nvq
Table of Contents

 
 
UNITED STATES SECURITIES AND EXCHANGE COMMISSION
Washington, DC 20549
FORM N-Q
QUARTERLY SCHEDULE OF PORTFOLIO HOLDINGS OF REGISTERED MANAGEMENT INVESTMENT COMPANY
Investment Company Act file number   811-21137  
Nuveen Quality Preferred Income Fund 2
(Exact name of registrant as specified in charter)
     333 West Wacker Drive, Chicago, Illinois 60606     
(Address of principal executive offices) (Zip code)
Jessica R. Droeger—Vice President and Secretary
     333 West Wacker Drive, Chicago, Illinois 60606     
(Name and address of agent for service)
Registrant’s telephone number, including area code:      312-917-7700     
Date of fiscal year end:        12/31      
Date of reporting period:    3/31/06   
Form N-Q is to be used by management investment companies, other than small business investment companies registered on Form N-5 (§§ 239.24 and 274.5 of this chapter), to file reports with the Commission, not later than 60 days after the close of the first and third fiscal quarters, pursuant to rule 30b1-5 under the Investment Company Act of 1940 (17 CFR 270.30b1-5). The Commission may use the information provided on Form N-Q in its regulatory, disclosure review, inspection, and policymaking roles.
A registrant is required to disclose the information specified by Form N-Q, and the Commission will make this information public. A registrant is not required to respond to the collection of information contained in Form N-Q unless the Form displays a currently valid Office of Management and Budget (“OMB”) control number. Please direct comments concerning the accuracy of the information collection burden estimate and any suggestions for reducing the burden to the Secretary, Securities and Exchange Commission, 450 Fifth Street, NW, Washington, DC 20549-0609. The OMB has reviewed this collection of information under the clearance requirements of 44 U.S.C. § 3507.
 
 

 


TABLE OF CONTENTS

Item 1. Schedule of Investments
Item 2. Controls and Procedures
Item 3. Exhibits
SIGNATURES
Certification


Table of Contents

Item 1. Schedule of Investments
     
 


Portfolio of Investments (Unaudited)

Nuveen Quality Preferred Income Fund 2 (JPS)
March 31, 2006
                                 
  Shares   Description (1)     Coupon     Ratings (2)   Value  
 
       
 
       
Convertible Preferred Securities - 0.4% (0.3% of Total Investments)
 
       
Insurance - 0.1%
                       
       
 
                       
    118,000  
XL Capital Ltd
      6.500 %     A2   $ 2,617,240  
 
       
 
                       
       
Thrifts & Mortgage Finance - 0.3%
                       
       
 
                       
    172,300  
PMI Group Inc.
      5.875 %     A1     4,557,335  
 
       
Total Convertible Preferred Securities (cost $7,088,078)
                    7,174,575  
       
 
 
 
  Shares   Description (1)     Coupon     Ratings (2)   Value  
 
 
       
$25 Par (or similar) Securities - 82.3% (57.1% of Total Investments)
 
       
Automobiles - 0.1%
                       
 
    2,400  
Daimler Chrysler, Series DCX (CORTS)
      8.250 %     A3   60,000  
    4,300  
Daimler Chrysler, Series DCX (CORTS)
      7.500 %     A3     104,920  
    3,000  
Daimler Chrysler, Series DCX (CORTS)
      6.875 %     A3     68,100  
    3,400  
DaimlerChrysler AG (CORTS)
      7.875 %     A3     84,150  
    23,300  
DaimlerChrysler Corp. (PPLUS)
      7.250 %     A3     576,675  
 
       
Total Automobiles
                    893,845  
       
 
 
       
Capital Markets - 5.6%
                       
 
    68,324  
Bear Stearns Capital Trust III
      7.800 %     A2     1,734,063  
    19,300  
BNY Capital Trust IV, Series E
      6.875 %     A1     486,360  
    44,888  
BNY Capital Trust V, Series F
      5.950 %     A1     1,080,903  
    395,625  
Compass Capital Trust III
      7.350 %     A3     9,969,750  
    28,600  
CSFB USA, Series 2002-10 (SATURNS)
      7.000 %     Aa3     727,584  
    31,300  
First Union Institutional Capital II (CORTS)
      8.200 %     A1     860,750  
    6,300  
Goldman Sachs Capital I (CORTS)
      6.000 %     A1     146,916  
    2,100  
Goldman Sachs Capital I, Series A (CORTS)
      6.000 %     A1     49,476  
    3,000  
Goldman Sachs Group Inc., Series 2003-11 (SATURNS)
      5.625 %     Aa3     66,060  
    13,800  
Goldman Sachs Group Inc., Series 2004-04 (SATURNS)
      6.000 %     A1     319,470  
    4,300  
Goldman Sachs Group Inc., Series 2004-06 (SATURNS)
      6.000 %     A1     100,319  
    9,900  
Goldman Sachs Group Inc., Series GSC-3 (PPLUS)
      6.000 %     A1     228,888  
    3,000  
Goldman Sachs Group Inc., Series GSG-2 (PPLUS)
      5.750 %     Aa3     67,980  
    179,900  
Goldman Sachs Group Inc., (3)
      6.200 %     A2     4,612,636  
    3,800  
Goldman Sachs Group Incorporated (SATURNS)
      5.750 %     Aa3     84,930  
    324,900  
Lehman Brothers Holdings Capital Trust III, Series K
      6.375 %     A2     8,018,532  
    102,900  
Lehman Brothers Holdings Capital Trust IV, Series L
      6.375 %     A2     2,559,123  
    57,800  
Lehman Brothers Holdings Capital Trust V, Series M
      6.000 %     A2     1,391,246  
    42,000  
Lehman Brothers Holdings Inc., Series C, (3)
      5.940 %     BBB+     2,144,100  
    70,000  
Lehman Brothers Holdings Inc., Series F, (3)
      6.500 %     A-     1,794,800  
    122,400  
Merrill Lynch Capital Trust II
      8.000 %     A1     3,155,472  
    210,600  
Merrill Lynch Preferred Capital Trust III
      7.000 %     A1     5,340,816  
    129,700  
Merrill Lynch Preferred Capital Trust IV
      7.120 %     A1     3,343,666  
    228,700  
Merrill Lynch Preferred Capital Trust V
      7.280 %     A1     5,863,868  
    107,900  
Merrill Lynch Preferred Capital Trust
      7.750 %     A1     2,739,581  
    53,200  
Morgan Stanley (PPLUS)
      7.050 %     Aa3     1,328,936  
    168,008  
Morgan Stanley Capital Trust II
      7.250 %     A1     4,264,043  
    430,350  
Morgan Stanley Capital Trust III
      6.250 %     A1     10,483,326  
    380,000  
Morgan Stanley Capital Trust IV
      6.250 %     A1     9,218,800  
    51,100  
Morgan Stanley Capital Trust V
      5.750 %     A+     1,163,036  
    495,300  
Morgan Stanley Capital Trust VI
      6.600 %     A1     12,531,090  
    46,400  
UBS Preferred Funding Trust III
      7.250 %     AA-     1,167,424  
 
