UNITED STATES SECURITIES AND EXHANGE COMMISSION Washington, D.C. 20549 FORM 13F FORM 13F COVER PAGE Report for the Calendar Year or Quarter Ended: June 30, 2010 Check here if Amendment [ ]; Amendment Number: This Amendment (Check only one.): [ ] is a restatement. [ ] adds new holdings entries. Institutional Investment Manager Filing this Report: Name: Nuveen HydePark Group, LLC Address: 333 W. Wacker Dr., 30th Floor Chicago, IL 60606 13F File Number: 028-12742 The institutional investment manager filing this report and the person by whom it is signed hereby represent that the person signing the report is authorized to submit it, that all information contained herein is true, correct and complete, and that it is understood that all required items, statements, schedules, lists, and tables, are considered integral parts of this form. Person Signing this Report on Behalf of Reporting Manager: Name: Mary E. Keefe Title: Vice President and Chief Compliance Officer Phone: 312-917-7700 Signature, Place, and Date of Signing: /s/ Mary E. Keefe Chicago, IL August 10, 2010 ---------------------------------------- ------------- --------------------- [Signature] [City, State] [Date] Report Type (Check only one.): [X] 13F HOLDINGS REPORT. (Check here if all holdings of this reporting manager are reported in this report) [ ] 13F NOTICE. (Check here if no holdings reported are in this report, and all holdings are reported by other reporting manager(s).) [ ] 13F COMBINATION REPORT. (Check here if a portion of the holdings for this reporting manger is reported in this report and a portion is reported by other reporting manager(s).) List of Other Managers Reporting for this Manager: [If there are no entries in this list, omit this section] None

FORM 13F SUMMARY PAGE Report Summary: Number of Other Included Managers: 1 Form 13F Information Table Entry Total: 540 Form 13F Information Table Value Total: $1,096,276 (thousands) List of Other Included Managers: Provide a numbered list of the name(s) and Form 13F file number(s) of all institutional investment managers with respect to which this report is filed, other than the manager filing this report. No. Form 13F File # Name --- --------------- ---- 1 028-11405 Nuveen Investments, Inc. 2 028-13193 IQ Investment Advisors LLC

<TABLE> <CAPTION> -----VOTING AUTHORITY---- VALUE SHARES/ SH/ PUT/ INVSTMT -------------------- NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- X$1000 PRN AMT PRN CALL DSCRETN -MANAGERS- SOLE SHARED NONE --------------------------------------- ---------------- --------- ------ ------- --- ---- ------- ---------- ------ ------ ------ <S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> D APPLE COMPUTER INC com 037833100 58052 230797 sh sole 204797 26000 D INTERNATIONAL BUSINESS MACHINES com 459200101 46047 372912 sh sole 346412 26500 D CHEVRONTEXACO CORP com 166764100 29861 440040 sh sole 387240 52800 D PROCTER & GAMBLE CO com 742718109 28845 480911 sh sole 417711 63200 D EXXON MOBIL CORPORATION com 30231G102 28113 