Apple Inc. (AAPL) — Institutional Holders, Q2 2026 (page 14)

6,153 institutional investment managers reported a AAPL position on SEC Form 13F-HR for the quarter ended June 30, 2026, with a combined reported value of $2790.5B. Every filer is listed below, ranked by position value, 100 per page; this page shows ranks 1,301 to 1,400. Put and call option positions are excluded, and a firm filing several lots or share classes is shown once with its total.

AAPL 13F holders ranked 1,301–1,400 of 6,153

Institutional investors reporting a position in Apple Inc. on SEC Form 13F-HR for Q2 2026, ranked by reported value.
InstitutionValueQoQ
Avantax Planning Partners#1301 · 146,753 sh$42.5M-0.6%
Progressive Investment Management#1302 · 146,728 sh$42.5M-1.3%
Greenwoods Asset Management Hong Kong Ltd.#1303 · 146,668 sh$42.4M-40.9%
SAYBROOK CAPITAL#1304 · 146,539 sh$42.4M-1.5%
Journey Advisory Group#1305 · 146,313 sh$42.3M+0.9%
CONWAY CAPITAL MANAGEMENT#1306 · 145,418 sh$42.1M-1.2%
EDGEWOOD MANAGEMENT#1307 · 145,289 sh$42.0M-1.0%
Inscription Capital#1308 · 144,917 sh$41.9M+11.4%
Accurate Wealth Management#1309 · 132,815 sh$41.9M+7.3%
HUNTER ASSOCIATES INVESTMENT MANAGEMENT#1310 · 144,253 sh$41.7M+0.5%
Missouri & Investment#1311 · 134,565 sh$41.6M+0.4%
POSTROCK PARTNERS#1312 · 143,624 sh$41.6M0.0%
Kathmere Capital Management#1313 · 143,565 sh$41.5M+2.9%
One Wealth Advisors#1314 · 143,505 sh$41.5M+1.4%
Waterloo Capital, L.P.#1315 · 143,351 sh$41.5M+16.2%
Hilltop#1316 · 143,296 sh$41.5M-1.0%
Leisure Capital Management#1317 · 143,042 sh$41.4M-0.2%
Colonial / SC#1318 · 142,835 sh$41.3M-1.2%
CABOT WEALTH MANAGEMENT#1319 · 142,794 sh$41.3M-3.2%
StoneX Group#1320 · 142,737 sh$41.3M+8.4%
Sage Capital Advisors#1321 · 142,681 sh$41.3M-2.0%
MARIETTA INVESTMENT PARTNERS#1322 · 142,539 sh$41.2M-0.6%
Peachtree Investment Partners#1323 · 142,280 sh$41.2M+1.5%
JAMISON PRIVATE WEALTH MANAGEMENT#1324 · 142,129 sh$41.1M+6.2%
Mengis Capital Management#1325 · 141,611 sh$41.0M-0.1%
Callahan Advisors#1326 · 141,395 sh$40.9M+0.6%
Bogart Wealth#1327 · 141,376 sh$40.9M+4.8%
Rothschild Capital Partners#1328 · 141,322 sh$40.9M+0.4%
AZZAD ASSET MANAGEMENT#1329 · 141,319 sh$40.9M-18.9%
LMR Partners LLP#1330 · 141,301 sh$40.9M-40.6%
CAPITAL INTERNATIONAL LTD#1331 · 141,094 sh$40.8M+37.2%
LODESTAR PRIVATE ASSET MANAGEMENT#1332 · 141,047 sh$40.8M-1.4%
Embree Financial Group#1333 · 140,896 sh$40.8M-1.8%
RENAISSANCE GROUP#1334 · 140,868 sh$40.8M-11.1%
MJP ASSOCIATES#1335 · 140,822 sh$40.7M+0.9%
Evergreen Wealth Solutions#1336 · 133,385 sh$40.7M+30.4%
STRATEGIC PLANNING GROUP#1337 · 140,696 sh$40.7M-2.2%
KILEY JUERGENS WEALTH MANAGEMENT#1338 · 140,685 sh$40.7M-1.5%
SMITH, MOORE#1339 · 140,230 sh$40.6M-1.7%
PENNSYLVANIA CAPITAL MANAGEMENT#1340 · 140,052 sh$40.5M-5.9%
LVW Advisors#1341 · 139,990 sh$40.5M+0.3%
GREENWOOD CAPITAL ASSOCIATES#1342 · 139,989 sh$40.5M-0.8%
GREATMARK INVESTMENT PARTNERS#1343 · 139,961 sh$40.5M-1.5%
SageGuard Financial Group#1344 · 139,881 sh$40.5M-2.0%
Stembrook Asset Management#1345 · 139,603 sh$40.4M-0.1%
Suncoast Equity Management#1346 · 139,049 sh$40.2M-15.5%
ALGERT GLOBAL#1347 · 138,789 sh$40.2M-21.3%
Capstone Financial Advisors#1348 · 138,711 sh$40.1M-2.3%
