Apple Inc. (AAPL) — Institutional Holders, Q2 2026 (page 3)

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 201 to 300. 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 201–300 of 6,153

Institutional investors reporting a position in Apple Inc. on SEC Form 13F-HR for Q2 2026, ranked by reported value.
InstitutionValueQoQ
Resona Asset Management ,Ltd.#201 · 4,213,121 sh$1.2B-7.4%
Czech National Bank#202 · 4,180,584 sh$1.2B+4.6%
TWO SIGMA INVESTMENTS#203 · 4,176,413 sh$1.2B-29.7%
FJARDE AP-FONDEN /FOURTH SWEDISH NATIONAL PENSION FUND#204 · 4,147,208 sh$1.2B+1.4%
EVERETT HARRIS#205 · 4,086,992 sh$1.2B-0.6%
Arizona State Retirement System#206 · 4,073,733 sh$1.2B+1.2%
BROWN ADVISORY#207 · 4,033,311 sh$1.2B+0.5%
O'SHAUGHNESSY ASSET MANAGEMENT#208 · 4,011,581 sh$1.2B+12.6%
Perfromance Wealth Partners#209 · 3,933,000 sh$1.1B+0.2%
JANE STREET GROUP#210 · 3,931,686 sh$1.1B+515.6%
Calamos Advisors#211 · 3,925,539 sh$1.1B-17.9%
NISA INVESTMENT ADVISORS#212 · 3,852,360 sh$1.1B-3.2%
STATE TREASURER STATE OF MICHIGAN#213 · 3,830,399 sh$1.1B-1.8%
Lido Advisors#214 · 3,803,588 sh$1.1B-1.0%
Clear Street Group#215 · 3,764,485 sh$1.1B-0.1%
Connor, Clark & Lunn Investment Management Ltd.#216 · 3,675,441 sh$1.1B+21.7%
MetLife Investment Management#217 · 3,664,077 sh$1.1B-7.7%
Qube Research & Technologies Ltd#218 · 3,645,083 sh$1.1B-34.2%
JACOBS LEVY EQUITY MANAGEMENT#219 · 3,639,688 sh$1.1B-20.0%
Candriam S.C.A.#220 · 3,632,097 sh$1.0B+3.7%
Capital Wealth Planning#221 · 3,575,732 sh$1.0B+0.6%
NORTHWESTERN MUTUAL WEALTH MANAGEMENT#222 · 3,571,020 sh$1.0B-2.8%
XPONANCE#223 · 3,521,915 sh$1.0B-12.9%
NewEdge Advisors#224 · 3,482,619 sh$1.0BNew
Rathbones Group PLC#225 · 3,416,441 sh$988.6M+4.2%
GLENMEDE NA#226 · 3,404,852 sh$985.2M+0.1%
Rafferty Asset Management#227 · 3,391,118 sh$981.3M+60.7%
IFM Investors Pty Ltd#228 · 3,356,844 sh$971.3M+11.1%
CIBC WORLD MARKET#229 · 3,263,631 sh$944.4M-6.9%
WILLIAM BLAIR INVESTMENT MANAGEMENT#230 · 3,259,914 sh$943.3M-32.3%
AMF Tjanstepension AB#231 · 3,258,851 sh$943.0M0.0%
COMMONWEALTH OF PENNSYLVANIA PUBLIC SCHOOL EMPLS RETRMT SYS#232 · 3,244,038 sh$938.7M-5.1%
NISSAY ASSET MANAGEMENT /JAPAN#233 · 3,226,381 sh$933.6M-0.3%
SCOTIA CAPITAL#234 · 3,221,813 sh$932.3M-1.8%
FLOSSBACH VON STORCH SE#235 · 3,214,624 sh$930.2M+18.5%
Woodline Partners#236 · 3,205,348 sh$927.5M+11.4%
EP Wealth Advisors#237 · 3,136,978 sh$907.7M+36.6%
Vinva Investment Management Ltd#238 · 3,206,554 sh$903.2M+54.1%
ASSETMARK#239 · 3,088,319 sh$893.6M+3.5%
MML INVESTORS SERVICES#240 · 3,077,675 sh$890.6M+19.7%
Kestra Advisory Services#241 · 2,979,038 sh$862.0M-5.6%
MAI Capital Management#242 · 2,971,008 sh$859.7M+20.7%
WILEY BROS.-AINTREE CAPITAL#243 · 2,974,072 sh$858.4M+7.0%
Pathstone#244 · 2,933,907 sh$850.6M+0.8%
Zurich Insurance Group Ltd#245 · 2,915,098 sh$843.5M-3.5%
MACQUARIE GROUP LTD#246 · 2,906,412 sh$841.0M+13.3%
Squarepoint Ops#247 · 2,904,300 sh$840.4M+8.5%
PensionDanmark Pensionsforsikringsaktieselskab#248 · 2,902,190 sh$839.8M+1.0%
Gotham Asset Management#249 · 2,860,500 sh$827.7M-0.4%
