Apple Inc. (AAPL) — Institutional Holders, Q2 2026 (page 7)

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 601 to 700. 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 601–700 of 6,153

Institutional investors reporting a position in Apple Inc. on SEC Form 13F-HR for Q2 2026, ranked by reported value.
InstitutionValueQoQ
Intermede Investment Partners Ltd#601 · 525,232 sh$160.5M-16.2%
TCW GROUP#602 · 552,157 sh$159.8M+0.3%
Covea Finance#603 · 551,555 sh$159.6M-1.3%
AXXCESS WEALTH MANAGEMENT#604 · 561,622 sh$159.0M+1.6%
LGT Fund Management Ltd.#605 · 547,901 sh$158.5M-0.4%
BANQUE PICTET & CIE SA#606 · 540,812 sh$156.5M-1.0%
Fiera Capital#607 · 539,344 sh$156.1M-1.8%
Freestone Capital#608 · 538,849 sh$155.9M+5.8%
Capital Investment Counsel#609 · 536,055 sh$155.1M-1.6%
WASHINGTON#610 · 534,101 sh$154.5M-1.2%
HOWLAND CAPITAL MANAGEMENT#611 · 530,934 sh$153.6M-1.5%
LOCKHEED MARTIN INVESTMENT MANAGEMENT#612 · 530,060 sh$153.4M-26.0%
SOROS FUND MANAGEMENT#613 · 529,538 sh$153.2M+5.8%
PFG Investments#614 · 529,075 sh$153.1M+0.3%
PGGM Investments#615 · 529,053 sh$153.1M+47.8%
Diversify Advisory Services#616 · 449,050 sh$151.3M+239.4%
DIVERSIFY WEALTH MANAGEMENT#617 · 449,050 sh$151.3M+8.3%
Pictet & Cie (Europe) SA#618 · 522,805 sh$151.3M+0.5%
TRILLIUM ASSET MANAGEMENT#619 · 521,841 sh$151.0M-26.0%
INSIGNEO ADVISORY SERVICES#620 · 521,460 sh$150.9M+33.7%
NICHOLS & PRATT ADVISERS LLP#621 · 521,022 sh$150.8M-1.0%
Blue Sparrow#622 · 520,700 sh$150.7M-15.3%
Empirical Finance#623 · 518,315 sh$150.0M+3.4%
NS Partners Ltd#624 · 518,312 sh$150.0M-2.8%
Valeo Financial Advisors#625 · 515,811 sh$149.2M-2.0%
Maple Capital Management#626 · 514,811 sh$149.0M-0.3%
HCR Wealth Advisors#627 · 514,279 sh$148.8M+0.6%
NorthCrest Asset Manangement#628 · 470,482 sh$148.8M+21.1%
STOCK YARDS BANK#629 · 512,988 sh$148.4M-8.4%
INVESTMENT HOUSE#630 · 511,759 sh$148.1M-4.2%
Ancora Advisors#631 · 510,346 sh$147.7M-4.3%
PROFUND ADVISORS#632 · 507,454 sh$146.8M+10.6%
OpenArc Corporate Advisory#633 · 506,314 sh$146.5M+3.5%
CACTI ASSET MANAGEMENT#634 · 506,134 sh$146.5M0.0%
Prospect Hill Management#635 · 505,842 sh$146.4M+0.1%
Nan Shan Life Insurance , Ltd.#636 · 505,646 sh$146.3M+17.1%
Walleye Capital#637 · 505,052 sh$146.1M-18.9%
Temasek (Private) Ltd#638 · 504,475 sh$146.0M-1.7%
ZEVENBERGEN CAPITAL INVESTMENTS#639 · 504,171 sh$145.9M+0.5%
Compound Planning#640 · 503,054 sh$145.6M+7.4%
Mill Capital Management#641 · 502,607 sh$145.4M-0.5%
Gradient Investments#642 · 502,015 sh$145.3M+1.8%
Advisors Asset Management#643 · 500,696 sh$144.9M-4.7%
Three Seasons Wealth#644 · 500,153 sh$144.7M+3614.5%
LOGAN CAPITAL MANAGEMENT#645 · 497,666 sh$144.0MNew
QUADRANT CAPITAL GROUP#646 · 494,330 sh$143.0M-50.9%
LEVEL FOUR ADVISORY SERVICES#647 · 493,660 sh$142.8M+1.7%
Robertson Stephens Wealth Management#648 · 490,322 sh$141.9M+1.0%