HOWARD FINANCIAL SERVICES, LTD.#1349 · 138,692 sh$40.1M+0.8%
Vancity Investment Management Ltd#1350 · 138,312 sh$40.0M+8.2%
PAYDEN & RYGEL#1351 · 138,310 sh$40.0M+275.8%
Premier Financial Group#1352 · 13,827 sh$40.0MNew
MONEY CONCEPTS CAPITAL#1353 · 138,265 sh$40.0M-3.5%
AUGUSTINE ASSET MANAGEMENT#1354 · 138,177 sh$40.0M-0.4%
TIFF ADVISORY SERVICES#1355 · 137,967 sh$39.9M-1.2%
PRIVATE NA#1356 · 137,963 sh$39.9M+2.0%
ABNER HERRMAN & BROCK#1357 · 137,832 sh$39.9M+15.3%
Magnus Financial Group#1358 · 137,634 sh$39.8M-0.3%
WealthPLAN Partners#1359 · 137,249 sh$39.7M-12.3%
MOTCO#1360 · 137,212 sh$39.7M+42.5%
NBC SECURITIES#1361 · 137,129 sh$39.7M-1.1%
CIGNA INVESTMENTS#1362 · 137,044 sh$39.7M-0.5%
RE ADVISERS#1363 · 136,900 sh$39.6MNew
Martin Capital Advisors, LLP#1364 · 136,849 sh$39.6M+0.3%
Meiji Yasuda America#1365 · 136,631 sh$39.5M+28.8%
Defiance ETFs#1366 · 134,229 sh$39.5M-2.4%
Kidder Stephen W#1367 · 136,410 sh$39.5M-0.8%
Qtron Investments#1368 · 136,394 sh$39.5M-13.3%
PDS Planning#1369 · 136,287 sh$39.4M+1.6%
Simmons Bank#1370 · 136,153 sh$39.4M+4.3%
Westerkirk Capital#1371 · 136,146 sh$39.4M0.0%
Oak Harvest Investment Services#1372 · 135,836 sh$39.3M+9.8%
WHALEROCK POINT PARTNERS#1373 · 135,500 sh$39.2M-1.9%
Vision Retirement#1374 · 135,311 sh$39.2M+0.4%
Semus Wealth Partners#1375 · 135,255 sh$39.1M-1.2%
UNIVERSITY OF TEXAS/TEXAS AM INVESTMENT MANAGEMENT#1376 · 135,168 sh$39.1M+133.2%
Rockline Wealth Management#1377 · 134,864 sh$39.0M-0.6%
Bensler#1378 · 134,832 sh$39.0M+1.1%
GDS Wealth Management#1379 · 134,781 sh$39.0M+5.7%
Icon Wealth Advisors#1380 · 134,758 sh$39.0M+22.6%
Synergy Financial Management#1381 · 134,749 sh$39.0M-14.9%
Family Management#1382 · 134,722 sh$39.0M+18.6%
Hardy Reed#1383 · 134,673 sh$39.0M-0.1%
Stonebridge Financial Group#1384 · 134,402 sh$38.9M-0.5%
CAPE COD FIVE CENTS SAVINGS BANK#1385 · 134,146 sh$38.8M—
JB Capital#1386 · 134,089 sh$38.8M+0.7%
Clarity Wealth Advisors#1387 · 133,752 sh$38.7M-1.2%
PATTON ALBERTSON MILLER GROUP#1388 · 133,484 sh$38.6M-0.8%
1ST SOURCE BANK#1389 · 133,308 sh$38.6M-0.2%
BUFFALO BUSINESS & ESTATE SERVICES LTD#1390 · 133,081 sh$38.5M-4.6%
Hayek Kallen Investment Management#1391 · 132,590 sh$38.4M-0.6%
REGATTA CAPITAL GROUP#1392 · 132,482 sh$38.3M+6.8%
RPG Investment Advisory#1393 · 132,243 sh$38.3M-0.6%
RVW Wealth#1394 · 132,157 sh$38.2M-2.8%
PRINCETON CAPITAL MANAGEMENT#1395 · 132,060 sh$38.2M-2.7%
Steele Capital Management#1396 · 132,054 sh$38.2M-3.0%
BOCHK Asset Management Ltd#1397 · 131,950 sh$38.2M+10.6%
PETTYJOHN, WOOD & WHITE#1398 · 131,897 sh$38.2M-0.2%
First National Advisers#1399 · 131,469 sh$38.0M-13.8%
HARRIS ASSOCIATES L P#1400 · 131,305 sh$38.0M-0.2%

Source: Form 13F-HR filings on SEC EDGAR, Q2 2026. Values are as reported by each manager at quarter end. “% of portfolio” is the position’s share of the manager’s total reported 13F value for the same quarter. “New” means the manager filed a 13F for Q1 2026 without this position; a dash means no comparison is available. Where a manager’s own filing is internally inconsistent its value is withheld and it is listed last. 13F data shows reported holdings, not recommendations.