       
Total Capital Markets
                    97,043,944  
       
 
 
       
Commercial Banks - 11.4%
                       
 
    119,000  
ABN AMRO Capital Fund Trust V
      5.900 %     A     2,767,940  
    7,000  
ABN AMRO Capital Trust Fund VII
      6.080 %     A     167,650  
    158,960  
ASBC Capital I
      7.625 %     Baa1     4,031,226  
    136,100  
BAC Capital Trust I
      7.000 %     Aa3     3,428,359  
    168,500  
BAC Capital Trust II
      7.000 %     Aa3     4,286,640  
    218,300  
BAC Capital Trust III
      7.000 %     Aa3     5,575,382  
    304,100  
Banco Santander
      6.410 %     A2     7,693,730  
    54,100  
Banco Totta & Acores Finance, Series A
      8.875 %     A3     1,381,243  
    12,000  
BancorpSouth Capital Trust I
      8.150 %     Baa2     303,960  
    731,000  
Banesto Holdings, Series A, 144A
      10.500 %     A2     22,501,130  
    204,000  
Bank One Capital Trust VI
      7.200 %     A1     5,206,080  
    67,200  
BankNorth Capital Trust II
      8.000 %     A3     1,714,272  
    15,600,000  
BOI Capital Funding 3, 144A
      6.107 %     A2     15,074,015  
    122,800  
Chittenden Capital Trust I
      8.000 %     Baa1     3,119,120  
    225,500  
Cobank ABC, 144A, (3)
      7.000 %     N/R     10,942,613  
    268,700  
Comerica Capital Trust I
      7.600 %     A3     6,738,996  
    361,300  
HSBC Finance Corporation
      6.875 %     Aa3     9,195,085  
    41,200  
KeyCorp (PCARS)
      7.500 %     A3     1,058,840  
    7,867  
KeyCorp Capital Trust V
      5.875 %     A3     185,032  
    270,900  
National Commerce Capital Trust II
      7.700 %     A1     6,878,151  
    5,000  
National Westminster Bank PLC
      7.760 %     Aa3     127,450  
    2,900  
PNC Capital Trust
      6.125 %     A3     69,629  
    596,876  
Royal Bank of Scotland Group PLC, Series N
      6.350 %     A1     15,029,338  
    173,800  
SunTrust Capital Trust IV
      7.125 %     A1     4,376,284  
    162,200  
SunTrust Capital Trust V
      7.050 %     A1     4,092,306  
    714,300  
USB Capital Trust III
      7.750 %     Aa3     18,128,934  
    315,800  
USB Capital Trust IV
      7.350 %     Aa3     8,033,952  
    132,200  
USB Capital Trust V
      7.250 %     Aa3     3,335,406  
    63,300  
USB Capital Trust VI
      5.750 %     Aa3     1,437,543  
    118,600  
USB Capital Trust VII
      5.875 %     Aa3     2,732,544  
    92,300  
VNB Capital Trust I
      7.750 %     Baa1     2,338,882  
    55,900  
Well Fargo Capital Trust IX
      5.625 %     Aa2     1,262,222  
    38,900  
Wells Fargo Capital Trust IV
      7.000 %     Aa2     981,058  
    304,300  
Wells Fargo Capital Trust V
      7.000 %     Aa2     7,677,489  
    43,100  
Wells Fargo Capital Trust VI
      6.950 %     Aa2     1,081,379  
    45,975  
Wells Fargo Capital Trust VII
      5.850 %     Aa2     1,090,987  
    578,650  
Zions Capital Trust B
      8.000 %     Baa1     15,108,552  
 
       
Total Commercial Banks
                    199,153,419  
       
 
 
       
Computers & Peripherals - 0.1%
                       
 
    2,600  
IBM Inc., Series 2001-1 (SATURNS)
      7.125 %     A+     66,534  
    11,700  
IBM Inc., Trust Certificates, Series 2001-2
      7.100 %     A+     300,047  
    20,200  
IBM Trust II (CORTS)
      7.125 %     A+     502,172  
    39,200  
IBM Trust III (CORTS)
      7.200 %     A+     1,004,500  
 
       
Total Computers & Peripherals
                    1,873,253  
       
 
 
       
Consumer Finance - 1.4%
                     
 
    73,600  
Household Capital Trust VII
      7.500 %     A1     1,870,912  
    899,300  
HSBC Finance Corporation
      6.360 %     A2     22,923,157  
    19,950  
SLM Corporation
      6.000 %     A     476,805  
 
       
Total Consumer Finance
                    25,270,874  
       
 
 
