Russell Investments Group, Ltd.
Institutional manager — quarterly 13F holdings, Q ending 2026-06-30
Reported value
$113.97B
Q ending 2026-06-30
Prior quarter
$93.07B
Q ending 2026-03-31
Change
+22.5% QoQ · +45.2% YoY
Positions
4,383
reported holdings
Largest positions
Top 100 of 4,383 reported positions by value, Q ending 2026-06-30. A manager can hold shares, calls and puts on the same security at once — such positions are listed as separate rows. Type: Shares = common stock, Put/Call = option positions (valued at the underlying), Principal = debt. Tickers link to stock pages where covered.
| Holding | Ticker | Type | Value ▼ | Shares |
|---|---|---|---|---|
| Nvidia Corp | NVDA | Shares | $5.98B | 30.0M |
| Apple Inc | AAPL | Shares | $4.80B | 16.7M |
| Microsoft Corp | MSFT | Shares | $3.43B | 9.2M |
| Amazon Com Inc | AMZN | Shares | $2.99B | 12.5M |
| Alphabet Inc | GOOG | Shares | $2.55B | 7.2M |
| Alphabet Inc | GOOGL | Shares | $2.46B | 6.9M |
| Broadcom Inc | AVGO | Shares | $2.09B | 5.5M |
| Micron Technology Inc | MU | Shares | $1.82B | 1.6M |
| Taiwan Semiconductor Manufacturing | TSM | Shares | $1.72B | 3.6M |
| Meta Platforms Inc | META | Shares | $1.61B | 2.9M |
| Mastercard Incorporated | MA | Shares | $1.02B | 2.0M |
| Advanced Micro Devices Inc | AMD | Shares | $997.8M | 1.7M |
| Lilly Eli And Co | LLY | Shares | $942.4M | 782K |
| Tesla Inc | TSLA | Shares | $939.9M | 2.2M |
| Applied Materials Inc | AMAT | Shares | $915.3M | 1.3M |
| Vanguard 500 Index Fund | VOO | Shares | $898.8M | 1.3M |
| Lam Research Corporation | LRCX | Shares | $882.0M | 2.1M |
| Jpmorgan Chase Co | JPM | Shares | $773.8M | 2.4M |
| Visa Inc | V | Shares | $740.4M | 2.2M |
| Johnson Johnson | JNJ | Shares | $681.6M | 2.7M |
| Seagate Technology Hldngs Plc | Shares | $663.5M | 687K | |
| Welltower Inc | WELL | Shares | $647.7M | 2.9M |
| Kla Corporation | KLAC | Shares | $628.2M | 2.1M |
| Unitedhealth Group Inc | UNH | Shares | $581.6M | 1.4M |
| Equinix Inc | EQIX | Shares | $517.7M | 492K |
| Cisco Sys Inc | CSCO | Shares | $516.7M | 4.4M |
| Berkshire Hathaway Inc | BRK/B | Shares | $515.0M | 1.0M |
| Bank Of America Corporation | BAC | Shares | $510.5M | 8.9M |
| Citigroup Inc | C | Shares | $507.4M | 3.6M |
| Costco Wholesale Corporation | COST | Shares | $498.4M | 532K |
| Exxon Mobil Corp | XOM | Shares | $442.2M | 3.2M |
| Nextera Energy Inc | NEE | Shares | $426.5M | 4.9M |
| Abbvie Inc | ABBV | Shares | $408.6M | 1.6M |
| Booking Hldgs Inc Com | BKNG | Shares | $401.9M | 2.2M |
| Prologis Inc | PLD | Shares | $398.5M | 2.9M |
| Intel Corporation | INTC | Shares | $396.0M | 2.9M |
| Digital Realty Trust Inc | DLR | Shares | $393.0M | 2.1M |
| Astrazeneca Plc | Shares | $382.3M | 2.0M | |
| Linde Plc Shs | Shares | $380.2M | 733K | |
| Ishares Core Us Aggregate Bond Etf | AGG | Shares | $373.1M | 3.8M |
| Amphenol Corp New | APH | Shares | $362.0M | 2.1M |
| The Tjx Companies Inc | TJX | Shares | $341.3M | 2.3M |
| Merck Co Inc | MRK | Shares | $331.9M | 2.6M |
| Wells Fargo Company | WFC | Shares | $329.9M | 4.0M |
| Walmart Inc | WMT | Shares | $323.2M | 2.9M |
| Ubs Group Ag | Shares | $318.0M | 6.4M | |
