Raiffeisen Bank International AG quarter change: USA Stocks, Added
In share positions in stocks (listed in the US), from the quarter ended 2026-03-31 to 2026-06-30, Raiffeisen Bank International AG opened 26 positions, added to 281, reduced 226, sold out of 58 and left 56 unchanged. The largest increase in value was AMAT (+$112,538,174); the largest decrease was CL (-$29,208,826).
- GOOGL: Country of operation United States; Class Common Stock; Shares 2026-03-31 1,247,335; Shares 2026-06-30 1,260,395.
- AAPL: Country of operation United States; Class Common Stock; Shares 2026-03-31 1,366,088; Shares 2026-06-30 1,426,298.
- AMZN: Country of operation United States; Class Common Stock; Shares 2026-03-31 1,058,099; Shares 2026-06-30 1,115,478.
- GLW: Country of operation United States; Class Common Stock; Shares 2026-03-31 74,546; Shares 2026-06-30 222,293.
Two Form 13F-HR filings compared (SEC CIK 2044885): 2026-03-31 (filed 2026-04-24) and 2026-06-30 (filed 2026-08-03). Rows for the same security, class and put/call are added together. Value change is the filed value at each quarter end, so it includes the price move; share change is the position change.
| Stock | Country of operation | Class | Shares 2026-03-31 | Shares 2026-06-30 | Share change | Value 2026-03-31 | Value 2026-06-30 | Value change |
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GOOGL ALPHABET INC | United States | Common Stock | 1,247,335 | 1,260,395 | +13,060 | $341,582,346 | $445,719,778 | +$104,137,432 |
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AAPL APPLE INC | United States | Common Stock | 1,366,088 | 1,426,298 | +60,210 | $336,940,900 | $401,884,498 | +$64,943,598 |
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AMZN AMAZONCOM INC | United States | Common Stock | 1,058,099 | 1,115,478 | +57,379 | $213,570,056 | $267,543,340 | +$53,973,284 |
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GLW CORNING INC | United States | Common Stock | 74,546 | 222,293 | +147,747 | $9,582,889 | $56,838,097 | +$47,255,208 |
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UNH UNITEDHEALTH GROUP INC | United States | Common Stock | 98,800 | 164,237 | +65,437 | $25,933,233 | $68,949,980 | +$43,016,747 |
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PANW PALO ALTO NETWORKS INC | United States | Common Stock | 221,419 | 225,914 | +4,495 | $34,176,024 | $75,003,448 | +$40,827,424 |
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CAT CATERPILLAR INC | United States | Common Stock | 12,056 | 39,500 | +27,444 | $8,085,063 | $40,833,329 | +$32,748,266 |
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COST COSTCO WHOLESALE CORP | United States | Common Stock | 8,667 | 42,006 | +33,339 | $8,637,354 | $39,764,155 | +$31,126,801 |
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KLAC KLA CORP | United States | Common Stock | 44,674 | 325,103 | +280,429 | $61,765,381 | $90,505,426 | +$28,740,045 |
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MS MORGAN STANLEY | United States | Common Stock | 237,240 | 313,029 | +75,789 | $37,571,698 | $66,274,501 | +$28,702,803 |
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SN SHARKNINJA INC | United States | Common Stock | 80,000 | 216,632 | +136,632 | $7,809,600 | $31,710,592 | +$23,900,992 |
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PYPL PAYPAL HOLDINGS INC | United States | Common Stock | 67,420 | 598,646 | +531,226 | $3,011,652 | $25,912,458 | +$22,900,806 |
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UBER UBER TECHNOLOGIES INC | United States | Common Stock | 714,134 | 965,462 | +251,328 | $49,925,107 | $72,078,928 | +$22,153,821 |
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MSFT MICROSOFT CORP | United States | Common Stock | 705,179 | 747,025 | +41,846 | $253,696,372 | $275,623,976 | +$21,927,604 |
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CRDO CREDO TECHNOLOGY GROUP HOLDING LTD | Cayman Islands | Common Stock | 110,349 | 120,702 | +10,353 | $9,689,746 | $29,654,068 | +$19,964,322 |
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HDB HDFC BANK LTD | | Common Stock | 68,777 | 756,000 | +687,223 | $1,657,526 | $19,587,960 | +$17,930,434 |
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ABBV ABBVIE INC | United States | Common Stock | 370,130 | 379,931 | +9,801 | $78,882,106 | $96,620,253 | +$17,738,147 |
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CMI CUMMINS INC | United States | Common Stock | 30,194 | 46,817 | +16,623 | $15,450,270 | $32,354,760 | +$16,904,490 |
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PRIM PRIMORIS SERVICES CORP | United States | Common Stock | 19,706 | 198,000 | +178,294 | $2,648,486 | $19,253,520 | +$16,605,034 |