492611 sh sole 399145 93466 D 3M CO com 88579Y101 27763 351472 sh sole 332472 19000 D MCDONALDS CORP com 580135101 26950 409145 sh sole 387445 21700 D JOHNSON & JOHNSON com 478160104 26234 444188 sh sole 394588 49600 D MICROSOFT CORP com 594918104 25349 1101654 sh sole 938254 163400 D 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<TABLE> <S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> D SOUTHERN CO com 842587107 1664 50010 sh sole 27410 22600 D XEROX CORP com 984121103 1659 206298 sh sole 162298 44000 D EMC CORP com 268648102 1574 86023 sh sole 28623 57400 D UNITEDHEALTH GROUP INC com 91324P102 1570 55293 sh sole 31593 23700 D LILLY ELI & CO com 532457108 1565 46722 sh sole 26222 20500 D CAPITAL ONE FINANCIAL CORPORATION com 14040H105 1520 37710 sh sole 20810 16900 D HONEYWELL INTERNATIONAL INC com 438516106 1507 38600 sh sole 17500 21100 D SUNTRUST BANK INC com 867914103 1470 63110 sh sole 33810 29300 D DOMINION RESOURCES INC com 25746U109 1464 37790 sh sole 20990 16800 D VIACOM INC CLASS B com 92553P201 1460 46530 sh sole 24630 21900 D DUKE ENERGY CORP com 26441C105 1448 90510 sh sole 49610 40900 D MCKESSON CORP com 58155Q103 1440 21440 sh sole 12040 9400 D INTERSIL HOLDING CORP com 46069S109 1419 117213 sh sole 115013 2200 D MEDTRONIC INC com 585055106 1359 37481 sh sole 16681 20800 D LOWES COMPANIES com 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16930 14700 D TELLABS INC com 879664100 1189 186023 sh sole 169323 16700 D CAREER EDUCATION CORP com 141665109 1187 51557 sh sole 49757 1800 D ALLSTATE CORP com 020002101 1170 40740 sh sole 23440 17300 D SILGAN HOLDINGS INC com 827048109 1170 41214 sh sole 41214 0 D RAYTHEON CO com 755111507 1166 24095 sh sole 14295 9800 D EATON CORP com 278058102 1162 17759 sh sole 11959 5800 D FEDEX CORPORATION com 31428X106 1151 16410 sh sole 7510 8900 D T ROWE PRICE GROUP INC com 74144T108 1150 25901 sh sole 21001 4900 D NORTHROP GRUMMAN CORP com 666807102 1149 21113 sh sole 12013 9100 D CORNING INC com 219350105 1147 71010 sh sole 36910 34100 D KIMBERLY CLARK CORP com 494368103 1139 18780 sh sole 9080 9700 D ITT EDUCATIONAL SVCS com 45068B109 1116 13447 sh sole 12947 500 D THERMO ELECTRON CORP com 883556102 1102 22471 sh sole 12471 10000 D WINDSTREAM CORP com 97381W104 1099 104104 sh sole 87904 16200 D AFLAC INC com 001055102 1095 25658 sh sole 9358 16300 D AMERICAN ELECTRIC POWER com 025537101 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24300 sh sole 13600 10700 D ACE LTD com H0023R105 859 16680 sh sole 6880 9800 D JOHNSON CONTROLS INC com 478366107 856 31870 sh sole 12770 19100 D INTUITIVE SURGICAL INC com 46120E602 849 2690 sh sole 1290 1400 D MACYS INC com 55616P104 844 47140 sh sole 26240 20900 D BANK OF NEW YORK MELLON CORP com 064058100 843 34140 sh sole 18740 15400 D POWER INTEGRATIONS INC com 739276103 840 26087 sh sole 26087 0 D POOL CORP com 73278L105 838 38211 sh sole 38211 0 D SPRINT NEXTEL CORP com 852061100 829 195410 sh sole 106110 89300 D NEXTERA ENERGY INC com 65339F101 826 16940 sh sole 9440 7500 D NEWMONT MINING CORP com 651639106 821 13300 sh sole 5400 7900 D VORNADO REALTY TRUST com 929042109 819 11230 sh sole 6030 5199.8 D SKYWORKS SOLUTIONS INC com 83088M102 819 48769 sh sole 43469 5300 </TABLE>

