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Impax Asset Management Group plc Top Holdings
As of  09/30/2022, below is a summary of the Impax Asset Management Group plc top holdings by largest position size, as per the latest 13f filing made by Impax Asset Management Group plc. In the Impax Asset Management Group plc-top-holdings-table below, each of the top holdings by name is presented in the first column, followed by the amount of shares held by Impax Asset Management Group plc in that top holding, then the share count change between reporting periods, and finally the Impax Asset Management Group plc top holding position size for that row.

   EntityAmountChange
 06/30/2022 to 09/30/2022
Position Size
($ in 1000's)
Linde PLC 3,032,950 +203,294 $816,941
     LIN3,032,950+203,294$816,941
Microsoft Corp 2,845,702 +314,309 $661,927
     MSFT2,845,702+314,309$661,927
American Water Works Co Inc 4,651,418 -254,679 $604,686
     AWK4,651,418-254,679$604,686
Pentair PLC 13,816,172 +1,492,905 $560,589
     PNR13,816,172+1,492,905$560,589
Trimble Inc 9,485,529 +229,255 $514,041
     TRMB9,485,529+229,255$514,041
Agilent Technologies Inc 4,013,688 -154,840 $487,864
     A4,013,688-154,840$487,864
Cintas Corp 995,210 -67,395 $385,757
     CTAS995,210-67,395$385,757
IDEX Corp 1,914,171 -296,872 $382,547
     IEX1,914,171-296,872$382,547
Aptiv PLC 4,706,143 +24,056 $367,703
     APTV4,706,143+24,056$367,703
Equinix Inc 645,937 -2,980 $366,985
     EQIX645,937-2,980$366,985
PTC Inc 3,211,945 -379,996 $334,961
     PTC3,211,945-379,996$334,961
TE Connectivity Ltd 2,879,117 +30,194 $317,388
     TEL2,879,117+30,194$317,388
Advanced Drainage Systems Inc 2,501,837 -282,619 $310,279
     WMS2,501,837-282,619$310,279
Waste Management Inc 1,820,027 -171,700 $291,587
     WM1,820,027-171,700$291,587
Applied Materials Inc 3,520,646 +201,688 $288,127
     AMAT3,520,646+201,688$288,127
Mastercard Inc 999,044 +24,606 $283,409
     MA999,044+24,606$283,409
Thermo Fisher Scientific Inc 541,485 -1,515 $273,998
     TMO541,485-1,515$273,998
Zurn Elkay Water Solutions Cor 10,932,007 +841,395 $267,247
     ZWS10,932,007+841,395$267,247
HDFC Bank Ltd 4,513,967 -441,637 $263,120
     HDB4,513,967-441,637$263,120
Boston Scientific Corp 6,621,133 +2,132,468 $255,836
     BSX6,621,133+2,132,468$255,836
IQVIA Holdings Inc 1,399,096 +63,960 $252,918
     IQV1,399,096+63,960$252,918
United Rentals Inc 916,221 -253,870 $247,213
     URI916,221-253,870$247,213
Cadence Design Systems Inc 1,511,371 -138,706 $246,560
     CDNS1,511,371-138,706$246,560
Darling Ingredients Inc 3,653,695 +213,915 $240,852
     DAR3,653,695+213,915$240,852
Watts Water Technologies Inc 1,913,584 +11,910 $240,052
     WTS1,913,584+11,910$240,052
Analog Devices Inc 1,676,216 +9,017 $232,997
     ADI1,676,216+9,017$232,997
Trane Technologies PLC 1,560,891 -300,810 $226,033
     TT1,560,891-300,810$226,033
Hubbell Inc 1,009,235 -851,316 $225,059
     HUBB1,009,235-851,316$225,059
Autodesk Inc 1,184,229 -102,325 $221,214
     ADSK1,184,229-102,325$221,214
Valmont Industries Inc 812,344 -73,100 $218,212
     VMI812,344-73,100$218,212
Republic Services Inc 1,590,978 +257,489 $216,437
     RSG1,590,978+257,489$216,437
Texas Instruments Inc 1,305,101 -102,085 $202,004
     TXN1,305,101-102,085$202,004
Vertex Pharmaceuticals Inc 697,733 -23,201 $201,646
     VRTX697,733-23,201$201,646
Cia de Saneamento Basico do Es 21,418,579 -3,242,929 $194,470
     SBS21,418,579-3,242,929$194,470
A O Smith Corp 4,001,360 +70,578 $194,386
     AOS4,001,360+70,578$194,386
Waters Corp 719,183 +112,698 $193,841
     WAT719,183+112,698$193,841
Visa Inc 1,083,846 +61,403 $192,187
     V1,083,846+61,403$192,187
Danaher Corp 726,632 -7,449 $187,313
     DHR726,632-7,449$187,313
Essential Utilities Inc 4,506,774 -178,714 $186,490
     WTRG4,506,774-178,714$186,490
Deere & Co 549,245 +28,037 $183,387
     DE549,245+28,037$183,387
Verisk Analytics Inc 1,063,356 -909,502 $181,153
     VRSK1,063,356-909,502$181,153
Littelfuse Inc 904,217 +75,873 $178,852
     LFUS904,217+75,873$178,852
ANSYS Inc 784,273 +15,038 $173,873
     ANSS784,273+15,038$173,873
Ormat Technologies Inc 1,939,031 -1,113,905 $166,358
     ORA1,939,031-1,113,905$166,358
Toro Co The 1,891,943 +36,392 $163,615
     TTC1,891,943+36,392$163,615
Becton Dickinson and Co 735,722 -57,696 $163,592
     BDX735,722-57,696$163,592
Ecolab Inc 1,084,911 +11,505 $156,683
     ECL1,084,911+11,505$156,683
Graphic Packaging Holding Co 7,977,877 -168,679 $156,643
     GPK7,977,877-168,679$156,643
Generac Holdings Inc 876,077 +29,916 $155,216
     GNRC876,077+29,916$155,216
Monolithic Power Systems Inc 411,590 -10,319 $148,937
     MPWR411,590-10,319$148,937

See Full List: All Stocks Held By Impax Asset Management Group plc
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Impax Asset Management Group plc

Size ($ in 1000's)
At 09/30/2022: $19,455,334
At 06/30/2022: $20,667,666

Impax Asset Management Group plc holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Impax Asset Management Group plc 13F filings. Link to 13F filings: SEC filings

Impax Asset Management Group plc Top Holdings 13F Filings | www.HoldingsChannel.com

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