Apple Inc. (AAPL) — Institutional Holders, Q2 2026 (page 6)

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 501 to 600. 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 501–600 of 6,153

Institutional investors reporting a position in Apple Inc. on SEC Form 13F-HR for Q2 2026, ranked by reported value.
InstitutionValueQoQ
FIRST FINANCIAL BANKSHARES#501 · 736,559 sh$213.1M+0.3%
COUNTRY BANK#502 · 734,000 sh$212.4M+10.6%
NEW MEXICO EDUCATIONAL RETIREMENT BOARD#503 · 730,545 sh$211.4M+7.4%
Douglass Winthrop Advisors#504 · 729,750 sh$211.2M+1.0%
LEUCADIA NATIONAL#505 · 729,468 sh$211.1M+239.9%
VAUGHAN NELSON INVESTMENT MANAGEMENT, L.P.#506 · 724,984 sh$209.8M-3.6%
Spears Abacus Advisors#507 · 721,781 sh$208.9M-0.8%
Cornerstone Advisors#508 · 721,725 sh$208.8M-7.3%
Summit Trail Advisors#509 · 718,259 sh$207.8M+0.7%
Lombard Odier Asset Management (Switzerland) SA#510 · 709,280 sh$205.2M+1.7%
Optiver Holding B.V.#511 · 697,822 sh$201.9MNew
CSM Advisors#512 · 696,554 sh$201.6M+44.6%
Phoenix Financial Ltd.#513 · 695,043 sh$201.1M-10.6%
E Fund Management , Ltd.#514 · 692,774 sh$200.5M-3.3%
Arkadios Wealth Advisors#515 · 687,770 sh$199.0M-0.6%
World Investment Advisors#516 · 778,238 sh$198.9M-10.6%
Envestnet Portfolio Solutions#517 · 683,492 sh$197.8M+9.0%
TOKIO MARINE ASSET MANAGEMENT LTD#518 · 683,191 sh$197.7M+2.5%
Americana Partners#519 · 682,459 sh$197.5M+11.2%
Motley Fool Asset Management#520 · 681,882 sh$197.3M+18.3%
Summit Financial#521 · 680,491 sh$196.9M+3.1%
Diversified#522 · 675,965 sh$195.6M-3.2%
RITHOLTZ WEALTH MANAGEMENT#523 · 674,862 sh$195.3M+3.7%
HERITAGE INVESTORS MANAGEMENT#524 · 673,254 sh$194.8M-2.6%
Metis Global Partners#525 · 673,091 sh$194.8M-10.6%
Arete Wealth Advisors#526 · 665,482 sh$192.6M+903.3%
Sanibel Captiva Company#527 · 665,009 sh$192.4M+2.5%
BRAUN STACEY ASSOCIATES#528 · 664,904 sh$192.4M+1.9%
COLDSTREAM CAPITAL MANAGEMENT#529 · 663,766 sh$192.1M-7.9%
Mutual Advisors#530 · 662,859 sh$191.8M+3.7%
NICHOLAS COMPANY#531 · 662,695 sh$191.8M0.0%
FIRST CITIZENS BANK#532 · 661,495 sh$191.4M+3.0%
RMB Capital Management#533 · 656,915 sh$190.1M-1.9%
TIAA Wealth Investment Management#534 · 652,251 sh$188.7M-2.2%
Artisan Partners Limited Partnership#535 · 650,501 sh$188.2M+6.1%
PARSONS CAPITAL MANAGEMENT#536 · 649,728 sh$188.0M-11.9%
Fullerton Fund Management Ltd.#537 · 644,387 sh$186.5M+121.3%
MARSICO CAPITAL MANAGEMENT#538 · 643,861 sh$186.3M-10.0%
AG2R LA MONDIALE GESTION D'ACTIFS#539 · 643,815 sh$186.3M+9.4%
MassMutual Private Wealth & , FSB#540 · 642,937 sh$186.0M-4.2%
Snowden Capital Advisors#541 · 642,631 sh$186.0M-0.2%
First American Bank#542 · 641,048 sh$185.5M+0.1%
Harvest Portfolios Group#543 · 637,896 sh$184.6M+10.3%
CLIFFORD SWAN INVESTMENT COUNSEL#544 · 637,332 sh$184.4M-3.1%
BECKER CAPITAL MANAGEMENT#545 · 635,045 sh$183.8M+3.6%
Henshaw Capital#546 · 631,639 sh$182.8M-1.8%
AXIOM INVESTORS#547 · 631,399 sh$182.7M+10.0%
