Company: NMI
Filing Date: 2025-01-06
Form Type: N-CSR
Source: 0001193125-25-002221
Chunk: 35

Company: NUVEEN MUNICIPAL INCOME FUND INC
Filing Date: 2025-01-06
Form: N-CSR
Chunk 35
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     |                                               0.1505 |
| $250 billion                                   |     |                                               0.1469 |
| $300 billion                                   |     |                                               0.1445 |

76

| * | For the complex-level fees, managed assets includeclosed-endfund assets managed by the Adviser that are attributable to certain types of leverage. For these purposes, leverage includes the funds’ use of preferred stock and borrowings and certain investments in the residual interest certificates (also called inverse floating rate securities) in tender option bond (TOB) trusts, including the portion of assets held by a TOB trust that has been effectively financed by the trust’s issuance of floating rate securities, subject to an agreement by the Adviser as to certain funds to limit the amount of such assets for determining managed assets in certain circumstances. The complex-level fee is calculated based upon the aggregate daily managed assets of all Nuveenopen-endandclosed-endfunds that constitute ‘’eligible assets.” Eligible assets do not include assets attributable to investments in other Nuveen funds or assets in excess of a determined amount (originally $2 billion) added to the Nuveen fund complex in connection with the Adviser’s assumption of the management of the former First American Funds effective January 1, 2011, but do not include certain assets of certain Nuveen funds that were reorganized into funds advised by an affiliate of the Adviser during the 2019 calendar year. |

Effective May 1, 2024, the annual complex-level fee, payable monthly, for each Fund is calculated according to the following schedule:

| Complex-Level Asset Breakpoint Level* |     | Complex-Level Fee |   |
| For the first $124.3 billion          |     |            0.1600 | % |
| For the next $75.7 billion            |     |            0.1350 |   |
| For the next $200 billion             |     |            0.1325 |   |
| For eligible assets over $400 billion |     |            0.1300 |   |

As of October 31, 2024, the annual complex-level fee for each Fund was as follows:

| Fund |     | Complex-Level Fee |
| NUV  |     | 0.1572%           |
| NUW  |     | 0.1572%           |
| NMI  |     | 0.1572%           |

Other Transactions with Affiliates: Each