       
Diversified Financial Services - 9.5%
                     
 
    78,800  
BBVA Preferred Capital Ltd., Series B
      7.750 %     A1     1,978,668  
    407,000  
CIT Group Inc., Series A, (3)
      6.350 %     BBB+     10,297,100  
    40,000  
CIT Group Incorporated (CORTS)
      7.750 %     A3     1,046,800  
    5,960  
Citigroup Capital Trust IX
      6.000 %     Aa2     142,086  
    587,400  
Citigroup Capital Trust VII
      7.125 %     Aa2     14,849,472  
    934,437  
Citigroup Capital Trust VIII
      6.950 %     Aa2     23,501,091  
    28,200  
Citigroup Capital Trust XI
      6.000 %     Aa2     672,006  
    29,600  
Citigroup Inc., Series H, (3)
      6.231 %     Aa3     1,494,060  
    10,600  
Citigroup, Series CIT (CORTS)
      6.750 %     A3     266,272  
    3,900  
General Electric Capital Corporation (CORTS)
      6.000 %     AAA     94,692  
    199,700  
General Electric Capital Corporation
      6.625 %     AAA     5,044,422  
    300,700  
General Electric Capital Corporation
      6.100 %     AAA     7,412,255  
    1,523,600  
ING Group N.V.
      7.200 %     A     39,080,340  
    1,445,555  
ING Group N.V.
      7.050 %     A     36,717,097  
    8,900  
ING Group N.V.
      6.200 %     A     220,275  
    92,400  
JPM Capital Trust (CORTS)
      7.200 %     A2     2,338,644  
    9,700  
JPMorgan Chase & Company (PCARS)
      7.125 %     A2     245,216  
    323,000  
JPMorgan Chase Capital Trust IX, Series I
      7.500 %     A1     8,197,740  
    203,600  
JPMorgan Chase Capital Trust X
      7.000 %     A1     5,161,260  
    22,156  
JPMorgan Chase Capital Trust XI
      5.875 %     A1     517,564  
    210,900  
JPMorgan Chase Capital Trust XVI
      6.350 %     A1     5,272,500  
    52,900  
JPMorgan Chase Trust, Series 2002-6, Class A (SATURNS)
      7.125 %     A1     1,343,131  
 
       
Total Diversified Financial Services
                    165,892,691  
       
 
 
       
Diversified Telecommunication Services - 0.6%
                     
 
    114,999  
AT&T Inc.
      7.000 %     A     2,889,925  
    17,500  
BellSouth Capital Funding (CORTS)
      7.100 %     A     441,875  
    21,600  
BellSouth Corporation (CORTS)
      7.000 %     Aa3     549,936  
    16,300  
BellSouth Corporation, Series 2001-3 (SATURNS)
      7.125 %     A     413,205  
    15,800  
BellSouth Corporation, Series BLS (CORTS)
      7.000 %     A     401,162  
    42,600  
BellSouth Corporation
      7.125 %     A     1,083,105  
    16,300  
BellSouth Inc. (CORTS)
      7.000 %     A     413,042  
    28,400  
BellSouth Telecommunications (PPLUS)
      7.300 %     A     726,472  
    30,600  
Verizon Communications (CORTS)
      7.625 %     A     786,420  
    7,600  
Verizon Communications (CORTS)
      7.375 %     A     194,636  
    70,100  
Verizon Global Funding Corporation (SATURNS)
      7.500 %     A     1,791,055  
    22,100  
Verizon New England Inc., Series B
      7.000 %     A3     563,550  
    13,000  
Verizon South Inc., Series F
      7.000 %     A     328,120  
 
       
Total Diversified Telecommunication Services
                    10,582,503  
       
 
 
       
Electric Utilities - 4.7%
                     
 
    189,500  
Alabama Power Company, (3)
      5.830 %     BBB+     4,692,020  
    17,200  
Consolidated Edison Company of New York Inc.
      7.500 %     A1     432,064  
    2,800  
Consolidated Edison, Inc.
      7.250 %     A2     71,120  
    27,400  
DTE Energy Trust I
      7.800 %     Baa3     697,878  
    4,200  
Entergy Arkansas Inc.
      6.700 %     AAA     108,654  
    56,750  
Entergy Louisiana LLC
      7.600 %     A-     1,434,640  
    1,299,100  
Entergy Mississippi Inc.
      7.250 %     A-     33,386,870  
    1,900  
Georgia Power Capital Trust VII
      5.875 %     A3     45,467  
    3,900  
Georgia Power Capital Trust V
      7.125 %     A3     98,631  
    59,000  
Georgia Power Company
      5.900 %     A     1,427,800  
    11,452  
Georgia Power Company
      5.700 %     AAA     276,108  
    941,500  
Interstate Power and Light Company, Series B, (3)
      8.375 %     BBB-     30,951,813  
    9,100  
National Rural Utilities Cooperative Finance Corporation
      7.600 %     A3     228,956  
    30,200  
National Rural Utilities Cooperative Finance Corporation
      7.400 %     A3     768,288  
    1,700  
National Rural Utilities Cooperative Finance Corporation
      6.750 %     A3     42,806  
    1,700  
National Rural Utilities Cooperative Finance Corporation
      6.100 %     A3     40,800  
    18,400  
National Rural Utilities Cooperative Finance Corporation
      5.950 %     A3     433,136  
    1,000  
Southern Company Capital Trust I (CORTS)
      8.190 %     BBB+     26,610  
    2,900  
Southern Company Capital Trust I (CORTS)
      7.375 %     BBB+     73,312  
    29,900  
Tennessee Valley Authority, Series D
      6.750 %     AAA     712,218  
    265,500  
Virginia Power Capital Trust
      7.375 %     Baa2     6,802,110  
 
       
Total Electric Utilities
                    82,751,301  
       
 
 
       
Food Products - 0.7%
                     
 
    122,000  
Dairy Farmers of America Inc., 144A, (3)
      7.875 %     BBB-     12,051,319  
 
 
       
Gas Utilities - 0.1%
                     
 
    53,500  
AGL Capital Trust II
      8.000 %     BBB     1,356,760  
 
 
       
Health Care Providers & Services - 0.1%
                     
 
    62,900  
Aetna Inc.
      8.500 %     A3     1,592,628  
 
 
       
Industrial Conglomerates - 0.0%
                     
 
    8,600  
General Electric Company, Series GE (CORTS)
      6.800 %     AAA     218,354  
 
 
       
