C000015171 Holdings — Nuveen Small Cap Select Fund

All 89 reported holdings of Nuveen Small Cap Select Fund (C000015171) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
State Street Bank And Trust Company1.98%$8.10M
CareTrust REIT Inc1.97%$8.06M
Herc Holdings Inc1.84%$7.53M
FirstCash Holdings Inc1.82%$7.42M
Impinj Inc1.81%$7.40M
Merit Medical Systems Inc1.74%$7.08M
UMB Financial Corp1.62%$6.62M
Banner Corp1.58%$6.45M
HealthEquity Inc1.58%$6.43M
HNI Corp1.57%$6.43M
Atlantic Union Bankshares Corp1.50%$6.13M
Patterson-UTI Energy Inc1.49%$6.07M
ESCO Technologies Inc1.48%$6.03M
Gates Industrial Corp Ltd1.47%$6.00M
Kontoor Brands Inc1.46%$5.94M
Terex Corp1.45%$5.92M
Matador Resources Co1.42%$5.79M
Novanta Inc1.41%$5.76M
SM Energy Co1.39%$5.68M
EastGroup Properties Inc1.37%$5.59M
Signet Jewelers Ltd1.36%$5.56M
Old National Bancorp/IN1.34%$5.49M
AAR Corp1.33%$5.44M
Enova International Inc1.31%$5.37M
Steven Madden Ltd1.31%$5.37M
Spire Inc1.31%$5.33M
Primo Brands Corp1.29%$5.28M
IMAX Corp1.29%$5.28M
Ziff Davis Inc1.28%$5.23M
Universal Technical Institute Inc1.27%$5.18M
Black Hills Corp1.27%$5.18M
First Merchants Corp1.25%$5.10M
Atmus Filtration Technologies Inc1.24%$5.07M
Home BancShares Inc/AR1.23%$5.04M
Magnite Inc1.23%$5.04M
JBT Marel Corp1.23%$5.04M
Braze Inc1.23%$5.02M
Piper Sandler Cos1.23%$5.02M
nLight Inc1.23%$5.01M
STAG Industrial Inc1.23%$5.01M
Q2 Holdings Inc1.22%$4.98M
RadNet Inc1.21%$4.95M
BGC Group Inc1.20%$4.90M
Ameris Bancorp1.19%$4.86M
Primoris Services Corp1.18%$4.84M
Churchill Downs Inc1.18%$4.83M
ANI Pharmaceuticals Inc1.18%$4.80M
Cleanspark Inc1.17%$4.79M
ProPetro Holding Corp1.17%$4.78M
Enpro Inc1.16%$4.72M
Brookdale Senior Living Inc1.15%$4.68M
Ichor Holdings Ltd1.14%$4.66M
Alaska Air Group Inc1.14%$4.65M
Preferred Bank/Los Angeles CA1.11%$4.51M
ArcBest Corp1.10%$4.48M
Omnicell Inc1.10%$4.48M
Glaukos Corp1.08%$4.42M
Varonis Systems Inc1.06%$4.34M
Axsome Therapeutics Inc1.06%$4.32M
Avient Corp1.04%$4.26M
JFrog Ltd1.00%$4.09M
Solaris Energy Infrastructure Inc0.95%$3.89M
Commercial Metals Co0.95%$3.88M
Granite Construction Inc0.95%$3.86M
Wintrust Financial Corp0.93%$3.80M
Marten Transport Ltd0.91%$3.72M
SI-BONE Inc0.90%$3.68M
Mirion Technologies Inc0.88%$3.60M
Primerica Inc0.85%$3.48M
Chemours Co/The0.84%$3.43M
Protagonist Therapeutics Inc0.82%$3.33M
Krystal Biotech Inc0.82%$3.33M
Cogent Biosciences Inc0.81%$3.32M
Establishment Labs Holdings Inc0.80%$3.27M
Ladder Capital Corp0.74%$3.01M
Boyd Gaming Corp0.74%$3.00M
Oruka Therapeutics Inc0.66%$2.69M
Viasat Inc0.62%$2.54M
SolarEdge Technologies Inc0.61%$2.49M
Alkermes PLC0.56%$2.27M
Arrowhead Pharmaceuticals Inc0.53%$2.18M
Cytokinetics Inc0.52%$2.13M
Denali Therapeutics Inc0.50%$2.06M
Trevi Therapeutics Inc0.50%$2.04M
Edgewise Therapeutics Inc0.41%$1.67M
Spyre Therapeutics Inc0.39%$1.60M
Definium Therapeutics Inc0.35%$1.41M
Twist Bioscience Corp0.23%$938.11K
State Str Navigator Secs L Tr0.00%$3.90K

C000015171 overview: performance, fees, allocation and SEC filings