Titelia

Holdings of NORTHWESTERN MUTUAL WEALTH MANAGEMENT CO

3171 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 48 % of the equity sleeve

Sector breakdown

  • Funds 28.3 %
  • Technology 3.1 %
  • Financials 1.1 %
  • Communication 1.0 %
  • Consumer discretionary 0.8 %
  • Industrials 0.7 %
  • Health care 0.6 %
  • Consumer staples 0.4 %
  • Energy 0.2 %
  • Utilities 0.2 %
  • Materials 0.1 %
  • Unattributed 63.3 %

Titelia classification, company by company. The unattributed share stays visible.

Currency breakdown

  • USD 100.0 %

The quoted currency of each line, as declared.

Country breakdown

  • US 99.8 %
  • TW 0.1 %
  • GB 0.0 %
  • NL 0.0 %
  • BR 0.0 %
  • KY 0.0 %
  • MX 0.0 %
  • DK 0.0 %
  • AU 0.0 %
  • DE 0.0 %
  • JP 0.0 %
  • BE 0.0 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US3,031158.3B $99.77 %
2TW4193.9M $0.12 %
3GB2368.7M $0.04 %
4NL544.6M $0.03 %
5BR1414.6M $0.01 %
6KY207.9M $0.00 %
7MX74.5M $0.00 %
8DK44.4M $0.00 %
9AU23.7M $0.00 %
10DE23.1M $0.00 %
11JP62.9M $0.00 %
12BE22.6M $0.00 %

Positions

RankCompanySharesValueWeight
1,401Goldman Sachs ActiveBeta Emerging Markets Equity ETF 6,157266K $
1,402Rexford Industrial Realty Inc 8,064263.9K $
1,403Sociedad Quimica y Minera de Chile SA 3,256263.5K $
1,404Trimble Inc 4,032263K $
1,405Molson Coors Beverage Co 6,108263K $
1,406Invesco Exchange-Traded Fund Trust 2,370259.5K $
1,407Ryder System Inc 1,267259.4K $
1,408First Trust Exchange Traded Fund VI 12,994258.8K $
1,409Pool Corp 1,275258.1K $
1,410FS Credit Opportunities Corp 50,563257.9K $
1,411Stifel Financial Corp 3,466256.2K $
1,412RELX PLC 7,691255K $
1,413Rivian Automotive Inc 16,912254.5K $
1,414Penn Entertainment Inc 16,922254.3K $
1,415Hexcel Corp 3,136253.8K $
1,416Lumen Technologies Inc 36,371252.8K $
1,417Cambria Foreign Shareholder Yi 6,747251.9K $
1,418Vanguard 0-3 Month Treasury Bi 3,311250.5K $
1,419Graco Inc 2,950249.7K $
1,420VF Corp 14,628248.5K $
1,421STMicroelectronics NV 7,172247.8K $
1,422Vanguard World Fund 3,810247.5K $
1,423State Street SPDR ICE Preferre 8,010247K $
1,424Best Buy Co Inc 3,843246.7K $
1,425Extra Space Storage Inc 1,881246.7K $
1,426Ares Capital Corp 13,675246.4K $
1,427FT Vest Laddered Buffer ETF 7,216243.7K $
1,428iShares Trust 8,409243.4K $
1,429Somnigroup International Inc 3,293243.4K $
1,430Nuveen New Jersey Quality Muni 19,754243K $
1,431Cheniere Energy Partners LP 3,744242K $
1,432INVESCO VAN KAMPEN TR INVT GRADE MUNS 24,439241.2K $
1,433iShares U.S. Broker-Dealers & Securities Exchanges ETF 1,469241.2K $
1,434RingCentral Inc 6,477240.9K $
1,435Kimco Realty Corp 10,680240K $
1,436PIMCO (US) 51,593238.9K $
1,437Lamb Weston Holdings Inc 5,612237.2K $
1,438MFS MUN INCOME TR 43,863236.4K $
1,439NNN REIT Inc 5,620236.2K $
1,440First Trust Exchange-Traded AlphaDEX Fund II 4,323236.1K $
1,441Plains All American Pipeline L 10,545235.5K $
1,442Invesco Municipal Income Opportunities Trust 37,979233.2K $
1,443iShares Trust 5,339232.9K $
1,444Federated Hermes Inc 4,088231.8K $
1,445ASE Technology Holding Co Ltd 10,693231.8K $
1,446Universal Health Services Inc 1,294231.5K $
1,447FNB Corp/PA 13,840231.4K $
1,448Voya Financial Inc 3,377230.7K $
1,449Charter Communications, Inc. 1,065229.9K $
1,450Entegris Inc 1,958229.5K $
1,451Vail Resorts Inc 1,784229K $
1,452Elanco Animal Health Inc 9,548228.5K $
1,453J P Morgan Exchange Traded Fund Trust 4,244228.2K $
1,454Veralto Corp 2,580228.1K $
1,455Invesco China Technology ETF 4,955228K $
1,456J.P. MORGAN EXCHANGE-TRADED FUND TRUST 3,068227.8K $
1,457Medpace Holdings Inc 472226.7K $
1,458Fox Corp 3,876226.4K $
1,459Timothy Plan 5,324226K $
1,460RBC Bearings Inc 416225.9K $
1,461iShares iBonds Dec 2033 Term C 8,737225.9K $
1,462United Therapeutics Corp 379224.7K $
1,463Western Asset Municipal High Income Fund Inc 32,335224.4K $
1,464German American Bancorp Inc 5,350223.6K $
1,465Regency Centers Corp 2,937222.2K $
1,466Sonoco Products Co 4,108222.2K $
1,467ClearBridge Energy Midstream O 4,193221.5K $
1,468Eaton Vance Tax Mn 15,325221K $
1,469Melco Resorts & Entertainment Ltd 38,762220.2K $
1,470New Jersey Resources Corp 3,993219.3K $
1,471Travel + Leisure Co 3,162218.8K $
1,472Tanger Inc 6,425218.3K $
1,473Blue Owl Capital Corp 19,625217.1K $
1,474Flexshares Trust 6,839216.6K $
1,475SRH Total Return Fund Inc 12,550214.6K $
1,476Lithia Motors Inc 858214.3K $
1,477iShares MSCI USA Size Factor ETF 1,344214.3K $
1,478nCino Inc 14,286214K $
1,479NewMarket Corp 333213.4K $
1,480Kontoor Brands Inc 3,026212.7K $
1,481H&R Block Inc 6,668211.6K $
1,482Equity Residential 3,565210.9K $
1,483Franklin Financial Services Corp 4,115210.2K $
1,484NIO Inc 34,842210.1K $
1,485Qorvo Inc 2,708209.6K $
1,486Dimensional Emerging Markets V 5,823208.4K $
1,487Highwoods Properties Inc 9,683207.3K $
1,488Universal Display Corp 2,256206.8K $
1,489SL Green Realty Corp 5,584206.3K $
1,490Invesco Variable Rate Investment Grade ETF 8,228206K $
1,491Annaly Capital Management Inc 9,687204.9K $
1,492Putnam Municipal Opportunities Trust 19,778203.7K $
1,493DT Midstream Inc 1,506202.8K $
1,494InvenTrust Properties Corp 6,658202.8K $
1,495FIRST TRUST EXCHANGE-TRADED ALPHADEX FUND 9,018202.5K $
1,496Coca-Cola Consolidated Inc 1,055202.3K $
1,497Estee Lauder Cos Inc/The 2,808201.5K $
1,498TG Therapeutics Inc 6,066201.5K $
1,499Brown-Forman Corp 7,585200.5K $
1,500Bentley Systems Inc 5,695200K $