StockScan > Holders > Russell Investments Group

Russell Investments Group's Portfolio and 13F Filing

Value: $57.48B
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
81 Teekay Tankers Ltd. TNK $72.24 2,460,653

1,998,900

up arrow -461,753

$144,400,536 0.25%
82 Thermo Fisher Scientific Inc TMO $597.15 188,734

237,269

up arrow 48,535

$141,685,183 0.25%
83 Range Resources Corporation RRC $36.91 4,358,958

3,827,588

up arrow -531,370

$141,276,273 0.25%
84 Essex Property Trust, Inc. ESS $264.71 524,396

523,484

up arrow -912

$138,571,450 0.24%
85 Netflix, Inc. NFLX $610.52 285,480

225,680

up arrow -59,800

$137,782,154 0.24%
86 Medtronic plc. Ordinary Shares MDT $85.64 1,713,839

1,585,517

up arrow -128,322

$135,783,676 0.24%
87 Dupont De Nemours Inc DD $77.57 2,518,257

1,730,897

up arrow -787,360

$134,265,680 0.23%
88 Abbott Laboratories ABT $104.87 1,387,566

1,276,994

up arrow -110,572

$133,918,361 0.23%
89 Archer-Daniels-Midland Company ADM $61.59 1,579,438

2,144,253

up arrow 564,815

$132,064,542 0.23%
90 Intel Corporation INTC $32.03 4,326,275

4,101,936

up arrow -224,339

$131,385,010 0.23%
91 Valvoline Inc. VVV $42.24 2,195,254

3,087,068

up arrow 891,814

$130,397,752 0.23%
92 Cheniere Energy, Inc. LNG $157.94 833,327

825,611

up arrow -7,716

$130,397,001 0.23%
93 Textron Inc. TXT $87.48 1,554,302

1,463,780

up arrow -90,522

$128,051,474 0.22%
94 QUALCOMM Incorporated QCOM $193.27 671,982

658,823

up arrow -13,159

$127,330,721 0.22%
95 Danaher Corporation DHR $264.84 572,066

478,701

up arrow -93,365

$126,779,173 0.22%
96 Regeneron Pharmaceuticals, Inc. REGN $967.98 126,843

130,807

up arrow 3,964

$126,618,560 0.22%
97 Ventas, Inc. VTR $48.71 2,847,874

2,549,295

up arrow -298,579

$124,176,159 0.22%
98 American Express Company AXP $241.32 481,497

512,723

up arrow 31,226

$123,730,314 0.22%
99 Advanced Micro Devices, Inc. AMD $162.62 759,219

758,827

up arrow -392

$123,400,447 0.21%
100 Booking Holdings Inc. BKNG $3,735.01 32,707

32,335

up arrow -372

$120,771,548 0.21%