Apple Inc. (AAPL) — Institutional Holders, Q2 2026 (page 8)

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 701 to 800. 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 701–800 of 6,153

Institutional investors reporting a position in Apple Inc. on SEC Form 13F-HR for Q2 2026, ranked by reported value.
InstitutionValueQoQ
North Dakota State Investment Board#701 · 426,229 sh$123.3M+0.9%
GRIMES & WEALTH MANAGEMENT#702 · 426,013 sh$123.3M+0.4%
Meridian Wealth Management#703 · 424,395 sh$122.8M+0.4%
SEGALL BRYANT & HAMILL#704 · 423,265 sh$122.5M-63.4%
LGT CAPITAL PARTNERS LTD.#705 · 423,250 sh$122.5M+16.4%
CreativeOne Wealth#706 · 421,620 sh$122.0M+4.0%
MMBG INVESTMENT ADVISORS#707 · 421,075 sh$121.8M+5.9%
Sowell Financial Services#708 · 420,714 sh$121.7M-1.3%
Generate Investment Management Ltd#709 · 420,426 sh$121.7M+2.8%
TRANSCEND WEALTH COLLECTIVE#710 · 420,146 sh$121.6M+4.1%
CINCINNATI INSURANCE#711 · 420,000 sh$121.5M0.0%
Fifth Third Wealth Advisors#712 · 419,922 sh$121.5M+0.5%
Ameritas Investment Partners#713 · 418,392 sh$121.1M-0.3%
NLB Skladi, upravljanje premozenja, d.o.o.#714 · 417,786 sh$120.9M+1.1%
GAMMA Investing#715 · 417,210 sh$120.7M+11.7%
Gerber Kawasaki Wealth & Investment Management#716 · 415,258 sh$120.2M+2.7%
Howard Capital Management Group#717 · 414,220 sh$119.9M-1.0%
Atria Investments#718 · 413,130 sh$119.5M-2.5%
Smith, Salley & Associates#719 · 412,027 sh$119.2M-1.1%
SMITH CHAS P & ASSOCIATES PA CPAS#720 · 411,508 sh$119.1M-2.8%
Avalon#721 · 410,286 sh$118.7M-1.4%
Van Cleef Asset Management#722 · 407,200 sh$117.8M-2.8%
OVERSEA-CHINESE BANKING Ltd#723 · 407,079 sh$117.7M-2.7%
Main Street Research#724 · 406,129 sh$117.5M+0.6%
Private Wealth Partners#725 · 405,885 sh$117.4M-5.3%
Wharton Business Group#726 · 405,851 sh$117.4M-5.5%
Visionary Wealth Advisors#727 · 403,814 sh$116.8M+0.6%
NICOLET BANKSHARES#728 · 387,221 sh$116.8M+0.1%
FRANKLIN STREET ADVISORS#729 · 403,458 sh$116.7M-4.0%
Vest Financial#730 · 403,159 sh$116.7M+19.0%
KORNITZER CAPITAL MANAGEMENT#731 · 399,665 sh$115.6M-3.6%
ADELL HARRIMAN & CARPENTER#732 · 398,856 sh$115.4M-1.9%
Jain Global#733 · 398,090 sh$115.2M-5.7%
CHILTON INVESTMENT#734 · 397,628 sh$115.1M+104.6%
Clal Insurance Enterprises Ltd#735 · 397,512 sh$115.0M-1.3%
Parkside Financial Bank#736 · 396,856 sh$114.8M+100.0%
Ballentine Partners#737 · 394,948 sh$114.3M+1.0%
Brickley Wealth Management#738 · 394,727 sh$114.2M+3.2%
Dynamic Advisor Solutions#739 · 390,317 sh$112.9M+0.1%
Northwest & Ethical Investments L.P.#740 · 390,390 sh$112.9M-4.1%
Aristotle Atlantic Partners#741 · 388,154 sh$112.3M-10.7%
Meeder Advisory Services#742 · 387,376 sh$112.1M+1.6%
Capital International Sarl#743 · 384,683 sh$111.3M+29.8%
GABELLI FUNDS#744 · 384,577 sh$111.3M-8.8%
CULLINAN ASSOCIATES#745 · 382,145 sh$110.6M-4.7%
FIDEURAM - INTESA SANPAOLO PRIVATE BANKING S.P.A.#746 · 379,605 sh$109.8M-9.5%
