Apple Inc. (AAPL) — Institutional Holders, Q2 2026 (page 4)

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 301 to 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 301–400 of 6,153

Institutional investors reporting a position in Apple Inc. on SEC Form 13F-HR for Q2 2026, ranked by reported value.
InstitutionValueQoQ
Erste Asset Management GmbH#301 · 1,976,818 sh$558.6M+5.6%
MIZUHO SECURITIES USA#302 · 2,037,393 sh$558.0M+129.6%
Andra AP-fonden#303 · 1,927,327 sh$557.7M-11.6%
OMERS ADMINISTRATION#304 · 1,923,152 sh$556.5M-32.6%
OP Asset Management Ltd#305 · 1,903,737 sh$550.9M-34.0%
Cresset Asset Management#306 · 1,903,005 sh$550.7M+3.8%
Saturna Capital#307 · 1,774,020 sh$545.4M-0.3%
CULLEN/FROST BANKERS#308 · 1,882,904 sh$544.8M-0.4%
JUPITER ASSET MANAGEMENT LTD#309 · 1,877,668 sh$543.3M+14.5%
WHITTIER#310 · 1,731,482 sh$541.4M+0.8%
Private Advisor Group#311 · 1,864,685 sh$539.6M-14.9%
Sarasin & Partners LLP#312 · 1,847,698 sh$534.6M+0.4%
MUFG Securities EMEA plc#313 · 1,837,416 sh$531.7M+46.0%
Aware Super Pty Ltd as trustee of Aware Super#314 · 1,829,755 sh$529.5M-2.1%
OREGON PUBLIC EMPLOYEES RETIREMENT FUND#315 · 1,805,912 sh$522.6M+7.4%
TEACHERS RETIREMENT SYSTEM OF THE STATE OF KENTUCKY#316 · 1,798,007 sh$520.3M-4.9%
State of Alaska, Department of Revenue#317 · 1,795,685 sh$519.6M-3.3%
JOHNSON INVESTMENT COUNSEL#318 · 1,782,340 sh$515.7M-2.8%
Alphinity Investment Management Pty Ltd#319 · 1,780,158 sh$515.1M+39.4%
LGT Group Foundation#320 · 1,775,721 sh$513.8M+5.3%
Allworth Financial#321 · 1,767,359 sh$511.4M-7.1%
PRIMECAP MANAGEMENT#322 · 1,760,880 sh$509.5M0.0%
BAILLIE GIFFORD#323 · 1,760,591 sh$509.4M+152.9%
UNITED CAPITAL FINANCIAL ADVISORS#324 · 1,754,234 sh$507.6M-0.5%
Mn Services Vermogensbeheer B.V.#325 · 1,750,426 sh$506.5M-38.7%
Sustainable Growth Advisers#326 · 1,747,382 sh$505.6M+14.5%
Yarbrough Capital#327 · 1,744,835 sh$504.9M0.0%
Fenelon Opportunity Fund#328 · 1,497,545 sh$499.2M—
FACTORY MUTUAL INSURANCE#329 · 1,718,721 sh$497.3M+1.1%
ExodusPoint Capital Management#330 · 1,705,273 sh$493.4M+983.2%
OFI INVEST ASSET MANAGEMENT#331 · 1,917,412 sh$488.4M-23.9%
GREAT LAKES ADVISORS#332 · 1,676,079 sh$485.0M+286.2%
Wealthfront Advisers#333 · 1,667,085 sh$482.4M+5.1%
HM PAYSON#334 · 1,665,510 sh$481.9M-1.6%
WELCH & FORBES#335 · 1,662,845 sh$481.2M-1.0%
Elo Mutual Pension Insurance#336 · 1,658,675 sh$480.0M+4.8%
Vontobel Holding Ltd.#337 · 1,657,606 sh$479.6M-12.2%
BARTLETT & WEALTH MANAGEMENT#338 · 1,651,943 sh$478.0M+0.2%
REGIONS FINANCIAL#339 · 1,635,359 sh$473.2M+0.1%
Ethic#340 · 1,616,480 sh$467.7M+8.3%
CONGRESS ASSET MANAGEMENT#341 · 1,609,746 sh$465.8M-1.3%
Empowered Funds#342 · 1,607,892 sh$465.3M-0.2%
HB Wealth Management#343 · 1,596,965 sh$462.1M+0.5%
LORD, ABBETT#344 · 1,589,462 sh$459.9M-19.8%
MUTUAL OF AMERICA CAPITAL MANAGEMENT#345 · 1,587,153 sh$459.3M-1.3%
RENAISSANCE TECHNOLOGIES#346 · 1,586,526 sh$459.1M-48.4%
Epoch Investment Partners#347 · 1,576,223 sh$456.1M+28.0%
