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
| # | Issuer | Value | Shares |
|---|---|---|---|
| 1 | Taiwan Semiconductor Manufacturing Co., Ltd. | $97M | 287,638 |
| 2 | NVIDIA Corp. | $70M | 401,697 |
| 3 | Apple Inc. | $61M | 239,514 |
| 4 | Microsoft Corp. | $53M | 143,573 |
| 5 | Alphabet Inc. | $40M | 140,765 |
| 6 | Broadcom Inc | $38M | 123,544 |
| 7 | Alphabet Inc. | $37M | 128,309 |
| 8 | Netflix, Inc. | $34M | 352,081 |
| 9 | Visa Inc | $29M | 95,289 |
| 10 | Morgan Stanley | $26M | 159,949 |
| 11 | Spotify Technology S.A. | $26M | 52,596 |
| 12 | Vertiv Holdings Co | $25M | 99,730 |
| 13 | Merck & Co., Inc | $24M | 198,680 |
| 14 | Eli Lilly & Co. | $22M | 24,353 |
| 15 | Colgate-Palmolive Co. | $21M | 250,152 |
| 16 | Hubbell Incorporated | $20M | 40,763 |
| 17 | NuShares ETF Trust | $19M | 424,782 |
| 18 | Wabtec Corp | $19M | 74,048 |
| 19 | The TJX Companies Inc. | $18M | 112,746 |
| 20 | CRH Plc | $18M | 170,491 |
| 21 | Quest Diagnostics Incorporated | $18M | 90,326 |
| 22 | T-Mobile US Inc | $18M | 83,537 |
| 23 | Xylem, Inc. | $17M | 145,639 |
| 24 | American Water Works Company, Inc. | $17M | 127,660 |
| 25 | Chubb Ltd. | $17M | 51,027 |
| 26 | HDFC Bank Ltd. | $17M | 665,080 |
| 27 | Novartis AG | $17M | 108,116 |
| 28 | Roche Holding AG | $16M | 322,354 |
| 29 | Verizon Communications Inc. | $16M | 316,689 |
| 30 | Applied Materials Inc. | $16M | 46,362 |
| 31 | Ecolab Inc. | $14M | 52,301 |
| 32 | Salesforce Inc. | $14M | 73,976 |
| 33 | Danaher Corporation | $13M | 70,980 |
| 34 | CBRE Group Inc. | $13M | 98,277 |
| 35 | Analog Devices Inc. | $13M | 41,525 |
| 36 | The Bank of New York Mellon Corp. | $13M | 109,472 |
| 37 | Costco Wholesale Corporation | $13M | 12,727 |
| 38 | Edwards Lifesciences Corporation | $13M | 156,297 |
| 39 | HA Sustainable Infrastructure Capital Inc | $12M | 319,770 |
| 40 | Trip.com Group Ltd. | $12M | 235,273 |
| 41 | Bank of America Corp. | $12M | 240,092 |
| 42 | CME Group Inc. | $12M | 39,517 |
| 43 | The Procter & Gamble Co. | $12M | 80,800 |
| 44 | Waste Management, Inc. | $11M | 49,504 |
| 45 | Gilead Sciences Inc. | $11M | 77,243 |
| 46 | Amgen Inc. | $10M | 29,640 |
| 47 | Emerson Electric Co. | $10M | 76,719 |
| 48 | Ralph Lauren Corp. | $10M | 29,187 |
| 49 | Booking Holdings Inc | $10M | 2,368 |
| 50 | Cummins Inc. | $10M | 18,498 |
Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.