<TABLE> <S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> D WERNER ENTERPRISES INC com 950755108 817 37323 sh sole 37323 0 D EZCORP INC CLASS A com 302301106 814 43884 sh sole 43884 0 D SANDISK CORP com 80004C101 812 19310 sh sole 7310 12000 D INTERNATIONAL PAPER CO com 460146103 812 35880 sh sole 17380 18500 D ANNALY CAPITAL MANAGEMENT INC com 035710409 811 47287 sh sole 19987 27300 D INGERSOLL RAND CO LTD CLASS A com G47791101 809 23450 sh sole 12350 11100 D WALGREEN CO com 931422109 806 30170 sh sole 11870 18300 D CBS CORP CLASS B com 124857202 803 62090 sh sole 32690 29400 D CONSOLIDATED EDISON CO com 209115104 797 18490 sh sole 9790 8700 D HENRY JACK & ASSOCIATES INC com 426281101 796 33318 sh sole 33318 0 D S&P 500 DEPOSITARY RECEIPTS TRUST 1 com 78462F103 795 7700 sh sole 7700 0 D LOEWS CORP com 540424108 794 23822 sh sole 13422 10400 D CARDINAL HEALTH INC com 14149Y108 793 23580 sh sole 12680 10900 D COSTCO WHOLESALE CORP com 22160K105 786 14330 sh sole 5730 8600 D WHIRLPOOL CORP com 963320106 782 8910 sh sole 4610 4300 D SPECTRA ENERGY CORP com 847560109 781 38920 sh sole 20620 18300 D CBRL GROUP INC com 22410J106 781 16769 sh sole 16769 0 D QUALITY SYSTEMS INC com 747582104 769 13263 sh sole 13263 0 D LANDSTAR SYSTEM com 515098101 765 19631 sh sole 19031 600 D QWEST COMMUNIC INTERNATIONAL INC com 749121109 765 145640 sh sole 78140 67500 D NETAPP INC com 64110D104 756 20267 sh sole 8767 11500 D LIBERTY MEDIA HLDG CORP INTERACTIVE - 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1200 D COVIDIEN PLC com G2554F105 452 11240 sh sole 1740 9500 D CENTERPOINT ENERGY INC com 15189T107 451 34280 sh sole 18180 16100 D SCHOLASTIC CORP com 807066105 448 18580 sh sole 18580 0 D ASML HOLDING NV com N07059186 448 16311 sh sole 16311 0 D STARWOOD HOTELS & RESORTS WORLDWIDE com 85590A401 448 10810 sh sole 4310 6500 D PRICELINE COM INC com 741503403 447 2530 sh sole 930 1600 D LINCOLN NATIONAL CORP com 534187109 446 18380 sh sole 10180 8200 D MANTECH INTERNATIONAL CORP CLASS A com 564563104 444 10427 sh sole 10427 0 D ARCHER DANIELS MIDLAND CO com 039483102 442 17126 sh sole 9326 7800 D PACCAR INC com 693718108 442 11080 sh sole 3880 7200 D ROCKWELL COLLINS INC com 774341101 442 8310 sh sole 4310 4000 D MACERICH CO com 554382101 441 11811 sh sole 5310 6500.75 D WHOLE FOODS MARKET INC com 966837106 439 12200 sh sole 6000 6200 D GAP INC com 364760108 439 22564 sh sole 10964 11600 D HALLIBURTON CO com 406216101 438 17830 sh sole 5730 12100 D BAXTER INTERNATIONAL INC com 071813109 437 10760 sh sole 4760 6000 D UAL CORP com 902549807 435 21140 sh sole 12240 8900 D NEWFIELD EXPLORATION CO com 651290108 432 8840 sh sole 4340 4500 D AMEREN CORP com 023608102 431 18142 sh sole 9342 8800 D BECTON DICKINSON & C0 com 075887109 430 6360 sh sole 2560 3800 D MICROSTRATEGY