TRSCX
Nuveen Large Cap Responsible Equity Fund
TIAA-CREF Funds

Portfolio concentration

As of January 31, 2026 · N-PORT
Holdings
131
Top-10 weight
30.10%
Effective holdings ?
49
Crowding ?
1533.2

Holdings

As of January 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 NVIDIA CORP 2,979,226 $569.42M 8.91%
2 MICROSOFT CORP 935,118 $402.37M 6.30%
3 BROADCOM INC 475,947 $157.68M 2.47%
4 LILLY ELI and CO 151,452 $157.08M 2.46%
5 JPMORGAN CHASE and CO 467,651 $143.05M 2.24%
6 CME E-Mini Standard & Poor's 500 Index Future ESH6 318 $110.76M 1.73%
7 VISA INC-CLASS A 337,162 $108.51M 1.70%
8 LAM RESEARCH CORP 450,544 $105.18M 1.65%
9 CATERPILLAR INC 159,472 $104.83M 1.64%
10 MASTERCARD INC CL A 179,381 $96.65M 1.51%
11 Fixed Income Clearing Corporation 95,058,000 $95.06M 1.49%
12 GOLDMAN SACHS GROUP INC 97,171 $90.89M 1.42%
13 APPLIED MATERIALS INC 279,255 $90.01M 1.41%
14 CISCO SYSTEMS INC 1,129,568 $88.47M 1.38%
15 INTL BUS MACH CORP 282,972 $86.79M 1.36%
16 HOME DEPOT INC 230,819 $86.46M 1.35%
17 PROCTER & GAMBLE 554,860 $84.21M 1.32%
18 MORGAN STANLEY 447,969 $81.89M 1.28%
19 CITIGROUP INC 697,542 $80.71M 1.26%
20 NETFLIX INC 885,809 $73.96M 1.16%
21 AMERICAN EXPRESS CO 207,311 $73.01M 1.14%
22 TJX COS INC 475,368 $71.21M 1.11%
23 PEPSICO INC 452,857 $69.57M 1.09%
24 ADV MICRO DEVICE 292,847 $69.33M 1.09%
25 WELLTOWER INC 359,478 $67.71M 1.06%
26 DANAHER CORP 305,755 $66.93M 1.05%
27 ARISTA NETWORKS INC 467,707 $66.29M 1.04%
28 S&P GLOBAL INC 124,786 $65.86M 1.03%
29 ACCENTURE PLC-A 249,706 $65.83M 1.03%
30 NEWMONT CORP 570,370 $64.08M 1.00%
31 AMGEN INC 185,622 $63.46M 0.99%
32 MCDONALDS CORP 200,985 $63.31M 0.99%
33 QUANTA SVCS INC 133,383 $63.31M 0.99%
34 BAKER HUGHES CO 1,102,097 $61.76M 0.97%
35 THE BOOKING HOLDINGS INC 12,338 $61.71M 0.97%
36 COCA-COLA CO/THE 812,817 $60.81M 0.95%
37 EATON CORP PLC 171,788 $60.37M 0.94%
38 PROLOGIS INC REIT 458,822 $59.90M 0.94%
39 SALESFORCE INC 277,667 $58.95M 0.92%
40 MOODYS CORP 112,924 $58.22M 0.91%
41 ECOLAB INC 205,356 $57.91M 0.91%
42 TEXAS INSTRUMENTS INC 262,303 $56.54M 0.88%
43 GE VERNOVA LLC 77,346 $56.18M 0.88%
44 VERTEX PHARMACEUTICALS INC 118,209 $55.55M 0.87%
45 HCA HEALTHCARE INC 111,659 $54.52M 0.85%
46 ILLINOIS TOOL WORKS INC 203,737 $53.23M 0.83%
47 WESTERN DIGITAL CORP 211,996 $53.05M 0.83%
48 TRAVELERS COS IN 182,490 $51.92M 0.81%
49 DEERE & CO 96,935 $51.18M 0.80%
50 EQUINIX INC 62,005 $50.90M 0.80%
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