Insurance - 19.8%
                     
 
    972,600  
Ace Ltd., Series C
      7.800 %     Baa2     25,482,120  
    131,200  
Aegon N.V.
      6.500 %     A-     3,286,560  
    2,124,800  
Aegon N.V.
      6.375 %     A-     52,907,520  
    21,300  
AMBAC Financial Group Inc.
      7.000 %     AA     533,991  
    56,600  
AMBAC Financial Group Inc.
      5.950 %     AA     1,335,194  
    4,800  
AMBAC Financial Group Inc.
      5.875 %     AA     112,752  
    704,208  
Arch Capital Group Limited
      8.000 %     Baa3     18,111,385  
    479,357  
Delphi Financial Group, Inc.
      8.000 %     BBB     12,492,043  
    1,976,095  
EverestRe Group Limited
      7.850 %     Baa1     50,726,359  
    61,400  
Financial Security Assurance Holdings
      6.875 %     AA     1,542,982  
    704,200  
Financial Security Assurance Holdings
      6.250 %     AA     17,527,538  
    369,200  
Hartford Capital Trust III, Series C
      7.450 %     Baa1     9,277,996  
    105,300  
Hartford Life Capital Trust II, Series B
      7.625 %     Baa1     2,671,461  
    94,000  
Lincoln National Capital Trust V, Series E
      7.650 %     A-     2,368,800  
    55,300  
Lincoln National Capital Trust VI
      6.750 %     A-     1,409,597  
    1,097,500  
MetLife Inc., Series B, (3)
      6.500 %     Baa1     28,074,050  
    7,500  
MetLife Inc.
      5.875 %     A     178,500  
    646,020  
PartnerRe Limited, Series C
      6.750 %     BBB+     16,156,960  
    27,400  
PartnerRe Limited, Series D
      6.500 %     BBB+     656,230  
    301,581  
PartnerRe Limited
      7.900 %     A3     7,596,825  
    108,700  
PLC Capital Trust III
      7.500 %     BBB+     2,755,545  
    453,840  
PLC Capital Trust IV
      7.250 %     BBB+     11,463,998  
    21,200  
PLC Capital Trust V
      6.125 %     BBB+     505,620  
    6,500  
Prudential Financial Inc. (CORTS)
      6.000 %     A     153,725  
    223,000  
Prudential PLC
      6.750 %     A     5,586,150  
    145,800  
RenaissanceRe Holdings Limited, Series B
      7.300 %     BBB       3,685,824  
    20,200  
RenaissanceRe Holdings Limited, Series C
      6.080 %     BBB+     434,300  
    324,060  
RenaissanceRe Holdings Ltd., Series A
      8.100 %     BBB+     8,240,846  
    21,100  
Safeco Capital Trust I (CORTS)
      8.750 %     Baa2     614,749  
    93,500  
Safeco Capital Trust I (CORTS)
      8.700 %     Baa2     2,559,095  
    5,300  
Safeco Capital Trust III (CORTS)
      8.072 %     Baa2     138,065  
    3,100  
Safeco Capital Trust IV (CORTS)
      8.375 %     Baa2     80,864  
    2,600  
Safeco Corporation, Series 2001-7 (SATURNS)
      8.250 %     Baa2     67,327  
    8,100  
Safeco Corporation, Series 2002-5 (SATURNS)
      8.250 %     Baa2     210,924  
    132,300  
Saint Paul Capital Trust I
      7.600 %     Baa1     3,372,327  
    132,300  
Torchmark Capital Trust I
      7.750 %     A-     3,373,650  
    7,900  
Torchmark Capital Trust II
      7.750 %     A-     201,529  
    21,200  
W.R. Berkley (CORTS)
      8.250 %     BBB-     546,324  
    26,800  
W.R. Berkley Capital Trust, Series 2002-1 (CBTCS)
      8.125 %     BBB-     274,968  
    711,146  
W.R. Berkley Corporation
      6.750 %     BBB-     18,063,108  
    570,600  
XL Capital Ltd, Series A
      8.000 %     Baa1     14,681,538  
    598,417  
XL Capital Ltd, Series B
      7.625 %     Baa1     15,349,396  
 
       
Total Insurance
                    344,808,735  
       
 
 
       
IT Services - 0.0%
                     
 
    16,100  
Vertex Industries Inc. (PPLUS)
      7.625 %     A     414,575  
 
 
       
Media - 0.3%
                     
 
    166,800  
CBS Corporation
      0.000 %     BBB+     4,186,680  
    2,900  
Walt Disney Company (CORTS)
      6.875 %     A-     73,399  
    18,200  
Walt Disney Company
      7.000 %     A-     462,280  
 
       
Total Media
                    4,722,359  
       
 
 
       
Multiline Retail - 0.0%
                     
 
    6,800  
Nordstrom Inc. (CORTS)
      7.625 %     A     170,680  
 
 
       
Multi-Utilities - 0.4%
                     
 
    119,400  
Dominion CNG Capital Trust I
      7.800 %     Baa2     3,039,924  
    46,300  
Dominion Resources Capital Trust II
      8.400 %     Baa3     1,174,168  
    120,200  
Energy East Capital Trust I
      8.250 %     BBB-     3,061,494  
 
       
Total Multi-Utilities
                    7,275,586  
       
 
 
       
Oil, Gas & Consumable Fuels - 1.6%
                     
 
    906,911  
Nexen Inc.
      7.350 %     Baa3     23,987,796  
    151,900  
TransCanada Pipeline
      8.250 %     A3     3,826,361  
 
       
Total Oil, Gas & Consumable Fuels
                    27,814,157  
       
 
 
       
Pharmaceuticals - 0.0%
                     
 
    10,800  
Bristol Myers Squibb Company (CORTS)
      6.250 %     A+     270,756  
    7,300  
Bristol-Myers Squibb Company Trust (CORTS)
      6.800 %     A+     184,471  
 
       
Total Pharmaceuticals
                    455,227  
       
 
 
