Institutional HoldersBeta

Who holds a company, from every 13F filed for the quarter, one row per filer exactly as filed, against the latest share count the company reported.

NEXTERA ENERGY INC

CIK 0000753308NEENEE-PNNEE-PSNEE-PT· quarter ending 2026-06-30
Shares outstanding
2,085,803,189
Held by 13F filers
83,176,577
selection includes debt or preferreds — no % of shares outstanding
Holders
67
+3 vs 2026-03-31 · 17 new, 14 exited
Value
$2.1B
shares +99.7% vs prior quarter

Share classes (cover page of the 10-Q filed 2026-07-24, as of 2026-06-30)

ClassListedShares outstandingHeld by 13F filers% of classHoldersCUSIP
Common stockNEE · NYSE2,085,803,1891,768,873,15484.8%3,05165339F101

Each class is compared with its own share count; classes are not added together. A class that is not exchange-listed cannot be held by 13F filers.

Securities (CUSIPs held in 13F this quarter)

tick to combine
CountCUSIPClass (as filers write it)HoldersShares heldClass shares% of classValueOptionsMapped via
65339F101Stock3,0511,768,873,1542,085,803,18984.8%$155.4B40 call / 44 put13DGholders →
65339F663UNIT 06/01/2027not common8044,068,978
$1.2M principal
——$2.1B—NPORTholders →
65339F655UNIT 02/15/2029not common6762,278,556
$20.9M principal
——$2.1B—NPORTholders →
65339F119UNIT 11/01/2027not common6324,464,183
$1.6M principal
——$1.3B—NPORTholders →
65339KCY4NOTE 3.000% 3/0not common5915,620,223
$945.1M principal
——$1.0B—NPORTholders →
65339K860PFDnot common438,475——$846K—NPORTholders →
65339KAT7Corporate Bondsnot common1145,000——$145K—NPORTholders →
65339KCN8CORPORATE BONDSnot common1
$85K principal
——$86K—NPORTholders →
65339KBW9CORPORATE BONDSnot common1
$55K principal
——$52K—NPORTholders →
65339KBY5CORPORATE BONDSnot common1
$25K principal
——$25K—NPORTholders →
65339K829PUBLICnot common2575——$14K—NPORTholders →
65339K837PUBLICnot common2549——$13K—NPORTholders →

Totals combine the ticked CUSIPs and update as you tick: common-stock classes by default; preferreds, notes, warrants and depositary shares are listed but not counted. "holders →" shows a single CUSIP on its own. Bonds are held as a principal amount, not shares. Options positions are never counted as holdings. 42 further CUSIPs map to this company (mostly bonds) but no 13F filer held them this quarter.

Top holders (67 of 67 · 65339F655)

