Apple Inc. (AAPL) — Institutional Holders, Q2 2026 (page 2)

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 101 to 200. 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 101–200 of 6,153

Institutional investors reporting a position in Apple Inc. on SEC Form 13F-HR for Q2 2026, ranked by reported value.
InstitutionValueQoQ
BNP PARIBAS FINANCIAL MARKETS#101 · 10,796,101 sh$3.1B-7.4%
Sanders Capital#102 · 10,528,191 sh$3.0B-3.1%
Korea Investment#103 · 10,363,583 sh$3.0B-3.7%
ROYAL LONDON ASSET MANAGEMENT LTD#104 · 10,335,156 sh$3.0B+3.6%
MANUFACTURERS LIFE INSURANCE COMPANY, THE#105 · 10,302,563 sh$3.0B-9.6%
Baird Financial Group#106 · 10,163,392 sh$2.9B+1.6%
Corient Private Wealth#107 · 10,200,127 sh$2.9B-2.1%
US BANCORP \DE\#108 · 10,064,743 sh$2.9B-0.7%
Focus Partners Wealth#109 · 10,043,936 sh$2.9B+0.1%
Cerity Partners#110 · 9,612,893 sh$2.8B+2.6%
DekaBank Deutsche Girozentrale#111 · 10,885,083 sh$2.8B0.0%
CAISSE DE DEPOT ET PLACEMENT DU QUEBEC#112 · 9,333,869 sh$2.7B-15.8%
Zurcher Kantonalbank (Zurich Cantonalbank)#113 · 9,266,512 sh$2.7B-0.7%
JONES FINANCIAL COMPANIES LLLP#114 · 9,337,818 sh$2.7B+10.9%
MARSHALL WACE, LLP#115 · 9,084,303 sh$2.6B+8.4%
FIFTH THIRD BANCORP#116 · 8,953,299 sh$2.6B-2.3%
PFA Pension, Forsikringsaktieselskab#117 · 8,905,195 sh$2.6B+3.2%
MACKENZIE FINANCIAL#118 · 8,875,771 sh$2.6B-7.9%
Chevy Chase#119 · 8,858,856 sh$2.6B-1.4%
Pictet Asset Management Holding SA#120 · 8,751,626 sh$2.5B-3.4%
OSAIC#121 · 8,726,238 sh$2.5B+8.1%
COMMONWEALTH EQUITY SERVICES#122 · 8,527,911 sh$2.5B-4.8%
SEI INVESTMENTS#123 · 8,447,488 sh$2.4B-24.9%
KBC Group NV#124 · 8,322,700 sh$2.4B-8.9%
STOREBRAND ASSET MANAGEMENT AS#125 · 8,317,573 sh$2.4B+3.3%
Daiwa Securities Group#126 · 8,151,914 sh$2.4B+12.6%
LAZARD ASSET MANAGEMENT#127 · 8,138,484 sh$2.4B-1.2%
CAPTRUST FINANCIAL ADVISORS#128 · 8,124,407 sh$2.4B+4.3%
Mirae Asset Global Investments , Ltd.#129 · 7,855,520 sh$2.3B+4.7%
STATE OF WISCONSIN INVESTMENT BOARD#130 · 7,830,625 sh$2.3B-1.0%
Mitsubishi UFJ & Banking#131 · 7,819,041 sh$2.3B+3.8%
ProShare Advisors#132 · 7,583,023 sh$2.2B-17.9%
Vanguard Investments Australia, Ltd.#133 · 7,506,247 sh$2.2B+2.5%
T. Rowe Price Investment Management#134 · 7,502,442 sh$2.2B-52.1%
BANK OF NOVA SCOTIA#135 · 7,477,651 sh$2.2B-32.7%
Cetera Investment Advisers#136 · 7,346,095 sh$2.1B+4.2%
CITADEL ADVISORS#137 · 7,296,076 sh$2.1B+39.9%
Rockefeller Capital Management L.P.#138 · 7,078,849 sh$2.0B+5.9%
MERCER GLOBAL ADVISORS#139 · 6,988,551 sh$2.0B+4.8%
NOMURA ASSET MANAGEMENT LTD#140 · 6,925,764 sh$2.0B-2.2%
Handelsbanken Fonder AB#141 · 6,910,385 sh$2.0B-3.3%
PANAGORA ASSET MANAGEMENT#142 · 6,906,726 sh$2.0B+9.4%
TRUIST FINANCIAL#143 · 6,875,531 sh$2.0B+0.2%
Grantham, Mayo, Van Otterloo#144 · 6,848,782 sh$2.0B-1.3%
Eurizon Capital SGR S.p.A.#145 · 6,813,812 sh$2.0B+5.3%
Treasurer of the State of North Carolina#146 · 6,775,147 sh$2.0B-0.1%
NOMURA ASSET MANAGEMENT INTERNATIONAL#147 · 6,734,439 sh$1.9B+28.5%
Asset Management One , Ltd.#148 · 6,707,060 sh$1.9B+2.0%
