TIMVX
Nuveen Mid Cap Value Fund
TIAA-CREF 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.

Oct 31, 2025 → Jan 31, 2026

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

Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
PARSONS CORP 0 229,792 229,792 1.00% $16.10M
QNITY ELECTRONICS INC 0 165,130 165,130 0.99% $15.88M
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
AVALONBAY COMMUNITIES INC REIT 82,546 0 -82,546 0.00% -$14.36M
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
DOVER CORP 127,314 153,114 25,800 1.92% $7.75M
Fixed Income Clearing Corporation 1,503,000 7,333,000 5,830,000 0.46% $5.83M
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
L3HARRIS TECHNOLOGIES INC 138,620 119,835 -18,785 2.56% $1.01M
PERMIAN RESOURCES CORP CL A 2,266,518 2,253,969 -12,549 2.26% $7.89M
WESCO INTL 144,626 124,006 -20,620 2.23% -$1.64M
TD SYNNEX CORP 220,209 218,989 -1,220 2.16% $286.48K
HUBBELL INC 70,996 70,603 -393 2.14% $1.08M
RAYMOND JAMES FINANCIAL INC. 205,437 204,299 -1,138 2.11% $1.29M
NVENT ELECTRIC 323,329 281,999 -41,330 1.97% -$5.32M
JAZZ PHARMACEUTI 192,517 191,451 -1,066 1.96% $4.99M
ALLSTATE CORPORATION 158,360 157,484 -876 1.95% $1.01M
JEFFERIES FINANCIAL GROUP INC 513,706 510,861 -2,845 1.95% $4.12M
WILLIAMS COS INC 461,251 458,697 -2,554 1.92% $4.16M
FIRSTENERGY CORP 663,789 645,643 -18,146 1.90% $143.29K
ITT INC 182,987 164,634 -18,353 1.87% -$3.85M
FIFTH THIRD BANCORP 599,664 596,344 -3,320 1.86% $4.99M
TRAVEL+LEISURE CO 429,578 427,199 -2,379 1.85% $2.74M
CIENA CORP 138,075 117,242 -20,833 1.84% $3.30M
ALLIANT ENERGY CORPORATION 511,369 442,839 -68,530 1.82% -$4.98M
VENTAS INC REIT 372,605 370,542 -2,063 1.79% $1.29M
MKS INSTRUMENTS INC 122,884 122,203 -681 1.79% $11.11M
DIGITAL REALTY TRUST INC 172,752 171,795 -957 1.77% -$929.29K
FIDELITY NATIONAL FINL INC 519,014 516,140 -2,874 1.75% -$597.48K
ONEMAIN HOLDINGS INC 477,866 421,653 -56,213 1.72% -$649.75K
UNITED THERAPEUTICS CORP DEL 67,151 58,657 -8,494 1.71% -$2.37M
ELANCO ANIMAL HEALTH INC 1,333,319 1,134,656 -198,663 1.70% -$2.21M
EAST WEST BNCRP 234,179 232,882 -1,297 1.66% $2.86M
CRANE CO 144,662 143,861 -801 1.64% -$1.21M
EXELIXIS INC 629,332 625,847 -3,485 1.61% $1.55M
UNUM GROUP 340,763 338,876 -1,887 1.60% $725.59K
TAKE-TWO INTERACTV SOFTWR INC 123,068 115,045 -8,023 1.58% -$6.21M
MICROCHIP TECHNOLOGY 329,781 327,955 -1,826 1.55% $4.31M
M&T BANK CORP 112,028 111,408 -620 1.54% $4.09M
STAG INDUSTRIAL INC CL A 658,151 654,507 -3,644 1.53% -$636.88K
CARLISLE COS INC 67,204 66,832 -372 1.42% $937.70K
BAKER HUGHES CO 398,721 396,513 -2,208 1.38% $2.92M
WESTINGHOUSE AIR BRAKE TECH CORP 95,238 94,711 -527 1.36% $2.33M
WHIRLPOOL CORP 272,093 270,586 -1,507 1.35% $2.15M
RELIANCE STEEL and ALUMINUM CO 65,884 65,520 -364 1.34% $2.98M
WEYERHAEUSER CO 840,030 835,379 -4,651 1.34% $2.22M
Common Stock 120,571 119,904 -667 1.34% -$2.07M
DIAMONDBACK ENERGY INC 131,164 130,437 -727 1.33% $2.60M
WESTLAKE CORP 270,305 268,808 -1,497 1.33% $2.72M
AUTONATION INC 101,874 101,310 -564 1.29% $404.97K
CMS ENERGY CORP 298,520 288,404 -10,116 1.28% -$1.34M
EVERSOURCE ENERGY 318,933 293,584 -25,349 1.26% -$3.24M
HEWLETT PACKARD ENTERPRISE CO 1,187,109 936,657 -250,452 1.25% -$8.83M
ARCH CAPITAL GRP 209,177 208,018 -1,159 1.24% $1.92M
AMERICAN ELECTRIC POWER CO INC 268,932 164,087 -104,845 1.22% -$12.69M
EASTGROUP PROP 104,660 104,080 -580 1.18% $638.78K
GEN DIGITAL INC 775,052 770,761 -4,291 1.15% -$1.94M
RALPH LAUREN CORP 52,217 51,928 -289 1.14% $1.66M
REGENCY CENTERS CORP REIT 246,999 245,631 -1,368 1.11% $868.55K
CARRIER GLOBAL CORP 286,764 285,176 -1,588 1.06% -$68.80K
AMERICAN INTERNATIONAL GROUP 290,729 218,671 -72,058 1.02% -$6.58M
WYNDHAM HOTELS and RESORTS INC 216,686 215,486 -1,200 0.98% -$226.03K
DARDEN RESTAURANTS INC 77,814 77,383 -431 0.96% $1.41M
OWENS CORNING INC 125,982 125,284 -698 0.93% -$1.02M
DUPONT DE NEMOURS INC 332,101 330,262 -1,839 0.90% -$12.61M
PRIMO BRANDS CORP A 763,714 759,485 -4,229 0.90% -$2.39M
VERISIGN INC 56,967 56,652 -315 0.86% $175.43K
BIOMARIN PHARMACEUTICAL INC 238,787 237,464 -1,323 0.84% $634.39K
MCCORMICK-N/V 173,268 172,308 -960 0.66% -$463.07K
DR HORTON INC 70,419 70,029 -390 0.65% -$74.95K
State Street Navigator Securities Lending Government Money Market Portfolio 100,868,585 10,310,081 -90,558,503 0.64% -$90.56M
HUMANA INC 50,343 50,065 -278 0.61% -$4.23M
CRANE NXT CO 183,259 182,244 -1,015 0.57% -$2.38M
MARVELL TECHNOLOGY INC 158,561 87,255 -71,306 0.43% -$7.98M

No positions in this category.

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