Company: NAZ
Filing Date: 2025-04-18
Form Type: 424B5
Source: 0001999371-25-004421
Chunk: 27

Company: NUVEEN ARIZONA QUALITY MUNICIPAL INCOME FUND
Filing Date: 2025-04-18
Form: 424B5
Chunk 27
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 Nuveen Asset Management, manages tax-exempt fixed income portfolios. He began working in the investment industry when he joined the firm in 1989. He became a portfolio manager in 1992, and was previously a fixed income fund manager and trader. Mr. Hamilton graduated with a B.A. from the College of Idaho and an M.B.A. from Western Washington University. Mr. Hamilton is a member of the CFA Institute and Portland Society of Financial Analysts. Additional information about the Portfolio Managers’ compensation, other accounts managed by the Portfolio Managers and the Portfolio Managers’ ownership of securities in the Fund is provided in the SAI. The SAI is available free of charge by calling (800) 257-8787or by visiting the Fund’s website at www.nuveen.com. The information contained in, or that can be accessed through, the Fund’s website is not part of this Prospectus or the SAI, except to the extent specifically incorporated by reference herein or in the SAI. Investment Management and Sub-AdvisoryAgreements Investment Management Agreement.Pursuant to an investment management agreement between Nuveen Fund Advisors and the Fund (the “Investment Management Agreement”), the Fund has agreed to pay an annual management fee for the services and facilities provided by Nuveen Fund Advisors, payable on a monthly basis, based on the sum of a fund-level fee and a complex-level fee, as described below. Fund-Level Fee.The annual fund-level fee for the Fund, payable monthly, is calculated according to the following schedule:

| Average                        
 Daily Managed Assets*          |     | Fund Level 
 Fee Rate   |         |
| For                            
 the first $125 million         |     |            | 0.4500% |
| For                            
 the next $125 million          |     |            | 0.4375% |
| For                            
 the next $250 million          |     |            | 0.4250% |
| For                            
 the next $500 million          |     |            | 0.4125% |
| For                            
 the next $1 billion            |     |            | 0.4000% |
| For                            
 the next $3 billion            |     |            | 0.3750% |
| For                            
 managed assets over $5 billion |     |            | 0.3625% |

15 Complex-Level Fee.The overall complex-level fee, payable monthly, begins at a maximum rate of 0.1600% of the Fund’s average daily