       
Real Estate - 21.4%
                     
 
    95,400  
AvalonBay Communities, Inc., Series H
      8.700 %     BBB     2,594,880  
    16,400  
BRE Properties, Series B
      8.080 %     BBB-     417,216  
    221,020  
BRE Properties, Series C
      6.750 %     BBB-     5,450,353  
    81,006  
BRE Properties, Series D
      6.750 %     BBB-     1,974,116  
    717,370  
CarrAmerica Realty Corporation, Series E
      7.500 %     BBB-     18,063,377  
    40,467  
Developers Diversified Realty Corporation
      7.500 %     BBB-     1,019,364  
    135,925  
Developers Diversified Realty Corporation, Series F
      8.600 %     BBB-     3,466,088  
    639,813  
Developers Diversified Realty Corporation, Series G
      8.000 %     BBB-     16,424,000  
    187,823  
Developers Diversified Realty Corporation, Series H
      7.375 %     BBB-     4,712,479  
    298,900  
Duke Realty Corporation, Series L
      6.600 %     BBB     7,412,720  
    150,000  
Duke-Weeks Realty Corporation
      6.950 %     BBB     3,870,000  
    5,600  
Duke-Weeks Realty Corporation
      6.625 %     BBB     138,376  
    220,650  
Duke-Weeks Realty Corporation, Series B
      7.990 %     BBB     10,867,013  
    383,000  
Equity Office Properties Trust, Series G
      7.750 %     BBB-     9,743,520  
    54,000  
Equity Residential Properties Trust, Series C
      9.125 %     BBB     1,374,300  
    68,250  
Equity Residential Properties Trust, Series D
      8.600 %     BBB     1,788,150  
    36,484  
Equity Residential Properties Trust, Series N
      6.480 %     BBB     893,858  
    332,800  
Federal Realty Investment Trust
      8.500 %     BBB-     8,582,912  
    18,300  
First Industrial Realty Trust, Inc., Series C
      8.625 %     BBB-     478,545  
    221,200  
First Industrial Realty Trust, Inc., Series J
      7.250 %     BBB-     5,740,140  
    1,579,825  
HRPT Properties Trust, Series B
      8.750 %     BBB-     41,502,003  
    247,600  
HRPT Properties Trust, Series C
      7.125 %     BBB-     6,301,420  
    149,600  
Kimco Realty Corporation, Series F
      6.650 %     BBB+     3,725,040  
    199,550  
New Plan Excel Realty Trust, Series D
      7.800 %     BBB-     10,008,690  
    770,900  
New Plan Excel Realty Trust, Series E
      7.625 %     BBB-     19,503,770  
    1,700  
Prologis Trust, Series F
      6.750 %     BBB     42,500  
    97,728  
Prologis Trust, Series G
      6.750 %     BBB     2,443,200  
    734,970  
PS Business Parks, Inc.
      7.000 %     BBB-     18,153,759  
    107,600  
PS Business Parks, Inc., Series I
      6.875 %     BBB-     2,566,260  
    401,000  
PS Business Parks, Inc., Series L
      7.600 %     BBB-     10,105,200  
    230,400  
Public Storage, Inc., Series C
      6.600 %     BBB+     5,598,720  
    35,200  
Public Storage, Inc., Series D
      6.180 %     BBB+     803,616  
    38,600  
Public Storage, Inc., Series E
      6.750 %     BBB+     958,824  
    60,066  
Public Storage, Inc., Series F
      6.450 %     BBB+     1,400,739  
    125,300  
Public Storage, Inc., Series H
      6.950 %     BBB+     3,182,620  
    268,295  
Public Storage, Inc., Series R
      8.000 %     BBB+     6,769,083  
    65,800  
Public Storage, Inc., Series S
      7.875 %     BBB+     1,658,818  
    131,065  
Public Storage, Inc., Series T
      7.625 %     BBB+     3,298,906  
    108,900  
Public Storage, Inc., Series U
      7.625 %     BBB+     2,759,526  
    148,000  
Public Storage, Inc., Series V
      7.500 %     BBB+     3,751,800  
    2,129  
Public Storage, Inc., Series X
      6.450 %     BBB+     50,457  
    6,000  
Public Storage, Inc.
      7.125 %     BBB+     153,900  
    164,100  
Realty Income Corporation
      7.375 %     BBB-     4,227,216  
    309,100  
Regency Centers Corporation
      7.450 %     BBB-     7,929,961  
    245,800  
Regency Centers Corporation
      7.250 %     BBB-     6,255,610  
    16,100  
Regency Centers Corporation
      6.700 %     BBB-     400,085  
    34,500  
Simon Property Group, Inc., Series F
      8.750 %     Baa2     873,540  
    326,041  
Simon Property Group, Inc., Series G
      7.890 %     BBB     16,895,445  
    74,600  
United Dominion Realty Trust
      8.600 %     BBB-     1,923,188  
    9,200  
Vornado Realty Trust, Series E
      7.000 %     BBB-     231,380  
    22,300  
Vornado Realty Trust, Series F
      6.750 %     BBB-     553,040  
    213,940  
Vornado Realty Trust, Series G
      6.625 %     BBB-     5,145,257  
    113,500  
Vornado Realty Trust, Series H
      6.750 %     BBB-     2,813,665  
    226,700  
Vornado Realty Trust, Series I
      6.625 %     BBB-     5,406,795  
    2,461,900  
Wachovia Preferred Funding Corporation
      7.250 %     A2     67,185,251  
    158,600  
Weingarten Realty Trust, Series E
      6.950 %     A-     4,028,440  
 
       
Total Real Estate
                    373,619,131  
       
 
 
       
Specialty Retail - 0.2%
                     
 
    44,200  
Sherwin Williams Company, Series III (CORTS)
      7.250 %     A+     1,106,768  
 
 
       
Thrifts & Mortgage Finance - 1.5%
                     
 
    4,800  
Countrywide Capital Trust II, Series II (CORTS)
      8.000 %     BBB+     123,840  
    1,050,000  
Countrywide Capital Trust IV
      6.750 %     BBB+     26,355,000  
    16,800  
Harris Preferred Capital Corporation, Series A
      7.375 %     A1     422,520  
 
       
Total Thrifts & Mortgage Finance
                    26,901,360  
       
 
 
       
U.S. Agency - 0.8%
                   
       
 
