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Boston Common Asset Management, LLC

186 holdingsFiling period: 2026-06-30Current AUM: $1.68Bestimated from latest prices
#TickerCompanySharesReported ValueCurrent Value% PortfolioChangeDate
1TSMTaiwan Semiconductor Manufacturing Co., Ltd.265.3K$126.7M$109.7M6.53%-22,3872026-06-30
2NVDANVIDIA Corp.364.8K$73.0M$77.4M4.60%-36,8532026-06-30
3AAPLApple Inc.225.0K$65.1M$74.6M4.43%-14,5012026-06-30
4MSFTMicrosoft Corp.157.8K$58.9M$78.5M4.67%+14.3K2026-06-30
5GOOGLAlphabet Inc.142.5K$50.9M$49.2M2.92%+1.7K2026-06-30
6AVGOBroadcom Inc113.1K$42.7M$38.4M2.28%-10,4692026-06-30
7GOOGAlphabet Inc.110.1K$38.9M$37.6M2.24%-18,1742026-06-30
8AMATApplied Materials Inc.49.2K$35.6M$20.7M1.23%+2.8K2026-06-30
9MSMorgan Stanley158.0K$33.0M$32.6M1.94%-1,9102026-06-30
10VVisa Inc88.8K$30.5M$33.4M1.98%-6,4672026-06-30
11MUMicron Technology Inc.23.6K$27.2M$21.9M1.30%+4.7K2026-06-30
12LLYEli Lilly & Co.22.6K$27.1M$25.6M1.52%-1,7962026-06-30
13MRKMerck & Co., Inc198.2K$25.5M$28.5M1.70%-4522026-06-30
14VRTVertiv Holdings Co73.9K$24.7M$17.3M1.03%-25,8272026-06-30
15Spotify Technology S.A.49.9K$22.9M$22.9M1.36%-2,6642026-06-30
16HUBBHubbell Incorporated43.3K$22.7M$19.0M1.13%+2.6K2026-06-30
17NFLXNetflix, Inc.316.5K$22.6M$24.7M1.47%-35,6102026-06-30
18NUSCNuShares ETF Trust419.6K$21.9M$20.9M1.24%-5,1522026-06-30
19CLColgate-Palmolive Co.231.0K$21.2M$20.1M1.20%-19,1482026-06-30
20DGXQuest Diagnostics Incorporated95.7K$20.3M$23.6M1.41%+5.4K2026-06-30
21WABWabtec Corp72.6K$19.6M$20.2M1.20%-1,4752026-06-30
22Chubb Ltd.51.3K$17.5M$17.5M1.04%+2582026-06-30
23CRH Plc162.6K$17.4M$17.4M1.03%-7,9042026-06-30
24XYLXylem, Inc.143.0K$16.9M$15.4M0.91%-2,6812026-06-30
25AWKAmerican Water Works Company, Inc.126.5K$16.7M$17.5M1.04%-1,1132026-06-30
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