HoldingsChannel.com
Nuveen Asset Management LLC Top Holdings
As of  06/30/2019

   EntityAmountChange
 03/31/2019 to 06/30/2019
Position Size
($ in 1000's)
MICROSOFT CORP 67,353,275 +64,905,685 $9,022,645
     MSFT67,353,275+64,905,685$9,022,645
APPLE INC 35,914,893 +34,707,634 $7,108,275
     AAPL35,914,893+34,707,634$7,108,275
AMAZON COM INC 3,590,645 +3,498,279 $6,799,352
     AMZN3,590,645+3,498,279$6,799,352
FACEBOOK INC 22,496,340 +22,082,561 $4,341,794
     FB22,496,340+22,082,561$4,341,794
ALPHABET INC 3,039,672 +2,993,722 $3,285,612
     GOOG3,039,672+2,993,722$3,285,612
VISA INC 16,291,965 +15,864,991 $2,827,471
     V16,291,965+15,864,991$2,827,471
JPMORGAN CHASE & CO 23,689,599 +22,754,332 $2,648,497
     JPM23,689,599+22,754,332$2,648,497
CISCO SYS INC 48,285,218 +45,351,980 $2,642,650
     CSCO48,285,218+45,351,980$2,642,650
MASTERCARD INC 9,177,186 +8,838,385 $2,427,641
     MA9,177,186+8,838,385$2,427,641
ALPHABET INC 2,214,432 +2,109,515 $2,397,786
     GOOGL2,214,432+2,109,515$2,397,786
JOHNSON & JOHNSON 16,924,656 +16,619,550 $2,357,266
     JNJ16,924,656+16,619,550$2,357,266
DISNEY WALT CO 16,253,462 +16,002,838 $2,269,633
     DIS16,253,462+16,002,838$2,269,633
PAYPAL HLDGS INC 18,861,956 +18,586,493 $2,158,939
     PYPL18,861,956+18,586,493$2,158,939
BERKSHIRE HATHAWAY INC DEL      $2,086,220
     BRK.B9,786,647+9,719,762$2,086,220
UNITEDHEALTH GROUP INC 8,540,562 +7,953,416 $2,083,983
     UNH8,540,562+7,953,416$2,083,983
MERCK & CO INC 24,307,332 +23,940,007 $2,038,169
     MRK24,307,332+23,940,007$2,038,169
PROCTER AND GAMBLE CO 18,416,894 +18,153,758 $2,019,412
     PG18,416,894+18,153,758$2,019,412
HOME DEPOT INC 9,641,450 +9,370,409 $2,005,132
     HD9,641,450+9,370,409$2,005,132
SALESFORCE COM INC 12,648,680 +12,614,007 $1,919,183
     CRM12,648,680+12,614,007$1,919,183
CHEVRON CORP NEW 14,886,232 +14,201,379 $1,852,443
     CVX14,886,232+14,201,379$1,852,443
BANK AMER CORP 60,055,337 +57,060,331 $1,741,604
     BAC60,055,337+57,060,331$1,741,604
EXXON MOBIL CORP 22,672,032 +22,268,191 $1,737,358
     XOM22,672,032+22,268,191$1,737,358
COMCAST CORP NEW 40,918,884 +37,474,814 $1,730,050
     CMCSA40,918,884+37,474,814$1,730,050
VERIZON COMMUNICATIONS INC 29,602,386 +29,167,876 $1,691,184
     VZ29,602,386+29,167,876$1,691,184
COCA COLA CO 32,579,854 +32,243,310 $1,658,966
     KO32,579,854+32,243,310$1,658,966
CITIGROUP INC 23,014,050 +21,690,409 $1,611,674
     C23,014,050+21,690,409$1,611,674
HONEYWELL INTL INC 9,053,437 +8,968,947 $1,580,640
     HON9,053,437+8,968,947$1,580,640
PFIZER INC 36,086,254 +34,544,423 $1,563,256
     PFE36,086,254+34,544,423$1,563,256
AT&T INC 46,051,038 +43,525,113 $1,543,169
     T46,051,038+43,525,113$1,543,169
BOEING CO 4,149,922 +3,928,546 $1,510,613
     BA4,149,922+3,928,546$1,510,613
UNION PACIFIC CORP 8,164,209 +7,767,384 $1,380,648
     UNP8,164,209+7,767,384$1,380,648
LINDE PLC 6,687,706 +6,539,513 $1,342,890
     LIN6,687,706+6,539,513$1,342,890
INTUIT 4,988,508 +4,889,759 $1,303,647
     INTU4,988,508+4,889,759$1,303,647
PEPSICO INC 9,770,327 +9,669,780 $1,281,183
     PEP9,770,327+9,669,780$1,281,183
COSTCO WHSL CORP NEW 4,772,976 +4,761,300 $1,261,307
     COST4,772,976+4,761,300$1,261,307
NETFLIX INC 3,394,108 +3,394,108 $1,246,724
     NFLX3,394,108+3,394,108$1,246,724
NIKE INC 14,363,870 +14,149,753 $1,205,847
     NKE14,363,870+14,149,753$1,205,847
INTEL CORP 25,170,134 +23,911,014 $1,204,894
     INTC25,170,134+23,911,014$1,204,894
MCDONALDS CORP 5,707,504 +5,501,809 $1,185,221
     MCD5,707,504+5,501,809$1,185,221
ADOBE INC 3,916,308 +3,893,422 $1,153,941
     ADBE3,916,308+3,893,422$1,153,941
WALMART INC 10,353,388 +10,123,600 $1,143,946
     WMT10,353,388+10,123,600$1,143,946
ISHARES TR (LQD) 9,108,672 +309,882 $1,132,846
     LQD9,108,672+309,882$1,132,846
ABBOTT LABS 12,377,944 +12,222,999 $1,040,985
     ABT12,377,944+12,222,999$1,040,985
ACCENTURE PLC IRELAND 5,585,165 +5,567,901 $1,031,971
     ACN5,585,165+5,567,901$1,031,971
WELLS FARGO CO NEW 20,960,596 +20,753,922 $991,856
     WFC20,960,596+20,753,922$991,856
BROADCOM INC 3,410,706 +3,275,431 $981,806
     AVGO3,410,706+3,275,431$981,806
INTUITIVE SURGICAL INC 1,847,791 +1,842,187 $969,259
     ISRG1,847,791+1,842,187$969,259
NEXTERA ENERGY INC      $948,527
     NEE4,625,863+4,420,997$947,655
     Call4,200UNCH$860
     NEE.PRR189,966-26,580$12
SERVICENOW INC 3,408,996 +3,356,585 $936,008
     NOW3,408,996+3,356,585$936,008
TEXAS INSTRS INC 7,969,808 +7,922,914 $914,615
     TXN7,969,808+7,922,914$914,615

See Full List: All Stocks Held By Nuveen Asset Management LLC
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Nuveen Asset Management LLC

Size ($ in 1000's)
At 06/30/2019: $253,875,502
At 03/31/2019: $18,728,992

Combined Holding Report Includes:
NUVEEN ASSET MANAGEMENT LLC
Russell Investments Group Ltd
Nuveen Investments Inc.
Nuveen Fund Advisors LLC
TIAA CREF Investment Management LLC
Teachers Advisors LLC
Santa Barbara Asset Management LLC
Teachers Insurance & Annuity Association of America

Nuveen Asset Management LLC holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Nuveen Asset Management LLC 13F filings. Link to 13F filings: SEC filings

Nuveen Asset Management LLC Top Holdings 13F Filings | www.HoldingsChannel.com

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