Nuveen, LLC holds a diversified book of 3224 stocks worth $369.3B as of Q1 2026 (disclosed Apr 30, 2026, a ~45-day 13F lag). This quarter they opened AstraZeneca PLC and trimmed Microsoft Corp. Their largest long position is Nvidia Corp at 7% of the equity book.
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curl -H "Authorization: Bearer YOUR_API_KEY" \ "https://arkolith.com/api/v1/funds/1871926/holdings"
Use Arkolith to show Nuveen, LLC's latest holdings, largest changes, and filing provenance.
Top-heavy: diversified book
Share of the disclosed book in its largest positions. A higher top-5 share means a more concentrated, higher-conviction portfolio.
97% mapped to company sectors
Direct operating-company sectors from our SIC-based security master. ETF/fund and unclassified holdings stay visible separately; this is not ETF look-through exposure.
Estimated $ traded · quarter-end prices, no cost basis
Bars show each stock's share of the portfolio. Click a row for its position history.
| # | Security | Value | Shares | % Port | Last move | History |
|---|---|---|---|---|---|---|
| 1 | Nvidia Corporation COM | $24.4B | 140.18M | 6.6% | ▲+3.2% Added · +4.4M sh | |
| 2 | Apple Inc COM | $19.9B | 78.50M | 5.4% | ▲+4.7% Added · +3.5M sh | |
| 3 | Microsoft Corp COM | $16.3B | 44.12M | 4.4% | ▼−8.4% Reduced · −4.0M sh | |
| 4 | Amazon Com Inc COM | $11.9B | 57.30M | 3.2% | ▼−3.1% Reduced · −1.8M sh | |
| 5 | Broadcom Inc COM | $11.2B | 36.25M | 3.0% | ▼−1.3% Reduced · −471K sh | |
| 6 | Alphabet Inc CAP STK CL C | $8.9B | 30.96M | 2.4% | ▲+5.5% Added · +1.6M sh | |
| 7 | Alphabet Inc CAP STK CL A | $8.8B | 30.58M | 2.4% | ▲+4.8% Added · +1.4M sh | |
| 8 | Meta Platforms Inc CL A | $5.9B | 10.40M | 1.6% | ▼−2.5% Reduced · −270K sh | |
| 9 | Tesla Inc COM | $5.1B | 13.59M | 1.4% | ▲+3.0% Added · +396K sh | |
| 10 | Eli Lilly & Co COM | $4.9B | 5.34M | 1.3% | ▼−1.8% Reduced · −97K sh | |
| 11 | JPMorgan Chase & Co COM | $4.4B | 15.07M | 1.2% | ▲+2.0% Added · +290K sh | |
| 12 | Mastercard Incorporated CL A | $4.1B | 8.23M | 1.1% | ▲+11% Added · +830K sh | |
| 13 | Exxon Mobil Corp COM | $3.5B | 20.88M | 1.0% | ▲+5.3% Added · +1.1M sh | |
| 14 | Nushares ETF TR NUVEEN INTERNATI | $3.4B | 138.75M | 0.9% | ▲+37% Added · +37.4M sh | |
| 15 | Costco Wholesale Corporation COM | $3.1B | 3.07M | 0.8% | ▲+41% Added · +901K sh | |
| 16 | Johnson & Johnson COM | $3.1B | 12.49M | 0.8% | ▲+18% Added · +1.9M sh | |
| 17 | Walmart Inc COM | $3.0B | 23.99M | 0.8% | ▼−6.5% Reduced · −1.7M sh | |
| 18 | Berkshire Hathaway Inc Del CL B NEW | $2.7B | 5.59M | 0.7% | ▲+1.2% Added · +68K sh | |
| 19 | Abbvie Inc COM | $2.4B | 11.12M | 0.7% | ▲+29% Added · +2.5M sh | |
| 20 | Lam Research Corp COM NEW | $2.4B | 11.01M | 0.6% | ▲+5.9% Added · +618K sh | |