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IBM INTERNATIONAL BUSINESS MACHINES CORP | United States | Common Stock | 213,199 | 240,725 | +27,526 | $50,581,465 | $66,921,550 | +$16,340,085 |
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OC OWENS CORNING | United States | Common Stock | 280,083 | 281,808 | +1,725 | $29,218,259 | $43,976,138 | +$14,757,879 |
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SPOT SPOTIFY TECHNOLOGY SA | | Common Stock | 105,113 | 138,191 | +33,078 | $50,107,551 | $63,778,647 | +$13,671,096 |
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BAC BANK OF AMERICA CORP | United States | Common Stock | 1,051,495 | 1,073,555 | +22,060 | $49,662,109 | $62,137,364 | +$12,475,255 |
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APH AMPHENOL CORP | United States | Common Stock | 119,773 | 152,993 | +33,220 | $14,270,953 | $25,461,094 | +$11,190,141 |
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GGG GRACO INC | United States | Common Stock | 120,210 | 269,400 | +149,190 | $10,162,490 | $20,372,100 | +$10,209,610 |
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TER TERADYNE INC | United States | Common Stock | 2,045 | 22,492 | +20,447 | $565,136 | $10,418,519 | +$9,853,383 |
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ACN ACCENTURE PLC | | Common Stock | 135,779 | 136,546 | +767 | $26,823,143 | $17,032,746 | -$9,790,397 |
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IBKR INTERACTIVE BROKERS GROUP INC | United States | Common Stock | 386,497 | 389,970 | +3,473 | $24,684,665 | $34,364,780 | +$9,680,115 |
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INTU INTUIT INC | United States | Common Stock | 68,363 | 78,750 | +10,387 | $29,329,778 | $20,978,999 | -$8,350,779 |
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FSLR FIRST SOLAR INC | United States | Common Stock | 145,781 | 150,119 | +4,338 | $26,934,924 | $34,948,199 | +$8,013,275 |
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BKNG BOOKING HOLDINGS INC | United States | Common Stock | 10,191 | 272,811 | +262,620 | $41,961,545 | $49,763,455 | +$7,801,910 |
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TTWO TAKETWO INTERACTIVE SOFTWARE INC | United States | Common Stock | 222 | 30,173 | +29,951 | $42,864 | $7,457,257 | +$7,414,393 |
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XYL XYLEM INC NY | United States | Common Stock | 328,577 | 389,025 | +60,448 | $38,174,077 | $45,410,888 | +$7,236,811 |
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ASTS AST SPACEMOBILE INC | United States | Common Stock | 128,000 | 181,531 | +53,531 | $9,448,960 | $15,751,445 | +$6,302,485 |
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BTSG BRIGHTSPRING HEALTH SERVICES INC | United States | Common Stock | 222,900 | 224,237 | +1,337 | $9,497,769 | $15,637,272 | +$6,139,503 |
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RKLB ROCKET LAB CORP | United States | Common Stock | 37,567 | 82,172 | +44,605 | $2,155,594 | $8,053,678 | +$5,898,084 |
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CRWD CROWDSTRIKE HOLDINGS INC | United States | Common Stock | 6,192 | 11,101 | +4,909 | $2,353,332 | $8,247,044 | +$5,893,712 |
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TXN TEXAS INSTRUMENTS INC | United States | Common Stock | 53,046 | 54,296 | +1,250 | $9,888,836 | $15,500,423 | +$5,611,587 |
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WMT WALMART INC | United States | Common Stock | 84,098 | 138,199 | +54,101 | $10,385,946 | $15,832,326 | +$5,446,380 |
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ON ON SEMICONDUCTOR CORP | United States | Common Stock | 150,256 | 154,196 | +3,940 | $8,363,249 | $13,657,140 | +$5,293,891 |
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PFE PFIZER INC | United States | Common Stock | 1,379,394 | 1,398,194 | +18,800 | $38,695,596 | $33,709,316 | -$4,986,280 |
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MSCI MSCI INC | United States | Common Stock | 55,473 | 61,709 | +6,236 | $29,504,978 | $34,433,622 | +$4,928,644 |
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C CITIGROUP INC | United States | Common Stock | 91,408 | 103,220 | +11,812 | $9,805,336 | $14,707,818 | +$4,902,482 |
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ENPH ENPHASE ENERGY INC | United States | Common Stock | 91,518 | 167,098 | +75,580 | $3,263,918 | $8,076,494 | +$4,812,576 |
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ISRG INTUITIVE SURGICAL INC | United States | Common Stock | 100,028 | 100,344 | +316 | $45,290,177 | $40,736,653 | -$4,553,524 |
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TMO THERMO FISHER SCIENTIFIC INC | United States | Common Stock | 136,886 | 138,757 | +1,871 | $65,973,870 | $70,153,950 | +$4,180,080 |
