NWZMX
Nationwide Loomis All Cap Growth Fund
Nationwide Mutual Funds

Portfolio moves

Net position changes between two of this fund's N-PORT snapshots. These are differences between point-in-time reports — not a trade log — and share counts can be affected by splits and other corporate actions.

Jan 31, 2026 → Apr 30, 2026

Expand a category to see the positions behind it, ranked by weight.

Security Shares Jan 2026 Shares Apr 2026 Δ shares End % Δ value
Invesco Government & Agency Portfolio, Institutional Class 0 25,354 25,354 0.01% $25.35K
MSILF-GOVT-INS 0 16,903 16,903 0.01% $16.90K

No positions in this category.

Security Shares Jan 2026 Shares Apr 2026 Δ shares End % Δ value
NETFLIX INC 125,710 132,996 7,286 5.51% $1.95M
BOEING CO/THE 40,636 45,386 4,750 4.60% $897.31K
ORACLE CORP 50,623 57,440 6,817 4.10% $938.71K
MONSTER BEVERAGE CORP 99,775 112,274 12,499 3.83% $595.13K
VISA INC-CLASS A 22,358 25,159 2,801 3.67% $1.10M
ARM HOLDINGS LTD 29,643 33,352 3,709 3.11% $3.89M
MICROSOFT CORP 11,922 15,820 3,898 2.86% $1.32M
ALNYLAM PHARMACEUTICALS INC 16,499 18,562 2,063 2.54% $167.10K
AUTODESK INC 17,896 21,834 3,938 2.29% $649.30K
REGENERON PHARMACEUTICALS INC 6,479 7,289 810 2.28% $349.91K
SHOPIFY INC CL A 36,221 40,759 4,538 2.19% $183.86K
WALT DISNEY CO/T 39,165 44,068 4,903 2.02% $154.24K
STARBUCKS CORP 29,241 32,905 3,664 1.53% $777.17K
DEERE & CO 4,556 5,126 570 1.34% $618.11K
SEI INVESTMENTS 28,467 32,034 3,567 1.29% $404.02K
SALESFORCE INC 12,272 15,772 3,500 1.23% $179.01K
QUALCOMM INC 13,341 15,012 1,671 1.19% $673.49K
OPTION 52,797 59,908 7,111 1.12% -$608.41K
MSCI INC 3,780 4,255 475 1.11% $213.60K
VEEVA SYSTEMS-A 14,226 16,008 1,782 1.11% -$404.20K
EXPEDITORS INTL OF WASH INC 14,448 16,258 1,810 1.06% $84.91K
INTUITIVE SURGICAL INC 4,302 4,841 539 0.98% $46.14K
WORKDAY INC CL A 11,541 17,159 5,618 0.93% $73.32K
Roche Holding AG 34,987 39,368 4,381 0.89% $17.53K
Novartis AG 11,575 13,026 1,451 0.85% $204.92K
DOXIMITY INC-A 69,727 78,459 8,732 0.85% -$695.13K
YUM! BRANDS INC 9,704 10,919 1,215 0.77% $234.25K
BLOCK INC CL A 21,959 24,707 2,748 0.77% $415.11K
YUM CHINA HOLDINGS INC - XHKG LISTING 28,095 31,614 3,519 0.68% $143.24K
FACTSET RESEARCH SYSTEMS INC 4,558 5,128 570 0.52% $7.66K
PAYPAL HOLDINGS 20,483 22,129 1,646 0.49% $30.30K
CRISPR THERAPEUTICS AG 18,633 20,968 2,335 0.49% $166.56K
BOSTON BEER COMPANY CL A 4,052 4,560 508 0.48% $215.31K
NIKE INC CL B 18,258 20,652 2,394 0.41% -$212.40K
MOBILEYE GLOBAL INC A 88,837 99,971 11,134 0.38% $70.99K
Security Shares Jan 2026 Shares Apr 2026 Δ shares End % Δ value
NVIDIA CORP 128,233 127,572 -661 11.27% $950.37K
ALPHABET INC CL A 50,970 50,035 -935 8.52% $2.03M
TESLA INC 38,256 38,059 -197 6.43% -$1.94M
AMAZON.COM INC 53,849 53,571 -278 6.29% $1.31M
META PLATFORMS INC CL A 23,257 23,137 -120 6.27% -$2.51M
Treasury Repurchase Agreement 8,488,948 2,485,090 -6,003,857 1.10% -$6.00M
ILLUMINA INC 12,367 8,884 -3,483 0.50% -$664.91K
ALIBABA GROUP HOLDING LTD SPON ADR 3,942 2,098 -1,844 0.12% -$391.72K

No positions in this category.

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