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Boston Common Asset Management, LLC 13F holdings

Filed 2026-07-21 · Boston Common Asset Management, LLC · 186 positions · $1.7B

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TickerCompanySharesValue% of portfolio
TSMTaiwan Semiconductor Manufacturing Co., Ltd.265.3K$126.7M7.5%
NVDANVIDIA Corp.364.8K$73.0M4.3%
AAPLApple Inc.225.0K$65.1M3.9%
MSFTMicrosoft Corp.157.8K$58.9M3.5%
GOOGLAlphabet Inc.142.5K$50.9M3.0%
AVGOBroadcom Inc113.1K$42.7M2.5%
GOOGAlphabet Inc.110.1K$38.9M2.3%
AMATApplied Materials Inc.49.2K$35.6M2.1%
MSMorgan Stanley158.0K$33.0M2.0%
VVisa Inc88.8K$30.5M1.8%
MUMicron Technology Inc.23.6K$27.2M1.6%
LLYEli Lilly & Co.22.6K$27.1M1.6%
MRKMerck & Co., Inc198.2K$25.5M1.5%
VRTVertiv Holdings Co73.9K$24.7M1.5%
SPOTSpotify Technology S.A.49.9K$22.9M1.4%
HUBBHubbell Incorporated43.3K$22.7M1.3%
NFLXNetflix, Inc.316.5K$22.6M1.3%
NUSCNuShares ETF Trust419.6K$21.9M1.3%
CLColgate-Palmolive Co.231.0K$21.2M1.3%
DGXQuest Diagnostics Incorporated95.7K$20.3M1.2%
WABWabtec Corp72.6K$19.6M1.2%
CBChubb Ltd.51.3K$17.5M1.0%
CRHCRH Plc162.6K$17.4M1.0%
XYLXylem, Inc.143.0K$16.9M1.0%
AWKAmerican Water Works Company, Inc.126.5K$16.7M1.0%
TJXThe TJX Companies Inc.108.6K$16.4M1.0%
BNYThe Bank of New York Mellon Corp.109.2K$15.8M0.9%
RHHBYRoche Holding AG300.2K$15.4M0.9%
ADIAnalog Devices Inc.38.2K$15.2M0.9%
EWEdwards Lifesciences Corporation160.8K$14.5M0.9%
PANWPalo Alto Networks Inc42.6K$14.5M0.9%
NVSNovartis AG91.7K$14.4M0.9%
ECLEcolab Inc.48.2K$13.4M0.8%
FITBFifth Third Bancorp236.1K$13.3M0.8%
HDBHDFC Bank Ltd.514.3K$13.3M0.8%
HASIHA Sustainable Infrastructure Capital Inc337.7K$13.2M0.8%
VZVerizon Communications Inc.306.7K$13.0M0.8%
CMICummins Inc.17.8K$12.7M0.8%
TMUST-Mobile US Inc75.2K$12.6M0.7%
WMWaste Management, Inc.55.9K$12.5M0.7%
CBRECBRE Group Inc.90.7K$12.2M0.7%
BACBank of America Corp.210.6K$12.0M0.7%
EBAYeBay Inc.102.6K$11.5M0.7%
EMREmerson Electric Co.78.3K$11.2M0.7%
SCHWThe Charles Schwab Corporation116.9K$10.8M0.6%
COSTCostco Wholesale Corporation11.5K$10.7M0.6%
GILDGilead Sciences Inc.84.5K$10.7M0.6%
RLRalph Lauren Corp.26.3K$10.5M0.6%
MUFGMitsubishi UFJ Financial Group Inc.487.5K$9.7M0.6%
VRTXVertex Pharmaceuticals Incorporated19.5K$9.7M0.6%
ITUBItau Unibanco Holding SA1.2M$9.6M0.6%
SFMSprouts Farmers Markets Inc111.6K$9.4M0.6%
DHRDanaher Corporation49.4K$9.4M0.6%
STLDSteel Dynamics, Inc.40.7K$9.3M0.6%
AMDAdvanced Micro Devices Inc.16.0K$9.3M0.5%
—Trane Technologies PLC18.8K$9.2M0.5%
ULUnilever PLC152.7K$9.2M0.5%
METMetLife Inc.108.3K$9.2M0.5%
ASMLASML Holding N.V.4.3K$8.6M0.5%
CMECME Group Inc.38.4K$8.5M0.5%
Top Fund Holdings
13F
Top Fund Holdings

What did the whales just file?

13F data from SEC EDGAR. Quotes are delayed and not for trading. Not investment advice.

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13F data from SEC EDGAR. Quotes are delayed and not for trading. Not investment advice.
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