Company: NAZ
Filing Date: 2025-02-28
Form Type: N-2
Source: 0001839882-25-012465
Chunk: 10

Company: NUVEEN ARIZONA QUALITY MUNICIPAL INCOME FUND
Filing Date: 2025-02-28
Form: N-2
Chunk 10
---
organized as a Massachusetts business trust on August 24, 2012. The Fund’s Common Shares are listed on the NYSE under the symbol “NAZ.” Preferred Shares and/or Rights issued by the Fund may also be listed on a securities exchange. The following provides information about the Fund’s outstanding Common Shares and Preferred Shares as of [January 31, 2025]:

| Title of Class   |     | Amount     
 Authorized |           |     | Amount Held    
 by the Fund or 
 for            
 its Account    |   |     | Amount      
 Outstanding |       |
| Common Shares    |     |            | Unlimited |     |                | 0 |     |             | [   ] |
| Preferred Shares |     |            | Unlimited |     |                | 0 |     |             | [883] |
| AMTP Series 2028 |     |            | [883]     |     |                | 0 |     |             | [883] |

9 USE OF PROCEEDS Unless otherwise specified in a prospectus supplement, the net proceeds from any offering will be invested in accordance with the Fund’s investment objectives and policies as stated below. Pending investment, the Fund currently anticipates that it will be able to invest substantially all of the net proceeds in investments that meet the Fund’s investment objectives and policies within approximately three months of the receipt of such proceeds. It is anticipated that the proceeds will be invested in short-term or long-term securities issued by the U.S. Government and its agencies or instrumentalities or in high-quality, short-term money market instruments. See “Use of Leverage.” THE FUND’S INVESTMENTS Investment Objectives and Policies Please refer to the section of the Fund’s most recent annual reporton Form N-CSR entitled “Shareholder Update—Current Investment Objectives, Investment Policies and Principal Risks of the Funds—Investment Objectives” and “—Investment Policies,” as such investment objectives and investment policies may be supplemented from time to time, which is incorporated by reference herein, for a discussion of the Fund’s investment objectives and policies. Portfolio Composition and Other Information Please refer to the section of the Fund’s most recent annual reporton Form N-CSR entitled “Shareholder Update—Current Investment Objectives, Investment Policies and Principal Risks of the Funds—Investment Policies—Portfolio Contents,” as such portfolio contents may be supplemented from time to time, which is incorporated by reference herein, for a discussion of the investments principally included in the Fund’s portfolio. More detailed information about