Back to Nuveen Asset Management, LLC Nuveen Asset Management, LLC

MSFTMSFT
28 quarters

Position history for Nuveen Asset Management, LLCNuveen Asset Management, LLC's holdings in MICROSOFT CORP

Nuveen Asset Management, LLC holds 50.4M shares of MSFT (MICROSOFT CORP), worth $21.3B as of 2024-Q4. The position was decreased (-1.5% shares). MSFT represents 6.0% of Nuveen Asset Management, LLC's portfolio.

Current Value

$21.3B

Current Shares

50.4M

Total Value Change

+$21B

Total Shares Change

+47.9M

Quarter-by-Quarter History
QuarterActionSharesChangeValueWeightPriceConviction
2024-Q4
Latest
Decreased
50.4M
-1.5%
$21.3B6.0%$421.72
0
2024-Q3
Decreased
51.2M
-2.4%
$22B6.2%$424.04
0
2024-Q2
Decreased
52.5M
-0.2%
$23.5B6.9%$441.99
0
2024-Q1
Decreased
52.6M
-1.0%
$22.1B6.6%$415.31
0
2023-Q4
Decreased
53.1M
-0.2%
$20B6.4%$370.52
0
2023-Q3
Decreased
53.2M
-1.4%
$16.8B5.9%$310.48
0
2023-Q2
Decreased
54M
-1.8%
$18.4B6.4%$328.76
0
2023-Q1
Decreased
55M
-1.8%
$15.9B5.9%$278.11
0
2022-Q4
Increased
56M
+0.6%
$13.4B5.2%$234.22
62
2022-Q3
Decreased
55.7M
-2.0%
$13B5.3%$231.30
0
2022-Q2
Increased
56.8M
+1.0%
$14.6B5.6%$252.93
62
2022-Q1
Decreased
56.3M
-1.6%
$16.8B5.5%$304.31
0
2021-Q4
Increased
57.2M
+1.0%
$19.2B5.7%$328.32
62
2021-Q3
Decreased
56.6M
-2.6%
$16B4.9%$274.29
0
2021-Q2
Decreased
58.1M
-2.4%
$15.8B4.7%$261.62
0
2021-Q1
Decreased
59.5M
-2.1%
$14B4.5%$222.98
0
2020-Q4
Increased
60.8M
+8.3%
$13.5B4.6%$212.71
64
2020-Q3
Decreased
56.2M
-5.3%
$11.8B4.5%$198.35
0
2020-Q2
Decreased
59.3M
-4.5%
$12.1B4.9%$189.46
0
2020-Q1
Decreased
62.1M
-3.9%
$9.8B4.8%$152.55
0
2019-Q4
Increased
64.6M
+0.3%
$10.2B3.9%$149.63
59
2019-Q3
Decreased
64.4M
-4.4%
$9B3.6%$130.33
0
2019-Q2
Increased
67.4M
+2651.8%
$9B3.6%$126.34
94
2019-Q1
Decreased
2.4M
-2.0%
$288.7M1.5%$110.82
0
2018-Q4
Decreased
2.5M
-0.1%
$253.8M1.6%$93.93
0
2018-Q3
Decreased
2.5M
-2.3%
$286M1.5%$106.55
0
2018-Q2
Increased
2.6M
+3.0%
$252.3M1.6%$91.52
50
2018-Q1
New
2.5M
-
$226.7M1.5%$84.34
70

Other major holders of MSFT: BNP PARIBAS FINANCIAL MARKETS, VANGUARD GROUP INC, BlackRock, Inc.

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