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STOCK TICKER:

MAJOR GURUS:
David Einhorn
Bill Ackman
Bill Miller
Steven Cohen
Jim Simons

Nuveen Asset Management, LLC INSTITUTION : Nuveen Asset Management, LLC
Nuveen Asset Management, LLC Portfolio (reported on 2020-05-14)
Company (links to holding history) Ticker Value On
2020-03-31
No of Shares % of portfolio
MICROSOFT CORP    (COM) MSFT 6,053,348,000 38,382,780 2.94%
AMAZON COM INC    (COM) AMZN 5,149,722,000 2,646,257 2.50%
APPLE INC    (COM) AAPL 4,879,458,000 19,189,557 2.37%
MICROSOFT CORP    (COM) MSFT 3,150,268,000 19,975,069 1.53%
APPLE INC    (COM) AAPL 2,576,032,000 10,205,012 1.25%
ALPHABET INC    (CAP STK CL C) GOOG 2,470,732,000 2,124,794 1.20%
FACEBOOK INC    (CL A) FB 2,293,033,000 13,747,199 1.11%
AMAZON COM INC    (COM) AMZN 2,251,946,000 1,155,010 1.09%
VISA INC    (COM CL A) V 1,802,039,000 11,184,450 0.87%
SALESFORCE COM INC    (COM) CRM 1,548,552,000 10,755,325 0.75%
ISHARES TR    (IBOXX INV CP ETF) LQD 1,481,697,000 11,996,576 0.72%
ALPHABET INC    (CAP STK CL A) GOOGL 1,446,502,000 1,244,892 0.70%
INTEL CORP    (COM) INTC 1,286,535,000 23,771,895 0.62%
JPMORGAN CHASE & CO    (COM) JPM 1,221,852,000 13,575,613 0.59%
MASTERCARD INC    (CL A) MA 1,197,046,000 4,955,480 0.58%
PROCTER & GAMBLE CO    (COM) PG 1,167,412,000 10,612,834 0.56%
PAYPAL HLDGS INC    (COM) PYPL 1,122,684,000 11,726,385 0.54%
JOHNSON & JOHNSON    (COM) JNJ 1,049,740,000 8,005,337 0.51%
BERKSHIRE HATHAWAY INC DEL    (CL B NEW) BRK/B 1,023,024,000 5,595,492 0.49%
COSTCO WHSL CORP NEW    (COM) COST 1,016,848,000 3,566,260 0.49%
ALPHABET INC    (CAP STK CL C) GOOG 1,009,747,000 868,368 0.49%
FACEBOOK INC    (CL A) FB 976,772,000 5,855,949 0.47%
NVIDIA CORP    (COM) NVDA 970,826,000 3,682,951 0.47%
MERCK & CO. INC    (COM) MRK 965,831,000 12,553,041 0.47%
DISNEY WALT CO    (COM DISNEY) DIS 930,689,000 9,634,458 0.45%
HOME DEPOT INC    (COM) HD 895,739,000 4,797,487 0.43%
UNITEDHEALTH GROUP INC    (COM) UNH 885,199,000 3,549,597 0.43%
COCA COLA CO    (COM) KO 858,430,000 19,399,554 0.41%
ALPHABET INC    (CAP STK CL A) GOOGL 850,040,000 731,563 0.41%
WALMART INC    (COM) WMT 842,435,000 7,414,493 0.41%
VERIZON COMMUNICATIONS INC    (COM) VZ 795,705,000 14,809,322 0.38%
PFIZER INC    (COM) PFE 782,744,000 23,981,128 0.38%
JOHNSON & JOHNSON    (COM) JNJ 782,232,000 5,965,316 0.38%
JPMORGAN CHASE & CO    (COM) JPM 762,860,000 8,473,401 0.37%
PROCTER & GAMBLE CO    (COM) PG 756,490,000 6,877,178 0.36%
