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Nuveen Credit Strategies Income Fund (JQC) is an CEF managed by Nuveen. Its largest position is BLACKROCK LIQUIDITY FUNDS T-FU (TSTXX), representing 10.80% of fund assets.

Nuveen Credit Strategies Income Fund Portfolio Holdings

Source: SEC Form N-PORT institutional portfolio disclosures

Ticker:
JQC
Type:
CEF
Manager:
Nuveen
Total Assets:
—
Report Date:
Apr 30, 2026
Filing Date:
Jun 24, 2026
Showing 50 out of 409 holdings
Holding Weight Market Value Shares
-
BLACKROCK LIQUIDITY FUNDS T-FU
10.80% $86,416,824.50 86,416,825
-
HOPPER MERGER SUB INC
2.33% $18,614,298.48 18,696,000
-
PAREXEL INTERNATIONAL CORPORATION
2.09% $16,748,643.49 16,727,734
-
BROADSTREET PARTNERS INC
1.78% $14,262,092.81 14,335,707
-
SURGERY CENTER HOLDINGS INC
1.61% $12,863,208.68 12,814,194
-
GLOBAL MEDICAL RESPONSE INC
1.60% $12,801,090.64 12,738,037
-
PHOENIX GUARANTO 02/21/31
1.33% $10,600,107.46 10,552,200
-
ZAYO GROUP HOL 03/11/2030
1.32% $10,596,623.12 10,607,018
-
FERTITTA ENTERTAINMENT LLC
1.30% $10,401,398.91 10,473,404
-
IRB HOLDING CORP.
1.28% $10,208,273.99 10,170,136
-
ALLIANT HOLDINGS INTERMEDIATE, LLC
1.26% $10,116,523.47 10,121,280
-
UKG INC
1.24% $9,938,323.27 10,281,414
-
FLUTTER FINANCING BV
1.22% $9,762,781.25 9,775,000
-
QUIKRETE HOLDINGS, INC.
1.18% $9,401,091.15 9,384,387
-
CONNECT HOLDING II LLC
1.16% $9,269,116.71 9,699,483
-
APPLIED MATERIALS INC /DE
1.13% $9,073,076.46 9,067,409
-
NEW RED FINANCE, INC.
1.12% $8,981,131.33 8,961,550
-
TK ELEVATOR US NEWCO INC
1.10% $8,778,855.30 8,694,906
-
WIN WASTE INNOVATIONS HO
1.08% $8,625,595.18 8,593,370
-
PERATON CORP
1.06% $8,513,704.99 9,930,546
-
TRANSDIGM INC
1.06% $8,510,460.58 8,488,221
-
BOXER PARENT COMPANY INC
1.05% $8,429,278.88 9,077,992
-
ACRISURE HOLDINGS, INC.
1.05% $8,390,744.93 8,503,415
-
HAYWARD INDUSTRIES INC
1.04% $8,339,583.95 8,290,999
-
APPLIED MATERIALS INC /DE
1.03% $8,236,449.07 8,189,238
-
APPLIED MATERIALS INC /DE
1.03% $8,227,669.19 8,432,149
-
AI AQUA MERGER 07/21/2028
1.03% $8,208,565.20 8,178,591
-
UNIVERSAL SERVICES 8/25 (USD) COV-LITE
1.00% $8,031,791.57 7,999,713
-
ALTICE FRANCE
0.99% $7,946,088.41 7,786,123
-
Core & Main, Inc.
0.95% $7,596,086.89 7,566,163
-
TALEN ENERGY SUPPLY LLC
0.94% $7,506,159.83 7,471,566
-
DAYFORCE INC
0.93% $7,410,930.63 7,835,000
-
HUB INTERNATIONAL LIMITED
0.92% $7,331,218.90 7,305,103
-
EPICOR SOFTWARE CORPORATION
0.86% $6,890,325.28 6,973,096
-
ALTICE FRANCE
0.81% $6,461,911.77 6,414,795
-
TALEN ENERGY SUPPLY LLC
0.81% $6,445,304.32 6,413,813
-
OPEN TEXT CORP
0.81% $6,439,799.53 6,598,865
-
USI INC
0.79% $6,336,444.29 6,321,778
-
TEAM HEALTH HOLDINGS INC
0.78% $6,271,180.52 6,254,076
-
CHAMBERLAIN/CHARIOT BUYER 7/25 TLB
0.78% $6,264,759.82 6,263,852
-
FLEX ACQUISITION CO., INC.
0.78% $6,257,796.86 6,725,343
-
TRUIST INSURANCE HOLDINGS LLC
0.77% $6,152,751.00 6,183,669
-
TRANSDIGM TL-M 8/13/2032
0.76% $6,079,049.57 6,061,864
-
APPLIED MATERIALS INC /DE
0.74% $5,934,088.82 5,960,165
-
Telesat Corp
0.72% $5,762,854.76 6,723,000
-
TRICORBRAUN INC.
0.71% $5,693,240.82 5,933,673
-
MILANO ACQUISITION
0.71% $5,639,558.60 5,726,632
-
VIASAT INC
0.70% $5,592,634.54 5,568,883
-
RESILIENCE PARENT LLC
0.68% $5,448,001.50 5,429,000
-
ASURION 6/25 B13 TLB
0.68% $5,419,689.26 5,410,032
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