NMIMC

Northwestern Mutual Investment Management Company Portfolio holdings

AUM $6.5B
1-Year Return 15.21%
This Quarter Return
+0.95%
1 Year Return
+15.21%
3 Year Return
+65.86%
5 Year Return
+101.5%
10 Year Return
+189.48%
AUM
$4.91B
AUM Growth
Cap. Flow
+$4.91B
Cap. Flow %
99.89%
Top 10 Hldgs %
37.17%
Holding
878
New
876
Increased
Reduced
Closed

Top Sells

No sells this quarter

Sector Composition

1 Energy 13.15%
2 Financials 7.92%
3 Industrials 6.85%
4 Communication Services 5.86%
5 Healthcare 5.73%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
FRT icon
501
Federal Realty Investment Trust
FRT
$8.86B
$727K 0.01%
+4,940
New +$727K
GRA
502
DELISTED
W.R. Grace & Co.
GRA
$720K 0.01%
+7,280
New +$720K
FCX icon
503
Freeport-McMoran
FCX
$66.5B
$718K 0.01%
+37,899
New +$718K
BKD icon
504
Brookdale Senior Living
BKD
$1.83B
$717K 0.01%
+19,000
New +$717K
LUMN icon
505
Lumen
LUMN
$4.87B
$715K 0.01%
+20,686
New +$715K
THC icon
506
Tenet Healthcare
THC
$17.3B
$713K 0.01%
+14,397
New +$713K
CSGP icon
507
CoStar Group
CSGP
$37.9B
$708K 0.01%
+35,800
New +$708K
ALNY icon
508
Alnylam Pharmaceuticals
ALNY
$59.2B
$706K 0.01%
+6,760
New +$706K
CAR icon
509
Avis
CAR
$5.5B
$689K 0.01%
+11,670
New +$689K
PCL
510
DELISTED
PLUM CREEK TIMBER CO (REIT)
PCL
$689K 0.01%
+15,862
New +$689K
DRC
511
DELISTED
DRESSER-RAND GROUP INC
DRC
$681K 0.01%
+8,470
New +$681K
EL icon
512
Estee Lauder
EL
$32.1B
$677K 0.01%
+8,136
New +$677K
GGP
513
DELISTED
GGP Inc.
GGP
$677K 0.01%
+22,897
New +$677K
KSS icon
514
Kohl's
KSS
$1.86B
$675K 0.01%
+8,632
New +$675K
RAX
515
DELISTED
Rackspace Hosting Inc
RAX
$670K 0.01%
+12,980
New +$670K
SBNY
516
DELISTED
Signature Bank
SBNY
$669K 0.01%
+5,160
New +$669K
LVNTA
517
DELISTED
Liberty Interactive Corporation Series A Liberty Ventures
LVNTA
$667K 0.01%
+15,880
New +$667K
AN icon
518
AutoNation
AN
$8.55B
$666K 0.01%
+10,359
New +$666K
JKHY icon
519
Jack Henry & Associates
JKHY
$11.8B
$654K 0.01%
+9,360
New +$654K
HAIN icon
520
Hain Celestial
HAIN
$164M
$651K 0.01%
+10,160
New +$651K
MIDD icon
521
Middleby
MIDD
$7.32B
$651K 0.01%
+6,340
New +$651K
ED icon
522
Consolidated Edison
ED
$35.4B
$651K 0.01%
+10,674
New +$651K
SPR icon
523
Spirit AeroSystems
SPR
$4.8B
$648K 0.01%
+12,420
New +$648K
UHS icon
524
Universal Health Services
UHS
$12.1B
$645K 0.01%
+5,483
New +$645K
HII icon
525
Huntington Ingalls Industries
HII
$10.6B
$643K 0.01%
+4,590
New +$643K