| Ge Aerospace Com New | GE | Shares | $317.8M | 850K |
| Cvs Health Corporation | CVS | Shares | $312.7M | 3.0M |
| Crowdstrike Hldgs Inc Cl A | CRWD | Shares | $305.3M | 401K |
| Texas Instrs Inc | TXN | Shares | $297.5M | 1.0M |
| Analog Devices Inc | ADI | Shares | $285.5M | 721K |
| Sandisk Corp | SNDK | Shares | $284.8M | 126K |
| Moody S Corporation | MCO | Shares | $282.0M | 623K |
| Ge Vernova Inc | GEV | Shares | $280.1M | 240K |
| Palo Alto Networks Inc | PANW | Shares | $275.7M | 811K |
| Capital One Financial Corporation | COF | Shares | $271.9M | 1.4M |
| The Procter Gamble Company | PG | Shares | $267.2M | 1.8M |
| Pepsico Inc | PEP | Shares | $258.5M | 1.9M |
| Arista Networks Inc | ANET | Shares | $257.2M | 1.5M |
| Marvell Technology Inc | MRVL | Shares | $254.1M | 886K |
| The Home Depot Inc | HD | Shares | $250.9M | 712K |
| Caterpillar Inc | CAT | Shares | $250.2M | 236K |
| Netflix Inc | NFLX | Shares | $248.8M | 3.5M |
| Delta Air Lines Inc | DAL | Shares | $247.4M | 2.6M |
| Chevron Corporation | CVX | Shares | $245.0M | 1.5M |
| Cme Group Inc | CME | Shares | $244.8M | 1.1M |
| Bristol Myers Squibb Co | BMY | Shares | $244.3M | 4.2M |
| Fortinet Inc | FTNT | Shares | $243.4M | 1.6M |
| Adobe Inc | ADBE | Shares | $242.7M | 1.2M |
| Royal Bank Of Canada | RY | Shares | $239.9M | 1.2M |
| Salesforce Inc | CRM | Shares | $239.2M | 1.5M |
| Totalenergies Se | Shares | $236.3M | 3.0M | |
| The Cigna Group | CI | Shares | $233.0M | 844K |
| Morgan Stanley | MS | Shares | $230.7M | 1.1M |
| American Express Co | AXP | Shares | $230.1M | 679K |
| Western Digital Corp | WDC | Shares | $223.4M | 349K |
| Ebay Inc | EBAY | Shares | $222.1M | 2.0M |
| The Walt Disney Company | DIS | Shares | $219.1M | 2.3M |
| At And T Inc | T | Shares | $217.7M | 10.5M |
| Public Storage | PSA | Shares | $217.5M | 682K |
| Progressive Corp Ohio | PGR | Shares | $217.2M | 994K |
| Elevance Health Inc | ELV | Shares | $214.9M | 555K |
| Simon Ppty Group Inc New | SPG | Shares | $214.5M | 958K |
| Vanguard Information Technology In | VGT | Shares | $214.1M | 1.8M |
| Rtx Corporation | RTX | Shares | $213.6M | 1.1M |
| Intuitive Surgical Inc | ISRG | Shares | $213.0M | 534K |
| Edwards Lifesciences Corp | EW | Shares | $207.1M | 2.3M |
| Uber Technologies Inc | UBER | Shares | $206.9M | 2.9M |
| Oracle Corporation | ORCL | Shares | $206.9M | 1.4M |
| Hca Healthcare Inc | HCA | Shares | $206.8M | 530K |
| Sherwin Williams Co | SHW | Shares | $206.2M | 599K |
| Schwab Charles Corp New | SCHW | Shares | $204.8M | 2.2M |
| The Goldman Sachs Group Inc | GS | Shares | $204.2M | 202K |
| Danaher Corp Del | DHR | Shares | $202.8M | 1.1M |
| General Motors Company | GM | Shares | $201.0M | 2.6M |
| Palantir Technologies Inc | PLTR | Shares | $196.8M | 1.7M |
| Autozone Inc | AZO | Shares | $195.0M | 61K |
| American Elec Pwr Inc | AEP | Shares | $192.1M | 1.4M |
| Eaton Corp Plc | Shares | $191.6M | 450K | |
| Xcel Energy Inc | XEL | Shares | $190.7M | 2.4M |
Values as reported in public regulatory filings (USD); holdings are reported quarterly, up to 45 days after quarter end, and may contain reporting errors. Nothing here is investment advice.