13F FilingMay 28, 2026by InvestLog AI

Charles Schwab Investment Management Q1 2026 13F: top 20 holdings and quarterly changes嘉信投资管理 Q1 2026 13F:前 20 大持仓与季度变化

Charles Schwab Investment Management 13F snapshot: Q1 2026

Charles Schwab Investment Management's latest 13F shows about $646.18B of reported US-listed long equity/ETF positions across 3396 names.

How to read it

  • Top 5 positions are 15.3% of reported 13F value; top 20 are 32.2%; the top 20 are the cleanest view of core exposure.
  • Quarter-over-quarter, the filing shows 73 new positions, 424 increased positions, 411 decreased positions, and 126 full exits.
  • For high-turnover or market-making managers, 13F is better read as an exposure map than as a long-term conviction list.
  • Top 20 holdings

    1. NVDA (Nvidia Corporation): $28.04B, 4.3% of 13F, 160,788,892 shares

    2. AAPL (Apple Inc): $25.97B, 4.0% of 13F, 102,344,793 shares

    3. MSFT (Microsoft Corp): $19.44B, 3.0% of 13F, 52,519,324 shares

    4. AMZN (Amazon Com Inc): $13.87B, 2.1% of 13F, 66,597,967 shares

    5. GOOGL (Alphabet Inc): $11.77B, 1.8% of 13F, 40,918,971 shares

    6. FNDX (Schwab Strategic Tr): $11.68B, 1.8% of 13F, 419,422,622 shares

    7. AVGO (Broadcom Inc): $10.43B, 1.6% of 13F, 33,710,329 shares

    8. GOOG (Alphabet Inc): $9.30B, 1.4% of 13F, 32,422,163 shares

    9. META (Meta Platforms Inc): $8.81B, 1.4% of 13F, 15,403,780 shares

    10. CVX (Chevron Corporation): $7.47B, 1.2% of 13F, 36,118,480 shares

    11. TSLA (Tesla Inc): $7.41B, 1.1% of 13F, 19,943,635 shares

    12. FNDF (Schwab Strategic Tr): $7.00B, 1.1% of 13F, 143,031,375 shares

    13. SCHR (Schwab Strategic Tr): $6.22B, 1.0% of 13F, 249,546,261 shares

    14. MRK (Merck & Co Inc): $5.99B, 0.9% of 13F, 49,765,225 shares

    15. PG (Procter & Gamble Co): $5.98B, 0.9% of 13F, 41,360,143 shares

    16. FNDA (Schwab Strategic Tr): $5.81B, 0.9% of 13F, 179,241,792 shares

    17. KO (Coca Cola Co): $5.81B, 0.9% of 13F, 76,339,039 shares

    18. XOM (Exxon Mobil Corp): $5.81B, 0.9% of 13F, 34,236,797 shares

    19. VZ (Verizon Communications Inc): $5.67B, 0.9% of 13F, 112,936,510 shares

    20. UNH (Unitedhealth Group Inc): $5.63B, 0.9% of 13F, 20,817,755 shares

    Major quarterly changes

    New positions (73)

  • JPIE: (J P Morgan Exchange Traded F): $399.9M
  • PYLD: (Pimco Etf Tr): $393.3M
  • PDBC: (Invesco Actvely Mngd Etc Fd): $95.3M
  • FENY: (Fidelity Covington Trust): $81.8M
  • SUNB: (Sunbelt Rentals Holdings Inc): $78.4M
  • VSNT: (Versant Media Group Inc): $50.3M
  • Increased (424)

  • PG: (Procter & Gamble Co): shares +120%, value change $3.29B
  • ABT: (Abbott Laboratories): shares +245%, value change $3.02B
  • UNH: (Unitedhealth Group Inc): shares +147%, value change $2.85B
  • QCOM: (Qualcomm Inc): shares +366%, value change $2.84B
  • ACN: (Accenture Plc Ireland): shares +259%, value change $2.41B
  • CMCSA: (Comcast Corp New): shares +212%, value change $2.33B
  • Decreased (411)

  • ABBV: (Abbvie Inc): shares -48%, value change -$2.93B
  • CSCO: (Cisco Sys Inc): shares -52%, value change -$2.79B
  • VLO: (Valero Energy Corp): shares -75%, value change -$1.22B
  • HAL: (Halliburton Co): shares -80%, value change -$631.2M
  • AMCR: (Amcor Plc): shares -96%, value change -$571.6M
  • F: (Ford Mtr Co): shares -18%, value change -$555.7M
  • Closed (126)

  • MMC: (Marsh & Mclennan Cos Inc): $547.4M
  • CMA: (Comerica Inc): $412.4M
  • FI: (Fiserv Inc): $225.3M
  • EXAS: (Exact Sciences Corp): $155.6M
  • VYM: (Vanguard Whitehall Fds): $133.9M
  • JBT: (Jbt Marel Corporation): $109.4M
  • Note: 13F covers quarter-end US-listed long equity/ETF holdings only. It excludes shorts, derivatives, cash, and intra-quarter trading. Informational research only, not investment advice.