Hudson Bay Capital Management#548 · 631,092 sh$182.6M-69.1%
NORTHEAST INVESTMENT MANAGEMENT#549 · 630,130 sh$182.3M+1.6%
GREENLEAF#550 · 625,953 sh$181.1M-1.9%
Empirical Financial Services, d.b.a. Empirical Wealth Ma#551 · 620,743 sh$179.6M+1.4%
Biltmore Family Office#552 · 619,638 sh$179.3M-9.9%
EFG International AG#553 · 617,764 sh$178.8M-3.0%
Dakota Wealth Management#554 · 617,780 sh$178.8M+0.6%
OneDigital Investment Advisors#555 · 617,608 sh$178.7M+1.2%
Evelyn Partners Group Ltd#556 · 616,120 sh$178.3M—
Modern Wealth Management#557 · 614,819 sh$177.9M+18.9%
Local Pensions Partnership Investment Ltd#558 · 614,293 sh$177.6M-16.0%
Callan Family Office#559 · 613,564 sh$177.5M+3.8%
PARK AVENUE SECURITIES#560 · 613,031 sh$177.4M+1.7%
PATTEN & PATTEN#561 · 613,022 sh$177.4M-1.4%
Harvest Fund Management , Ltd#562 · 612,571 sh$177.1M-4.6%
MGO ONE SEVEN#563 · 611,989 sh$177.1M+5.6%
Brookstone Capital Management#564 · 609,042 sh$176.2M+9.7%
Carnegie Investment Counsel#565 · 607,488 sh$175.8M-8.6%
Choate Investment Advisors#566 · 605,835 sh$175.3M-3.0%
Argent#567 · 601,810 sh$174.1M+9.8%
Golden Unicorn (BVI) Ltd#568 · 600,000 sh$173.6M-14.3%
OLD NATIONAL BANCORP#569 · 599,399 sh$173.4M-5.3%
Vestmark Advisory Solutions#570 · 595,353 sh$172.3M-3.1%
SIGNATUREFD#571 · 593,764 sh$171.8M+1.3%
Kingsview Wealth Management#572 · 592,616 sh$171.5M-22.4%
DONALDSON CAPITAL MANAGEMENT#573 · 592,203 sh$171.4M+4.7%
MOGY JOEL R INVESTMENT COUNSEL#574 · 590,640 sh$170.9M-0.3%
Ashton Thomas Private Wealth#575 · 590,605 sh$170.9M+1.6%
Dana Investment Advisors#576 · 588,854 sh$170.4M+2.4%
W.G. Shaheen & Associates DBA Whitney#577 · 588,020 sh$170.1M+2.9%
Mount Yale Investment Advisors#578 · 587,164 sh$169.9M-0.5%
VERUS CAPITAL PARTNERS#579 · 586,917 sh$169.8M-4.5%
OF VERMONT#580 · 585,123 sh$169.3M—
TOCQUEVILLE ASSET MANAGEMENT L.P.#581 · 583,722 sh$168.9M-1.6%
Traynor Capital Management#582 · 583,453 sh$168.8M-1.2%
Brevan Howard Capital Management#583 · 583,127 sh$168.7M+284.7%
Focus Partners Advisor Solutions#584 · 582,828 sh$168.6M+3.9%
VAN LANSCHOT KEMPEN INVESTMENT MANAGEMENT N.V.#585 · 582,428 sh$168.5M+3.2%
BSN Capital Partners Ltd#586 · 575,000 sh$168.5M+9.4%
Global Retirement Partners#587 · 580,699 sh$168.0M—
Sigma Planning#588 · 579,763 sh$167.8M-5.2%
BRIGHTON JONES#589 · 579,657 sh$167.7M+1.7%
CWA Asset Management Group#590 · 579,127 sh$167.6M+1.0%
Systematic Alpha Investments#591 · 576,144 sh$166.7M0.0%
CHILTON CAPITAL MANAGEMENT#592 · 573,291 sh$165.9M+18.7%
J. Safra Sarasin Holding AG#593 · 604,536 sh$165.8M+8.2%
Generali Asset Management SPA SGR#594 · 571,445 sh$165.4M-2.1%
Caprock Group#595 · 568,800 sh$164.6M-0.3%
ALLIANZ SE#596 · 567,535 sh$164.2M+0.2%
Skandinaviska Enskilda Banken AB (publ)#597 · 564,589 sh$163.2M-49.8%
ASSOCIATED BANC#598 · 561,437 sh$162.5M-1.6%
MEYER HANDELMAN#599 · 558,997 sh$161.7M-1.0%
BAHL & GAYNOR#600 · 558,116 sh$161.5M-13.8%

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.