HoldingsChannel.com
Parnassus Investments CA Top Holdings
As of  03/31/2019

   EntityAmountChange
 12/31/2018 to 03/31/2019
Position Size
($ in 1000's)
Cadence Design Systems Inc. 14,385,382 -6,746 $913,616
     CDNS14,385,382-6,746$913,616
Linde plc 4,995,873 -33,460 $878,924
     LIN4,995,873-33,460$878,924
Gilead Sciences Inc. 13,074,555 +2,288,767 $849,976
     GILD13,074,555+2,288,767$849,976
The Walt Disney Co. 7,109,165 -4,960 $789,330
     DIS7,109,165-4,960$789,330
Synopsys Inc. 6,723,664 -71,497 $774,230
     SNPS6,723,664-71,497$774,230
Hologic Inc. 15,640,395 +100,833 $756,995
     HOLX15,640,395+100,833$756,995
Mastercard Inc. Class A 3,185,400 +51,389 $750,002
     MA3,185,400+51,389$750,002
American Express Co. 6,829,551 -471,745 $746,470
     AXP6,829,551-471,745$746,470
3M Company 3,521,742 -1,999 $731,748
     MMM3,521,742-1,999$731,748
The Clorox Company 4,505,204 -28,828 $722,905
     CLX4,505,204-28,828$722,905
Charles Schwab Corp. 15,616,327 -7,451 $667,754
     SCHW15,616,327-7,451$667,754
Cerner Corp. 11,361,322 +1,531,499 $649,981
     CERN11,361,322+1,531,499$649,981
Verisk Analytics Inc. 4,788,587 -2,012 $636,882
     VRSK4,788,587-2,012$636,882
Danaher Corp. 4,801,896 -40,318 $633,946
     DHR4,801,896-40,318$633,946
VF Corp. 7,229,159 -3,682 $628,286
     VFC7,229,159-3,682$628,286
CVS Health Corp. 11,639,429 -2,152,831 $627,715
     CVS11,639,429-2,152,831$627,715
Waste Management Inc. 5,876,731 -3,236 $610,651
     WM5,876,731-3,236$610,651
Sysco Corp. 8,752,593 +393,096 $584,323
     SYY8,752,593+393,096$584,323
Alphabet Inc. Class A 492,920 -10,133 $580,113
     GOOGL492,920-10,133$580,113
Motorola Solutions Inc. 4,119,782 -145,380 $578,499
     MSI4,119,782-145,380$578,499
First Republic Bank 5,510,259 -91,675 $553,560
     FRC5,510,259-91,675$553,560
Microsoft Corp. 4,692,201 -3,206 $553,398
     MSFT4,692,201-3,206$553,398
NVIDIA Corp. 3,081,251 +124,922 $553,269
     NVDA3,081,251+124,922$553,269
United Parcel Service Inc. Class B 4,718,439 -1,503,144 $527,238
     UPS4,718,439-1,503,144$527,238
Xylem Inc. 6,274,124 +26,743 $495,907
     XYL6,274,124+26,743$495,907
Starbucks Corp. 6,255,696 -6,214,818 $465,048
     SBUX6,255,696-6,214,818$465,048
PPG Industries Inc. 4,117,374 -48,614 $464,728
     PPG4,117,374-48,614$464,728
Apple Inc. 2,417,262 +122,126 $459,159
     AAPL2,417,262+122,126$459,159
The Procter & Gamble Co. 3,667,720 -2,458 $381,626
     PG3,667,720-2,458$381,626
Digital Realty Trust Inc. 3,101,104 +28,360 $369,031
     DLR3,101,104+28,360$369,031
Pentair plc 7,679,713 -206,489 $341,824
     PNR7,679,713-206,489$341,824
Iron Mountain Inc. 9,533,852 -5,130 $338,071
     IRM9,533,852-5,130$338,071
National Oilwell Varco Inc. 11,107,784 +73,441 $295,911
     NOV11,107,784+73,441$295,911
Hanesbrands Inc. 15,836,129 -1,300,000 $283,150
     HBI15,836,129-1,300,000$283,150
Mattel Inc. 20,930,307 -555,104 $272,094
     MAT20,930,307-555,104$272,094
Applied Materials Inc. 6,700,000 UNCH $265,722
     AMAT6,700,000UNCH$265,722
Micron Technology Inc. 6,400,000 UNCH $264,512
     MU6,400,000UNCH$264,512
Public Storage      $249,378
     PSA1,131,302-23,147$246,375
     PSA.PRF121,127UNCH$3,003
Cummins Inc. 1,500,000 UNCH $236,805
     CMI1,500,000UNCH$236,805
MDU Resources Group Inc. 8,837,414 -391,304 $228,270
     MDU8,837,414-391,304$228,270
Alliance Data Systems Corp. 1,260,118 +8,193 $220,495
     ADS1,260,118+8,193$220,495
Lam Research Corp. 1,100,000 -400,000 $196,911
     LRCX1,100,000-400,000$196,911
Teleflex Inc. 504,567 +11,033 $152,460
     TFX504,567+11,033$152,460
Biogen Inc. 630,000 +280,000 $148,919
     BIIB630,000+280,000$148,919
International Business Machine 1,000,000 +50,000 $141,100
     IBM1,000,000+50,000$141,100
AbbVie Inc. 1,700,000 +1,700,000 $137,003
     ABBV1,700,000+1,700,000$137,003
First Horizon National Corp. 9,542,251 UNCH $133,401
     FHN9,542,251UNCH$133,401
Trimble Inc. 3,285,552 UNCH $132,736
     TRMB3,285,552UNCH$132,736
QUALCOMM Inc. 2,300,000 +200,000 $131,169
     QCOM2,300,000+200,000$131,169
Alphabet Inc. Class C 111,408 -81 $130,716
     GOOG111,408-81$130,716

See Full List: All Stocks Held By Parnassus Investments CA
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Parnassus Investments CA

Size ($ in 1000's)
At 03/31/2019: $25,359,585
At 12/31/2018: $22,963,792

Parnassus Investments CA holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Parnassus Investments CA 13F filings. Link to 13F filings: SEC filings

Parnassus Investments CA Top Holdings 13F Filings | www.HoldingsChannel.com

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