Universe · entity

NIA IMPACT ADVISORS, LLC

Institutional manager (13F) · CIK 1815217
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $203M
#IssuerValueShares
1VANGUARD INDEX FDS$14M43,575
2FIRST SOLAR INC$9M46,139
3TAIWAN SEMICONDUCTOR MANUFAC$8M24,960
4APPLE INC$7M29,461
5NEXTPOWER INC$7M57,418
6GILEAD SCIENCES INC$7M49,642
7VERTEX PHARMACEUTICALS INC$7M15,490
8INTERNATIONAL BUSINESS MACHS$7M28,291
9GSK PLC$7M121,637
10HA SUSTAINABLE INFRA CAP INC$6M167,649
11EBAY INC.$6M67,114
12VERTIV HOLDINGS CO$6M23,765
13STANTEC INC$6M67,592
14IRON MTN INC DEL$5M49,872
15XYLEM INC$5M38,432
16BROOKFIELD RENEWABLE CORP$5M113,540
17PALO ALTO NETWORKS INC$4M27,926
18BROADCOM INC$4M14,399
19VITA COCO CO INC$4M90,855
20SAP SE$4M23,861
21LEMONADE INC$4M63,645
22STRIDE INC$4M43,587
23UNITED NAT FOODS INC$4M84,357
24AMALGAMATED FINANCIAL CORP$4M96,393
25ROBINHOOD MKTS INC$4M53,153
26FRESENIUS MEDICAL CARE AG$3M147,597
27CLOUDFLARE INC$3M15,875
28MUELLER WTR PRODS INC$3M118,536
29CORE & MAIN INC$3M64,910
30NATERA INC$3M14,547
31MICROSOFT CORP$3M7,440
32ADVANCED MICRO DEVICES INC$2M12,072
33AKAMAI TECHNOLOGIES INC$2M20,578
34FRONTDOOR INC$2M44,707
35AUTODESK INC$2M9,662
36SPOTIFY TECHNOLOGY S A$2M4,451
37IMMUNITYBIO INC$2M268,797
38GENEDX HOLDINGS CORP$2M31,631
39SUNRUN INC$2M143,198
40ARISTA NETWORKS INC$2M15,263
41NATURAL GROCERS BY VITAMIN$2M70,767
42TOAST INC$2M67,180
43HOLOGIC INC$2M23,313
44VALMONT INDS INC$2M4,388
45AECOM$2M20,078
46CALIFORNIA WTR SVC GROUP$2M35,916
47CRANE NXT CO$2M39,944
48NVIDIA CORPORATION$2M9,014
49CAPITOL SER TR$2M40,087
50ANALOG DEVICES INC$1M4,089
All filings on EDGAR ↗

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