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
2,601Evolution Petroleum Corp 1,0094.6K $
2,602Quaker Chemical Corp 374.6K $
2,603TCW Durable Growth ETF 1674.6K $
2,604COPT Defense Properties 1504.6K $
2,605Silicon Laboratories Inc 224.6K $
2,606XPLR Infrastructure LP 4314.6K $
2,607PGIM ETF Trust 1314.5K $
2,608Nuveen Core Equity 3064.5K $
2,609Impinj Inc 444.5K $
2,610Edgewell Personal Care Co 2114.5K $
2,611Invitation Homes Inc 1804.5K $
2,612Astronics Corp 674.5K $
2,613Cracker Barrel Old Country Store Inc 1584.4K $
2,614Walker & Dunlop Inc 1004.4K $
2,615Flowers Foods Inc 5444.4K $
2,616Wipro Ltd 2,0794.4K $
2,617Beazer Homes USA Inc 2294.4K $
2,618RXO Inc 3004.4K $
2,619PDF Solutions Inc 1344.4K $
2,620PIMCO FUNDS 1354.4K $
2,621Blackrock Core Bond Trust 4754.4K $
2,622Petroleo Brasileiro SA - Petrobras 2304.3K $
2,623Hut 8 Corp 924.3K $
2,624J.P. MORGAN EXCHANGE-TRADED FUND TRUST 934.3K $
2,625Merchants Bancorp/IN 1004.3K $
2,626Ormat Technologies Inc 384.3K $
2,627Westrock Coffee Co 1,0004.3K $
2,628Frontdoor Inc 804.2K $
2,629Direxion Shares ETF Trust 1264.1K $
2,630IN8BIO INC 2,7854.1K $
2,631Circle Internet Group Inc 434.1K $
2,632Kaiser Aluminum Corp 344.1K $
2,633Virtus Investment Partners Inc 304K $
2,634Putnam Premier Income Trust 1,1294K $
2,635Franklin Universal Trust 5004K $
2,636AXT Inc 704K $
2,637Dana Inc 1184K $
2,638MiMedx Group Inc 1,0004K $
2,639Vanguard Core Bond ETF 513.9K $
2,640United States Oil Fund LP 313.9K $
2,641abrdn Emerging Markets ex China Fund Inc. 5403.9K $
2,642New Oriental Education & Technology Group Inc 693.9K $
2,643ZTO Express Cayman Inc 1553.9K $
2,644Klaviyo Inc 1993.9K $
2,645ChipMOS Technologies Inc 1083.9K $
2,646ZAI LAB LTD 2023.8K $
2,647Warby Parker Inc 1803.8K $
2,648Highland Global Allocation Fund 4653.7K $
2,649American Superconductor Corp 1103.7K $
2,650Selectquote Inc 5,9153.7K $
2,651CNO Financial Group Inc 903.7K $
2,652Modular Medical Inc 7003.7K $
2,653Trump Media & Technology Group Corp 3983.7K $
2,654Community Health Systems Inc 1,2503.7K $
2,655Esquire Financial Holdings Inc 343.7K $
2,656Axos Financial Inc 433.7K $
2,657ESCO Technologies Inc 133.7K $
2,658One Liberty Properties Inc 1693.6K $
2,659Biglari Holdings Inc 113.6K $
2,660Helios Technologies Inc 563.6K $
2,661Garrett Motion Inc 1993.6K $
2,662Fulcrum Therapeutics Inc 4723.6K $
2,663Ark Restaurants Corp 5503.6K $
2,664Shenandoah Telecommunications Co 2333.6K $
2,665VANECK ETF TRUST 1673.6K $
2,666Franklin BSP Realty Trust Inc 4223.6K $
2,667Phinia Inc 523.6K $
2,668BlackRock Capital Allocation T 2503.5K $
2,669Globalstar Inc 533.5K $
2,670Sagimet Biosciences Inc 6703.5K $
2,671Qfin Holdings Inc 2693.5K $
2,672Virtus Total Return Fund Inc 5193.4K $
2,673News Corp 1203.4K $
2,674Science Applications International Corp 363.4K $
2,675Endava PLC 7653.4K $
2,676TIC Solutions Inc 5133.4K $
2,677Krystal Biotech Inc 133.4K $
2,678Vital Farms Inc 2373.3K $
2,679Pebblebrook Hotel Trust 2643.3K $
2,680Global X Millennial Consumer ETF 823.3K $
2,681Hilton Grand Vacations Inc 853.3K $
2,682Lemonade Inc 533.3K $
2,683PBF Energy Inc 703.3K $
2,684Voya Emerging Markets High Dividend Equity Fund 4963.3K $
2,685Creative Media & Community Trust Corp 5,3663.3K $
2,686Photronics Inc 813.3K $
2,687indie Semiconductor Inc 1,0133.3K $
2,688Kymera Therapeutics Inc 393.2K $
2,689Albany International Corp 623.2K $
2,690Strategic Education Inc 393.2K $
2,691Rogers Corp 303.2K $
2,692Korn Ferry 513.2K $
2,693Loar Holdings Inc 553.2K $
2,694Bicara Therapeutics Inc 1573.1K $
2,695Invesco Russell 2000 Dynamic Multifactor ETF 693.1K $
2,696Koppers Holdings Inc 803.1K $
2,697Morgan Stan India 1503.1K $
2,698BGC Group Inc 3153.1K $
2,699ANI Pharmaceuticals Inc 403.1K $
2,700Terex Corp 523.1K $