StockScan > Holders > Russell Investments Group

Russell Investments Group's Portfolio and 13F Filing

Value: $54.8B
CIK: 0001692234
Phone: 206-505-2086
Address: 1301 Second Avenue, Seattle, WA (98101)
Latest 13F Filing:
Russell Investments Group's Stock Holdings & 13F Form
# Stock Name Symbol Current Price

Previous Holdings

(# Shares)

Current Holdings

(# Shares)

Current Value Percent
61 HCA Healthcare, Inc. HCA $309.44 619,939

541,884

up arrow -78,055

$167,680,585 0.31%
62 CenterPoint Energy, Inc (Holdin CNP $29.32 6,710,128

5,656,806

up arrow -1,053,322

$165,857,552 0.30%
63 Westinghouse Air Brake Technolo WAB $160.54 872,167

1,030,070

up arrow 157,903

$165,367,438 0.30%
64 Verizon Communications Inc. VZ $39.20 4,474,268

4,053,138

up arrow -421,130

$158,883,010 0.29%
65 Waste Management, Inc. WM $206.76 824,516

751,717

up arrow -72,799

$155,425,007 0.28%
66 Public Storage PSA $260.15 696,255

593,808

up arrow -102,447

$154,479,151 0.28%
67 Corteva Inc CTVA $53.91 3,114,259

2,863,293

up arrow -250,966

$154,360,126 0.28%
68 nVent Electric plc Ordinary Sha NVT $71.07 1,219,717

2,167,828

up arrow 948,111

$154,067,536 0.28%
69 Lennar Corporation Class A LEN $152.47 1,060,384

981,409

up arrow -78,975

$149,635,430 0.27%
70 Kroger Company (The) KR $54.77 3,020,399

2,703,576

up arrow -316,823

$148,074,858 0.27%
71 Welltower Inc. WELL $94.36 2,436,508

1,567,923

up arrow -868,585

$147,949,214 0.27%
72 Extra Space Storage Inc EXR $138.70 993,205

1,064,812

up arrow 71,607

$147,689,424 0.27%
73 Exxon Mobil Corporation XOM $116.03 1,528,238

1,260,509

up arrow -267,729

$146,256,859 0.27%
74 Equinix, Inc. EQIX $695.33 293,203

209,965

up arrow -83,238

$145,994,963 0.27%
75 BROADCOM CORP COM USD1.00 AVGO $1,242.86 159,188

112,023

up arrow -47,165

$139,228,906 0.25%
76 Westrock Company WRK $47.90 3,401,092

2,904,444

up arrow -496,648

$139,122,868 0.25%
77 Popular, Inc. BPOP $86.90 1,406,062

1,575,822

up arrow 169,760

$136,938,932 0.25%
78 Thermo Fisher Scientific Inc TMO $574.99 188,734

237,269

up arrow 48,535

$136,427,302 0.25%
79 Abbott Laboratories ABT $106.29 1,387,566

1,276,994

up arrow -110,572

$135,731,692 0.25%
80 Dupont De Nemours Inc DD $78.31 2,518,257

1,730,897

up arrow -787,360

$135,546,544 0.25%