Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q2
$28.7M Sell
124,649
-6,456
-5% -$1.48M 0.01% 1033
2026
Q1
$28.4M Buy
131,105
+21,001
+19% +$4.9M 0.01% 935
2025
Q4
$32M Buy
110,104
+10,908
+11% +$3.06M 0.01% 865
2025
Q3
$28.4M Sell
99,196
-19,737
-17% -$7.54M 0.01% 924
2025
Q2
$53.2M Sell
118,933
-167
-0.1% -$73.2K 0.01% 589
2025
Q1
$54.1M Sell
119,100
-6,390
-5% -$2.91M 0.02% 596
2024
Q4
$60.3M Sell
125,490
-5,020
-4% -$2.38M 0.02% 570
2024
Q3
$60M Buy
130,510
+4,917
+4% +$2.09M 0.02% 569
2024
Q2
$51.3M Sell
125,593
-36,573
-23% -$15.5M 0.02% 613
2024
Q1
$73.7M Buy
162,166
+1,551
+1% +$723K 0.02% 504
2023
Q4
$76.6M Buy
160,615
+9,361
+6% +$4.21M 0.02% 468
2023
Q3
$66.1M Sell
151,254
-27,627
-15% -$11.8M 0.02% 476
2023
Q2
$71.7M Buy
178,881
+929
+0.5% +$375K 0.02% 465
2023
Q1
$73.9M Sell
177,952
-3,809
-2% -$1.59M 0.03% 437
2022
Q4
$72.9M Buy
181,761
+3,275
+2% +$1.39M 0.03% 428
2022
Q3
$71.4M Sell
178,486
-3,770
-2% -$1.6M 0.03% 425
2022
Q2
$70.1M Buy
182,256
+2,748
+2% +$1.08M 0.03% 438
2022
Q1
$78.5M Buy
179,508
+2,032
+1% +$857K 0.03% 476
2021
Q4
$86.3M Buy
177,476
+240
+0.1% +$108K 0.03% 469
2021
Q3
$70M Sell
177,236
-39,821
-18% -$14.5M 0.02% 551
2021
Q2
$72.8M Buy
217,057
+35,620
+20% +$11.7M 0.02% 590
2021
Q1
$56M Sell
181,437
-8,262
-4% -$2.61M 0.02% 671
2020
Q4
$63.1M Buy
189,699
+49,983
+36% +$16.5M 0.02% 585
2020
Q3
$46.8M Buy
139,716
+1,208
+0.9% +$418K 0.02% 598
2020
Q2
$45.5M Buy
138,508
+4,030
+3% +$1.16M 0.02% 582
2020
Q1
$35.1M Sell
134,478
-3,162
-2% -$860K 0.02% 623
2019
Q4
$36.9M Buy
137,640
+4,803
+4% +$1.23M 0.01% 834
2019
Q3
$32.3M Sell
132,837
-2,847
-2% -$790K 0.01% 881
2019
Q2
$38.9M Buy
+135,684
New +$37.5M 0.02% 812
2017
Q2
Sell
-11,768
Closed -$1.94M 1159
2017
Q1
$1.94M Sell
11,768
-3,816
-24% -$667K 0.01% 711
2016
Q4
$2.55M Sell
15,584
-220
-1% -$35.1K 0.01% 810
2016
Q3
$2.56M Hold
15,804
0.02% 690
2016
Q2
$2.55M Hold
15,804
0.02% 664
2016
Q1
$2.4M Hold
15,804
0.01% 681
2015
Q4
$2.57M Hold
15,804
0.01% 670
2015
Q3
$2.53M Hold
15,804
0.01% 678
2015
Q2
$2.57M Sell
15,804
-4,510
-22% -$733K 0.01% 721
2015
Q1
$3.23M Hold
20,314
0.02% 649
2014
Q4
$2.86M Buy
20,314
+4,510
+29% +$599K 0.02% 711
2014
Q3
$1.92M Hold
15,804
0.01% 830
2014
Q2
$1.9M Hold
15,804
0.01% 839
2014
Q1
$1.7M Hold
15,804
0.01% 874
2013
Q4
$1.72M Hold
15,804
0.01% 838
2013
Q3
$1.72M Buy
15,804
+825
+6% +$89.1K 0.01% 874
2013
Q2
$1.53M Buy
+14,979
New +$1.44M 0.01% 859

Other funds holding FDS

Nuveen's FDS Position: Q2 2026 in Review

Nuveen reduced its Factset (FDS) stake by 4.9% in Q2 2026, selling an estimated $1.48M and leaving 124,649 shares worth $28.7M. The position accounts for 0.01% of the portfolio, ranked #1033.

Nuveen first reported a position in FDS in Q2 2013 and has held it in 45 quarters since. The position peaked at $86.3M in Q4 2021. 766 funds tracked by Wall St. Rank hold FDS as of Q2 2026.

  • Nuveen held 124,649 shares of Factset worth $28.7M as of Q2 2026.
  • Nuveen sold 6,456 Factset shares in Q2 2026, an estimated $1.48M.
  • Factset made up 0.01% of Nuveen's portfolio in Q2 2026, its #1033 holding.
  • Nuveen first reported a position in Factset in Q2 2013 and has held it in 45 quarters since.
  • Nuveen's Factset position peaked at $86.3M in Q4 2021.
  • 766 funds tracked by Wall St. Rank held Factset as of Q2 2026.

Based on Nuveen's 13F filing for Q2 2026, filed 11 Aug 2026.