K
Aug 11, 2026$19.10$19.3887$18.98$19.10203.51K
Aug 10, 2026$19.15$19.24$19.04$19.08238.59K
Aug 7, 2026$19.01$19.15$18.92$19.15215.85K
Aug 6, 2026$18.81$18.965$18.80$18.89156.84K
Aug 5, 2026$18.96$19.08$18.83$18.88236.61K
Aug 4, 2026$18.87$19.05$18.8145$18.96213.75K
Aug 3, 2026$18.55$18.83$18.55$18.79214.57K
Jul 31, 2026$18.60$18.6099$18.30$18.45240.2K
Jul 30, 2026$18.25$18.4883$18.21$18.45253.77K
Jul 29, 2026$18.45$18.45$18.14$18.21193.15K
Jul 28, 2026$18.57$18.57$18.38$18.45220.74K
Jul 27, 2026$18.59$18.60$18.41$18.53210.76K

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SPXX research

Overview

Company profile and research snapshot.

Company profile

Nuveen S&P 500 Dynamic Overwrite Fund is a diversified closed-end management investment company. Its investment objective is to seek attractive total returns with less volatility than the S&P 500 Index by investing in a U.S. equity portfolio that seeks to substantially replicate the price movements of the S&P 500 Index, as well as selling call options on approximately 35%-75% of the notional value of the Fund's equity portfolio in an effort to enhance the Fund's risk-adjusted returns.

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