COMCAST CORP NEW    (CL A) CMCSA 755,247,000 21,967,640 0.36%
NIKE INC    (CL B) NKE 712,873,000 8,615,819 0.34%
BERKSHIRE HATHAWAY INC DEL    (CL B NEW) BRK/B 712,861,000 3,899,039 0.34%
ADOBE INC    (COM) ADBE 711,826,000 2,236,758 0.34%
AT&T INC    (COM) T 709,615,000 24,343,557 0.34%
ALIBABA GROUP HLDG LTD    (SPONSORED ADS) BABA 695,573,000 3,576,576 0.33%
NETFLIX INC    (COM) NFLX 693,710,000 1,847,431 0.33%
HONEYWELL INTL INC    (COM) HON 690,084,000 5,157,967 0.33%
INTEL CORP    (COM) INTC 687,370,000 12,700,849 0.33%
ABBVIE INC    (COM) ABBV 677,408,000 8,891,033 0.32%
S&P GLOBAL INC    (COM) SPGI 661,095,000 2,697,795 0.32%
ZOETIS INC    (CL A) ZTS 654,673,000 5,562,689 0.31%
MCDONALDS CORP    (COM) MCD 641,627,000 3,880,419 0.31%
PEPSICO INC    (COM) PEP 633,301,000 5,273,115 0.30%
MASTERCARD INC    (CL A) MA 622,517,000 2,601,444 0.30%
SERVICENOW INC    (COM) NOW 612,660,000 2,137,831 0.29%
VERIZON COMMUNICATIONS INC    (COM) VZ 605,089,000 11,261,664 0.29%
VISA INC    (COM CL A) V 602,942,000 3,742,192 0.29%
MERCK & CO. INC    (COM) MRK 601,713,000 7,820,545 0.29%
INTUIT    (COM) INTU 600,056,000 2,608,938 0.29%
CISCO SYS INC    (COM) CSCO 595,770,000 15,155,697 0.29%
HOME DEPOT INC    (COM) HD 579,022,000 3,117,467 0.28%
UNION PAC CORP    (COM) UNP 578,163,000 4,099,287 0.28%
BRISTOL MYERS SQUIBB CO    (COM) BMY 563,017,000 10,100,775 0.27%
TEXAS INSTRS INC    (COM) TXN 557,820,000 5,582,106 0.27%
LINDE PLC    (SHS) 554,881,000 3,207,403 0.27%
GILEAD SCIENCES INC    (COM) GILD 552,350,000 7,388,313 0.26%
DISNEY WALT CO    (COM DISNEY) DIS 544,282,000 5,634,390 0.26%
CHEVRON CORP NEW    (COM) CVX 542,564,000 7,487,776 0.26%
TESLA INC    (COM) TSLA 538,218,000 1,033,128 0.26%
PFIZER INC    (COM) PFE 535,698,000 16,412,312 0.26%
UNITEDHEALTH GROUP INC    (COM) UNH 530,151,000 2,125,876 0.25%
NVIDIA CORP    (COM) NVDA 510,401,000 1,936,270 0.24%
ABBOTT LABS    (COM) ABT 509,923,000 6,465,085 0.24%
BOSTON SCIENTIFIC CORP    (COM) BSX 503,778,000 15,439,094 0.24%
BK OF AMERICA CORP    (COM) BAC 492,732,000 23,209,228 0.23%
WALMART INC    (COM) WMT 485,156,000 4,269,986 0.23%
APPLIED MATLS INC    (COM) AMAT 477,530,000 10,421,869 0.23%
BROADCOM INC    (COM) 476,826,000 2,011,074 0.23%
SALESFORCE COM INC    (COM) CRM 474,398,000 3,294,887 0.23%
BAXTER INTL INC    (COM) BAX 471,106,000 5,802,507 0.22%
AMERICAN TOWER CORP NEW    (COM) AMT 464,849,000 2,134,783 0.22%
MONSTER BEVERAGE CORP NEW    (COM) MNST 463,668,000 8,241,520 0.22%