INC CLASS A com 594972408 429 5714 sh sole 5714 0 D DOVER CORP com 260003108 428 10250 sh sole 4750 5500 D ITT INDUSTRIES INC com 450911102 428 9520 sh sole 5520 4000 D NORDSTROM INC com 655664100 427 13270 sh sole 5670 7600 D VIRGIN MEDIA INC com 92769L101 427 25560 sh sole 12460 13100 D GANNETT INC com 364730101 426 31670 sh sole 17970 13700 D XL CAPITAL LTD CLASS A com G98255105 426 26610 sh sole 14810 11800 D AMEDISYS INC com 023436108 425 9662 sh sole 9662 0 D ESTEE LAUDER COMPANIES CLASS A com 518439104 417 7480 sh sole 3580 3900 D ADVANCED MICRO DEVICES com 007903107 417 56940 sh sole 30540 26400 D JM SMUCKER CO com 832696405 415 6890 sh sole 3790 3100 D AMKOR TECHNOLOGY INC com 031652100 414 75172 sh sole 75172 0 D HOSPIRA INC com 441060100 414 7204 sh sole 3004 4200 D CLIFFS NATURAL RESOURCES INC com 18683K101 410 8700 sh sole 3200 5500 D DEVELOPERS DIVERSIFIED REALTY com 251591103 405 40900 sh sole 30900 10000 D CABLEVISION SYSTEMS CORP com 12686C109 405 16860 sh sole 8260 8600 D GENUINE PARTS CO com 372460105 404 10237 sh sole 6137 4100 D ROCKWELL INTERNATIONAL CORP com 773903109 400 8140 sh sole 3440 4700 D WYNDHAM WORLDWIDE CORP com 98310W108 399 19830 sh sole 11030 8800 D CTRIP.COM ADR com 22943F100 398 10592 sh sole 10592 0 </TABLE>

<TABLE> <S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> D ONEOK INC com 682680103 395 9140 sh sole 4940 4200 D SL GREEN REALTY CORP com 78440X101 392 7122 sh sole 3322 3800 D AMERICAN TOWER CORPORATION com 029912201 388 8720 sh sole 3120 5600 D NRG ENERGY INC com 629377508 385 18130 sh sole 9330 8800 D LUBRIZOL CORP com 549271104 383 4766 sh sole 1666 3100 D ZIONS BANCORPORATION com 989701107 378 17520 sh sole 9320 8200 D FORTUNE BRANDS INC com 349631101 378 9640 sh sole 5040 4600 D ASHLAND INC com 044209104 377 8120 sh sole 4120 4000 D STEC INC com 784774101 374 29775 sh sole 29775 0 D MASTERCARD INC CLASS A com 57636Q104 373 1870 sh sole 770 1100 D MARVELL TECHNOLOGY GROUP LTD com G5876H105 372 23607 sh sole 6307 17300 D LAS VEGAS SANDS com 517834107 371 16740 sh sole 3840 12900 D ALCON INC com H01301102 370 2500 sh sole 1300 1200 D SHERWIN-WILLIAMS CO com 824348106 369 5340 sh sole 2640 2700 D MORGAN STANLEY & CO com 617446448 369 15910 sh sole 9510 6400 D LORILLARD INC com 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CORP com 583334107 351 15830 sh sole 8930 6900 D SLM CORP com 78442P106 349 33580 sh sole 18580 15000 D TYSON FOODS INC com 902494103 348 21260 sh sole 12760 8500 D KROGER CO com 501044101 346 17590 sh sole 10490 7100 D PLEXUS CORP com 729132100 342 12799 sh sole 12799 0 D INTEGRYS ENERGY GROUP INC com 45822P105 342 7813 sh sole 4213 3600 D APPLIED MATERIALS INC com 038222105 339 28210 sh sole 9910 18300 D MARSH & MCLENNAN COS INC com 571748102 333 14750 sh sole 5850 8900 D WISCONSIN ENERGY CORP com 976657106 332 6550 sh sole 3550 3000 D AON CORPORATION com 037389103 331 8930 sh sole 5130 3800 D FOCUS MEDIA ADR com 34415V109 329 21212 sh sole 21212 0 D LEXMARK INTERNATIONAL GROUP INC com 