RRESX
Global Real Estate Securities Fund
RUSSELL INVESTMENT CO
Expense ratio1
1.09%
Net assets2
$413.59M
Holdings2
152
Category
US Equity
2025 return3
8.39%

Investment objective & strategy

As of Feb. 27, 2026 · prospectus

Objective. The Fund seeks to provide current income and long term capital growth.

Strategy. The Fund has a non-fundamental policy to invest, under normal circumstances, at least 80% of the value of its net assets plus borrowings for investment purposes in real estate securities. The Fund seeks to achieve its objective by concentrating its investments in equity securities of real estate companies (real estate securities) economically tied to a number of countries around the world, including the U.S., in a globally diversified manner. The Fund considers a company to be a real estate company if it is included in the Global Industry Classification Standard (GICS) real estate sector. The Fund invests principally in securities of companies, known as real estate investment trusts (REITs) and other REIT-like entities that own interests in real estate or … The Fund has a non-fundamental policy to invest, under normal circumstances, at least 80% of the value of its net assets plus borrowings for investment purposes in real estate securities. The Fund seeks to achieve its objective by concentrating its investments in equity securities of real estate companies (real estate securities) economically tied to a number of countries around the world, including the U.S., in a globally diversified manner. The Fund considers a company to be a real estate company if it is included in the Global Industry Classification Standard (GICS) real estate sector. The Fund invests principally in securities of companies, known as real estate investment trusts (REITs) and other REIT-like entities that own interests in real estate or real estate-related loans. The Fund may also invest in equity securities of other types of real estate-related companies , such as real estate operating companies . A portion of the Funds securities are denominated in foreign currencies and are typically held outside the U.S. The Fund may invest a portion of its assets in equity securities of companies that are located in emerging markets. The Fund considers emerging market countries to include every country in the world except Australia, Austria, Belgium, Canada, Denmark, Finland, France, Germany, Hong Kong, Ireland, Israel, Italy, Japan, Luxembourg, the Netherlands, New Zealand, Norway, Portugal, Singapore, Spain, Sweden, Switzerland, the United Kingdom and the United States. Russell Investment Management, LLC ( RIM ) provides or oversees the provision of all investment advisory and portfolio management services for the Fund. The Fund is advised by RIM and multiple money managers unaffiliated with RIM pursuant to a multi-manager approach. RIM may change the Funds asset allocation at any time. The Funds money managers have non-discretionary asset management assignments pursuant to which they provide a model portfolio to RIM representing their investment recommendations, based upon which RIM purchases and sells securities for the Fund. For Fund assets not allocated to money manager strategies, RIM utilizes quantitative and/or rules-based processes and qualitative analysis to assess Fund characteristics and invest in securities and instruments which provide the desired exposures. RIM may use strategies based on indexes. RIM also manages the Funds cash balances. The Fund usually, but not always, pursues a strategy to be fully invested by exposing all or a portion of its cash to the performance of certain real estate securities or, in certain circumstances, broad global equity markets by purchasing equity securities and/or derivatives, which typically include index futures contracts and swaps. The Fund may invest in derivative instruments and may use derivatives to take both long and short positions. The Fund may enter into spot or forward currency contracts to facilitate settlement of securities transactions. The Fund may invest in large, medium or small capitalization companies. Please refer to the Investment Objective and Investment Strategies section in the Fund's Prospectus for further information.

Top holdings

As of April 30, 2026 · N-PORT
SecurityTickerValue% of fund
WELLTOWER INC $33.30M 8.05%
PROLOGIS INC REIT $22.65M 5.48%
EQUINIX INC $21.49M 5.20%
DIGITAL REALTY TRUST INC $19.10M 4.62%
SIMON PROPERTY $11.23M 2.72%
GOODMAN GROUP $10.75M 2.60%
U.S. Cash Management Fund $10.32M 2.50%
REALTY INCOME CORP REIT $9.22M 2.23%
EXTRA SPACE STORAGE INC $8.89M 2.15%
SUN COMMUNITIES INC - REIT $8.57M 2.07%
View all holdings →

Allocation by sector

As of April 30, 2026 · N-PORT
View portfolio breakdown →

Portfolio moves

Jan 31, 2026 → Apr 30, 2026
Opened
13
Exited
6
Increased
48
Decreased
71
Unchanged
20

How many positions this fund opened, exited, grew, trimmed, or left unchanged between its two most recent N-PORT snapshots — net changes between point-in-time reports, not a trade log.

View portfolio moves →

Similar funds

Funds whose portfolios most overlap this one, by weight
FundOverlapNet exp.
Global Real Estate Securities Fund · RIFSX 92% 0.91%
Cohen & Steers Global Realty Shares, Inc. · CSFAX, CSFCX, CSSPX, GRSRX, CSFZX, GRSFX 74% 0.84%
DWS RREEF Global Real Estate Securities Fund · RRGAX, RRGCX, RRGTX, RRGIX, RRGRX 72% 0.79%
View all similar funds →

Advisers

As of October 31, 2025 · N-CEN
FirmRole
Russell Investment Management, LLC Adviser
Cohen & Steers Capital Management, Inc. Sub-adviser
RREEF America L.L.C. Sub-adviser
Cohen & Steers UK Limited Sub-adviser
Cohen & Steers Asia Limited Sub-adviser
DWS Investments Australia Limited Sub-adviser
DWS Alternatives Global Limited Sub-adviser

Footnotes

  1. Expense ratio as of February 27, 2026, from the fund's prospectus.
  2. Net assets and holdings count as of April 30, 2026, from the fund's N-PORT filing.
  3. Total return for calendar year 2025, before tax and after fund expenses. As reported in the fund's prospectus performance bar chart.

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