change vs 2026-03-31
#FilerShares / principal% of classValueChange
1Capula Management Ltd22,500,000—$10.8M+21,950,407 (+3993.9%)
2Brevan Howard Capital Management LP20,000,000—$9.6MNEW
3MANUFACTURERS LIFE INSURANCE COMPANY, THE4,004,700—$191.7M+5,150 (+0.1%)
4FRANKLIN RESOURCES INC3,462,455—$166.0M+2,662,455 (+332.8%)
5BlackRock, Inc.2,831,207—$135.7M-323,468 (-10.3%)
6Weiss Asset Management LP2,697,000—$129.4M+150,000 (+5.9%)
7D. E. Shaw & Co., Inc.2,375,000—$113.7M-50,000 (-2.1%)
8Parallax Volatility Advisers, L.P.2,360,663—$207.2M+350,142 (+17.4%)
9Calamos Advisors LLC2,125,337—$101.9M-7,635 (-0.4%)
10SOROS FUND MANAGEMENT LLC1,627,578—$77.9M+426,875 (+35.6%)
11TWO SIGMA INVESTMENTS, LP1,452,797—$69.6M+258,072 (+21.6%)
12Aequim Alternative Investments LP1,400,000—$67.1M+290,000 (+26.1%)
13VAN ECK ASSOCIATES CORP1,150,770—$55.2MNEW
14SUSQUEHANNA ADVISORS GROUP, INC.1,078,273—$51.7M-275,000 (-20.3%)
15CREDIT INDUSTRIEL ET COMMERCIAL1,050,000—$50.3M+275,000 (+35.5%)
16MILLENNIUM MANAGEMENT LLC899,977—$43.1M-550,003 (-37.9%)
17CAMDEN ASSET MANAGEMENT L P /CA830,000—$39.5M-675,000 (-44.9%)
18HIGHBRIDGE CAPITAL MANAGEMENT LLC825,000—$39.5M+25,000 (+3.1%)
19TPG GP A, LLC825,000—$39.3M+250,000 (+43.5%)
20WELLS FARGO & COMPANY/MN806,376—$38.7M+472,952 (+141.8%)
21LORD, ABBETT & CO. LLC709,450—$34.0M-8,687 (-1.2%)
22STATE STREET CORP705,000—$33.8M+80,000 (+12.8%)
23WOLVERINE ASSET MANAGEMENT LLC645,172—$30.9M+183,198 (+39.7%)
24Walleye Capital LLC550,000—$26.3M+50,000 (+10.0%)
25Magnetar Financial LLC550,000—$26.3M+100,000 (+22.2%)
26BANK OF AMERICA CORP /DE/517,266—$24.8M+463,646 (+864.7%)
27FMR LLC498,931—$23.8M-2,300 (-0.5%)
28VOYA INVESTMENT MANAGEMENT LLC493,855—$23.7M+18,705 (+3.9%)
29BlueCrest Capital Management Ltd451,802—$21.7M+66,870 (+17.4%)
30Portman Square Capital LLP410,000—$19.6M-165,000 (-28.7%)
31HBK INVESTMENTS L P250,000—$12.0M+150,000 (+150.0%)
32SSI INVESTMENT MANAGEMENT LLC241,625—$11.5M+10,345 (+4.5%)
33MacKay Shields LLC228,903—$11.0MNEW
34Gilman Hill Asset Management, LLC221,449—$10.6MNEW
35CITIGROUP INC218,795—$10.5M-58,984 (-21.2%)
36Invesco Ltd.195,000—$9.3M+55,000 (+39.3%)
37Jupiter Topco LLC191,400—$9.2MNEW
38Thrivent Financial for Lutherans187,770—$8.9M+149,000 (+384.3%)
39CSS LLC/IL172,063—$8.2M-368,676 (-68.2%)
40WELLINGTON MANAGEMENT GROUP LLP156,820—$7.4M+3,345 (+2.2%)
41BARCLAYS PLC143,434—$6.9M+66,739 (+87.0%)
42Russell Investments Group, Ltd.140,000—$134K—
43JANE STREET GROUP, LLC123,443—$5.9M-539,414 (-81.4%)
44Nuveen, LLC109,800—$5.3MNEW
45Sculptor Capital LP108,415—$5.2M-275,112 (-71.7%)
46INFRASTRUCTURE CAPITAL ADVISORS, LLC102,972—$4.9M+35,059 (+51.6%)
47JPMORGAN CHASE & CO83,158—$4.2M-149,130 (-64.2%)
48Alken Asset Management Ltd62,400—$3.0MNEW
49MORGAN STANLEY52,122—$2.5M-65,783 (-55.8%)
50Janney Montgomery Scott LLC50,740—$2.4MNEW
51III Capital Management50,000—$2.4M—
52GABELLI FUNDS LLC40,000—$1.9M—
53AGF MANAGEMENT LTD35,000—$1.7M—
54Jefferies Financial Group Inc.33,430—$1.6MNEW
55ADVENT CAPITAL MANAGEMENT /DE/25,800—$1.2MNEW
56AMERIPRISE FINANCIAL INC20,600—$981K-402,350 (-95.1%)
57Dakota Wealth Management15,280—$733KNEW
58Financiere des Professionnels - Fonds d'investissement inc.14,800—$710K—
59Essex Financial Services, Inc.14,700—$705KNEW
60UBS Group AG14,606—$700K+6,561 (+81.6%)
61Calamos Wealth Management LLC9,285—$445K+185 (+2.0%)
62OPPENHEIMER ASSET MANAGEMENT INC.7,336—$352KNEW
63Central Pacific Bank - Trust Division7,020—$337KNEW
64Principle Wealth Partners LLC6,070—$291KNEW
65Ares Systematic Credit Ltd4,731—$227KNEW
66ODDO BHF ASSET MANAGEMENT SAS3,200—$153KNEW
67ROYAL BANK OF CANADA801—$38K+781 (+3905.0%)
Exited since 2026-03-31 (14 filers; largest 14 shown)
Linden Advisors LP−2,200,000
Context Capital Management, LLC−935,000
Zimmer Partners, LP−609,324
Monashee Investment Management LLC−299,970
Ovata Capital Management Ltd−250,000
JANUS HENDERSON GROUP PLC−200,000
Jain Global LLC−200,000
SANDERS MORRIS HARRIS LLC−138,300
HEALTHCARE OF ONTARIO PENSION PLAN TRUST FUND−100,000
BOOTHBAY FUND MANAGEMENT, LLC−97,005
GTS SECURITIES LLC−83,679
Hudson Bay Capital Management LP−70,000
NOMURA HOLDINGS INC−33,448
LuminArx Capital Management LP−20,000

Large holders from 13D/13G (latest per reporting person, last 2 years)

Filed when a holder crosses 5% or changes materially, so often more current than the quarter-end 13F. Percentages are the filer's own, against the share count they used.

Reporting personFormFiledEventShares% of class
JPMORGAN CHASE & COSCHEDULE 13G2026-05-132026-03-31109,203,3215.2%
Vanguard Capital ManagementSCHEDULE 13G2026-04-302026-03-31157,335,9827.55%
The Vanguard GroupSCHEDULE 13G/A2026-03-272026-03-1300%

Source: SEC Form 13F-HR information tables for the quarter ending 2026-06-30 (filed within 45 days of quarter end; amendments applied; values normalised to dollars), the share count from the company's latest 10-K/10-Q XBRL cover page, and Schedule 13D/13G filings. Each row is a legal 13F filer as filed — related entities (e.g. Vanguard's advisers) are not merged. Retail brokerage accounts are not reported on 13F, so the remainder is mostly retail and insiders.