529771107 329 9960 sh sole 5560 4400 D RR DONNELLEY & SONS CO com 257867101 329 20090 sh sole 11390 8700 D TORCHMARK CORP com 891027104 328 6630 sh sole 3830 2800 D LIBERTY MEDIA HLDG CORP CAPITAL CLASS com 53071M302 328 7830 sh sole 3930 3900 D PARTNERRE LTD com G6852T105 327 4660 sh sole 2160 2500 D 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5189 3800 D AES CORP com 00130H105 311 33680 sh sole 17980 15700 D OWENS CORNING com 690742101 311 10400 sh sole 4100 6300 D MILLIPORE CORP com 601073109 310 2910 sh sole 1110 1800 D PINNACLE WEST CAPITAL CORP com 723484101 309 8500 sh sole 4500 4000 D CROWN CASTLE INTERNATIONAL CORP com 228227104 309 8290 sh sole 1590 6700 D FOREST LABORATORIES INC com 345838106 308 11230 sh sole 6530 4700 D HEALTH CARE REIT INC com 42217K106 307 7300 sh sole 3900 3400 D DAVITA INC com 23918K108 307 4920 sh sole 2120 2800 D PROLOGIS TRUST com 743410102 306 30180 sh sole 15880 14300 D WEYERHAEUSER CO com 962166104 305 8660 sh sole 4860 3800 D GARMIN LTD com H2906T109 304 10390 sh sole 5590 4800 D LIFE TECHNOLOGIES CORP com 53217V109 302 6386 sh sole 2986 3400 D MURPHY OIL CORP com 626717102 301 6080 sh sole 3080 3000 D BAKER HUGHES INC com 057224107 301 7246 sh sole 3946 3300 D HARLEY-DAVIDSON INC com 412822108 301 13530 sh sole 4030 9500 D CINCINNATI FINANCIAL CORP com 172062101 297 11470 sh sole 6370 5100 D ECOLAB INC com 278865100 296 6600 sh sole 2200 4400 D HARBIN ELECTRIC com 41145W109 296 17764 sh sole 17764 0 D SEARS HOLDINGS CORP com 812350106 295 4570 sh sole 2770 1800 D WATSON PHARMACEUTICALS INC com 942683103 293 7220 sh sole 4020 3200 D ARCH CAPITAL GROUP LTD com G0450A105 293 3930 sh sole 1930 2000 D BLUE COAT SYS INC com 09534T508 292 14314 sh sole 14314 0 D MARSHALL & ILSLEY CORP com 571837103 292 40670 sh sole 21970 18700 D KANSAS CITY SOUTHERN INDUSTRIES INC com 485170302 290 7990 sh sole 3090 4900 </TABLE>

<TABLE> <S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> D WATERS CORP com 941848103 290 4480 sh sole 1880 2600 D HARRIS CORP com 413875105 289 6950 sh sole 2850 4100 D WHITING PETROLEUM CORP com 966387102 289 3680 sh sole 1780 1900 D TUPPERWARE CORP com 899896104 289 7240 sh sole 4840 2400 D TEMPUR-PEDIC INTERNATIONAL INC com 88023U101 288 9360 sh sole 5960 3400 D ROSS STORES INC com 778296103 286 5372 sh sole 2472 2900 D HASBRO INC com 418056107 286 6960 sh sole 2860 4100 D COOPER INDUSTRIES PLC com G24140108 282 6400 sh sole 1600 4800 D NEWELL RUBBERMAID INC com 651229106 279 19080 sh sole 10380 8700 D LEGG MASON INC com 524901105 277 9890 sh sole 5490 4400 D SYBASE INC com 871130100 277 4280 sh sole 780 3500 D EASTMAN CHEM CO com 277432100 276 5180 sh sole 2880 2300 D PEPCO HOLDINGS INC com 713291102 275 17570 sh sole 9470 8100 D FASTENAL CO com 311900104 274 5460 sh sole 2360 3100 D DISH NETWORK CORPORATION com 25470M109 274 15090 sh sole 7190 7900 D LABORATORY CORP OF AMERICA 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4736 sh sole 1936 2800 D CBL & ASSOCIATE PROPERTIES com 124830100 247 19877 sh sole 