Skip to main content

BXMX

Nuveen S&P 500 BuyWrite Income Fund

Company with tickers: BXMX

CIK
1298699
CUSIP
6706ER101
Shares Outstanding
104,165,286
13F Activity (30d)
4 filings 3 filers

Portfolio holdings reported by registered funds to the SEC on Form N-PORT — the individual securities a fund owns. Only mutual funds, ETFs and closed-end funds file N-PORT, so operating companies show no data.

Nuveen S&P 500 Buy-Write Income Fund

Reported 2025-12-31
Net Assets
$1,676,593,384
Total Assets
$1,700,828,860
Holdings
217
Filed
2026-02-26
Holding Balance Value % Net Assets
NVIDIA Corp 710,107 $132,434,956 7.90%
Apple Inc 438,720 $119,270,419 7.11%
Microsoft Corp 226,495 $109,537,512 6.53%
Amazon.com Inc 302,672 $69,862,751 4.17%
STATE STREET BANK AND TRUST COMPANY 56,025,000 $56,025,000 3.34%
Alphabet Inc 164,297 $51,556,399 3.08%
Broadcom Inc 142,475 $49,310,598 2.94%
Alphabet Inc 156,048 $48,843,024 2.91%
Meta Platforms Inc 69,342 $45,771,961 2.73%
Tesla Inc 84,027 $37,788,622 2.25%
JPMorgan Chase & Co 104,442 $33,653,301 2.01%
Berkshire Hathaway Inc 65,667 $33,007,518 1.97%
Eli Lilly & Co 26,277 $28,239,366 1.68%
Visa Inc 75,786 $26,578,908 1.59%
Exxon Mobil Corp 155,487 $18,711,306 1.12%
Johnson & Johnson 84,109 $17,406,358 1.04%
Procter & Gamble Co/The 117,126 $16,785,327 1.00%
Netflix Inc 166,020 $15,566,035 0.93%
RTX Corp 83,103 $15,241,090 0.91%
Caterpillar Inc 25,934 $14,856,811 0.89%
Home Depot Inc/The 43,019 $14,802,838 0.88%
AbbVie Inc 62,652 $14,315,355 0.85%
Cisco Systems Inc 184,635 $14,222,434 0.85%
Coca-Cola Co/The 201,946 $14,118,045 0.84%
Parker-Hannifin Corp 15,767 $13,858,562 0.83%
Costco Wholesale Corp 15,982 $13,781,918 0.82%
General Electric Co 44,459 $13,694,706 0.82%
Chevron Corp 87,658 $13,359,956 0.80%
Advanced Micro Devices Inc 57,170 $12,243,527 0.73%
Palantir Technologies Inc 68,388 $12,155,967 0.73%
Oracle Corp 61,296 $11,947,203 0.71%
Lam Research Corp 69,789 $11,946,481 0.71%
Thermo Fisher Scientific Inc 20,510 $11,884,520 0.71%
Micron Technology Inc 41,399 $11,815,689 0.70%
Walmart Inc 104,919 $11,689,026 0.70%
UnitedHealth Group Inc 33,860 $11,177,525 0.67%
Merck & Co Inc 103,585 $10,903,357 0.65%
Applied Materials Inc 42,222 $10,850,632 0.65%
Salesforce Inc 39,369 $10,429,242 0.62%
Mastercard Inc 18,125 $10,347,200 0.62%
Abbott Laboratories 82,248 $10,304,852 0.61%
KeyCorp 483,937 $9,988,460 0.60%
Booking Holdings Inc 1,752 $9,382,538 0.56%
Capital One Financial Corp 38,024 $9,215,497 0.55%
S&P Global Inc 17,437 $9,112,402 0.54%
QUALCOMM Inc 50,975 $8,719,274 0.52%
Travelers Cos Inc/The 29,077 $8,434,075 0.50%
Waste Management Inc 37,983 $8,345,245 0.50%
Fifth Third Bancorp 176,480 $8,261,029 0.49%
WEC Energy Group Inc 76,155 $8,031,306 0.48%
Showing 1–50 of 217 holdings