RTXAX
Tax-Managed Real Assets Fund
RUSSELL INVESTMENT CO

Portfolio concentration

As of April 30, 2026 · N-PORT
Holdings
400
Top-10 weight
24.70%
Effective holdings ?
88
Crowding ?
637.9

Holdings

As of April 30, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 WELLTOWER INC 301,596 $65.55M 4.47%
2 PROLOGIS INC REIT 400,072 $56.82M 3.87%
3 EQUINIX INC 51,859 $56.15M 3.83%
4 REALTY INCOME CORP REIT 509,725 $32.74M 2.23%
5 SIMON PROPERTY 155,137 $31.60M 2.15%
6 DIGITAL REALTY TRUST INC 146,374 $29.41M 2.00%
7 U.S. Cash Management Fund 28,880,955 $28.88M 1.97%
8 VENTAS INC REIT 239,287 $21.02M 1.43%
9 TRANSURBAN GROUP 1,954,609 $19.85M 1.35%
10 AENA SME SA 723,106 $19.75M 1.35%
11 IRON MOUNTAIN INC 154,922 $19.52M 1.33%
12 AERO DEL PACIF-B 763,655 $19.16M 1.31%
13 EQUITY RESIDENTIAL REIT 284,301 $18.59M 1.27%
14 NEXTERA ENERGY INC 184,444 $18.05M 1.23%
15 EXTRA SPACE STORAGE INC 124,084 $17.78M 1.21%
16 SHELL PLC 363,094 $16.48M 1.12%
17 Groupe Eurotunnel SA GRPTF 707,881 $15.86M 1.08%
18 CHENIERE ENERGY INC 56,056 $15.41M 1.05%
19 ONEOK INC 165,229 $15.28M 1.04%
20 BP PLC 1,875,856 $14.81M 1.01%
21 DARLING INGREDIENTS INC 229,276 $14.73M 1.00%
22 NATIONAL GRID PL 777,164 $13.90M 0.95%
23 DUKE ENERGY CORP NEW 105,534 $13.67M 0.93%
24 HOST HOTELS & RE 641,991 $13.57M 0.92%
25 GLENCORE PLC 1,692,784 $13.11M 0.89%
26 CONOCOPHILLIPS 98,312 $12.37M 0.84%
27 PUBLIC STORAGE 38,751 $11.72M 0.80%
28 TC ENERGY CORP 168,412 $11.29M 0.77%
29 ALBEMARLE CORP 57,145 $11.24M 0.77%
30 REGENCY CENTERS CORP REIT 144,023 $11.21M 0.76%
31 ADP 91,467 $11.11M 0.76%
32 VISTA OIL GAS SAB DE CV ADR VIST US 148,282 $11.02M 0.75%
33 AGREE REALTY CORP 142,231 $10.97M 0.75%
34 TARGA RESOURCES CORP 41,661 $10.84M 0.74%
35 GAMING AND LEISURE PROPRTI INC 221,319 $10.73M 0.73%
36 CAMDEN PROP TR 100,741 $10.58M 0.72%
37 PETROBRAS-PREF 1,063,290 $10.54M 0.72%
38 FLUGHAFEN ZU-REG 35,354 $10.04M 0.68%
39 BRIXMOR PROPERTY 324,149 $9.75M 0.66%
40 Sociedad Quimica y Minera de Chile S A ADR(REPR 1 PRF SER'B') SQM US 105,754 $9.75M 0.66%
41 AMERICAN ELECTRIC POWER CO INC 70,409 $9.65M 0.66%
42 KOSMOS ENERGY LTD 2,889,929 $8.90M 0.61%
43 NATIONAL STORAGE AFFILIATES TRUST 208,598 $8.88M 0.61%
44 ANGLO AMER PLC 179,844 $8.85M 0.60%
45 SEMPRA ENERGY 91,954 $8.75M 0.60%
46 CARETRUST REIT INC 221,288 $8.73M 0.59%
47 EASTGROUP PROP 42,802 $8.61M 0.59%
48 BHP GROUP LTD 214,105 $8.48M 0.58%
49 PUB SERV ENTERP 102,741 $8.39M 0.57%
50 INVITATION HOMES INC 289,610 $8.33M 0.57%
1 / 9 Next ›

Machine-readable: JSON · Markdown. Programmatic access via the agent surface.