13FBOX
Nuveen, LLC · 13F Holdings
Options Calculator Rankings

Nuveen, LLC

No.37 Data as of 2026Q2
Latest AUM (Q2 2026)
$419.16B
QoQ Change Q1 2026
+$49.90B+13.5%
Holdings
3735
New Buys
666
Adds
1902
Reduces
1005
Exits
155
Unchanged
162
Holdings Value Trend
Holdings by Sector
Stock Ownership TrendPortfolio %Prev Q %Q2 2026 ValueQ2 2026 SharesPrev Q ValuePrev Q SharesShares ChangeAction
NVIDIA CORPORATIONNVDA
6.42%6.62%$26.90B134.5M$24.45B140.2M-5.7M-4.09%Reduce
APPLE INCAAPL
5.17%5.4%$21.67B74.9M$19.92B78.5M-3.6M-4.62%Reduce
MICROSOFT CORPMSFT
3.59%4.42%$15.07B40.4M$16.33B44.1M-3.7M-8.46%Reduce
BROADCOM INCAVGO
3.05%3.04%$12.80B33.9M$11.22B36.3M-2.4M-6.53%Reduce
AMAZON COM INCAMZN
2.79%3.23%$11.69B49.1M$11.93B57.3M-8.2M-14.38%Reduce
ALPHABET INCGOOGL
2.72%2.38%$11.38B31.9M$8.79B30.6M+1.3M+4.16%Add
AAlphabet Inc Class CGOOG
2.65%2.41%$11.12B31.5M$8.88B31.0M+502,926+1.62%Add
TESLA INCTSLA
1.6%1.37%$6.71B16.0M$5.05B13.6M+2.4M+17.46%Add
ELI LILLY & COLLY
1.45%1.33%$6.07B5.1M$4.91B5.3M-276,162-5.17%Reduce
META PLATFORMS INCMETA
1.29%1.61%$5.43B9.6M$5.95B10.4M-759,312-7.30%Reduce
JPMORGAN CHASE & COJPM
1.12%1.2%$4.69B14.3M$4.43B15.1M-740,423-4.91%Reduce
MICRON TECHNOLOGY INCMU
1.09%0.3%$4.56B4.0M$1.10B3.3M+687,934+21.07%Add
APPLIED MATLS INCAMAT
1.05%0.56%$4.42B6.1M$2.05B6.0M+111,995+1.87%Add
LAM RESEARCH CORPLRCX
0.95%0.64%$4.00B9.2M$2.35B11.0M-1.8M-16.17%Reduce
ADVANCED MICRO DEVICES INCAMD
0.94%0.36%$3.93B6.8M$1.33B6.5M+234,284+3.59%Add
NNUSHARES ETF TRNXUS
0.93%0.93%$3.90B155.5M$3.44B138.8M+16.7M+12.06%Add
INTEL CORPINTC
0.87%0.39%$3.64B26.1M$1.44B32.7M-6.7M-20.34%Reduce
MASTERCARD INCORPORATEDMA
0.86%1.11%$3.59B7.0M$4.11B8.2M-1.2M-15.04%Reduce
JOHNSON & JOHNSONJNJ
0.79%0.83%$3.30B13.0M$3.05B12.5M+488,064+3.91%Add
PALO ALTOPANW
0.73%0.35%$3.07B9.0M$1.28B8.0M+1.0M+12.74%Add
COSTCO WHOLESALE CORPORATIONCOST
0.71%0.83%$2.98B3.2M$3.06B3.1M+115,824+3.77%Add
CISCO SYS INCCSCO
0.66%0.46%$2.77B23.6M$1.70B22.0M+1.7M+7.58%Add
CATERPILLAR INCCAT
0.66%0.44%$2.77B2.6M$1.64B2.3M+290,101+12.56%Add
AMPHENOL CORPAPH
0.63%0.45%$2.66B15.1M$1.66B13.1M+1.9M+14.81%Add
EXXON MOBIL CORPXOM
0.63%0.96%$2.65B19.4M$3.54B20.9M-1.5M-7.23%Reduce
BERKSHIRE HATHAWAY INC DELBRK.B
0.62%0.73%$2.61B5.2M$2.68B5.6M-367,419-6.57%Reduce
GE AEROSPACEGE
0.6%0.5%$2.51B6.7M$1.84B6.5M+248,569+3.84%Add
VISA INCV
0.59%0.58%$2.48B7.2M$2.16B7.1M+100,731+1.41%Add
WESTERN DIGITAL CORPWDC
0.58%0.22%$2.44B3.8M$800.4M3.0M+859,858+29.06%Add
ABBVIE INCABBV
0.57%0.65%$2.39B9.5M$2.42B11.1M-1.6M-14.44%Reduce
WALMART INCWMT
0.53%0.81%$2.20B19.5M$2.98B24.0M-4.5M-18.87%Reduce
EATON CORP PLCETN
0.52%0.45%$2.18B5.1M$1.65B4.6M+503,360+10.89%Add
HOME DEPOT INCHD
0.5%0.59%$2.11B6.0M$2.18B6.6M-644,969-9.73%Reduce
LINDE PLCLIN
0.5%0.55%$2.08B4.0M$2.02B4.1M-63,941-1.57%Reduce
BOOKING HOLDINGS INC COMBKNG
0.47%0.36%$1.96B11.0M$1.34B318,308+10.7M+3,360.18%Add
SSANDISK CORP COMSNDK
0.46%0.08%$1.93B848,714$290.5M457,231+391,483+85.62%Add
GE VERNOVA INCGEV
0.46%0.43%$1.91B1.6M$1.58B1.8M-180,479-9.98%Reduce
WELLS FARGO CO NEWWFC
0.45%0.48%$1.87B22.6M$1.78B22.4M+262,547+1.17%Add
NETFLIX INCNFLX
0.44%0.6%$1.85B26.0M$2.21B23.0M+3.0M+12.89%Add
ARISTA NETWORKS INCANET
0.44%0.42%$1.82B10.7M$1.55B12.6M-1.9M-14.78%Reduce
CCITIGROUP INCC
0.43%0.38%$1.82B13.0M$1.41B12.5M+561,732+4.51%Add
PROCTER & GAMBLE COPG
0.43%0.49%$1.80B12.3M$1.82B12.6M-280,641-2.23%Reduce
AMERICAN EXPRESS COAXP
0.42%0.46%$1.76B5.2M$1.69B5.6M-400,979-7.17%Reduce
COCA COLA COKO
0.42%0.49%$1.75B21.6M$1.82B23.9M-2.4M-9.86%Reduce
TJX COS INC NEWTJX
0.41%0.49%$1.73B11.4M$1.81B11.3M+71,904+0.63%Add
NNUSHARES ETF TRNHYB
0.41%0.42%$1.71B69.0M$1.55B62.8M+6.2M+9.89%Add
PHILIP MORRIS INTL INCPM
0.38%0.43%$1.61B8.9M$1.60B9.7M-775,941-8.03%Reduce
UNITEDHEALTH GROUP INCUNH
0.37%0.25%$1.56B3.7M$930.8M3.4M+302,238+8.79%Add
TRANE TECHNOLOGIES PLCTT
0.35%0.32%$1.48B3.0M$1.17B2.8M+200,188+7.12%Add
TEXAS INSTRS INCTXN
0.35%0.25%$1.45B4.9M$911.2M4.7M+181,571+3.87%Add

🧭 Institutional Sector Flow Heatmap

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