Universe · entity

Boston Common Asset Management, LLC

Institutional manager (13F) · CIK 1409427
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $1.1B
#IssuerValueShares
1Taiwan Semiconductor Manufacturing Co., Ltd.$97M287,638
2NVIDIA Corp.$70M401,697
3Apple Inc.$61M239,514
4Microsoft Corp.$53M143,573
5Alphabet Inc.$40M140,765
6Broadcom Inc$38M123,544
7Alphabet Inc.$37M128,309
8Netflix, Inc.$34M352,081
9Visa Inc$29M95,289
10Morgan Stanley$26M159,949
11Spotify Technology S.A.$26M52,596
12Vertiv Holdings Co$25M99,730
13Merck & Co., Inc$24M198,680
14Eli Lilly & Co.$22M24,353
15Colgate-Palmolive Co.$21M250,152
16Hubbell Incorporated$20M40,763
17NuShares ETF Trust$19M424,782
18Wabtec Corp$19M74,048
19The TJX Companies Inc.$18M112,746
20CRH Plc$18M170,491
21Quest Diagnostics Incorporated$18M90,326
22T-Mobile US Inc$18M83,537
23Xylem, Inc.$17M145,639
24American Water Works Company, Inc.$17M127,660
25Chubb Ltd.$17M51,027
26HDFC Bank Ltd.$17M665,080
27Novartis AG$17M108,116
28Roche Holding AG$16M322,354
29Verizon Communications Inc.$16M316,689
30Applied Materials Inc.$16M46,362
31Ecolab Inc.$14M52,301
32Salesforce Inc.$14M73,976
33Danaher Corporation$13M70,980
34CBRE Group Inc.$13M98,277
35Analog Devices Inc.$13M41,525
36The Bank of New York Mellon Corp.$13M109,472
37Costco Wholesale Corporation$13M12,727
38Edwards Lifesciences Corporation$13M156,297
39HA Sustainable Infrastructure Capital Inc$12M319,770
40Trip.com Group Ltd.$12M235,273
41Bank of America Corp.$12M240,092
42CME Group Inc.$12M39,517
43The Procter & Gamble Co.$12M80,800
44Waste Management, Inc.$11M49,504
45Gilead Sciences Inc.$11M77,243
46Amgen Inc.$10M29,640
47Emerson Electric Co.$10M76,719
48Ralph Lauren Corp.$10M29,187
49Booking Holdings Inc$10M2,368
50Cummins Inc.$10M18,498
All filings on EDGAR ↗

Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.