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
960,675,623
selection includes debt or preferreds — no % of shares outstanding
Holders
59
+0 vs 2026-03-31 · 6 new, 6 exited
Value
$1.0B
shares +2.0% 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 (59 of 59 · 65339KCY4)

change vs 2026-03-31
#FilerShares / principal% of classValueChange
1VOYA INVESTMENT MANAGEMENT LLC236,865,000—$311.4M+17,670,000 (+8.1%)
2CAMDEN ASSET MANAGEMENT L P /CA112,340,000—$147.6M-33,135,000 (-22.8%)
3SUSQUEHANNA ADVISORS GROUP, INC.107,874,000—$1.4M+11,445,000 (+11.9%)
4LAZARD ASSET MANAGEMENT LLC68,204,000—$897K-190,000 (-0.3%)
5UBS AM, a distinct business unit of UBS ASSET MANAGEMENT AMERICAS LLC47,750,000—$62.7MNEW
6Calamos Advisors LLC40,211,000—$52.9M+60,000 (+0.1%)
7ADVENT CAPITAL MANAGEMENT /DE/38,877,000—$51.5M+3,760,000 (+10.7%)
8Universal- Beteiligungs- und Servicegesellschaft mbH33,452,000—$44.3M+701,000 (+2.1%)
9SSI INVESTMENT MANAGEMENT LLC27,511,000—$36.1M-1,327,000 (-4.6%)
10STATE STREET CORP25,520,000—$33.8M+3,800,000 (+17.5%)
11BlackRock, Inc.20,579,000—$27.0M+4,225,000 (+25.8%)
12Lombard Odier Asset Management (Europe) Ltd19,985,000—$26.5M—
13FMR LLC12,855,000—$16.9M+920,000 (+7.7%)
14BARCLAYS PLC11,729,000—$15.5M+2,495,000 (+27.0%)
15LBP AM SA10,500,000—$13.9MNEW
16Nicholas Investment Partners, LP10,245,000—$13.5M—
17Walleye Capital LLC10,000,000—$13.1M—
18BNP PARIBAS FINANCIAL MARKETS10,000,000—$13.1M—
19SCHRODER INVESTMENT MANAGEMENT GROUP9,500,000—$12.5M—
20Mirabaud Asset Management (France) SAS8,900,000—$11.9M+3,600,000 (+67.9%)
21DZ BANK AG Deutsche Zentral Genossenschafts Bank, Frankfurt am Main8,818,000—$11.6M—
22MORGAN STANLEY7,125,000—$9.4M-770,000 (-9.8%)
23TORONTO DOMINION BANK7,000,000—$9.2MNEW
24BNP PARIBAS ASSET MANAGEMENT Holding S.A.6,958,000—$9.2M—
25Thrivent Financial for Lutherans6,695,000—$8.9M-10,000 (-0.1%)
26TWO SIGMA INVESTMENTS, LP5,517,000—$7.2M-19,500,000 (-77.9%)
27INCOME RESEARCH & MANAGEMENT5,120,000—$6.7M-800,000 (-13.5%)
28OFI INVEST ASSET MANAGEMENT4,700,000—$5.4M—
29CONNING INC.4,600,000—$6.1M—
30Amundi4,575,000—$6.0M—
31RWC Asset Management LLP4,354,000—$5.7M-260,000 (-5.6%)
32STATE OF WISCONSIN INVESTMENT BOARD4,000,000—$5.3M+1,000,000 (+33.3%)
33JPMORGAN CHASE & CO2,801,000—$3.7M-1,806,000 (-39.2%)
34Man Group plc2,735,000—$3.6M+50,000 (+1.9%)
35JONES ROAD CAPITAL MANAGEMENT, L.P.2,654,000—$3.5M-8,500,000 (-76.2%)
36EFG International AG2,600,000—$3.4M—
37GROUPAMA ASSET MANAGMENT2,150,000—$2.9M—
38CITIGROUP INC2,096,000—$2.8M-4,390,000 (-67.7%)
39BlueCrest Capital Management Ltd1,800,000—$2.4M—
40Bank of New York Mellon Corp1,800,000—$2.4M-500,000 (-21.7%)
41Ares Systematic Credit Ltd1,500,000—$2.0M+100,000 (+7.1%)
42Central Pacific Bank - Trust Division1,015,000—$1.3M—
43Polar Capital Holdings Plc1,000,000—$1.3MNEW
44NOMURA ASSET MANAGEMENT INTERNATIONAL INC.900,000—$1.2MNEW
45WELLINGTON MANAGEMENT GROUP LLP805,000—$1.1M-403,000 (-33.4%)
46FRANKLIN RESOURCES INC796,000—$1.0M-4,486,000 (-84.9%)
47AEGON USA Investment Management, LLC621,000—$816K—
48DEUTSCHE BANK AG\621,000—$816K—
49Zurcher Kantonalbank (Zurich Cantonalbank)500,000—$657K—
50DNCA FINANCE450,000—$598K—
51Jefferies Financial Group Inc.450,000—$591K+164,000 (+57.3%)
52Russell Investments Group, Ltd.281,000—$372K-144,000 (-33.9%)
53Warberg Asset Management LLC254,000—$334K—
54ROYAL BANK OF CANADA250,000—$329K-2,895,000 (-92.1%)
55Virtus Fixed Income Advisers, LLC192,000—$252KNEW
56VIRTUS ADVISERS, LLC44,000—$58K—
57Candriam S.C.A.1,400—$1.9M-350 (-20.0%)
58ODDO BHF ASSET MANAGEMENT SAS223—$296K-25 (-10.1%)
59Erste Asset Management GmbH0—$0—
Exited since 2026-03-31 (6 filers; largest 6 shown)
SHENKMAN CAPITAL MANAGEMENT INC−6,330,000
Context Capital Management, LLC−5,800,000
CSS LLC/IL−5,000,000
OAKTREE CAPITAL MANAGEMENT LP−1,292,000
JANE STREET GROUP, LLC−1,000,000
ABN AMRO INVESTMENT SOLUTIONS−200,000

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.