PUBLIC EMPLOYEES RETIREMENT ASSOCIATION OF COLORADO#149 · 6,677,483 sh$1.9B-1.4%
KLP KAPITALFORVALTNING AS#150 · 6,616,324 sh$1.9B+7.4%
Man Group plc#151 · 6,606,605 sh$1.9B+10.2%
VIRGINIA RETIREMENT SYSTEMS ET Al#152 · 6,490,470 sh$1.9B+573.3%
WEALTH ENHANCEMENT ADVISORY SERVICES#153 · 6,393,572 sh$1.9B+15.3%
APG Asset Management N.V.#154 · 7,377,107 sh$1.9B+25.2%
SUSQUEHANNA INTERNATIONAL GROUP, LLP#155 · 6,426,000 sh$1.9B+66.7%
Nykredit A/S#156 · 6,330,251 sh$1.8B—
TORONTO DOMINION BANK#157 · 6,226,250 sh$1.8B+16.9%
AustralianSuper Pty Ltd#158 · 6,185,595 sh$1.8B+2.5%
CREDIT AGRICOLE S A#159 · 6,162,978 sh$1.8B-5.9%
FEDERATED HERMES#160 · 6,133,414 sh$1.8B+33.0%
MENORA MIVTACHIM LTD.#161 · 5,859,736 sh$1.7B0.0%
PUBLIC EMPLOYEES RETIREMENT SYSTEM OF OHIO#162 · 5,851,269 sh$1.7B-5.7%
MIRAE ASSET GLOBAL ETFS Ltd.#163 · 5,853,299 sh$1.7B-3.3%
FIRST ADVISORS#164 · 5,833,307 sh$1.7B+11.9%
BLAIR WILLIAM#165 · 5,731,525 sh$1.7B-3.4%
Bank Julius Baer & Ltd, Zurich#166 · 5,665,114 sh$1.6B+2.2%
D. E. Shaw#167 · 5,603,656 sh$1.6B-19.8%
NEOS Investment Management#168 · 5,529,231 sh$1.6B+8.3%
KING LUTHER CAPITAL MANAGEMENT#169 · 5,515,276 sh$1.6B-1.6%
LOS ANGELES CAPITAL MANAGEMENT#170 · 5,506,651 sh$1.6B-23.8%
WORLDQUANT MILLENNIUM ADVISORS#171 · 5,439,653 sh$1.6B-9.7%
TEACHER RETIREMENT SYSTEM OF TEXAS#172 · 5,278,393 sh$1.5B+13.3%
Retirement Systems of Alabama#173 · 5,179,441 sh$1.5B-0.3%
Allspring Global Investments#174 · 5,036,332 sh$1.5B+41.1%
State of Tennessee, Treasury Department#175 · 5,078,446 sh$1.5B-0.5%
HEALTHCARE OF ONTARIO PENSION PLAN FUND#176 · 5,061,327 sh$1.5B-33.9%
CIBC Asset Management#177 · 5,060,516 sh$1.5B-3.1%
FRED ALGER MANAGEMENT#178 · 5,042,160 sh$1.5B+8.7%
SEB Asset Management AB#179 · 4,994,409 sh$1.4B+0.2%
1832 Asset Management L.P.#180 · 4,967,048 sh$1.4B-2.1%
Janney Montgomery Scott#181 · 4,956,780 sh$1.4B+3.4%
FIRST MANHATTAN#182 · 4,935,720 sh$1.4B-1.6%
Ninety One UK Ltd#183 · 4,900,383 sh$1.4B-3.2%
Winslow Capital Management#184 · 4,877,656 sh$1.4B-47.3%
STRS OHIO#185 · 4,861,928 sh$1.4B-3.7%
DnB Asset Management AS#186 · 4,808,315 sh$1.4B0.0%
Tredje AP-fonden#187 · 4,769,889 sh$1.4B+10.0%
THRIVENT FINANCIAL FOR LUTHERANS#188 · 4,752,770 sh$1.4B-6.0%
State of New Jersey Common Pension Fund D#189 · 4,747,977 sh$1.4B-5.5%
Lansforsakringar Fondforvaltning AB (publ)#190 · 4,740,533 sh$1.4B-1.7%
KEYBANK NATIONAL ASSOCIATION#191 · 4,684,348 sh$1.4B-3.0%
PUBLIC SECTOR PENSION INVESTMENT BOARD#192 · 4,593,157 sh$1.3B-0.5%
M&T BANK#193 · 4,589,772 sh$1.3B-0.9%
Swiss Life Asset Management Ltd#194 · 4,489,649 sh$1.3B+5.0%
Cambridge Investment Research Advisors#195 · 4,362,491 sh$1.3B-0.5%
UniSuper Management Pty Ltd#196 · 4,333,567 sh$1.3B+8.5%
TD Waterhouse Canada#197 · 4,248,696 sh$1.3B+1.0%
PARNASSUS INVESTMENTS#198 · 4,318,250 sh$1.2B-7.6%
Life Cycle Investment Partners Ltd#199 · 4,279,229 sh$1.2B+19.9%
COMMERCE BANK#200 · 4,274,243 sh$1.2B-1.1%

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.