    嘉信投资管理 13F 持仓快照:Q1 2026

    嘉信投资管理 最新 13F 显示,2026 年第 1 季度披露的美股多头持仓市值约 $646.18B,覆盖 3396 个标的。

    怎么读

  • 前 5 大持仓占 15.3%,前 20 大持仓占 32.2%,用前 20 大持仓看核心风险暴露更直接。
  • 本季度披露中,新建仓 73 个、加仓 424 个、减仓 411 个、清仓 126 个。
  • 这类机构持仓数量多、换手可能高,13F 更适合看风险敞口和行业分布,不宜把单个仓位直接理解为长期基本面判断。
  • 前 20 大持仓

    1. NVDA(英伟达):$28.04B,占 13F 4.3%,160,788,892 股

    2. AAPL(苹果):$25.97B,占 13F 4.0%,102,344,793 股

    3. MSFT(微软):$19.44B,占 13F 3.0%,52,519,324 股

    4. AMZN(亚马逊):$13.87B,占 13F 2.1%,66,597,967 股

    5. GOOGL(谷歌):$11.77B,占 13F 1.8%,40,918,971 股

    6. FNDX(Schwab Strategic Tr):$11.68B,占 13F 1.8%,419,422,622 股

    7. AVGO(博通):$10.43B,占 13F 1.6%,33,710,329 股

    8. GOOG(谷歌):$9.30B,占 13F 1.4%,32,422,163 股

    9. META(脸书):$8.81B,占 13F 1.4%,15,403,780 股

    10. CVX(雪佛龙):$7.47B,占 13F 1.2%,36,118,480 股

    11. TSLA(特斯拉):$7.41B,占 13F 1.1%,19,943,635 股

    12. FNDF(Schwab Strategic Tr):$7.00B,占 13F 1.1%,143,031,375 股

    13. SCHR(Schwab Strategic Tr):$6.22B,占 13F 1.0%,249,546,261 股

    14. MRK(默沙东):$5.99B,占 13F 0.9%,49,765,225 股

    15. PG(宝洁):$5.98B,占 13F 0.9%,41,360,143 股

    16. FNDA(Schwab Strategic Tr):$5.81B,占 13F 0.9%,179,241,792 股

    17. KO(可口可乐):$5.81B,占 13F 0.9%,76,339,039 股

    18. XOM(埃克森美孚):$5.81B,占 13F 0.9%,34,236,797 股

    19. VZ(威讯通信公司):$5.67B,占 13F 0.9%,112,936,510 股

    20. UNH(联合健康):$5.63B,占 13F 0.9%,20,817,755 股

    本季度主要变化

    新建仓 (73)

  • JPIE: (J P Morgan Exchange Traded F):$399.9M
  • PYLD: (Pimco Etf Tr):$393.3M
  • PDBC: (Invesco Actvely Mngd Etc Fd):$95.3M
  • FENY: (Fidelity Covington Trust):$81.8M
  • SUNB: (Sunbelt Rentals Holdings Inc):$78.4M
  • VSNT: (Versant Media Group Inc):$50.3M
  • 加仓 (424)

  • PG: (宝洁):持股数 +120%,市值变化约 $3.29B
  • ABT: (雅培):持股数 +245%,市值变化约 $3.02B
  • UNH: (联合健康):持股数 +147%,市值变化约 $2.85B
  • QCOM: (高通):持股数 +366%,市值变化约 $2.84B
  • ACN: (埃森哲公司):持股数 +259%,市值变化约 $2.41B
  • CMCSA: (康卡斯特公司):持股数 +212%,市值变化约 $2.33B
  • 减仓 (411)

  • ABBV: (艾伯维):持股数 -48%,市值变化约 -$2.93B
  • CSCO: (思科):持股数 -52%,市值变化约 -$2.79B
  • VLO: (瓦莱罗能源):持股数 -75%,市值变化约 -$1.22B
  • HAL: (哈里伯顿公司):持股数 -80%,市值变化约 -$631.2M
  • AMCR: (Amcor Plc):持股数 -96%,市值变化约 -$571.6M
  • F: (福特):持股数 -18%,市值变化约 -$555.7M
  • 清仓 (126)

  • MMC: (Marsh & Mclennan Cos Inc):$547.4M
  • CMA: (Comerica Inc):$412.4M
  • FI: (Fiserv Inc):$225.3M
  • EXAS: (精密科学):$155.6M
  • VYM: (Vanguard Whitehall Fds):$133.9M
  • JBT: (Jbt Marel Corporation):$109.4M
  • 说明:13F 只覆盖季度末美国上市股票/ETF 的多头仓位,不包括空头、衍生品、现金和季度内交易路径;本文用于研究参考,不构成投资建议。

    This analysis was generated by InvestLog AI based on SEC filings, Form 4 insider transactions, Form 144 planned-sale notices, 13F institutional holdings, analyst ratings, and market data. It is for informational purposes only and does not constitute investment advice.这篇研究由 InvestLog AI 基于 SEC 披露、Form 4 内部人交易、Form 144 计划减持、13F 机构持仓、分析师评级和市场数据生成。内容仅供参考,不构成投资建议。