C000015113 Holdings — Nuveen Mid Cap Growth Opportunities Fund

All 82 reported holdings of Nuveen Mid Cap Growth Opportunities Fund (C000015113) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Impinj Inc1.96%$3.19M
FirstCash Holdings Inc1.94%$3.15M
Encompass Health Corp1.82%$2.95M
Guardant Health Inc1.79%$2.91M
Agilysys Inc1.77%$2.88M
Merit Medical Systems Inc1.77%$2.88M
HealthEquity Inc1.75%$2.84M
ATI Inc1.63%$2.64M
Axsome Therapeutics Inc1.62%$2.63M
Applied Industrial Technologies Inc1.61%$2.61M
Equitable Holdings Inc1.59%$2.58M
Sterling Infrastructure Inc1.58%$2.57M
Modine Manufacturing Co1.58%$2.57M
Skyward Specialty Insurance Group Inc1.55%$2.52M
UMB Financial Corp1.55%$2.52M
JFrog Ltd1.54%$2.49M
IMAX Corp1.54%$2.49M
ESCO Technologies Inc1.53%$2.49M
RadNet Inc1.50%$2.44M
State Str Navigator Secs L Tr1.48%$2.40M
Magnite Inc1.45%$2.35M
Pinnacle Financial Partners Inc1.43%$2.31M
Dynatrace Inc1.41%$2.29M
ServiceTitan Inc1.40%$2.26M
Churchill Downs Inc1.38%$2.23M
Ralph Lauren Corp1.37%$2.23M
Boot Barn Holdings Inc1.37%$2.22M
nLight Inc1.36%$2.21M
CareTrust REIT Inc1.35%$2.19M
Novanta Inc1.33%$2.16M
Warby Parker Inc1.33%$2.15M
Onto Innovation Inc1.32%$2.14M
Dycom Industries Inc1.31%$2.13M
Enova International Inc1.31%$2.13M
Semtech Corp1.31%$2.13M
JBT Marel Corp1.29%$2.10M
Carpenter Technology Corp1.29%$2.10M
Cognex Corp1.27%$2.06M
Repligen Corp1.27%$2.06M
State Street Bank And Trust Company1.26%$2.05M
Krystal Biotech Inc1.25%$2.04M
Varonis Systems Inc1.25%$2.04M
Cava Group Inc1.25%$2.03M
Cleanspark Inc1.25%$2.03M
Permian Resources Holdings Inc/DE1.24%$2.01M
Piper Sandler Cos1.24%$2.01M
DigitalOcean Holdings Inc1.22%$1.98M
Granite Construction Inc1.20%$1.95M
Alaska Air Group Inc1.18%$1.92M
Glaukos Corp1.18%$1.92M
Ensign Group Inc/The1.17%$1.91M
FTAI Aviation Ltd1.16%$1.89M
XPO Inc1.15%$1.87M
Universal Technical Institute Inc1.11%$1.80M
Solaris Energy Infrastructure Inc1.07%$1.74M
Viavi Solutions Inc1.06%$1.72M
Evercore Inc1.03%$1.68M
Primoris Services Corp1.03%$1.68M
Allegro MicroSystems Inc1.02%$1.65M
Ascendis Pharma A/S1.02%$1.65M
SiTime Corp1.01%$1.64M
Protagonist Therapeutics Inc0.95%$1.54M
HeartFlow Inc0.95%$1.54M
StoneX Group Inc0.94%$1.52M
Karman Holdings Inc0.93%$1.51M
Mirion Technologies Inc0.92%$1.50M
Bridgebio Pharma Inc0.91%$1.47M
IRhythm Holdings Inc0.91%$1.47M
Nextpower Inc0.90%$1.47M
Arrowhead Pharmaceuticals Inc0.90%$1.46M
Kodiak Gas Services Inc0.88%$1.43M
Forgent Power Solutions Inc0.87%$1.42M
Alkermes PLC0.87%$1.41M
Ollie's Bargain Outlet Holdings Inc0.84%$1.36M
Ionis Pharmaceuticals Inc0.81%$1.32M
MACOM Technology Solutions Holdings Inc0.81%$1.31M
Cogent Biosciences Inc0.78%$1.26M
BrightSpring Health Services Inc0.75%$1.22M
Madrigal Pharmaceuticals Inc0.75%$1.22M
United States Antimony Corp0.74%$1.21M
MP Materials Corp0.74%$1.20M
Twist Bioscience Corp0.37%$605.33K

C000015113 overview: performance, fees, allocation and SEC filings