LILLY ELI & CO    (COM) LLY 462,870,000 3,336,720 0.22%
BK OF AMERICA CORP    (COM) BAC 461,424,000 21,734,530 0.22%
ILLUMINA INC    (COM) ILMN 458,150,000 1,677,469 0.22%
NEXTERA ENERGY INC    (COM) NEE 457,814,000 1,902,645 0.22%
AT&T INC    (COM) T 456,742,000 15,668,677 0.22%
PEPSICO INC    (COM) PEP 454,096,000 3,813,649 0.22%
ADOBE INC    (COM) ADBE 452,037,000 1,420,429 0.22%
ROPER TECHNOLOGIES INC    (COM) ROP 450,117,000 1,443,562 0.21%
CISCO SYS INC    (COM) CSCO 446,561,000 11,359,995 0.21%
CIGNA CORP NEW    (COM) 445,339,000 2,528,467 0.21%
COMCAST CORP NEW    (CL A) CMCSA 442,026,000 12,857,064 0.21%
AMERICAN EXPRESS CO    (COM) AXP 438,992,000 5,127,813 0.21%
VERTEX PHARMACEUTICALS INC    (COM) VRTX 429,588,000 1,805,371 0.20%
MORGAN STANLEY    (COM NEW) MS 426,695,000 12,554,843 0.20%
AMGEN INC    (COM) AMGN 419,832,000 2,070,893 0.20%
NETFLIX INC    (COM) NFLX 411,394,000 1,128,159 0.20%
REGENERON PHARMACEUTICALS    (COM) REGN 409,601,000 838,847 0.19%
CHEVRON CORP NEW    (COM) CVX 408,827,000 5,642,105 0.19%
COCA COLA CO    (COM) KO 407,256,000 9,203,522 0.19%
MONDELEZ INTL INC    (CL A) MDLZ 397,859,000 7,944,465 0.19%
EXXON MOBIL CORP    (COM) XOM 389,752,000 10,264,738 0.18%
BRISTOL MYERS SQUIBB CO    (COM) BMY 388,991,000 6,978,676 0.18%
PHILIP MORRIS INTL INC    (COM) PM 387,960,000 5,317,431 0.18%
PROLOGIS INC.    (COM) PLD 382,802,000 4,763,002 0.18%
CVS HEALTH CORP    (COM) CVS 378,841,000 6,385,315 0.18%
AMERICAN TOWER CORP NEW    (COM) AMT 366,861,000 1,684,779 0.17%
LOWES COS INC    (COM) LOW 363,676,000 4,226,333 0.17%
CITIGROUP INC    (COM NEW) C 360,903,000 8,568,447 0.17%
ACCENTURE PLC IRELAND    (SHS CLASS A) ACN 356,303,000 2,182,427 0.17%
L3HARRIS TECHNOLOGIES INC    (COM) 349,454,000 1,940,115 0.17%
THERMO FISHER SCIENTIFIC INC    (COM) TMO 343,913,000 1,212,670 0.16%
NORTHROP GRUMMAN CORP    (COM) NOC 339,160,000 1,121,005 0.16%
INTUITIVE SURGICAL INC    (COM NEW) ISRG 335,912,000 678,323 0.16%
FIDELITY NATL INFORMATION SV    (COM) FIS 335,704,000 2,759,817 0.16%
NIKE INC    (CL B) NKE 329,236,000 3,979,161 0.16%
DANAHER CORPORATION    (COM) DHR 329,084,000 2,379,604 0.16%
TJX COS INC NEW    (COM) TJX 329,005,000 6,881,510 0.16%
PAYPAL HLDGS INC    (COM) PYPL 325,523,000 3,400,073 0.15%
BLACKROCK INC    (COM) BLK 324,742,000 738,100 0.15%
MICROSOFT CORP    (COM) MSFT 319,942,000 2,028,673 0.15%
BOEING CO    (COM) BA 319,604,000 2,181,846 0.15%
ALIBABA GROUP HLDG LTD    (SPONSORED ADS) BABA 319,042,000 1,640,487 0.15%
