Entity | Amount | Change
09/30/2023 to 12/31/2023 |
Position Size ($ in 1000's) |
---|---|---|---|
Linde PLC | 2,813,999 | -62,424 | $1,154,509 |
LIN | 2,813,999 | -62,424 | $1,154,509 |
Microsoft Corp | 3,048,699 | +67,992 | $1,145,123 |
MSFT | 3,048,699 | +67,992 | $1,145,123 |
American Water Works Co Inc | 5,589,339 | -35,420 | $737,030 |
AWK | 5,589,339 | -35,420 | $737,030 |
Pentair PLC | 9,897,479 | +131,745 | $718,440 |
PNR | 9,897,479 | +131,745 | $718,440 |
Cintas Corp | 1,126,123 | -3,769 | $677,608 |
CTAS | 1,126,123 | -3,769 | $677,608 |
Aptiv PLC | 7,273,382 | +483,157 | $651,978 |
APTV | 7,273,382 | +483,157 | $651,978 |
TE Connectivity Ltd | 3,774,896 | +51,866 | $529,798 |
TEL | 3,774,896 | +51,866 | $529,798 |
Mastercard Inc | 1,197,498 | -989 | $509,568 |
MA | 1,197,498 | -989 | $509,568 |
IDEX Corp | 2,190,741 | +84,502 | $475,632 |
IEX | 2,190,741 | +84,502 | $475,632 |
United Rentals Inc | 820,424 | -139,632 | $469,935 |
URI | 820,424 | -139,632 | $469,935 |
Applied Materials Inc | 2,604,951 | +58,279 | $421,654 |
AMAT | 2,604,951 | +58,279 | $421,654 |
Thermo Fisher Scientific Inc | 753,666 | +80,567 | $399,194 |
TMO | 753,666 | +80,567 | $399,194 |
HDFC Bank Ltd | 5,771,491 | +160,220 | $386,431 |
HDB | 5,771,491 | +160,220 | $386,431 |
Advanced Drainage Systems Inc | 2,706,706 | -309,029 | $379,831 |
WMS | 2,706,706 | -309,029 | $379,831 |
Danaher Corp | 1,552,417 | +351,090 | $358,428 |
DHR | 1,552,417 | +351,090 | $358,428 |
Veralto Corp | 4,233,797 | +4,233,797 | $347,827 |
VLTO | 4,233,797 | +4,233,797 | $347,827 |
Republic Services Inc | 2,032,965 | -149,283 | $335,256 |
RSG | 2,032,965 | -149,283 | $335,256 |
Watts Water Technologies Inc | 1,597,987 | -211,551 | $332,238 |
WTS | 1,597,987 | -211,551 | $332,238 |
MSCI Inc | 587,978 | +522,926 | $331,906 |
MSCI | 587,978 | +522,926 | $331,906 |
Waste Management Inc | 1,847,956 | -176,826 | $330,969 |
WM | 1,847,956 | -176,826 | $330,969 |
Agilent Technologies Inc | 2,364,236 | -52,639 | $328,700 |
A | 2,364,236 | -52,639 | $328,700 |
Cadence Design Systems Inc | 1,201,392 | -282,513 | $326,642 |
CDNS | 1,201,392 | -282,513 | $326,642 |
Visa Inc | 1,220,110 | +20,890 | $317,081 |
V | 1,220,110 | +20,890 | $317,081 |
Analog Devices Inc | 1,583,138 | +30,978 | $313,660 |
ADI | 1,583,138 | +30,978 | $313,660 |
IQVIA Holdings Inc | 1,342,415 | -317,469 | $309,957 |
IQV | 1,342,415 | -317,469 | $309,957 |
Zurn Elkay Water Solutions Cor | 10,144,139 | -516,762 | $297,682 |
ZWS | 10,144,139 | -516,762 | $297,682 |
A O Smith Corp | 3,532,300 | -569,086 | $291,203 |
AOS | 3,532,300 | -569,086 | $291,203 |
Cia de Saneamento Basico do Es | 18,135,419 | -1,610,157 | $275,471 |
SBS | 18,135,419 | -1,610,157 | $275,471 |
Texas Instruments Inc | 1,548,458 | +247,183 | $263,950 |
TXN | 1,548,458 | +247,183 | $263,950 |
Marsh & McLennan Cos Inc | 1,384,825 | +1,384,825 | $261,787 |
MMC | 1,384,825 | +1,384,825 | $261,787 |
Autodesk Inc | 1,035,080 | -58,787 | $252,021 |
ADSK | 1,035,080 | -58,787 | $252,021 |
Boston Scientific Corp | 4,342,045 | +80,071 | $250,409 |
BSX | 4,342,045 | +80,071 | $250,409 |
Waters Corp | 744,663 | -30,877 | $245,165 |
WAT | 744,663 | -30,877 | $245,165 |
Trane Technologies PLC | 973,294 | -136,328 | $237,386 |
TT | 973,294 | -136,328 | $237,386 |
Mettler Toledo International I | 192,857 | +11,880 | $233,928 |
MTD | 192,857 | +11,880 | $233,928 |
Trimble Inc | 4,369,696 | -5,314,906 | $231,760 |
TRMB | 4,369,696 | -5,314,906 | $231,760 |
Xylem Inc NY | 1,975,817 | -57,109 | $225,954 |
XYL | 1,975,817 | -57,109 | $225,954 |
Becton Dickinson & Co | 919,899 | +122,038 | $223,795 |
BDX | 919,899 | +122,038 | $223,795 |
Hubbell Inc | 676,318 | -14,355 | $222,461 |
HUBB | 676,318 | -14,355 | $222,461 |
Rayonier Inc | 6,563,109 | -441,569 | $218,358 |
RYN | 6,563,109 | -441,569 | $218,358 |
PTC Inc | 1,238,219 | -258,009 | $215,451 |
PTC | 1,238,219 | -258,009 | $215,451 |
ANSYS Inc | 585,625 | -55,090 | $212,512 |
ANSS | 585,625 | -55,090 | $212,512 |
STERIS PLC | 964,935 | +779,038 | $211,430 |
STE | 964,935 | +779,038 | $211,430 |
Masco Corp | 3,073,907 | -13,077 | $205,890 |
MAS | 3,073,907 | -13,077 | $205,890 |
Ecolab Inc | 1,005,301 | -92,203 | $199,401 |
ECL | 1,005,301 | -92,203 | $199,401 |
Ormat Technologies Inc | 2,638,182 | +343,650 | $199,004 |
ORA | 2,638,182 | +343,650 | $199,004 |
Littelfuse Inc | 733,819 | -15,724 | $195,389 |
LFUS | 733,819 | -15,724 | $195,389 |
Apple Inc | 1,006,086 | -14,329 | $193,702 |
AAPL | 1,006,086 | -14,329 | $193,702 |
Carrier Global Corp | 3,306,877 | +1,070,036 | $189,980 |
CARR | 3,306,877 | +1,070,036 | $189,980 |
Monolithic Power Systems Inc | 301,659 | -17,078 | $189,328 |
MPWR | 301,659 | -17,078 | $189,328 |
See Full List: All Stocks Held By Impax Asset Management Group plc
— Including:
Biggest new positions
Biggest exits
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See Details: Top 10 Stocks Held By Impax Asset Management Group plc
Size ($ in 1000's)
At 12/31/2023: $24,909,644 At 09/30/2023: $22,293,015 Combined Holding Report Includes:
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 |