Universe · entity

Boston Trust Walden Corp

Institutional manager (13F) · CIK 1534866
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $6.0B
#IssuerValueShares
1APPLE INC$378M1,490,524
2MICROSOFT CORP$359M969,161
3ALPHABET INC-A$247M859,244
4ALPHABET INC-CL C$222M773,188
5JPMORGAN CHASE & CO$218M739,677
6NVIDIA CORP$192M1,102,397
7APTARGROUP INC$170M1,349,489
8DONALDSON CO INC$161M1,900,416
9HUBBELL INC$161M327,969
10JOHNSON & JOHNSON$145M594,061
11VISA INC$144M476,259
12CULLEN/FROST BANKERS INC$133M967,849
13CINCINNATI FINANCIAL CORP$119M755,847
14APPLIED INDUSTRIAL TECH INC$117M439,436
15COSTCO WHOLESALE CORP$112M112,809
16WATTS WATER TECHNOLOGIES-A$110M379,024
17GLOBUS MEDICAL INC-A$108M1,254,910
18ROSS STORES INC$104M481,674
19EXXON MOBIL CORPORATION$103M606,423
20MAGNOLIA OIL & GAS CORP$102M3,227,906
21ESSENTIAL UTILS INC$100M2,481,448
22CHUBB LTD$100M305,399
23LITTELFUSE INC$99M291,393
24CISCO SYSTEMS INC$99M1,271,154
25APPLIED MATERIALS, INC.$97M284,603
26CHOICE HOTELS INTL INC$96M930,762
27COMMERCE BANCSHARES INC$95M1,934,136
28ONE GAS INC$94M1,086,259
29JAZZ PHARMACEUTICALS PLC$92M488,661
30STRYKER CORP$92M280,004
31STAG INDUSTRIAL INC$92M2,549,987
32BJ'S WHOLESALE CLUB HOLDINGS$90M912,392
33QUALYS INC$89M1,010,376
34DEERE & CO$88M155,376
35IDEX CORP COM$86M452,714
36AUTOMATIC DATA PROCESSING$83M409,225
37COOPER COS INC/THE$83M1,159,562
38ALLEGION PLC$82M566,792
39SNAP ON INC$82M226,007
40JONES LANG LASALLE INC$82M268,483
41SEI INVESTMENTS COMPANY$82M1,039,731
42BADGER METER INC$81M530,169
43PEPSICO INC$80M518,122
44NORDSON CORPORATION$80M301,761
45ACCENTURE PLC-CL A$80M401,133
46SPROUTS FARMERS MARKET INC$79M1,025,355
47ANTERO MIDSTREAM CORP$78M3,431,551
48CHEMED CORP$78M205,197
49LINCOLN ELECTRIC HOLDINGS$76M305,870
50UNION PACIFIC CORP$75M309,931
All filings on EDGAR ↗

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