QUALCOMM INC    (COM) QCOM 318,805,000 4,712,569 0.15%
LAM RESEARCH CORP    (COM) LRCX 313,748,000 1,307,283 0.15%
ABBVIE INC    (COM) ABBV 313,525,000 4,166,084 0.15%
IAC INTERACTIVECORP    (COM) IACI 313,119,000 1,747,024 0.15%
ADVANCED MICRO DEVICES INC    (COM) AMD 309,918,000 6,814,376 0.15%
CITIGROUP INC    (COM NEW) C 305,057,000 7,242,575 0.14%
GILEAD SCIENCES INC    (COM) GILD 303,580,000 4,060,729 0.14%
LILLY ELI & CO    (COM) LLY 301,897,000 2,176,308 0.14%
NEXTERA ENERGY INC    (COM) NEE 295,288,000 1,227,197 0.14%
DOMINION ENERGY INC    (COM) D 292,438,000 4,050,944 0.14%
HONEYWELL INTL INC    (COM) HON 291,899,000 2,181,768 0.14%
FIRSTENERGY CORP    (COM) FE 290,338,000 7,245,781 0.14%
PROLOGIS INC.    (COM) PLD 289,829,000 3,606,180 0.14%
LINDE PLC    (SHS) 286,776,000 1,657,666 0.13%
TEXAS INSTRS INC    (COM) TXN 285,707,000 2,859,072 0.13%
EXXON MOBIL CORP    (COM) XOM 282,079,000 7,428,991 0.13%
TARGET CORP    (COM) TGT 280,566,000 3,017,810 0.13%
AMGEN INC    (COM) AMGN 279,940,000 1,380,851 0.13%
AMERICAN ELEC PWR CO INC    (COM) AEP 278,744,000 3,485,172 0.13%
ELECTRONIC ARTS INC    (COM) ERTS 278,456,000 2,779,837 0.13%
MCDONALDS CORP    (COM) MCD 273,058,000 1,651,391 0.13%
ACCENTURE PLC IRELAND    (SHS CLASS A) ACN 272,038,000 1,666,287 0.13%
EDWARDS LIFESCIENCES CORP    (COM) EW 271,406,000 1,438,904 0.13%
MICROSOFT CORP    (COM) MSFT 268,801,000 1,704,398 0.13%
EQUINIX INC    (COM) EQIX 268,225,000 429,456 0.13%
MEDTRONIC PLC    (SHS) MDT 266,350,000 2,953,535 0.12%
COSTCO WHSL CORP NEW    (COM) COST 264,470,000 927,542 0.12%
CATERPILLAR INC DEL    (COM) CAT 263,590,000 2,271,541 0.12%
SCHWAB CHARLES CORP    (COM) SCHW 258,946,000 7,702,142 0.12%
MEDTRONIC PLC    (SHS) MDT 258,851,000 2,870,376 0.12%
WELLS FARGO CO NEW    (COM) WFC 258,410,000 9,003,838 0.12%
CHIPOTLE MEXICAN GRILL INC    (COM) CMG 256,390,000 391,794 0.12%
STARBUCKS CORP    (COM) SBUX 255,258,000 3,882,838 0.12%
APPLE INC    (COM) AAPL 254,666,000 1,001,477 0.12%
PHILIP MORRIS INTL INC    (COM) PM 252,749,000 3,464,215 0.12%
COLGATE PALMOLIVE CO    (COM) CL 252,486,000 3,804,787 0.12%
WELLS FARGO CO NEW    (COM) WFC 244,173,000 8,507,775 0.11%
LAUDER ESTEE COS INC    (CL A) EL 243,544,000 1,528,452 0.11%
ABBOTT LABS    (COM) ABT 243,331,000 3,124,409 0.11%
US BANCORP DEL    (COM NEW) USB 239,305,000 6,946,440 0.11%
CVS HEALTH CORP    (COM) CVS 239,082,000 4,029,701 0.11%
UNION PAC CORP    (COM) UNP 237,591,000 1,684,566 0.11%
UNITED TECHNOLOGIES CORPORATION    (COM) UTX 233,908,000 2,479,683 0.11%
