JQC · Nuveen Credit Strategies Income Fund
$4.75
-0.03 (-0.63%)
At close · Jul 17
Market Cap
$702.13M
Shares
147.82M
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 Credit Strategies Income Fund
Reported 2026-04-30Net Assets
$799,806,575
Total Assets
$1,210,093,405
Holdings
501
Filed
2026-06-24
| Holding | CUSIP | Balance | Units | Value | % Net Assets | Category | Country |
|---|---|---|---|---|---|---|---|
| BlackRock Liquidity Funds T-Fund | 09248U718 | 86,416,825 | NS | $86,416,825 | 10.80% | EC | US |
| HOPPER MERGER SUB INC | BL5276755 | 18,696,000 | PA | $18,614,298 | 2.33% | LON | US |
| PAREXEL International Corp | 71911KAF1 | 16,727,734 | PA | $16,748,643 | 2.09% | LON | US |
| Broadstreet Partners Group LLC | 11132VAY5 | 14,335,707 | PA | $14,262,093 | 1.78% | LON | US |
| Surgery Center Holdings Inc | 86880NBD4 | 12,814,194 | PA | $12,863,209 | 1.61% | LON | US |
| Global Medical Response Inc | 00169QAH2 | 12,738,037 | PA | $12,801,091 | 1.60% | LON | US |
| Phoenix Guarantor Inc | 71913BAK8 | 10,552,200 | PA | $10,600,107 | 1.33% | LON | US |
| Zayo Group Holdings Inc | 98919XAH4 | 10,607,018 | PA | $10,596,623 | 1.32% | LON | US |
| Zayo Group Holdings Inc | 98919VAC9 | 10,585,303 | PA | $10,590,596 | 1.32% | DBT | US |
| Fertitta Entertainment LLC/NV | 31556PAB3 | 10,473,404 | PA | $10,401,399 | 1.30% | LON | US |
| IRB Holding Corp | 44988LAM9 | 10,170,136 | PA | $10,208,274 | 1.28% | LON | US |
| Alliant Holdings Intermediate LLC | 01881UAN5 | 10,121,280 | PA | $10,116,523 | 1.26% | LON | US |
| UKG Inc | 89841EAB1 | 10,281,414 | PA | $9,938,323 | 1.24% | LON | US |
| FLUTTER FINANCING BV | BL4862100 | 9,775,000 | PA | $9,762,781 | 1.22% | LON | IE |
| Quikrete Holdings Inc | BL4995835 | 9,384,387 | PA | $9,401,091 | 1.18% | LON | US |
| Connect Holding II LLC | 20752KAP8 | 9,699,483 | PA | $9,269,117 | 1.16% | LON | US |
| Garda World Security Corp | — | 9,067,409 | PA | $9,073,076 | 1.13% | LON | CA |
| 1011778 BC ULC | C6901LAM9 | 8,961,550 | PA | $8,981,131 | 1.12% | LON | CA |
| TK Elevator US Newco Inc | BL5017431 | 8,694,906 | PA | $8,778,855 | 1.10% | LON | US |
| WIN WASTE INNOVATIONS HO | 38723BAJ0 | 8,593,370 | PA | $8,625,595 | 1.08% | LON | US |
| PERATON CORP | 71360HAB3 | 9,930,546 | PA | $8,513,705 | 1.06% | LON | US |
| TransDigm Inc | 89364MCA0 | 8,488,221 | PA | $8,510,461 | 1.06% | LON | US |
| Boxer Parent Co Inc | 05988HAQ0 | 9,077,992 | PA | $8,429,279 | 1.05% | LON | US |
| Acrisure LLC | 00488PAV7 | 8,503,415 | PA | $8,390,745 | 1.05% | LON | US |
| HAYWARD INDUSTRIES INC | 421300AL8 | 8,290,999 | PA | $8,339,584 | 1.04% | LON | US |
| Jazz Financing Lux Sarl | — | 8,189,238 | PA | $8,236,449 | 1.03% | LON | LU |
| 1261229 BC Ltd | — | 8,432,149 | PA | $8,227,669 | 1.03% | LON | CA |
| AI Aqua Merger Sub Inc | 00132UAQ7 | 8,178,591 | PA | $8,208,565 | 1.03% | LON | US |
| Allied Universal Holdco LLC | 01957TAX5 | 7,999,713 | PA | $8,031,792 | 1.00% | LON | US |
| Numericable US LLC | — | 7,786,123 | PA | $7,946,088 | 0.99% | LON | US |
| Core & Main LP | 40416VAG0 | 7,566,163 | PA | $7,596,087 | 0.95% | LON | US |
| Talen Energy Supply LLC | 87422LAV2 | 7,471,566 | PA | $7,506,160 | 0.94% | LON | US |
| Dayforce Bidco LLC | 23923YAB7 | 7,835,000 | PA | $7,410,931 | 0.93% | LON | US |
| HUB International Ltd | 44332EAZ9 | 7,305,103 | PA | $7,331,219 | 0.92% | LON | US |
| Epicor Software Corp | 29426NAZ7 | 6,973,096 | PA | $6,890,325 | 0.86% | LON | US |
| BALL CORP | 058498AZ9 | 6,425,000 | PA | $6,536,435 | 0.82% | DBT | US |
| Numericable US LLC | — | 6,414,795 | PA | $6,461,912 | 0.81% | LON | US |
| Talen Energy Supply LLC | 87422LAY6 | 6,413,813 | PA | $6,445,304 | 0.81% | LON | US |
| Open Text Corp | 68371YAP8 | 6,598,865 | PA | $6,439,800 | 0.81% | LON | CA |
| USI Inc/NY | 90351NAR6 | 6,321,778 | PA | $6,336,444 | 0.79% | LON | US |
| 1011778 BC / NEW RED FIN | 68245XAM1 | 6,617,000 | PA | $6,295,138 | 0.79% | DBT | CA |
| PG&E CORP | 69331CAH1 | 6,318,000 | PA | $6,287,080 | 0.79% | DBT | US |
| Team Health Holdings Inc | 87817AAB3 | 5,970,101 | PA | $6,276,069 | 0.78% | DBT | US |
| Team Health Holdings Inc | 87817JAJ7 | 6,254,076 | PA | $6,271,181 | 0.78% | LON | US |
| Chariot Buyer LLC | 15963CAE6 | 6,263,852 | PA | $6,264,760 | 0.78% | LON | US |
| Clydesdale Acquisition Holdings Inc | 18972FAE2 | 6,725,343 | PA | $6,257,797 | 0.78% | LON | US |
| HUB INTERNATIONAL LTD | 44332PAH4 | 6,000,000 | PA | $6,206,826 | 0.78% | DBT | US |
| CRC Insurance Group LLC | 89788VAG7 | 6,183,669 | PA | $6,152,751 | 0.77% | LON | US |
| TransDigm Inc | 89364MCE2 | 6,061,864 | PA | $6,079,050 | 0.76% | LON | US |
| Nouryon Finance BV | — | 5,960,165 | PA | $5,934,089 | 0.74% | LON | NL |
Showing 1–50 of 501 holdings