Polar Capital Plc#348 · 1,556,928 sh$450.5M+20.1%
INTECH INVESTMENT MANAGEMENT#349 · 1,554,586 sh$449.8M-2.2%
PRUDENTIAL PLC#350 · 1,549,367 sh$448.3M+4.9%
GUGGENHEIM CAPITAL#351 · 1,539,974 sh$445.6M+5.2%
Pacer Advisors#352 · 1,509,200 sh$436.7MNew
D.A. DAVIDSON#353 · 1,500,901 sh$434.3M-1.5%
TCG Advisory Services#354 · 1,491,397 sh$431.6M+11.1%
DAVENPORT#355 · 1,489,720 sh$429.5M-0.2%
Evercore Wealth Management#356 · 1,474,930 sh$426.8M-2.0%
YOUSIF CAPITAL MANAGEMENT#357 · 1,473,602 sh$426.4M-7.5%
ATALANTA SOSNOFF CAPITAL#358 · 1,468,865 sh$425.0M+2.3%
Waverly Advisors#359 · 1,467,543 sh$424.6M+15.8%
Boston Walden#360 · 1,452,559 sh$420.3M-2.5%
Pinnacle Financial Partners#361 · 1,448,033 sh$419.0M-0.1%
LORING WOLCOTT & COOLIDGE FIDUCIARY ADVISORS LLP#362 · 1,446,076 sh$418.4M+1.2%
Midwest#363 · 1,432,536 sh$414.5M-1.1%
GF FUND MANAGEMENT LTD.#364 · 1,423,923 sh$412.0M-2.2%
Investment Management of Ontario#365 · 1,421,425 sh$411.3M-12.5%
FIDUCIARY#366 · 1,409,277 sh$407.8M-3.5%
NewEdge Wealth#367 · 1,394,101 sh$403.4M+2.5%
SRS Capital Advisors#368 · 1,391,949 sh$402.8M+491.7%
Raiffeisen Bank International AG#369 · 1,426,298 sh$401.9M+4.4%
FERGUSON WELLMAN CAPITAL MANAGEMENT#370 · 1,387,665 sh$401.5M+1.7%
Altshuler Shaham Ltd#371 · 1,372,686 sh$397.2M+132.0%
Crestwood Advisors Group#372 · 1,369,680 sh$396.3M-1.7%
Integrated Wealth Concepts#373 · 1,359,394 sh$393.4M+34.1%
CITIZENS FINANCIAL GROUP#374 · 1,356,311 sh$392.5M-2.7%
Lazard Freres Gestion S.A.S.#375 · 1,355,839 sh$392.3M+7.9%
LBP AM SA#376 · 1,355,303 sh$392.2M+5.5%
BALYASNY ASSET MANAGEMENT L.P.#377 · 1,346,688 sh$389.7M-42.3%
CAXTON ASSOCIATES LLP#378 · 1,343,920 sh$388.9M+159.6%
SHELTON CAPITAL MANAGEMENT#379 · 1,336,116 sh$386.6M-4.8%
PEAPACK GLADSTONE FINANCIAL#380 · 1,324,102 sh$383.1M-1.2%
Railway Pension Investments Ltd#381 · 1,320,786 sh$382.2M+93.7%
iA Global Asset Management#382 · 1,316,462 sh$380.9M+1.6%
Crossmark Global#383 · 1,291,247 sh$373.6M+4.0%
GQG Partners#384 · 1,286,388 sh$372.2MNew
Capital International#385 · 1,274,703 sh$368.8M+17.4%
Danica Pension, Livsforsikringsaktieselskab#386 · 1,251,082 sh$362.0M+3.6%
Savant Capital#387 · 1,223,022 sh$362.0M+53.8%
Union Bancaire Privee, UBP SA#388 · 1,278,349 sh$359.5M+12.5%
GROUPAMA ASSET MANAGMENT#389 · 1,268,595 sh$358.0M+3.4%
MARKEL GROUP#390 · 1,227,290 sh$355.1M0.0%
Quilter Plc#391 · 1,224,288 sh$354.3M+1.4%
Merit Financial Group#392 · 1,219,742 sh$352.9M+23.8%
PINNACLE ASSOCIATES LTD#393 · 1,212,707 sh$350.9M-0.9%
Border to Coast Pensions Partnership Ltd#394 · 1,213,399 sh$350.8M0.0%
MISSION WEALTH MANAGEMENT#395 · 1,211,951 sh$350.7M+35.3%
BRISTOL JOHN W#396 · 1,192,491 sh$345.1M-0.7%
BRIDGES INVESTMENT MANAGEMENT#397 · 1,180,277 sh$341.5M-4.6%
EASTERN BANK#398 · 1,165,437 sh$337.2M+4.5%
UMB Bank, n.a.#399 · 1,160,739 sh$335.9M-4.1%
DAVIS R M#400 · 1,157,132 sh$334.8M+0.5%

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.