HoldingsChannel.com
Parnassus Investments CA Top Holdings
As of  06/30/2019

   EntityAmountChange
 03/31/2019 to 06/30/2019
Position Size
($ in 1000's)
Microsoft Corp. 8,818,322 +4,126,121 $1,181,303
     MSFT8,818,322+4,126,121$1,181,303
The Walt Disney Co. 6,934,027 -175,138 $968,267
     DIS6,934,027-175,138$968,267
Linde plc 3,898,611 -1,097,262 $782,841
     LIN3,898,611-1,097,262$782,841
American Express Co. 6,108,538 -721,013 $754,038
     AXP6,108,538-721,013$754,038
Cerner Corp. 10,200,957 -1,160,365 $747,730
     CERN10,200,957-1,160,365$747,730
Hologic Inc. 15,525,782 -114,613 $745,548
     HOLX15,525,782-114,613$745,548
Cadence Design Systems Inc. 10,218,901 -4,166,481 $723,600
     CDNS10,218,901-4,166,481$723,600
Mastercard Inc. Class A 2,694,878 -490,522 $712,876
     MA2,694,878-490,522$712,876
The Clorox Company 4,634,090 +128,886 $709,526
     CLX4,634,090+128,886$709,526
Verisk Analytics Inc. 4,747,299 -41,288 $695,290
     VRSK4,747,299-41,288$695,290
Motorola Solutions Inc. 4,136,173 +16,391 $689,624
     MSI4,136,173+16,391$689,624
Danaher Corp. 4,718,450 -83,446 $674,361
     DHR4,718,450-83,446$674,361
Synopsys Inc. 5,209,868 -1,513,796 $670,458
     SNPS5,209,868-1,513,796$670,458
Waste Management Inc. 5,469,366 -407,365 $631,001
     WM5,469,366-407,365$631,001
VF Corp. 7,134,648 -94,511 $623,212
     VFC7,134,648-94,511$623,212
Gilead Sciences Inc. 8,945,837 -4,128,718 $604,381
     GILD8,945,837-4,128,718$604,381
Sysco Corp. 8,494,634 -257,959 $600,741
     SYY8,494,634-257,959$600,741
Costco Wholesale Corp. 2,239,781 +2,239,781 $591,885
     COST2,239,781+2,239,781$591,885
FedEx Corp. 3,499,875 +3,370,929 $574,644
     FDX3,499,875+3,370,929$574,644
NVIDIA Corp. 3,374,726 +293,475 $554,231
     NVDA3,374,726+293,475$554,231
CME Group Inc. 2,804,040 +2,804,040 $544,292
     CME2,804,040+2,804,040$544,292
Xylem Inc. 6,407,410 +133,286 $535,916
     XYL6,407,410+133,286$535,916
The Procter & Gamble Co. 4,463,509 +795,789 $489,424
     PG4,463,509+795,789$489,424
PPG Industries Inc. 4,184,541 +67,167 $488,378
     PPG4,184,541+67,167$488,378
Alphabet Inc. Class A 426,481 -66,439 $461,793
     GOOGL426,481-66,439$461,793
Starbucks Corp. 5,452,255 -803,441 $457,062
     SBUX5,452,255-803,441$457,062
Apple Inc. 2,301,934 -115,328 $455,599
     AAPL2,301,934-115,328$455,599
Trimble Inc. 9,972,239 +6,686,687 $449,848
     TRMB9,972,239+6,686,687$449,848
Mondelez International Inc. Class A 7,798,629 +6,955,639 $420,346
     MDLZ7,798,629+6,955,639$420,346
CVS Health Corp. 7,240,390 -4,399,039 $394,529
     CVS7,240,390-4,399,039$394,529
Deere & Co. 2,369,514 +2,369,514 $392,652
     DE2,369,514+2,369,514$392,652
Charles Schwab Corp. 9,295,790 -6,320,537 $373,598
     SCHW9,295,790-6,320,537$373,598
Digital Realty Trust Inc. 3,059,189 -41,915 $360,342
     DLR3,059,189-41,915$360,342
First Republic Bank 3,455,135 -2,055,124 $337,394
     FRC3,455,135-2,055,124$337,394
Pentair plc 8,216,678 +536,965 $305,661
     PNR8,216,678+536,965$305,661
Applied Materials Inc. 6,700,000 UNCH $300,897
     AMAT6,700,000UNCH$300,897
Public Storage      $287,236
     PSA1,196,459+65,157$284,960
     PSA.PRF91,127-30,000$2,276
AvalonBay Communities Inc. 1,386,173 +1,386,173 $281,643
     AVB1,386,173+1,386,173$281,643
Hanesbrands Inc. 15,834,061 -2,068 $272,663
     HBI15,834,061-2,068$272,663
Micron Technology Inc. 6,400,000 UNCH $246,976
     MU6,400,000UNCH$246,976
Iron Mountain Inc. 7,129,889 -2,403,963 $223,165
     IRM7,129,889-2,403,963$223,165
Biogen Inc. 925,000 +295,000 $216,330
     BIIB925,000+295,000$216,330
Lam Research Corp. 1,100,000 UNCH $206,624
     LRCX1,100,000UNCH$206,624
Alliance Data Systems Corp. 1,409,429 +149,311 $197,503
     ADS1,409,429+149,311$197,503
Regeneron Pharmaceuticals Inc. 625,000 +465,000 $195,625
     REGN625,000+465,000$195,625
Perrigo Co. plc 3,700,000 +1,750,000 $176,194
     PRGO3,700,000+1,750,000$176,194
QUALCOMM Inc. 2,300,000 UNCH $174,961
     QCOM2,300,000UNCH$174,961
Cummins Inc. 972,500 -527,500 $166,628
     CMI972,500-527,500$166,628
Teleflex Inc. 472,255 -32,312 $156,387
     TFX472,255-32,312$156,387
The Gap Inc. 8,700,000 +8,700,000 $156,339
     GPS8,700,000+8,700,000$156,339

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 06/30/2019: $26,421,738
At 03/31/2019: $25,359,585

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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