| 21 | Netflix Inc. COM | $2.2B | 23.01M | 0.6% | ▲+12% Added · +2.4M sh | |
| 22 | Home Depot Inc COM | $2.2B | 6.63M | 0.6% | ▲+20% Added · +1.1M sh | |
| 23 | Visa Inc COM CL A | $2.2B | 7.14M | 0.6% | ▼−19% Reduced · −1.7M sh | |
| 24 | Applied Matls Inc COM | $2.1B | 6.00M | 0.6% | ▼−22% Reduced · −1.7M sh | |
| 25 | Linde PLC SHS | $2.0B | 4.08M | 0.5% | ▲+8.6% Added · +324K sh | |
| 26 | Chevron Corporation COM | $2.0B | 9.71M | 0.5% | ▲+3.3% Added · +307K sh | |
| 27 | Ge Aerospace COM NEW | $1.8B | 6.47M | 0.5% | ▲+9.1% Added · +541K sh | |
| 28 | Coca Cola Co COM | $1.8B | 23.93M | 0.5% | ▲+25% Added · +4.8M sh | |
| 29 | Procter & Gamble Co COM | $1.8B | 12.58M | 0.5% | ▲+13% Added · +1.5M sh | |
| 30 | TJX Cos Inc New COM | $1.8B | 11.34M | 0.5% | ▲+17% Added · +1.6M sh | |
| 31 | Wells Fargo & Co COM | $1.8B | 22.36M | 0.5% | ▼−7.7% Reduced · −1.9M sh | |
| 32 | Cisco Sys Inc COM | $1.7B | 21.96M | 0.5% | ▲+9.2% Added · +1.8M sh | |
| 33 | American Express Co COM | $1.7B | 5.59M | 0.5% | ▲+8.1% Added · +418K sh | |
| 34 | Amphenol Corp CL A | $1.7B | 13.12M | 0.4% | ▲+68% Added · +5.3M sh | |
| 35 | Eaton Corp PLC SHS | $1.7B | 4.62M | 0.4% | ▼−7.5% Reduced · −377K sh | |
| 36 | Caterpillar Inc COM | $1.6B | 2.31M | 0.4% | ▲~0% Added · +1K sh | |
| 37 | Palantir Technologies Inc CL A | $1.6B | 10.93M | 0.4% | ▲+14% Added · +1.3M sh | |
| 38 | Philip Morris Intl Inc COM | $1.6B | 9.67M | 0.4% | ▼−3.0% Reduced · −302K sh | |
| 39 | Regeneron Pharmaceuticals COM | $1.6B | 2.07M | 0.4% | ▲+2.7% Added · +55K sh | |
| 40 | Ge Vernova Inc COM | $1.6B | 1.81M | 0.4% | ▼−10% Reduced · −212K sh | |
| 41 | Arista Networks Inc COM SHS | $1.5B | 12.60M | 0.4% | ▲+3.4% Added · +413K sh | |
| 42 | Nushares ETF TR NUVEEN HIGH YIEL | $1.5B | 62.76M | 0.4% | ▼−2.6% Reduced · −1.7M sh | |
| 43 | NextEra Energy Inc COM | $1.5B | 16.47M | 0.4% | ▼−5.7% Reduced · −988K sh | |
| 44 | Prologis Inc. COM | $1.5B | 11.15M | 0.4% | ▼−12% Reduced · −1.5M sh | |
| 45 | Intel Corp COM | $1.4B | 32.73M | 0.4% | ▲+29% Added · +7.4M sh | |
| 46 | Citigroup Inc COM NEW | $1.4B | 12.46M | 0.4% | ▼−5.3% Reduced · −696K sh | |
| 47 | Oreilly Automotive Inc COM | $1.4B | 15.07M | 0.4% | ▲+33% Added · +3.7M sh | |
| 48 | Booking Holdings Inc COM | $1.3B | 318.3K | 0.4% | ▼−1.1% Reduced · −3K sh | |
| 49 | Advanced Micro Devices Inc COM | $1.3B | 6.53M | 0.4% | ▲+7.9% Added · +476K sh | |
| 50 | AstraZeneca PLC ORD | $1.3B | 6.78M | 0.4% | ▲New New position |
As-of date vs the date the SEC received each filing
Holdings from SEC EDGAR 13F-HR filings, updated quarterly ~45 days after quarter-end. Public domain. The book and weighting are long equity only; disclosed put/call options are listed separately and excluded from those totals. Price-derived performance is withheld until the price-source policy and freshness gate are green.