                   
    20,300  
Fannie Mae, (3)
      5.810 %     AA-     994,700
    2,800  
Fannie Mae, (3)
      4.750 %     AA-     114,380  
    124,200  
Federal Home Loan Mortgage Corporation, (3)
      6.000 %     AA-     6,300,666  
    34,000  
Federal Home Loan Mortgage Corporation, (3)
      5.300 %     AA-     1,568,250  
    107,900  
Federal Home Loan Mortgage Corporation, (3)
      5.100 %     AA-     4,726,020  
 
       
Total U.S. Agency
                    13,704,016  
       
 
                         
       
Wireless Telecommunication Services - 2.0%
                   
       
 
                   
    16,271  
Telephone and Data Systems Inc.
      7.600 %     A-     406,775  
    1,315,200  
United States Cellular Corporation
      8.750 %     A-     34,918,560  
 
       
Total Wireless Telecommunication Services
                    35,325,335  
       
 
       
Total $25 Par (or similar) Securities (cost $1,413,427,687)
                    1,434,998,820  
       
 

 


Table of Contents

                             
Principal                      
Amount (000)   Description (1)   Coupon   Maturity   Ratings (2)   Value  
 
       
 
                   
     
Corporate Bonds - 1.0% (0.7% of Total Investments)
       
 
                   
     
Commercial Banks - 0.1%
                   
       
 
                   
2,000  
HBOS PLC, Series, 144A
    6.413%   9/29/49   A1 $ 1,909,900  
 
                         
     
Household Durables - 0.5%
                   
       
 
                   
  8,600  
Stanley Works Capital Trust I, 144A
    5.902%   12/01/45   Baa1   7,972,260  
 
                         
     
Insurance - 0.4%
                   
       
 
                   
  7,500  
ILFC E-Capital Trust I, 144A
    5.900%   12/21/65   A   7,286,243  
  1,100  
ILFC E-Capital Trust II, 144A
    6.250%   12/21/65   A   1,056,084  
 
  8,600  
Total Insurance
                8,342,327  
 
19,200  
Total Corporate Bonds (cost $18,981,274)
                18,224,487  
 
 
Principal                      
Amount (000)/                      
Shares   Description (1)   Coupon   Maturity   Ratings (2)   Value  
 
       
 
                   
     
Capital Preferred Securities - 58.1% (40.3% of Total Investments)
       
 
                   
     
Capital Markets - 7.0%
                   
       
 
                   
  15,000  
Ahmanson Capital Trust I, 144A
    8.360%   12/01/26   Baa1 $ 15,768,270  
  1,465  
Bank of New York Capital I, Series B
    7.970%   12/31/26   A1   1,546,105  
  4,000  
BT Capital Trust, Series B1
    7.900%   1/15/27   A2   4,201,176  
  2,000  
BT Institutional Capital Trust B, 144A
    7.750%   12/01/26   A2   2,102,554  
  500  
BT Preferred Capital Trust II
    7.875%   2/25/27   A2   527,671  
  5,000  
C.A. Preferred Fund Trust II
    7.000%   10/30/49   A1   5,034,460  
  18,600  
C.A. Preferred Funding Trust
    7.000%   1/30/49   A1   18,739,723  
  5,050  
First Hawaiian Capital Trust I, Series B
    8.343%   7/01/27   A-   5,407,055  
  1,000  
First Security Capital I
    8.410%   12/15/26   Aa2   1,057,965  
  17,095  
First Union Capital Trust II, Series A
    7.950%   11/15/29   A1   20,399,481  
  20,000  
Mellon Capital Trust I, Series A
    7.720%   12/01/26   A2   21,020,180  
  3,240  
State Street Institutional Capital Trust, 144A
    7.940%   12/30/26   A1   3,410,923  
  19,800  
UBS Preferred Funding Trust I
    8.622%   10/29/49   AA-   22,111,888  
 
     
Total Capital Markets
                121,327,451  
     
 
                         
     
Commercial Banks - 32.0%
                   
       
 
