Entity | Amount | Change
12/31/2023 to 03/31/2024 |
Position Size ($ in 1000's) |
---|---|---|---|
SCHNEIDER ELECTRIC | $86,582 | ||
SBGSF | 343,754 | -58,888 | $77,833 |
COM | 193,204 | -14,569 | $8,749 |
TAIWAN SEMICONDUCTOR MFG LTD S | 589,829 | +140,339 | $80,246 |
TSM | 589,829 | +140,339 | $80,246 |
ORIX CORP | 3,178,441 | +4,999 | $69,283 |
COM | 3,178,441 | +4,999 | $69,283 |
DEUTSCHE TELEKOM | 2,657,822 | -256,883 | $64,585 |
COM | 2,657,822 | -256,883 | $64,585 |
ING GROEP N.V. | $58,852 | ||
COM | 3,156,067 | +3,156,067 | $51,967 |
ING | 417,499 | -49,347 | $6,885 |
PRYSMIAN SPA | 1,071,214 | -81,197 | $55,983 |
COM | 1,071,214 | -81,197 | $55,983 |
SAP SE | $55,545 | ||
COM | 187,164 | +187,164 | $36,478 |
SAP | 97,763 | -7,386 | $19,067 |
OVERSEA CHINESE BK | 5,450,424 | -1,029,873 | $54,480 |
COM | 5,450,424 | -1,029,873 | $54,480 |
MACQUARIE GP LTD | 393,868 | -27,960 | $51,315 |
COM | 393,868 | -27,960 | $51,315 |
AXA SA | 1,348,726 | -43,527 | $50,712 |
COM | 1,348,726 | -43,527 | $50,712 |
HANNOVER RUECK SE | 183,381 | -11,362 | $50,246 |
COM | 183,381 | -11,362 | $50,246 |
ASML HOLDINGS NV F | 51,322 | +5,713 | $49,452 |
ASMLF | 51,322 | +5,713 | $49,452 |
NOVO NORDISK A S | 376,711 | +10,587 | $48,070 |
COM | 376,711 | +10,587 | $48,070 |
BYD COMPANY LTD | 1,815,446 | +35,648 | $46,764 |
COM | 1,815,446 | +35,648 | $46,764 |
CSL LTD | 248,552 | +44,984 | $46,688 |
COM | 248,552 | +44,984 | $46,688 |
BK RAKYAT | 120,762,454 | -7,322,594 | $46,081 |
COM | 120,762,454 | -7,322,594 | $46,081 |
MITSUBISHI UFJ FIN | $45,697 | ||
COM | 4,040,418 | +4,040,418 | $41,567 |
MUFG | 403,756 | +1,177 | $4,130 |
INDITEX | 900,676 | -83,979 | $45,397 |
COM | 900,676 | -83,979 | $45,397 |
REXEL | 1,617,755 | -118,159 | $43,732 |
COM | 1,617,755 | -118,159 | $43,732 |
SSE PLC | 2,071,408 | -203,026 | $43,176 |
COM | 2,071,408 | -203,026 | $43,176 |
KURITA WATER INDS | 1,024,187 | -118,813 | $42,640 |
COM | 1,024,187 | -118,813 | $42,640 |
MICROSOFT CORP COM | 99,628 | -2,513 | $41,915 |
MSFT | 99,628 | -2,513 | $41,915 |
CONVATEC GROUP PLC | 11,289,168 | -1,324,704 | $40,844 |
COM | 11,289,168 | -1,324,704 | $40,844 |
ASTRAZENECA | 299,683 | -1,327 | $40,424 |
AZNCF | 299,683 | -1,327 | $40,424 |
ATLAS COPCO AB | 2,549,412 | -229,197 | $37,707 |
COM | 2,549,412 | -229,197 | $37,707 |
L&apos OREAL | 78,420 | +78,420 | $37,151 |
COM | 78,420 | +78,420 | $37,151 |
KEYENCE CORP | 79,432 | -10,917 | $36,497 |
COM | 79,432 | -10,917 | $36,497 |
KON AHOLD DELHAIZE | 1,211,801 | -122,200 | $36,278 |
COM | 1,211,801 | -122,200 | $36,278 |
ASHTEAD GROUP | 508,158 | +111,878 | $36,205 |
COM | 508,158 | +111,878 | $36,205 |
SONY GROUP CORPORA | 414,963 | -42,128 | $35,603 |
SNEJF | 414,963 | -42,128 | $35,603 |
HDFC BANK LTD SPONSORED ADS | 622,640 | +5,430 | $34,849 |
HDB | 622,640 | +5,430 | $34,849 |
WABTEC COM | 236,915 | -69,401 | $34,514 |
WAB | 236,915 | -69,401 | $34,514 |
INTUIT COM | 52,609 | -5,036 | $34,196 |
INTU | 52,609 | -5,036 | $34,196 |
HOYA CORP | 275,716 | -117,403 | $34,140 |
COM | 275,716 | -117,403 | $34,140 |
SK HYNIX INC | 250,082 | -32,427 | $33,994 |
COM | 250,082 | -32,427 | $33,994 |
VESTAS WIND SYSTEM | 1,199,250 | -415,571 | $33,513 |
COM | 1,199,250 | -415,571 | $33,513 |
UNILEVER PLC | 666,022 | -154,570 | $33,462 |
COM | 666,022 | -154,570 | $33,462 |
REGENERON PHARMACEUTICALS | 34,381 | -8,271 | $33,091 |
REGN | 34,381 | -8,271 | $33,091 |
MERCK & CO INC COM | 241,868 | -84,680 | $31,914 |
MRK | 241,868 | -84,680 | $31,914 |
APPLE INC COM | 185,818 | -7,184 | $31,864 |
AAPL | 185,818 | -7,184 | $31,864 |
APPLIED MATLS INC COM | 153,720 | -24,676 | $31,702 |
AMAT | 153,720 | -24,676 | $31,702 |
DAIKIN INDUSTRIES | 220,487 | -50,083 | $30,011 |
COM | 220,487 | -50,083 | $30,011 |
MERCEDES BENZ | 375,743 | -33,809 | $29,952 |
COM | 375,743 | -33,809 | $29,952 |
KEISEI ELEC RY CO | 694,349 | +694,349 | $28,257 |
COM | 694,349 | +694,349 | $28,257 |
DSM FIRMENICH AG | 247,935 | -16,706 | $28,223 |
COM | 247,935 | -16,706 | $28,223 |
WEYERHAEUSER CO MTN BE COM NEW | 772,429 | -127,481 | $27,738 |
WY | 772,429 | -127,481 | $27,738 |
SAMPO PLC | 632,144 | -194,974 | $26,978 |
COM | 632,144 | -194,974 | $26,978 |
ASSA ABLOY | 937,535 | -102,673 | $26,927 |
COM | 937,535 | -102,673 | $26,927 |
RELX PLC | 610,884 | +94,890 | $26,423 |
COM | 610,884 | +94,890 | $26,423 |
HOLOGIC INC COM | 336,869 | -43,875 | $26,262 |
HOLX | 336,869 | -43,875 | $26,262 |
See Full List: All Stocks Held By Boston Common Asset Management LLC
— Including:
Biggest new positions
Biggest exits
Biggest increased positions
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See Details: Top 10 Stocks Held By Boston Common Asset Management LLC
Size ($ in 1000's)
At 03/31/2024: $4,181,469 At 12/31/2023: $4,394,808 Boston Common Asset Management LLC holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Boston Common Asset Management LLC 13F filings. Link to 13F filings: SEC filings |