Boston Common Asset Management, LLC 13F Portfolio

EntityCategoryQoQ AUM ChangeAUM (13F)# of HoldingsPerformance RankEquities Trend
BC
Boston Common Asset Management, LLC
Institutional Filer 21.32%$1.55B186

Current Portfolio Holdings

Showing all 186 reported positions by value

#StockCompany NameSectorShares HeldMarket Value% of Portfolio
1TSMTaiwan Semiconductor Manufacturing Company LimitedTechnology288K$97.2M6.26%
2NVDANVIDIA CorporationTechnology402K$70.1M4.51%
3AAPLApple Inc.Technology240K$60.8M3.91%
4MSFTMicrosoft CorporationTechnology144K$53.1M3.42%
5GOOGLAlphabet Inc.Technology141K$40.5M2.61%
6AVGOBroadcom Inc.Technology124K$38.2M2.46%
7GOOGAlphabet Inc.Technology128K$36.8M2.37%
8NFLXNetflix, Inc.Communication Services352K$33.9M2.18%
9VVisa Inc.Financial Services95K$28.8M1.85%
10MSMorgan StanleyFinancial Services160K$26.3M1.70%
11SPOTSpotify Technology S.A.Communication Services53K$25.5M1.64%
12VRTVertiv Holdings CoIndustrials100K$25.0M1.61%
13MRKMerck & Co., Inc.Healthcare199K$23.9M1.54%
14LLYEli Lilly and CompanyHealthcare24K$22.4M1.44%
15CLColgate-Palmolive CompanyConsumer Defensive250K$21.3M1.37%
Showing 1 to 15 of 186 holdings