                   
  19,000  
AB Svensk Exportkredit, 144A
    6.375%   10/27/49   AA-   19,212,838  
  37,250  
Abbey National Capital Trust I
    8.963%   6/30/50   A2   48,490,560  
  7,100  
AgFirst Farm Credit Bank
    7.300%   12/15/53   N/R   6,859,502  
  6,500  
Bank One Capital III
    8.750%   9/01/30   A1   8,395,407  
  21,000  
BankBoston Capital Trust I, Series B
    8.250%   12/15/26   Aa3   22,206,975  
  5,000  
BanPonce Trust I, Series A
    8.327%   2/01/27   Baa1   5,281,765  
  36,000  
Barclays Bank PLC, 144A
    8.550%   6/15/49   Aa3   40,547,556  
  2,000  
Corestates Capital Trust I, 144A
    8.000%   12/15/26   A1   2,103,484  
  3,700  
DBS Capital Funding Corporation, 144A
    7.657%   3/15/49   A1   4,001,957  
  1,500  
First Empire Capital Trust I
    8.234%   2/01/27   Baa1   1,586,908  
  1,500  
First Midwest Bancorp Inc.
    6.950%   12/01/33   Baa2   1,580,577  
  22,080  
Fleet Capital Trust II
    7.920%   12/11/26   Aa3   23,260,662  
  44,010  
HBOS Capital Funding LP, Notes
    6.850%   3/23/49   A1   44,143,570  
  2,400  
HSBC Capital Funding LP, 144A
    9.547%   12/31/49   A1   2,742,672  
  6,250  
HSBC Capital Funding LP, Debt
    10.176%   6/30/50   A1   9,066,781  
  32,000  
KBC Bank Fund Trust III, 144A
    9.860%   5/02/50   A2   36,203,520  
  8,000  
KeyCorp Capital III
    7.750%   7/15/29   A3   9,321,728  
  2,500  
KeyCorp Institutional Capital Trust A
    7.826%   12/01/26   A3   2,626,535  
  13,500  
Lloyds TSB Bank PLC, Subordinated Note
    6.900%   11/22/49   Aa2   13,537,895  
  25,000  
M&I Capital Trust A
    7.650%   12/01/26   A2   26,213,750  
  19,500  
NB Capital Trust II
    7.830%   12/15/26   Aa3   20,537,517  
  14,000  
Nordbanken AB, 144A
    8.950%   11/29/49   A   15,471,064  
  2,000  
North Fork Capital Trust I, Capital Securities
    8.700%   12/15/26   A3   2,118,002  
  8,000  
North Fork Capital Trust II
    8.000%   12/15/27   A3   8,554,056  
  2,000  
Peoples Heritage Capital Trust I, Series B
    9.060%   2/01/27   A3   2,138,832  
  289,600  
PFCI Capital Corporation
    7.750%   8/17/52   A-   7,692,500  
  33,085  
PNC Institutional Capital Securities, 144A
    7.950%   12/15/26   A-   34,810,581  
  2,000  
Popular North American Capital Trust I
    6.564%   9/15/34   Baa1   1,951,394  
  13,100  
RBS Capital Trust B
    6.800%   12/31/49   A1   13,121,864  
  8,000  
Reliance Capital Trust I, Series B
    8.170%   5/01/28   N/R   8,610,664  
  500  
Republic New York Capital II, Capital Securities
    7.530%   12/04/26   A1   523,602  
  17,500  
Royal Bank of Scotland Group PLC
    9.118%   3/31/49   A1   19,625,095  
  5,000  
Sparebanken Rogaland, Notes, 144A
    6.443%   5/01/49   Baa1   4,897,740  
  9,000  
St. George Funding Company LLC, 144A
    8.485%   12/31/47   Baa1   9,460,890  
  3,400  
Swedbank ForeningsSparbanken AB, 144A
    9.000%   9/17/50   A2   3,848,028  
  7,500  
Union Planters Capital Trust A
    8.200%   12/15/26   A2   7,900,103  
  240  
Union Planters Preferred Fund, 144A
    7.750%   7/15/53   A2   26,032,500  
  26,500   Washington Mutual Preferred Funding Cayman, Series A-1, 144A     7.250%   3/15/49   BBB   25,969,523  
  6,300   Washington Mutual Preferred Funding Delaware, Series A-1, 144A     6.534%   3/15/49   BBB   6,126,359  
  10,000  
Zions Institutional Capital Trust, Series A
    8.536%   12/15/26   Baa1   10,582,400  
 
     
Total Commercial Banks
                557,357,356  
     
 
                         
     
Diversified Financial Services - 2.8%
                   
       
 
                   
  1,000  
BNP Paribas Capital Trust, 144A
    9.003%   12/29/49   A+   1,130,089  
  2,750  
BNP Paribas Capital Trust
    7.200%   12/31/49   A+   2,778,154  
  18,800  
Citigroup Capital X
    6.100%   9/30/33   Aa2   454,772  
  3,700  
Fulton Capital Trust I
    6.290%   2/01/36   A3   3,524,520  
  3,600  
JPM Capital Trust I
    7.540%   1/15/27   A1   3,774,330  
  22,085  
JPM Capital Trust II
    7.950%   2/01/27   A1   23,325,735  
  13,800  
Old Mutual Capital Funding, Notes
    8.000%   6/22/53   Baa2   14,393,510  
 
     
Total Diversified Financial Services
                49,381,110  
     
 
       
 
                   
     
Diversified Telecommunication Services - 2.2%
       
 
  30,250  
Centaur Funding Corporation, Series B, 144A
    9.080%   4/21/20   A-   37,519,453  
 
       
 
                   
     
Insurance - 10.5%
                   
  14,280  
Ace Capital Trust II
    9.700%   4/01/30   Baa1   19,067,470  
  28,000  
American General Institutional Capital, 144A
    8.125%   3/15/46   Aa3   34,564,096  
  2,000  
Mangrove Bay, Class 3, 144A
    6.102%   7/15/33   BBB+   1,938,020  
  6,000  
MIC Financing Trust I
    8.375%   2/01/27   A+   6,094,626  
  10,250  
Prudential PLC
    6.500%   6/29/49   A   10,215,775  
  10,000  
RenaissanceRe Capital Trust
    8.540%   3/01/27   BBB+   9,962,950  
  51,700   Sun Life Canada Capital Trust, Capital Securities, 144A     8.526%   5/06/47   A+   55,162,246  
  43,000  
Zurich Capital Trust I, 144A
    8.376%   6/01/37   A-   46,012,193  
 
     
Total Insurance
                183,017,376  
     
 
                         
     
Oil, Gas & Consumable Fuels - 1.2%
                   
       
 
                   
  3,680  
KN Capital Trust I, Preferred Securities
    8.560%   4/15/27   Baa3   3,906,092  
  10,750  
KN Capital Trust III
    7.630%   4/15/28   Baa3   11,495,760  
  7,355  
Phillips 66 Capital Trust II
    8.000%   1/15/37   A3   7,760,055  
 
     
Total Oil, Gas & Consumable Fuels
                23,161,907  
     
 
       
 
                   
     
Thrifts & Mortgage Finance - 2.4%
                   
       
 
                   
  5,595  
Countrywide Capital Trust I
    8.000%   12/15/26   BBB+   5,674,751  
  8,460  
Countrywide Capital Trust III, Series B
    8.050%   6/15/27   BBB+   9,692,142  
  11,825  
Dime Capital Trust I, Series A
    9.330%   5/06/27   Baa1   12,786,030  
  13,000  
Great Western Financial Trust II, Series A
    8.206%   2/01/27   Baa1   13,756,873  
 
     
Total Thrifts & Mortgage Finance
                41,909,796  
     
 
     
Total Capital Preferred Securities (cost $1,000,809,887)
                1,013,674,449  
     
 
 
Shares   Description (1)               Value  
 
     
 
     
Investment Companies - 0.5% (0.2% of Total Investments)
 
