Universe · entity

NORTHWESTERN MUTUAL INVESTMENT MANAGEMENT COMPANY, LLC

Institutional manager (13F) · CIK 1629649
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $5.2B
#IssuerValueShares
1ISHARES TR$1.1B11,289,341
2ISHARES TR$784M1,199,600
3ISHARES TR$654M5,263,528
4ISHARES TR$578M8,565,258
5ISHARES TR$375M3,443,454
6VANGUARD INDEX FDS$327M547,798
7NVIDIA CORPORATION$136M777,541
8APPLE INC$119M469,760
9VANGUARD SCOTTSDALE FDS$100M1,335,590
10ISHARES TR$91M1,134,300
11MICROSOFT CORP$88M237,602
12AMAZON COM INC$65M312,576
13ALPHABET INC$54M186,290
14ISHARES TR$49M615,000
15BROADCOM INC$47M151,709
16ISHARES TR$43M438,042
17ALPHABET INC$43M149,642
18META PLATFORMS INC$40M69,984
19PIMCO ETF TR$34M342,900
20TESLA INC$33M89,992
21ISHARES TR$29M783,000
22BERKSHIRE HATHAWAY INC DEL$28M58,676
23JPMORGAN CHASE & CO$25M86,271
24ELI LILLY & CO$23M25,356
25EXXON MOBIL CORP$23M133,718
26JOHNSON & JOHNSON$19M77,111
27WALMART INC$17M140,265
28VISA INC$16M53,792
29COSTCO WHOLESALE CORPORATION$14M14,202
30MASTERCARD INCORPORATED$13M26,059
31NETFLIX INC.$13M135,100
32CHEVRON CORPORATION$12M59,981
33ABBVIE INC$12M56,552
34MICRON TECHNOLOGY INC$12M36,014
35PROCTER & GAMBLE CO$11M74,363
36PALANTIR TECHNOLOGIES INC$11M73,093
37ADVANCED MICRO DEVICES INC$11M52,169
38CATERPILLAR INC$11M14,888
39HOME DEPOT INC$10M31,854
40BANK AMERICA CORP$10M212,318
41CISCO SYS INC$10M126,424
42MERCK & CO INC$10M79,418
43GE AEROSPACE$10M33,559
44COCA COLA CO$9M123,876
45FRANCO NEV CORP$9M36,895
46APPLIED MATLS INC$9M25,398
47LAM RESEARCH CORP$9M39,958
48RTX CORPORATION$8M42,951
49GOLDMAN SACHS GROUP INC$8M9,597
50ORACLE CORP$8M54,258
All filings on EDGAR ↗

Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.