Russell Investments Group, Ltd.

Institutional manager — quarterly 13F holdings, Q ending 2026-03-31

Reported value
$93.07B
Q ending 2026-03-31
Prior quarter
$91.82B
Q ending 2025-12-31
Change
+1.4% QoQ · +27.9% YoY
Positions
4,237
reported holdings

Largest positions

Top 100 of 4,237 reported positions by value, Q ending 2026-03-31. 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.
HoldingTickerTypeValueShares
Nvidia CorporationNVDAShares$5.12B29.7M
Apple IncAAPLShares$3.97B15.7M
Microsoft CorpMSFTShares$3.39B9.2M
Amazon Com IncAMZNShares$2.23B10.8M
Alphabet IncGOOGLShares$2.07B7.3M
Alphabet IncGOOGShares$1.88B6.6M
Meta Platforms IncMETAShares$1.54B2.7M
Broadcom IncAVGOShares$1.50B4.9M
Taiwan Semiconductor ManufacturingTSMShares$1.27B3.8M
Mastercard IncorporatedMAShares$968.8M1.9M
Tesla IncTSLAShares$815.6M2.2M
Eli Lilly And CompanyLLYShares$720.5M790K
Johnson JohnsonJNJShares$659.1M2.7M
J P Morgan Chase And CoJPMShares$654.4M2.2M
Visa IncVShares$581.8M1.9M
Welltower IncWELLShares$567.0M2.9M
Equinix IncEQIXShares$508.3M520K
Exxon Mobil CorpXOMShares$480.5M2.8M
Costco Wholesale CorporationCOSTShares$461.7M463K
Lam Research Corp Com NewLRCXShares$452.3M2.1M
Berkshire Hathaway IncBRK/BShares$433.8M905K
Applied Materials IncAMATShares$422.9M1.3M
Tjx Cos IncTJXShares$415.3M2.6M
Bank Of America CorporationBACShares$406.1M8.4M
Digital Realty Trust IncDLRShares$398.9M2.2M
Nextera Energy IncNEEShares$397.2M4.3M
Astrazeneca PlcShares$389.3M2.0M
Linde Plc ShsShares$389.1M785K
Seagate Technology Hldngs PlcShares$376.6M966K
Prologis IncPLDShares$371.3M2.8M
Micron Technology IncMUShares$367.4M1.1M
Booking Hldgs Inc ComBKNGShares$357.5M85K
Citigroup IncCShares$354.5M3.1M
Cme Group IncCMEShares$341.5M1.2M
Unitedhealth Group IncUNHShares$339.2M1.3M
Netflix IncNFLXShares$333.4M3.5M
Abbvie IncABBVShares$326.7M1.5M
At And T IncTShares$313.1M10.8M
Walmart IncWMTShares$312.4M2.5M
Pepsico IncPEPShares$306.4M2.0M
Merck Co IncMRKShares$301.9M2.5M
Advanced Micro Devices IncAMDShares$300.7M1.5M
Servicenow IncNOWShares$298.6M2.9M
Salesforce IncCRMShares$297.9M1.6M
Cisco Sys IncCSCOShares$295.9M3.8M
Ubs Group AgShares$295.4M7.7M
Chevron CorporationCVXShares$289.2M1.4M
Accenture Plc Ireland Shs ClasShares$278.1M1.4M
Bristol Myers Squibb CoBMYShares$274.2M4.5M
Wells Fargo CompanyWFCShares$272.8M3.4M
Ishares Core Us Aggregate Bond EtfAGGShares$270.9M2.7M
Totalenergies SeShares$269.2M2.9M
Palantir Technologies IncPLTRShares$267.9M1.8M
Moody S CorporationMCOShares$267.8M614K
Adobe IncADBEShares$263.3M1.1M
The Procter Gamble CompanyPGShares$258.4M1.8M
Home Depot IncHDShares$248.1M757K
Anglogold Ashanti PlcShares$232.5M2.4M
Intuitive Surgical IncISRGShares$225.8M491K
Mckesson CorpMCKShares$224.3M259K
IntuitINTUShares$221.8M513K
Hca Healthcare IncHCAShares$221.8M469K
Capital One Financial CorporationCOFShares$220.6M1.2M
Cigna Corp New ComCIShares$219.3M825K
Kroger CoKRShares$213.6M3.0M
Autozone IncAZOShares$212.7M63K
General Electric CompanyGEShares$207.2M733K
Cvs Health Corp ComCVSShares$206.3M2.9M
Arista Networks IncANETShares$205.7M1.7M
The Progressive CorporationPGRShares$202.9M1.0M
General Motors CompanyGMShares$202.4M2.7M
Uber Technologies IncUBERShares$201.8M2.8M
Amphenol Corp NewAPHShares$201.5M1.6M
Xcel Energy IncXELShares$198.1M2.5M
Qualcomm IncQCOMShares$196.0M1.5M
Shopify IncSHOPShares$194.6M1.7M
Vanguard Sector Index Fds InfVGTShares$194.3M279K
Schwab Charles Corp NewSCHWShares$192.2M2.0M
Rtx CorporationRTXShares$191.9M996K
American Express CoAXPShares$190.4M632K
Ge Vernova IncGEVShares$188.2M216K
Sherwin Williams CoSHWShares$186.8M585K
Texas Instrs IncTXNShares$186.0M965K
Kla CorporationKLACShares$184.9M129K
Danaher Corp DelDHRShares$180.5M956K
Verizon CommunicationsVZShares$179.5M3.6M
Duke Energy Corp New Com NewDUKShares$179.0M1.4M
Delta Air Lines IncDALShares$178.6M2.7M
ConocophillipsCOPShares$178.1M1.3M
American Elec Pwr IncAEPShares$176.9M1.3M
Oracle Corp ComORCLShares$176.4M1.2M
Mcdonald S CorporationMCDShares$176.0M567K
Dollar Gen Corp NewDGShares$175.9M1.5M
Regeneron PharmaceuticalsREGNShares$175.7M228K
Philip Morris International IncPMShares$174.5M1.1M
The Coca Cola CompanyKOShares$174.1M2.3M
Simon Ppty Group Inc NewSPGShares$173.5M931K
Edwards Lifesciences CorpEWShares$172.5M2.2M
Lowe S Companies IncLOWShares$172.4M731K
Analog Devices IncADIShares$171.9M550K

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.