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RGLO · Russell Investments Global Equity ETF ETF

Russell Investments Exchange Traded Funds

SEC fund profile
$33.73 -0.32% At close · Sep 4
Net assets $336,780,641
Holdings386
1 month
-0.75%
Year to date
+13.61%
52-week range
$27.27–$34.43
30-session avg volume
27,249

Market performance

Adjusted close · up to five years

Since May 2025

Fund profile

Structure
Open-end / ETF
SEC series
S000089992
Report date
Jun 30, 2026
Holdings coverage
Full reported portfolio

Portfolio concentration

Top 10 holdings25.06%

Calculated only when the SEC filing is stored with complete portfolio coverage.

Asset allocation

EC97.26%
STIV0.84%
EP0.36%
DFE0.09%
DE0.02%

Country allocation

US57.98%
JP6.92%
GB5.87%
FR3.64%
DE3.24%
CH2.80%
NL2.73%
Other15.37%

Portfolio holdings

Latest linked SEC Form NPORT-P report.

Export CSV
HoldingValueWeight
NVIDIA Corp$15,904,9544.72%
Apple Inc$13,533,9464.02%
Alphabet Inc$10,098,8783.00%
Amazon.com Inc$9,386,0682.79%
Microsoft Corp$8,493,2922.52%
Broadcom Inc$6,481,4351.92%
Taiwan Semiconductor Manufacturing Co Ltd$5,520,2321.64%
Meta Platforms Inc$5,256,6221.56%
Applied Materials Inc$4,913,5081.46%
Alphabet Inc$4,822,3511.43%
Micron Technology Inc$3,492,8821.04%
Eli Lilly & Co$3,279,2420.97%
Russell Investments Trust Company Commingled Employee Benefit Funds Trust-U.S. Cash Management Fund$2,825,9940.84%
Mastercard Inc$2,801,6880.83%
Seagate Technology Holdings PLC$2,778,2350.82%
Samsung Electronics Co Ltd$2,678,8120.80%
UnitedHealth Group Inc$2,658,3690.79%
JPMorgan Chase & Co$2,589,1800.77%
Advanced Micro Devices Inc$2,582,7260.77%
ASML Holding NV$2,556,9330.76%
Tesla Inc$2,453,3600.73%
Bank of America Corp$2,153,0460.64%
Lam Research Corp$1,959,9520.58%
Linde PLC$1,912,2940.57%
Johnson & Johnson$1,885,4730.56%
Schneider Electric SE$1,862,6720.55%
Charles Schwab Corp/The$1,827,0380.54%
Berkshire Hathaway Inc$1,808,4090.54%
Roche Holding AG$1,762,8510.52%
Visa Inc$1,674,2790.50%
Airbnb Inc$1,636,4920.49%
HCA Healthcare Inc$1,519,0110.45%
Capital One Financial Corp$1,516,6870.45%
ING Groep NV$1,494,4760.44%
Exxon Mobil Corp$1,488,3340.44%
Vertiv Holdings Co$1,472,5380.44%
Goldman Sachs Group Inc/The$1,421,9860.42%
UBS Group AG$1,399,9680.42%
Merck & Co Inc$1,396,5380.41%
HSBC Holdings PLC$1,389,9160.41%
Shell PLC$1,388,3170.41%
CME Group Inc$1,388,1370.41%
Infineon Technologies AG$1,385,9310.41%
General Electric Co$1,351,4080.40%
Vertex Pharmaceuticals Inc$1,350,1120.40%
RTX Corp$1,339,8730.40%
Cigna Group/The$1,308,3770.39%
TransDigm Group Inc$1,306,7310.39%
Elevance Health Inc$1,287,8110.38%
Procter & Gamble Co/The$1,271,5150.38%