Kentucky Retirement Systems Insurance Fund#747 · 377,429 sh$109.2M-1.8%
COMMUNITY & INVESTMENT#748 · 377,257 sh$109.2M-0.7%
HIGHLAND CAPITAL MANAGEMENT#749 · 376,682 sh$109.0M-4.2%
NWI MANAGEMENT#750 · 376,100 sh$108.8M+291.4%
Plato Investment Management Ltd#751 · 376,892 sh$108.4M+3.2%
Chicago Partners Investment Group#752 · 336,798 sh$108.3M+11.7%
Howard Capital Management#753 · 373,939 sh$108.2M+19.3%
WealthPlan Investment Management#754 · 373,764 sh$108.2M-11.5%
Welch Group#755 · 372,791 sh$107.9M-0.6%
GuoLine Advisory Pte Ltd#756 · 371,700 sh$107.6M0.0%
WEALTH ALLIANCE#757 · 371,628 sh$107.5M+9.7%
Bryn Mawr Advisors#758 · 371,340 sh$107.5M+0.6%
Community Bank, N.A.#759 · 371,053 sh$107.4M-0.5%
DEARBORN PARTNERS#760 · 422,029 sh$107.1M0.0%
FIRST NATIONAL BANK OF OMAHA#761 · 373,221 sh$107.0M-1.6%
GLP LLLP#762 · 367,556 sh$106.4M0.0%
SIGNATURE ESTATE & INVESTMENT ADVISORS#763 · 367,175 sh$106.3M+4.3%
Birch Hill Investment Advisors#764 · 367,068 sh$106.2M+1.5%
BURNEY#765 · 366,643 sh$106.1M+2.4%
BNP PARIBAS#766 · 369,737 sh$106.1M-21.0%
Spire Wealth Management#767 · 366,114 sh$105.9M-4.5%
LVM CAPITAL MANAGEMENT LTD#768 · 364,448 sh$105.5M-0.8%
National Mutual Insurance Federation of Agricultural Coopera#769 · 364,400 sh$105.4M+14.1%
Bridgewater Associates#770 · 364,377 sh$105.4M-35.3%
71 West Capital Partners#771 · 364,276 sh$105.4M+10.6%
Impax Asset Management Group plc#772 · 363,014 sh$105.0M-13.8%
Apella Capital#773 · 337,158 sh$104.7M+3.6%
Principle Wealth Partners#774 · 361,967 sh$104.7M-1.3%
KLINGENSTEIN FIELDS#775 · 361,383 sh$104.6M+0.5%
HBK Sorce Advisory#776 · 336,083 sh$104.5M+0.4%
Vestcor#777 · 360,931 sh$104.4M+0.6%
WESTPAC BANKING#778 · 359,807 sh$104.1M-1.4%
PICTON MAHONEY ASSET MANAGEMENT#779 · 358,892 sh$103.8M-11.5%
PEAK6#780 · 358,644 sh$103.8MNew
Western Wealth Management#781 · 357,933 sh$103.6M+2.7%
UNIVEST FINANCIAL#782 · 357,455 sh$103.4M+0.1%
OAK RIDGE INVESTMENTS#783 · 357,120 sh$103.3M-40.2%
Sienna Gestion#784 · 357,877 sh$102.0M-6.5%
Knights of Columbus Asset Advisors#785 · 352,083 sh$101.9M+0.3%
BALDWIN WEALTH PARTNERS#786 · 351,829 sh$101.8M-0.1%
TritonPoint Partners#787 · 351,422 sh$101.7M+811.1%
SUMITOMO LIFE INSURANCE#788 · 350,965 sh$101.6M-0.9%
Cornerstone Wealth Management#789 · 350,341 sh$101.4M+1.8%
MCDANIEL TERRY#790 · 349,854 sh$101.2M0.0%
GUARDIAN CAPITAL#791 · 349,387 sh$101.1M+4.4%
Wesleyan Assurance Society#792 · 348,050 sh$100.6M+0.1%
TRIGLAV SKLADI, D.O.O.#793 · 347,560 sh$100.6M+6.5%
McMillan Office#794 · 344,355 sh$99.6M-0.4%
Wahed Invest#795 · 344,086 sh$99.6M-8.8%
DAVIDSON INVESTMENT ADVISORS#796 · 341,640 sh$98.9M-5.8%
Edgemoor Investment Advisors#797 · 341,236 sh$98.7M0.0%
Savvy Advisors#798 · 340,422 sh$98.5M+10.5%
NORTH STAR ASSET MANAGEMENT#799 · 339,288 sh$98.2M-2.7%
INGALLS & SNYDER#800 · 339,187 sh$98.1M-0.6%

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.