  33,071  
Flaherty and Crumrine/Claymore Preferred Securities Income Fund Inc.
            655,137  
  66,886  
Flaherty and Crumrine/Claymore Total Return Fund Inc.
                1,325,012  
  3,000  
John Hancock Preferred Income Fund
                  70,050  
  8,108  
John Hancock Preferred Income Fund II
                  185,835  
  83,517  
John Hancock Preferred Income Fund III
                1,701,241  
  30,869  
Preferred and Corporate Strategies Fund Inc.
              627,567  
  105,849  
Preferred Income Strategies Fund Inc.
              2,061,939  
 
     
Total Investment Companies (cost $6,733,625)
                  6,626,781  
     
 
 
 
Principal                      
Amount (000)   Description (1)   Coupon   Maturity       Value  
 
                         
     
Short-Term Investments – 2.0% (1.4% of Total Investments)
                   
                         
34,355  
Repurchase Agreement with State Street Bank, dated 3/31/06, repurchase price $34,367,355, collateralized by $37,035,000 U.S. Treasury Bonds, 4.500%, due 2/15/36, value $35,044,369
    4.250%   4/03/06     34,355,188
   
     
Total Short-Term Investments (cost $34,355,188)
                34,355,188  
     
 
     
Total Investments (cost $2,481,395,739) – 144.3%
                2,515,054,300  
     
 
     
Other Assets Less Liabilities – 1.6%
                28,412,924  
     
 
     
Preferred Shares, at Liquidation Value – (45.9)%
                (800,000,000)  
     
 
     
Net Assets Applicable to Common Shares – 100%
              1,743,467,224  
     
 
                                                           
 
Interest Rate Swaps outstanding at March 31, 2006:
 
 
              Fixed Rate                        
              Paid   Fixed Rate   Floating Rate   Floating Rate         Unrealized
    Notional     by the Fund   Payment   Received   Payment   Termination     Appreciation  
  Counterparty   Amount     (annualized)   Frequency   by the Fund (4)   Frequency   Date     (Depreciation)  
   
 
Citigroup Inc.
  $ 100,000,000       4.604 %   Monthly     4.661 %   Monthly     6/06/06   $   85,327  
 
Citigroup Inc.
    100,000,000       4.713     Monthly     4.661     Monthly     12/06/06       334,784  
 
Citigroup Inc.
    200,000,000       3.375     Monthly     4.661     Monthly     11/06/07       5,642,576  
 
Citigroup Inc.
    200,000,000       3.910     Monthly     4.661     Monthly     11/06/09       8,275,132  
   
 
 
                                                $   14,337,819  
   
(1)   All percentages shown in the Portfolio of Investments are based on net assets applicable to Common shares unless otherwise noted.
 
(2)   Ratings: Using the higher of Standard & Poor’s or Moody’s rating. Ratings below BBB by Standard & Poor’s Group or Baa by Moody’s Investor Service, Inc. are considered to be below investment grade.
 
(3)   Investment is eligible for the Dividends Received Deduction.
 
(4)   Based on USD-LIBOR (United States Dollar-London Inter-Bank Offered Rate).
 
N/R   Not rated.
 
144A   Investment is exempt from registration under Rule 144A of the Securities Act of 1933, as amended. These investments may only be resold in transactions exempt from registration which are normally those transactions with qualified institutional buyers.
 
CBTCS   Corporate Backed Trust Certificates.
 
CORTS   Corporate Backed Trust Securities.
 
PCARS   Public Credit and Repackaged Securities.
 
PPLUS   PreferredPlus Trust.
 
SATURNS   Structured Asset Trust Unit Repackaging.
                     
 
 
 
 
  Income Tax Information

The following information is presented on an income tax basis based on the information currently available to the Fund. Differences between amounts for financial statement and federal income tax purposes are primarily due to timing differences in the recognition of income and timing differences in recognizing certain gains and losses on investment transactions.
 
  At March 31, 2006, the cost of investments was $2,489,827,180.
 
  Gross unrealized appreciation and gross unrealized depreciation of investments at March 31, 2006, were as follows:
                     
   
 
Gross unrealized:                
 
Appreciation
          $ 68,827,222  
 
Depreciation
            (43,600,102 )
 
                   
   
 
                   
 
Net unrealized appreciation (depreciation) of investments
          $ 25,227,120  
 
                   
   

 


Table of Contents

Item 2. Controls and Procedures.
  a.   The registrant’s principal executive and principal financial officers, or persons performing similar functions, have concluded that the registrant’s disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940, as amended (the “1940 Act”) (17 CFR 270.30a-3(c))) are effective, as of a date within 90 days of the filing date of this report that includes the disclosure required by this paragraph, based on their evaluation of the controls and procedures required by Rule 30a-3(b) under the 1940 Act (17 CFR 270.30a-3(b)) and Rule 13a-15(b) or 15d-15(b) under the Securities Exchange Act of 1934 (17 CFR 240.13a-15(b) or 240.15d-15(b)).
 
  b.   There were no changes in the registrant’s internal control over financial reporting (as defined in Rule 30a-3(d) under the 1940 Act (17 CFR 270.30a-3(d)) that occurred during the registrant’s last fiscal quarter that have materially affected, or are reasonably likely to materially affect, the registrant’s internal control over financial reporting.
Item 3. Exhibits.
File as exhibits as part of this Form a separate certification for each principal executive officer and principal financial officer of the registrant as required by Rule 30a-2(a) under the 1940 Act (17 CFR 270.30a-2(a)), exactly as set forth below: EX-99 CERT Attached hereto.

 


Table of Contents

SIGNATURES
Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.
(Registrant)Nuveen Quality Preferred Income Fund 2
         
     
By (Signature and Title)*  /s/ Jessica R. Droeger    
  Jessica R. Droeger   
  Vice President and Secretary   
 
Date May 30, 2006
Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, this report has been signed below by the following persons on behalf of the registrant and in the capacities and on the dates indicated.
         
     
By (Signature and Title)*  /s/ Gifford R. Zimmerman    
  Gifford R. Zimmerman   
  Chief Administrative Officer (principal executive officer)   
 
Date May 30, 2006
         
     
By (Signature and Title)*  /s/ Stephen D. Foy    
  Stephen D. Foy   
  Vice President and Controller (principal financial officer)   
 
Date May 30, 2006
 
*   Print the name and title of each signing officer under his or her signature.