RSEAX
U.S. Strategic Equity Fund
RUSSELL INVESTMENT CO

Portfolio concentration

As of April 30, 2026 · N-PORT
Holdings
432
Top-10 weight
33.55%
Effective holdings ?
64
Crowding ?
1532.4

Holdings

As of April 30, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 NVIDIA CORP 1,068,531 $213.25M 7.14%
2 APPLE INC 612,129 $166.10M 5.56%
3 MICROSOFT CORP 304,266 $124.07M 4.15%
4 ALPHABET INC CL A 316,568 $121.82M 4.08%
5 AMAZON.COM INC 422,698 $112.04M 3.75%
6 BROADCOM INC 216,782 $90.49M 3.03%
7 U.S. Cash Management Fund 69,495,932 $69.48M 2.32%
8 ALPHABET INC CL C 173,247 $66.17M 2.21%
9 META PLATFORMS INC CL A 100,003 $61.19M 2.05%
10 MASTERCARD INC CL A 75,097 $37.77M 1.26%
11 MICRON TECHNOLOGY INC 51,678 $26.73M 0.89%
12 TESLA INC 59,750 $22.80M 0.76%
13 LILLY ELI and CO 20,497 $19.16M 0.64%
14 TEXAS INSTRUMENTS INC 67,800 $19.06M 0.64%
15 WELLS FARGO & CO 225,100 $18.51M 0.62%
16 GENERAL MOTORS CO 235,574 $18.11M 0.61%
17 WALMART INC 137,243 $18.11M 0.61%
18 COSTCO WHOLESALE CORP 17,583 $17.84M 0.60%
19 CITIGROUP INC 138,081 $17.67M 0.59%
20 QUALCOMM INC 97,935 $17.59M 0.59%
21 BANK OF AMERICA CORPORATION 308,487 $16.49M 0.55%
22 AT&T INC 602,467 $15.74M 0.53%
23 JPMORGAN CHASE and CO 49,895 $15.63M 0.52%
24 BERKSHIRE HATH-B 32,938 $15.60M 0.52%
25 VALERO ENERGY CORP 60,360 $15.25M 0.51%
26 SERVICENOW INC 172,336 $15.22M 0.51%
27 AMPHENOL CORPORATION CL A 100,645 $14.82M 0.50%
28 UNITEDHEALTH GRP 39,766 $14.73M 0.49%
29 CONOCOPHILLIPS 117,079 $14.73M 0.49%
30 CVS HEALTH CORP 176,337 $14.69M 0.49%
31 JOHNSON&JOHNSON 62,565 $14.38M 0.48%
32 INTUIT INC 36,445 $14.16M 0.47%
33 KROGER CO 206,477 $14.05M 0.47%
34 ADOBE INC 56,309 $13.86M 0.46%
35 WALT DISNEY CO/T 133,123 $13.81M 0.46%
36 EXXON MOBIL CORP 87,932 $13.57M 0.45%
37 MORGAN STANLEY 69,666 $13.28M 0.44%
38 BANK OF NEW YORK MELLON CORP 98,233 $13.20M 0.44%
39 THE BOOKING HOLDINGS INC 77,875 $13.11M 0.44%
40 AMERICAN EXPRESS CO 39,842 $12.87M 0.43%
41 LAM RESEARCH CORP 49,864 $12.86M 0.43%
42 REGENERON PHARMACEUTICALS INC 17,504 $12.38M 0.41%
43 EDWARDS LIFESCIENCES CORP 146,281 $12.21M 0.41%
44 COMCAST CORP CL A 450,238 $12.17M 0.41%
45 LOWES COS INC 50,493 $12.06M 0.40%
46 ABBVIE INC 56,328 $11.90M 0.40%
47 ARCHER DANIELS MIDLAND CO 158,666 $11.83M 0.40%
48 SALESFORCE INC 66,216 $11.69M 0.39%
49 WESTERN DIGITAL CORP 26,462 $11.50M 0.38%
50 MEDTRONIC PLC 140,961 $11.41M 0.38%
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