Universe · entity

Russell Investments Group, Ltd.

Institutional manager (13F) · CIK 1692234
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $40.1B
#IssuerValueShares
1NVIDIA CORP$5.1B29,663,878
2APPLE INC$4.0B15,711,424
3MICROSOFT CORP$3.4B9,197,631
4AMAZON COM INC$2.2B10,776,409
5ALPHABET INC$2.1B7,265,243
6ALPHABET INC$1.9B6,605,879
7META PLATFORMS INC$1.5B2,714,419
8BROADCOM INC$1.5B4,881,626
9Taiwan Semiconductor Manufacturing Company Limited$1.3B3,776,008
10MASTERCARD INCORPORATED$969M1,940,980
11TESLA INC$816M2,219,516
12ELI LILLY AND COMPANY$720M789,744
13JOHNSON JOHNSON$659M2,700,881
14J P MORGAN CHASE AND CO$654M2,244,107
15VISA INC$582M1,928,218
16WELLTOWER INC$567M2,869,519
17EQUINIX INC$508M520,135
18EXXON MOBIL CORP$480M2,830,685
19COSTCO WHOLESALE CORPORATION$462M463,378
20LAM RESEARCH CORP COM NEW$452M2,144,089
21BERKSHIRE HATHAWAY INC$434M905,311
22APPLIED MATERIALS INC$423M1,251,332
23THE TJX COMPANIES INC$415M2,612,798
24BANK OF AMERICA CORPORATION$406M8,374,682
25DIGITAL REALTY TRUST INC$399M2,231,388
26NEXTERA ENERGY INC$397M4,276,974
27ASTRAZENECA PLC$389M2,003,028
28LINDE PLC SHS$389M784,618
29SEAGATE TECHNOLOGY HLDNGS PLC$377M966,461
30PROLOGIS INC$371M2,815,744
31MICRON TECHNOLOGY INC$367M1,097,675
32BOOKING HLDGS INC COM$357M85,272
33CITIGROUP INC$355M3,144,644
34CME GROUP INC$342M1,155,995
35UNITEDHEALTH GROUP INC$339M1,258,639
36NETFLIX INC$333M3,488,050
37ABBVIE INC$327M1,506,385
38AT AND T INC$313M10,808,092
39WALMART INC$312M2,514,809
40Pepsico Inc$306M1,969,776
41MERCK CO INC$302M2,526,631
42ADVANCED MICRO DEVICES INC$301M1,491,929
43SERVICENOW INC$299M2,854,918
44SALESFORCE INC$298M1,597,931
45CISCO SYS INC$296M3,818,172
46UBS Group AG$295M7,738,898
47CHEVRON CORPORATION$289M1,394,277
48ACCENTURE PLC IRELAND SHS CLAS$278M1,402,892
49BRISTOL MYERS SQUIBB CO$274M4,543,724
50WELLS FARGO COMPANY$273M3,439,871
All filings on EDGAR ↗

Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.