KEURIG DR PEPPER INC    (COM) 233,790,000 9,632,885 0.11%
TWITTER INC    (COM) TWTR 231,550,000 9,511,867 0.11%
CHUBB LIMITED    (COM) CB 231,115,000 2,069,255 0.11%
AUTOMATIC DATA PROCESSING IN    (COM) ADP 229,976,000 1,682,584 0.11%
EATON CORP PLC    (SHS) ETN 229,638,000 2,955,829 0.11%
LOCKHEED MARTIN CORP    (COM) LMT 228,389,000 673,813 0.11%
EQUINIX INC    (COM) EQIX 228,165,000 365,316 0.11%
MARSH & MCLENNAN COS INC    (COM) MMC 226,923,000 2,624,606 0.11%
INTERNATIONAL BUSINESS MACHS    (COM) IBM 226,542,000 2,042,211 0.11%
MONDELEZ INTL INC    (CL A) MDLZ 226,427,000 4,521,314 0.11%
PROLOGIS INC.    (COM) PLD 225,302,000 2,803,315 0.10%
UNITED PARCEL SERVICE INC    (CL B) UPS 225,216,000 2,410,786 0.10%
INTERNATIONAL BUSINESS MACHS    (COM) IBM 224,610,000 2,024,789 0.10%
ZIMMER BIOMET HOLDINGS INC    (COM) ZMH 224,455,000 2,220,568 0.10%
TESLA INC    (COM) TSLA 224,180,000 427,825 0.10%
CME GROUP INC    (COM) CME 220,325,000 1,274,218 0.10%
VERTEX PHARMACEUTICALS INC    (COM) VRTX 218,834,000 919,664 0.10%
L3HARRIS TECHNOLOGIES INC    (COM) 218,671,000 1,214,028 0.10%
FIDELITY NATL INFORMATION SV    (COM) FIS 218,161,000 1,793,500 0.10%
CIGNA CORP NEW    (COM) 216,753,000 1,223,351 0.10%
S&P GLOBAL INC    (COM) SPGI 216,417,000 883,156 0.10%
EQUINIX INC    (COM) EQIX 215,669,000 345,308 0.10%
WASTE CONNECTIONS INC    (COM) 215,483,000 2,780,432 0.10%
ISHARES TR    (RUS 1000 GRW ETF) IWF 212,341,000 1,409,500 0.10%
INTUIT    (COM) INTU 212,145,000 922,371 0.10%
SHERWIN WILLIAMS CO    (COM) SHW 209,517,000 455,947 0.10%
ANTHEM INC    (COM) ANTM 208,398,000 917,889 0.10%
CROWN CASTLE INTL CORP NEW    (COM) CCI 205,292,000 1,421,692 0.09%
DANAHER CORPORATION    (COM) DHR 205,266,000 1,508,602 0.09%
AMERICAN ELEC PWR CO INC    (COM) AEP 203,037,000 2,538,594 0.09%
HUMANA INC    (COM) HUM 201,644,000 642,137 0.09%
JOHNSON & JOHNSON    (COM) JNJ 201,312,000 1,535,213 0.09%
AMERICAN EXPRESS CO    (COM) AXP 198,317,000 2,316,514 0.09%
BROADCOM INC    (COM) 197,738,000 833,985 0.09%
KEYSIGHT TECHNOLOGIES INC    (COM) KEYS 196,859,000 2,352,527 0.09%
BOOKING HLDGS INC    (COM) 196,146,000 145,799 0.09%
APPLIED MATLS INC    (COM) AMAT 193,797,000 4,229,519 0.09%
1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25 26 27 28 29 30 31 32 33 34 35 36 Next >Full Portfolio View
Total Value As 2020-03-31: 205,368,798,000 SEC FILING
* Portfolios do not reflect changes after reporting
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