INDEPENDENT FINANCIAL GROUP#649 · 489,353 sh$141.6M+54.1%
Capital Investment Advisors#650 · 487,589 sh$141.1MNew
IFP Advisors#651 · 484,958 sh$140.3M-0.1%
Osmosis Investment Management UK Ltd#652 · 483,606 sh$139.9M-49.0%
WESTWOOD GROUP#653 · 483,435 sh$139.9M+6.4%
CARY STREET PARTNERS FINANCIAL#654 · 481,881 sh$139.4M+2.1%
Canada Post Registered Pension Plan#655 · 480,147 sh$138.9M-1.6%
LOCUST WOOD CAPITAL ADVISERS#656 · 479,152 sh$138.6M+0.3%
IHT Wealth Management#657 · 478,371 sh$138.4M+5.5%
Keating Financial Advisory Services#658 · 476,392 sh$137.8M+0.3%
CASTLEARK MANAGEMENT#659 · 472,108 sh$136.6M+34.9%
NORTHWESTERN MUTUAL INVESTMENT MANAGEMENT COMPANY#660 · 470,900 sh$136.3M+0.2%
Silvant Capital Management#661 · 470,182 sh$136.1M-49.4%
SBI Securities , Ltd.#662 · 469,919 sh$136.0M0.0%
Foundations Investment Advisors#663 · 469,893 sh$136.0M+6.4%
Rokos Capital Management LLP#664 · 468,632 sh$135.6M-69.0%
Reynders McVeigh Capital Management#665 · 466,656 sh$135.0M+0.4%
Cohen Klingenstein#666 · 466,450 sh$135.0M0.0%
Joel Isaacson#667 · 458,534 sh$132.7M+0.7%
MEEDER ASSET MANAGEMENT#668 · 457,767 sh$132.5M+3.2%
PARK NATIONAL#669 · 457,292 sh$132.3M-1.9%
ROFFMAN MILLER ASSOCIATES#670 · 456,155 sh$132.0M+1.9%
MONTRUSCO BOLTON INVESTMENTS#671 · 455,851 sh$131.9M-26.4%
Annex Advisory Services#672 · 453,907 sh$131.3M-1.4%
HARBOUR INVESTMENTS#673 · 453,496 sh$131.2M-1.3%
ST GERMAIN D J#674 · 452,771 sh$131.0M-1.1%
FIRST NATIONAL#675 · 451,010 sh$130.5M-17.9%
J. L. Bainbridge#676 · 450,917 sh$130.5M-2.2%
FIDUCIARY FAMILY OFFICE#677 · 450,152 sh$130.3M+0.8%
SECURIAN ASSET MANAGEMENT#678 · 390,287 sh$130.3M-2.0%
SouthState Bank#679 · 448,394 sh$129.7M+0.8%
SIT INVESTMENT ASSOCIATES#680 · 448,073 sh$129.7M-4.0%
Azimuth Capital Investment Management#681 · 447,943 sh$129.6M-1.5%
FARMERS & MERCHANTS INVESTMENTS#682 · 447,308 sh$129.4M+1.6%
Larson Financial Group#683 · 446,809 sh$129.3M-1.5%
MUFG SECURITIES AMERICAS#684 · 442,363 sh$128.0M+8.9%
NEVILLE RODIE & SHAW#685 · 440,265 sh$127.4M-0.6%
Chicago Capital#686 · 438,704 sh$126.9M-3.1%
Nearwater Capital Markets, Ltd#687 · 438,000 sh$126.7M-56.6%
AMI ASSET MANAGEMENT#688 · 437,971 sh$126.7M-3.3%
AIA Group Ltd#689 · 436,909 sh$126.4M-4.4%
EVERGREEN CAPITAL MANAGEMENT#690 · 436,726 sh$126.4M0.0%
BOWEN HANES#691 · 497,258 sh$126.2M0.0%
HANTZ FINANCIAL SERVICES#692 · 434,927 sh$125.8M+6.2%
GREAT VALLEY ADVISOR GROUP#693 · 433,052 sh$125.3M+1.4%
Siemens Fonds Invest GmbH#694 · 433,024 sh$125.3M+1.2%
Nippon Life Global Investors Americas#695 · 431,740 sh$124.9M-4.6%
Talbot Financial#696 · 430,921 sh$124.7M+1.1%
Ameritas Advisory Services#697 · 430,305 sh$124.5M+41.8%
OPPENHEIMER ASSET MANAGEMENT#698 · 428,726 sh$124.1M+6.1%
Moors & Cabot#699 · 427,491 sh$123.7M-0.1%
Venture Visionary Partners#700 · 427,438 sh$123.7M+13.0%

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.