Nuveen Pennsylvania Municipal Value Fund
Balance Sheet

Last updated:

The balance sheet is a financial statement presenting the value of assets, liabilities and equity of a company. How has Nuveen Pennsylvania Municipal Value Fund's balance sheet done over the years? Its assets were worth $19,670,285 last year, which is more than in the previous period. 3% of Nuveen Pennsylvania Municipal Value Fund’s total assets is currently financed by debt. Its liabilities reached the amount of $600,885, which means an increase by 10% compared compared to last year.

Debt to Assets

Nuveen Pennsylvania Municipal Value Fund (NYSE:NPN): Debt to assets
2011 18126704 98.01K 0.54%
2012 20041014 92.74K 0.46%
2013 20261444 172.09K 0.85%
2014 19496707 100K 0.51%
2015 20155044 202.91K 1.01%
2016 20216073 97.99K 0.48%
2017 19639203 1.12M 5.71%
2018 18741665 680K 3.63%
2019 18531671 546.35K 2.95%
2020 19670285 600.88K 3.05%

NPN Balance Sheet (2011 – 2020)

2020 2019 2018 2017 2016 2015 2014 2013 2012 2011
Assets
Current assets:
Cash and cash equivalents
121.17K88.63K55.75K351.13K157.48K140.22K131.54K213.85K141.78K294.94K
Short term investments
0000000000
Net receivables
216.53K251.85K520.76K312.65K299.31K280.42K276.43K273.07K279.76K319.21K
Inventory
0000000000
Other current assets
0000000000
Total current assets
337.71K340.49K576.51K663.79K456.8K420.64K407.97K486.93K00
Non-current assets:
Property, Plant and Equipment
0000000000
Goodwill
0000000000
Intangible assets
0000000000
Long term investments
0000000000
Other non-current assets
0000000000
Total non-current assets
0000000000
Total assets
19.67M18.53M18.74M19.63M20.21M20.15M19.49M20.26M20.04M18.12M
Liabilities
Current liabilities:
Accounts payable
Deferred revenue
0000000000
Short term debt
0000000000
Total current liabilities
93.17K48.24K680K1.12M61.29K167.32K100K135.35K00
Non-current liabilities:
Long term debt
0000000000
Deferred tax
0000000000
Other non-current liabilities
0000000000
Total non-current liabilities
0000000000
Total liabilities
600.88K546.35K680K1.12M97.99K202.91K100K172.09K92.74K98.01K