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META META PLATFORMS INC | United States | Common Stock | 59,091 | 63,361 | +4,270 | $31,704,830 | $35,644,281 | +$3,939,451 |
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MA MASTERCARD INC | United States | Common Stock | 130,315 | 133,678 | +3,363 | $64,377,183 | $68,128,759 | +$3,751,576 |
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TSLA TESLA INC | United States | Common Stock | 54,255 | 55,830 | +1,575 | $19,283,101 | $22,996,089 | +$3,712,988 |
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STLD STEEL DYNAMICS INC | United States | Common Stock | 59,391 | 62,162 | +2,771 | $10,687,865 | $14,278,340 | +$3,590,475 |
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EW EDWARDS LIFESCIENCES CORP | United States | Common Stock | 288,455 | 289,788 | +1,333 | $22,932,174 | $26,422,871 | +$3,490,697 |
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EME EMCOR GROUP INC | United States | Common Stock | 13,296 | 15,723 | +2,427 | $9,321,825 | $12,804,969 | +$3,483,144 |
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ADSK AUTODESK INC | United States | Common Stock | 91,748 | 92,959 | +1,211 | $21,623,166 | $18,149,316 | -$3,473,850 |
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TPR TAPESTRY INC | United States | Common Stock | 175 | 23,193 | +23,018 | $23,961 | $3,399,166 | +$3,375,205 |
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PL PLANET LABS PBC | United States | Common Stock | 218,000 | 298,000 | +80,000 | $6,080,020 | $9,321,440 | +$3,241,420 |
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NTAP NETAPP INC | United States | Common Stock | 35,291 | 43,833 | +8,542 | $3,570,743 | $6,796,746 | +$3,226,003 |
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HL HECLA MINING CO | United States | Common Stock | 639,991 | 917,358 | +277,367 | $11,020,645 | $14,127,314 | +$3,106,669 |
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GE GENERAL ELECTRIC CO | United States | Common Stock | 10,411 | 15,318 | +4,907 | $2,844,806 | $5,724,490 | +$2,879,684 |
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FEIM FREQUENCY ELECTRONICS INC | United States | Common Stock | 12,000 | 54,000 | +42,000 | $514,800 | $3,335,580 | +$2,820,780 |
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SCHW CHARLES SCHWAB CORP THE | United States | Common Stock | 31,685 | 63,127 | +31,442 | $2,948,607 | $5,716,150 | +$2,767,543 |
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TROW T ROWE PRICE GROUP INC | United States | Common Stock | 150 | 23,929 | +23,779 | $13,355 | $2,736,999 | +$2,723,644 |
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NKE NIKE INC | United States | Common Stock | 327,245 | 339,874 | +12,629 | $16,768,035 | $14,097,974 | -$2,670,061 |
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DE DEERE & CO | United States | Common Stock | 20,668 | 22,572 | +1,904 | $11,481,076 | $14,144,291 | +$2,663,215 |
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CFG CITIZENS FINANCIAL GROUP INC | United States | Common Stock | 3,212 | 39,100 | +35,888 | $184,529 | $2,753,813 | +$2,569,284 |
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JNJ JOHNSON & JOHNSON | United States | Common Stock | 50,140 | 56,470 | +6,330 | $12,158,448 | $14,598,060 | +$2,439,612 |
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WAB WESTINGHOUSE AIR BRAKE TECHNOLOGIES CORP | United States | Common Stock | 40,888 | 44,958 | +4,070 | $9,705,584 | $12,062,233 | +$2,356,649 |
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CRH CRH PLC | | Common Stock | 108,539 | 118,985 | +10,446 | $10,676,410 | $12,953,898 | +$2,277,488 |
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ADI ANALOG DEVICES INC | United States | Common Stock | 11,996 | 15,089 | +3,093 | $3,635,988 | $5,911,569 | +$2,275,581 |
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ODFL OLD DOMINION FREIGHT LINE INC | United States | Common Stock | 264 | 10,535 | +10,271 | $50,094 | $2,314,435 | +$2,264,341 |
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ONT MONTROSE ENVIRONMENTAL GROUP INC | United States | Common Stock | 86,668 | 200,000 | +113,332 | $1,820,028 | $4,082,000 | +$2,261,972 |
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ROST ROSS STORES INC | United States | Common Stock | 335 | 10,744 | +10,409 | $69,945 | $2,243,670 | +$2,173,725 |
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DDOG DATADOG INC | United States | Common Stock | 6,472 | 11,639 | +5,167 | $749,523 | $2,893,107 | +$2,143,584 |
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A AGILENT TECHNOLOGIES INC | United States | Common Stock | 68,363 | 73,572 | +5,209 | $7,657,340 | $9,772,568 | +$2,115,228 |
