Northwestern Mutual Wealth Management

Northwestern Mutual Wealth Management Portfolio holdings

AUM $137B
1-Year Return 11.46%
This Quarter Return
+2.07%
1 Year Return
+11.46%
3 Year Return
+42.1%
5 Year Return
+64.04%
10 Year Return
+120.42%
AUM
$6.98B
AUM Growth
+$803M
Cap. Flow
+$685M
Cap. Flow %
9.82%
Top 10 Hldgs %
45.33%
Holding
2,453
New
267
Increased
893
Reduced
569
Closed
344

Sector Composition

1 Healthcare 3.11%
2 Technology 2.76%
3 Financials 2.42%
4 Consumer Discretionary 2.4%
5 Industrials 2.37%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
MYI icon
476
BlackRock MuniYield Quality Fund III
MYI
$728M
$352K 0.01%
22,502
+4,687
+26% +$73.3K
STE icon
477
Steris
STE
$24B
$352K 0.01%
5,116
FTR
478
DELISTED
Frontier Communications Corp.
FTR
$352K 0.01%
4,750
+1,927
+68% +$143K
CMF icon
479
iShares California Muni Bond ETF
CMF
$3.38B
$351K 0.01%
5,752
AAL icon
480
American Airlines Group
AAL
$8.46B
$345K ﹤0.01%
12,179
+11,406
+1,476% +$323K
HPE icon
481
Hewlett Packard
HPE
$32.2B
$340K ﹤0.01%
32,080
-4,064
-11% -$43.1K
WR
482
DELISTED
Westar Energy Inc
WR
$338K ﹤0.01%
6,030
+4,611
+325% +$258K
PII icon
483
Polaris
PII
$3.29B
$335K ﹤0.01%
4,106
+831
+25% +$67.8K
PNW icon
484
Pinnacle West Capital
PNW
$10.5B
$335K ﹤0.01%
4,135
-53
-1% -$4.29K
ETP
485
DELISTED
Energy Transfer Partners, L.P.
ETP
$334K ﹤0.01%
11,622
+10,000
+617% +$287K
CLC
486
DELISTED
Clarcor
CLC
$333K ﹤0.01%
5,463
-2,447
-31% -$149K
TYC
487
DELISTED
TYCO INTL PLC COM SHS (IRL)
TYC
$333K ﹤0.01%
7,475
-93
-1% -$4.14K
SNI
488
DELISTED
Scripps Networks Interactive, Inc Common Class A
SNI
$332K ﹤0.01%
5,336
+916
+21% +$57K
PBCT
489
DELISTED
People's United Financial Inc
PBCT
$329K ﹤0.01%
22,500
+84
+0.4% +$1.23K
DXJ icon
490
WisdomTree Japan Hedged Equity Fund
DXJ
$3.81B
$325K ﹤0.01%
8,393
-8,841
-51% -$342K
BSX icon
491
Boston Scientific
BSX
$156B
$323K ﹤0.01%
13,799
+6,173
+81% +$144K
EWU icon
492
iShares MSCI United Kingdom ETF
EWU
$2.92B
$323K ﹤0.01%
10,539
-3,661
-26% -$112K
TSN icon
493
Tyson Foods
TSN
$19.7B
$323K ﹤0.01%
4,837
-216
-4% -$14.4K
ETP
494
DELISTED
Energy Transfer Partners L.p.
ETP
$320K ﹤0.01%
8,388
+1,130
+16% +$43.1K
FIS icon
495
Fidelity National Information Services
FIS
$34.7B
$318K ﹤0.01%
4,305
-6
-0.1% -$443
VYM icon
496
Vanguard High Dividend Yield ETF
VYM
$64.7B
$318K ﹤0.01%
4,446
+1,210
+37% +$86.5K
ADI icon
497
Analog Devices
ADI
$122B
$316K ﹤0.01%
5,579
-163
-3% -$9.23K
AFB
498
AllianceBernstein National Municipal Income Fund
AFB
$308M
$314K ﹤0.01%
20,798
-862
-4% -$13K
RGC
499
DELISTED
Regal Entertainment Group
RGC
$311K ﹤0.01%
14,084
+6,115
+77% +$135K
HBI icon
500
Hanesbrands
HBI
$2.21B
$308K ﹤0.01%
12,241
+7,163
+141% +$180K