19877 0 D PITNEY BOWES INC com 724479100 244 11110 sh sole 6610 4500 D NYSE EURONEXT com 629491101 244 8830 sh sole 4430 4400 D DEL MONTE FOODS COMPANY com 24522P103 244 16950 sh sole 8550 8400 D AMDOCS LTD com G02602103 244 9070 sh sole 3870 5200 D UNITED STATES STEEL CORP com 912909108 243 6310 sh sole 3310 3000 D ASSURED GUARANTY LTD com G0585R106 243 18310 sh sole 13410 4900 D AXIS CAPITAL HOLDINGS LTD com G0692U109 242 8140 sh sole 3640 4500 D DOLLAR THRIFTY AUTOMOTIVE GROUP INC com 256743105 242 5668 sh sole 5668 0 D GRAINGER WW INC com 384802104 238 2390 sh sole 990 1400 D COMMUNITY HEALTH SYSTEMS INC com 203668108 238 7028 sh sole 2528 4500 D CONEXANT SYSTEMS INC com 207142308 237 105986 sh sole 105986 0 D BROWN-FORMAN CORP CLASS B com 115637209 236 4120 sh sole 1920 2200 D LEGGETT & PLATT INC com 524660107 236 11750 sh sole 5750 6000 D ALLIANT ENERGY CORP com 018802108 236 7420 sh sole 3620 3800 D EVEREST RE GROUP LTD com G3223R108 235 3330 sh sole 1630 1700 D ALTERA CORP com 021441100 235 9490 sh sole 3290 6200 D EDWARDS LIFESCIENCES CORP com 28176E108 235 4190 sh sole 1290 2900 D J CREW GROUP INC com 46612H402 234 6350 sh sole 4150 2200 D NOBLE ENERGY INC com 655044105 233 3870 sh sole 2170 1700 D URBAN OUTFITTERS INC com 917047102 232 6740 sh sole 2740 4000 D MONSANTO CO com 61166W101 232 5010 sh sole 1510 3500 D UNIVERSAL HEALTH SVCS INC CLASS B com 913903100 230 6033 sh sole 2933 3100 D CAMERON INTERNATIONAL CORP com 13342B105 230 7073 sh sole 3173 3900 D HUDSON CITY BANCORP INC com 443683107 229 18687 sh sole 9787 8900 D UDR INC com 902653104 223 11680 sh sole 4980 6700 D OLD REPUBLIC INTERNATIONAL CORP com 680223104 223 18410 sh sole 8910 9500 D FLUOR CORP com 343412102 222 5226 sh sole 2826 2400 D AMB PROPERTY CORP com 00163T109 220 9290 sh sole 4090 5200 D LENNAR CORPORATION com 526057104 220 15830 sh sole 8630 7200 D BALL CORPORATION com 058498106 218 4130 sh 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<TABLE> <S> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> <C> D ALLEGHENY TECHNOLOGIES INC com 01741R102 206 4670 sh sole 1670 3000 D PROTECTIVE LIFE CORP com 743674103 206 9645 sh sole 4545 5100 D TRW AUTOMOTIVE HLDGS CORP com 87264S106 206 7470 sh sole 3370 4100 D DENDREON CORP com 24823Q107 206 6370 sh sole 870 5500 D TRANSATLANTIC HOLDINGS INC com 893521104 206 4294 sh sole 1994 2300 D CERNER CORP com 156782104 206 2710 sh sole 1110 1600 D AUTOZONE INC com 053332102 205 1060 sh sole 460 600 D MCGRAW HILL COMPANIES INC com 580645109 205 7268 sh sole 3368 3900 D TERADATA CORP com 88076W103 204 6700 sh sole 2600 4100 D MFA MORTGAGE INVESTMENTS INC com 55272X102 203 27485 sh sole 27485 0 D RESMED INC com 761152107 203 3340 sh sole 1040 2300 D YAHOO! INC com 984332106 203 14660 sh sole 7260 7400 D JOY GLOBAL INC com 481165108 201 4010 sh sole 1310 2700 D RINO INTERNATIONAL CORP com 766883102 200 16026 sh sole 16026 0 D FISERV INC com 337738108 200 4390 sh sole 1790 2600 D WALTER INDUSTRIES INC com 93317Q105 200 3290 sh sole 790 2500 </TABLE>