Federation des caisses Desjardins du Quebec#250 · 2,833,399 sh$819.8M+24.8%
Toroso Investments#251 · 2,821,493 sh$816.4M+3.3%
AMALGAMATED BANK#252 · 2,811,845 sh$813.6M-7.0%
WELLCOME LTD (THE) as trustee of the WELLCOME#253 · 2,800,000 sh$810.2M0.0%
CINCINNATI FINANCIAL#254 · 2,797,016 sh$809.3M0.0%
BROWN BROTHERS HARRIMAN#255 · 2,770,126 sh$801.6M+2.3%
ING GROEP NV#256 · 2,751,040 sh$796.0M+3.9%
Harel Insurance Investments & Financial Services Ltd.#257 · 2,717,869 sh$786.4M+17.1%
GATEWAY INVESTMENT ADVISERS#258 · 2,692,457 sh$779.1M+0.4%
BI Asset Management Fondsmaeglerselskab A/S#259 · 2,666,876 sh$768.0M+27.8%
Alecta Tjanstepension Omsesidigt#260 · 2,656,000 sh$767.8M0.0%
CAPITOLIS LIQUID GLOBAL MARKETS#261 · 2,633,009 sh$761.9M-20.4%
NATIXIS#262 · 2,632,533 sh$761.7M-35.8%
QRG CAPITAL MANAGEMENT#263 · 2,596,345 sh$751.3M+7.9%
WESTFIELD CAPITAL MANAGEMENT#264 · 2,573,774 sh$744.7M-17.9%
AE Wealth Management#265 · 2,564,770 sh$742.1M+6.1%
FORT WASHINGTON INVESTMENT ADVISORS#266 · 2,549,295 sh$737.7M-3.5%
Varma Mutual Pension Insurance#267 · 2,484,883 sh$719.0M+2.0%
Groupe la Francaise#268 · 2,479,490 sh$714.9M+120.2%
Vanguard Personalized Indexing Management#269 · 2,468,212 sh$714.2M+4.5%
B. Metzler seel. Sohn & AG#270 · 2,459,559 sh$711.7M+16.0%
HUNTINGTON NATIONAL BANK#271 · 2,388,075 sh$691.0M+2.4%
Sumitomo Mitsui DS Asset Management Company, Ltd#272 · 2,368,177 sh$685.3M+1.6%
Mediolanum International Funds Ltd#273 · 2,394,438 sh$674.6M-0.2%
NEW YORK LIFE INVESTMENT MANAGEMENT#274 · 2,319,660 sh$671.2M+2.6%
Banco Santander, S.A.#275 · 2,313,583 sh$669.5M+65.0%
IEQ CAPITAL#276 · 2,313,582 sh$669.5M-14.2%
USS Investment Management Ltd#277 · 2,309,849 sh$667.9M-3.1%
Williams Jones Wealth Management#278 · 2,289,143 sh$662.4M+9.1%
Steward Partners Investment Advisory#279 · 2,273,278 sh$657.8M-7.5%
Haverford#280 · 2,265,185 sh$655.5M-2.6%
Compagnie Lombard Odier SCmA#281 · 2,231,303 sh$645.6M+2.8%
BRITISH COLUMBIA INVESTMENT MANAGEMENT#282 · 2,201,017 sh$636.9M-7.8%
LONDON OF VIRGINIA#283 · 2,199,195 sh$636.4M-3.1%
Utah Retirement Systems#284 · 2,195,192 sh$635.2M-6.3%
BANCO BILBAO VIZCAYA ARGENTARIA, S.A.#285 · 2,183,517 sh$631.2M+4.6%
PINEBRIDGE INVESTMENTS#286 · 2,179,376 sh$630.6M-14.1%
CI INVESTMENTS#287 · 2,174,125 sh$629.1M-6.9%
Police & Firemen's Retirement System of New Jersey#288 · 2,168,525 sh$627.5M-2.2%
Beacon Pointe Advisors#289 · 2,155,331 sh$623.6M+0.6%
ZACKS INVESTMENT MANAGEMENT#290 · 2,142,489 sh$620.0M+24.5%
ASR Vermogensbeheer N.V.#291 · 2,132,986 sh$617.1M-0.3%
Employees Retirement System of Texas#292 · 2,116,984 sh$612.6M+3.5%
Empower Advisory Group#293 · 2,096,561 sh$606.7M-0.3%
Equitable#294 · 2,094,840 sh$606.2M+89.5%
ABN AMRO INVESTMENT SOLUTIONS#295 · 2,042,718 sh$591.1M+33.3%
Clark Capital Management Group#296 · 2,029,475 sh$587.2M+31.7%
AEGON ASSET MANAGEMENT UK PLC#297 · 2,028,498 sh$587.0M+20.6%
Ilmarinen Mutual Pension Insurance#298 · 2,016,311 sh$583.4M+6.9%
Sequoia Financial Advisors#299 · 1,978,445 sh$572.5M+2.0%
Employees Provident Fund Board#300 · 1,961,691 sh$567.6M+10.7%

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.