Universe · entity

MIROVA

Institutional manager (13F) · CIK 1767843
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $1.7B
#IssuerValueShares
1NVIDIA CORPORATION$152M869,338
2MICROSOFT CORP$70M188,849
3CADENCE DESIGN SYSTEM INC$64M232,032
4SERVICENOW INC$64M611,772
5SYNOPSYS INC$60M151,873
6ECOLAB INC$54M202,638
7BROADCOM INC$53M169,717
8ALPHABET INC$52M180,834
9CROWDSTRIKE HLDGS INC$46M117,624
10BENTLEY SYS INC$44M1,257,702
11INTUITIVE SURGICAL INC$42M91,279
12SNOWFLAKE INC$39M257,688
13WASTE MGMT INC DEL$38M166,449
14VERTIV HOLDINGS CO$38M151,388
15NVENT ELEC PLC$38M320,522
16CLEAN HARBORS INC$37M130,675
17ADVANCED MICRO DEVICES INC$37M182,667
18THERMO FISHER SCIENTIFIC INC$36M73,275
19FIRST SOLAR INC$32M161,443
20VERALTO CORP$31M354,189
21IDEX CORP$30M160,700
22PALO ALTO NETWORKS INC$30M186,566
23XYLEM INC$29M244,505
24KLA CORP$29M19,632
25JBT MAREL CORPORATION$25M194,430
26DANAHER CORP DEL$25M130,964
27PTC INC$25M173,039
28WASTE CONNECTIONS INC$24M148,126
29ELASTIC N V$24M479,093
30MONGODB INC$24M97,300
31ADVANCED DRAIN SYS INC DEL$24M172,152
32EQUINIX INC$22M22,604
33AMERICAN WTR WKS CO INC NEW$21M156,590
34CORE & MAIN INC$21M418,000
35ELI LILLY & CO$20M22,170
36PENTAIR PLC$20M228,918
37MANHATTAN ASSOCIATES INC$20M148,622
38API GROUP CORP$20M482,616
39DIGITAL RLTY TR INC$19M105,387
40TETRA TECH INC NEW$18M611,722
41DEXCOM INC$18M292,754
42PROCEPT BIOROBOTICS CORP$18M723,842
43TRIMBLE INC$17M265,711
44OSI SYSTEMS INC$17M65,007
45MEDTRONIC PLC$17M195,560
46JFROG LTD$17M354,574
47STERIS PLC$16M74,230
48MOTOROLA SOLUTIONS INC$16M37,823
49LITTELFUSE INC$16M47,410
50ESSENTIAL UTILS INC$16M392,726
All filings on EDGAR ↗

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