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CDW CDW CORP DE | United States | Common Stock | 86 | 15,096 | +15,010 | $10,192 | $2,110,723 | +$2,100,531 |
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DHR DANAHER CORP | United States | Common Stock | 159,487 | 162,772 | +3,285 | $29,328,066 | $31,379,187 | +$2,051,121 |
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MCK MCKESSON CORP | United States | Common Stock | 25,326 | 26,549 | +1,223 | $21,785,172 | $19,846,174 | -$1,938,998 |
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PRU PRUDENTIAL FINANCIAL INC | United States | Common Stock | 85,329 | 91,566 | +6,237 | $8,061,884 | $9,999,007 | +$1,937,123 |
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PSA PUBLIC STORAGE | United States | Common Stock | 3,445 | 8,726 | +5,281 | $913,372 | $2,831,151 | +$1,917,779 |
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AXON AXON ENTERPRISE INC | United States | Common Stock | 17,117 | 17,670 | +553 | $7,104,753 | $9,022,302 | +$1,917,549 |
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OPCH OPTION CARE HEALTH INC | United States | Common Stock | 130,000 | 250,000 | +120,000 | $3,510,000 | $5,330,000 | +$1,820,000 |
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SYF SYNCHRONY FINANCIAL | United States | Common Stock | 288 | 23,282 | +22,994 | $19,011 | $1,824,610 | +$1,805,599 |
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LYV LIVE NATION ENTERTAINMENT INC | United States | Common Stock | 56,589 | 56,730 | +141 | $8,629,934 | $10,387,688 | +$1,757,754 |
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PAYX PAYCHEX INC | United States | Common Stock | 150,446 | 157,983 | +7,537 | $13,866,761 | $15,556,983 | +$1,690,222 |
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TCEHY TENCENT HOLDINGS LTD | | Common Stock | 200,088 | 259,080 | +58,992 | $12,211,371 | $13,897,051 | +$1,685,680 |
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CVX CHEVRON CORP | United States | Common Stock | 47,479 | 49,979 | +2,500 | $10,004,300 | $8,419,963 | -$1,584,337 |
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QXO QXO INC | United States | Common Stock | 90,000 | 180,000 | +90,000 | $1,638,900 | $3,207,600 | +$1,568,700 |
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CMCSA COMCAST CORP | United States | Common Stock | 177,867 | 276,905 | +99,038 | $5,140,355 | $6,706,640 | +$1,566,285 |
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JBL JABIL INC | United States | Common Stock | 69 | 4,073 | +4,004 | $17,076 | $1,521,591 | +$1,504,515 |
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TRV TRAVELERS COS INC THE | United States | Common Stock | 31,399 | 32,122 | +723 | $9,162,856 | $10,660,650 | +$1,497,794 |
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WELL WELLTOWER INC | United States | Common Stock | 17,303 | 21,369 | +4,066 | $3,379,276 | $4,866,362 | +$1,487,086 |
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DECK DECKERS OUTDOOR CORP | United States | Common Stock | 80,158 | 89,614 | +9,456 | $7,612,605 | $9,076,105 | +$1,463,500 |
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RF REGIONS FINANCIAL CORP | United States | Common Stock | 639 | 48,623 | +47,984 | $16,128 | $1,471,818 | +$1,455,690 |
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ULTA ULTA BEAUTY INC | United States | Common Stock | 32 | 3,145 | +3,113 | $16,323 | $1,443,933 | +$1,427,610 |
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REGN REGENERON PHARMACEUTICALS INC | United States | Common Stock | 23,203 | 25,423 | +2,220 | $17,385,777 | $16,062,506 | -$1,323,271 |
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WSM WILLIAMSSONOMA INC | United States | Common Stock | 1,592 | 6,673 | +5,081 | $281,529 | $1,602,654 | +$1,321,125 |
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DT DYNATRACE INC | United States | Common Stock | 75,574 | 92,641 | +17,067 | $2,806,062 | $4,098,438 | +$1,292,376 |
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DKS DICKS SPORTING GOODS INC | United States | Common Stock | 30,327 | 30,403 | +76 | $5,780,933 | $7,063,833 | +$1,282,900 |
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AMT AMERICAN TOWER CORP | United States | Common Stock | 56,161 | 64,256 | +8,095 | $9,567,588 | $10,838,058 | +$1,270,470 |
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AMX AMERICA MOVIL SAB DE CV | | Common Stock | 117,620 | 155,320 | +37,700 | $2,896,981 | $4,154,810 | +$1,257,829 |
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EXPE EXPEDIA GROUP INC | United States | Common Stock | 2,283 | 6,682 | +4,399 | $517,122 | $1,772,601 | +$1,255,479 |
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