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Sustainable Equity Fund (REQTX) is an MF managed by Russell Investments. Its largest position is RUSSELL INVESTMENTS TRUST COMPANY COMMINGLED EMPLOYEE BENEFIT FUNDS TRUST-U.S. CASH MANAGEMENT FUND (null), representing 4.31% of fund assets.

Sustainable Equity Fund Portfolio Holdings

Source: SEC Form N-PORT institutional portfolio disclosures

Ticker:
REQTX
Type:
MF
Manager:
Russell Investments
Total Assets:
—
Report Date:
Apr 30, 2026
Filing Date:
Jun 22, 2026
Showing 50 out of 383 holdings
Holding Weight Market Value Shares
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RUSSELL INVESTMENTS TRUST COMPANY COMMINGLED EMPLOYEE BENEFIT FUNDS TRUST-U.S. CASH MANAGEMENT FUND
4.31% $11,433,359.85 11,435,647
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MICROSOFT CORP
3.78% $10,018,746.82 24,569
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NVIDIA CORP
3.71% $9,849,378.21 49,353
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Apple Inc.
2.57% $6,816,040.65 25,119
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TAIWAN SEMICONDUCTOR MANUFACTURING CO LTD
1.69% $4,480,644.03 66,000
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Broadcom Inc.
1.51% $3,994,387.67 9,569
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ASML HOLDING NV
1.30% $3,447,320.69 2,388
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TAIWAN SEMICONDUCTOR MANUFACTURING CO LTD
1.23% $3,274,228.02 8,267
-
VISA INC.
1.16% $3,069,161.20 9,305
-
Alphabet Inc.
1.15% $3,048,645.08 7,982
-
Mastercard Inc
1.14% $3,035,122.20 6,035
-
ELI LILLY & Co
1.12% $2,964,551.20 3,172
-
Edwards Lifesciences Corp
1.09% $2,896,615.00 34,690
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TJX COMPANIES INC /DE/
1.01% $2,681,208.75 17,105
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IBERDROLA SA
0.97% $2,577,565.37 109,971
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EBAY INC
0.90% $2,397,217.68 23,166
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NEXTERA ENERGY INC
0.90% $2,381,811.92 24,334
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CIE GENERALE DES ETABLISSEMENTS MICHELIN SCA
0.89% $2,360,690.48 65,040
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ASTRAZENECA PLC
0.82% $2,161,856.97 11,371
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ING GROEP NV
0.81% $2,156,662.74 74,355
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Arista Networks, Inc.
0.81% $2,151,793.89 12,459
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TEXAS INSTRUMENTS INC
0.79% $2,100,791.92 7,474
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DANAHER CORP /DE/
0.78% $2,072,241.00 11,580
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Vertiv Holdings Co
0.77% $2,036,966.49 6,201
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WASTE MANAGEMENT INC
0.76% $2,025,975.60 8,712
-
SHOPIFY INC.
0.76% $2,010,515.74 16,598
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AIR LIQUIDE SA
0.75% $1,996,531.06 9,275
-
ECOLAB INC.
0.72% $1,921,143.20 7,372
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ICE FUTURES U.S., INC.
0.68% $1,813,829.34 223
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HUBBELL INC
0.67% $1,784,184.87 3,511
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BRISTOL MYERS SQUIBB CO
0.66% $1,761,957.20 29,080
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AMAZON COM INC
0.66% $1,751,781.54 6,609
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THERMO FISHER SCIENTIFIC INC.
0.66% $1,748,204.00 3,650
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Accenture plc
0.64% $1,708,646.31 9,561
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Palo Alto Networks Inc
0.64% $1,696,905.16 9,463
-
NORTHERN TRUST CORP
0.63% $1,659,241.50 9,975
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AIA GROUP LIMITED
0.62% $1,654,281.50 150,200
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Merck & Co., Inc.
0.61% $1,610,514.18 14,751
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BASF SE
0.60% $1,592,502.41 24,783
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ADYEN NV
0.60% $1,580,855.52 1,397
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AUTOMATIC DATA PROCESSING INC
0.58% $1,525,332.18 7,197
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DAIMLER TRUCK HOLDING AG
0.55% $1,465,393.26 29,041
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CVS HEALTH Corp
0.55% $1,461,489.63 17,547
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HSBC HOLDINGS PLC
0.55% $1,460,181.17 79,669
-
COMPASS GROUP PLC
0.53% $1,413,093.21 49,959
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RECRUIT HOLDINGS CO. LTD.
0.53% $1,400,453.28 30,000
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Xylem Inc.
0.52% $1,388,261.84 11,749
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M&T BANK CORP
0.52% $1,385,676.94 6,338
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LOWES COMPANIES INC
0.52% $1,379,012.25 5,775
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INDUSTRIA DE DISENO TEXTIL SA
0.51% $1,365,370.60 22,787
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