Boston Common Asset Management, LLC 13F Holdings

Holdings from the most recent 13F from Boston Common Asset Management, LLC

Filed: 2025-01-15 (Q4 2024) | Holdings: 322 | Value: $3.4B | Filing Link

PREMIUM

Author Returns

Returns are calculated from when the filing is published and are weighted by the size of the holding.

Filing Returns

Returns are calculated from when the filing is published and are weighted by the size of the holding.

Holding Returns
StockPut/Call
Change
Holding Pct
Value
Current Return
3M Return
1Y Return
TSM - TAIWAN SEMICONDUCTOR MFG LTD S
Reduce 15% $(15.7M)
2.53%
$86.8M
-19.71%
-30.50%
AAPL - APPLE INC COM
Add 31% ($14.6M)
1.81%
$62.3M
-16.70%
-18.06%
MSFT - MICROSOFT CORP COM
Add 8% ($4.4M)
1.75%
$60.1M
+2.42%
-13.14%
N/A - DEUTSCHE TELEKOM
Reduce 12% $(7.3M)
1.57%
$54.1M
N/A - SCHNEIDER ELECTRIC
Reduce 19% $(11.5M)
1.47%
$50.3M
N/A - OVERSEA-CHINESE BK
Reduce 8% $(3.9M)
1.40%
$48.0M
N/A - BYD COMPANY LTD
Reduce 14% $(7.4M)
1.30%
$44.5M
NVDA - NVIDIA CORPORATION COM
Add 50% ($14.8M)
1.29%
$44.3M
-15.33%
-24.63%
AVGO - BROADCOM INC COM
Add 9% ($3.7M)
1.26%
$43.2M
-11.40%
-25.54%
N/A - ORIX CORP
Reduce 7% $(3.2M)
1.26%
$43.2M
N/A - PRYSMIAN SPA
Reduce 19% $(9.7M)
1.19%
$41.0M
N/A - MACQUARIE GP LTD
Reduce 9% $(3.7M)
1.15%
$39.6M
N/A - HANNOVER RUECK SE
Reduce 4% $(1.5M)
1.04%
$35.7M
N/A - RELX PLC
Reduce 5% $(1.8M)
1.00%
$34.3M
N/A - MITSUBISHI UFJ FIN
Reduce 7% $(2.6M)
1.00%
$34.2M
NFLX - NETFLIX INC COM
New Purchase
0.99%
$34.0M
+32.92%
+11.69%
N/A - INDITEX
Reduce 7% $(2.5M)
0.97%
$33.5M
N/A - NOVO NORDISK A/S
Add 10% ($3.1M)
0.97%
$33.2M
N/A - SONY GROUP CORPORA
Reduce 7% $(2.4M)
0.94%
$32.2M
MRK - MERCK & CO INC COM
New Purchase
0.93%
$31.8M
-22.02%
-23.22%
GOOG - ALPHABET INC CAP STK CL C
Reduce 1% $(309.8K)
0.91%
$31.3M
-20.37%
-20.50%
N/A - SSE PLC
Reduce 7% $(2.4M)
0.87%
$29.8M
N/A - ASML HOLDING NV
Reduce 5% $(1.4M)
0.84%
$28.9M
N/A - ASTRAZENECA
Reduce 17% $(5.9M)
0.82%
$28.3M
N/A - AXA SA
Reduce 26% $(9.8M)
0.81%
$28.0M
N/A - KEISEI ELEC RY CO
New Purchase
0.80%
$27.5M
V - VISA INC COM CL A
New Purchase
0.79%
$27.3M
+11.44%
+5.11%
N/A - CSL LTD
Reduce 14% $(4.3M)
0.79%
$27.2M
N/A - ING GROEP N.V.
Reduce 7% $(2.0M)
0.79%
$27.1M
HDB - HDFC BANK LTD SPONSORED ADS
Reduce 4% $(1.2M)
0.77%
$26.6M
+17.78%
+17.37%
TMUS - T-MOBILE US INC COM
Reduce 7% $(1.8M)
0.77%
$26.4M
+16.37%
+22.08%
N/A - REXEL
Reduce 3% $(849.5K)
0.76%
$26.1M
N/A - MITSUBISHI ELEC CP
New Purchase
0.74%
$25.4M
CB - CHUBB LIMITED COM
Add 8% ($1.9M)
0.74%
$25.3M
+7.68%
+6.22%
GOOGL - ALPHABET INC CAP STK CL A
New Purchase
0.74%
$25.3M
-20.44%
-20.93%
CL - COLGATE PALMOLIVE CO COM
New Purchase
0.71%
$24.4M
+4.86%
+7.33%
N/A - SAP SE
Reduce 6% $(1.6M)
0.71%
$24.3M
N/A - KURITA WATER INDS
Reduce 17% $(4.9M)
0.70%
$24.2M
N/A - UNILEVER PLC
Reduce 18% $(5.2M)
0.69%
$23.7M
N/A - KERRY GROUP
Reduce 7% $(1.7M)
0.69%
$23.7M
N/A - ASHTEAD GROUP
Add 8% ($1.7M)
0.69%
$23.6M
AWK - AMERICAN WTR WKS CO INC NEW CO
Reduce 2% $(494.6K)
0.68%
$23.5M
+18.71%
+19.53%
N/A - T&D HOLDINGS INC
New Purchase
0.67%
$23.2M
N/A - HOYA CORP
Reduce 24% $(7.3M)
0.67%
$23.1M
CRM - SALESFORCE INC COM
New Purchase
0.66%
$22.8M
-13.24%
-22.51%
INTU - INTUIT COM
New Purchase
0.65%
$22.4M
+5.44%
-5.49%
TJX - TJX COS INC NEW COM
New Purchase
0.65%
$22.3M
+7.47%
+5.97%
WAB - WABTEC COM
Reduce 39% $(14.3M)
0.64%
$22.1M
-4.53%
-15.51%
PG - PROCTER AND GAMBLE CO COM
New Purchase
0.64%
$21.9M
+0.62%
+4.88%
N/A - NASPERS
Add 1% ($284.6K)
0.63%
$21.8M
CARR - CARRIER GLOBAL CORPORATION COM
Reduce 100%
0.00%
$0.00
N/A - INTESA SANPAOLO
Reduce 100%
0.00%
$0.00
N/A - PROSUS N.V.
Reduce 100%
0.00%
$0.00
HOLX - HOLOGIC INC COM
Reduce 100%
0.00%
$0.00
N/A - ATLAS COPCO AB
Reduce 100%
0.00%
$0.00
N/A - CONVATEC GROUP PLC
Reduce 100%
0.00%
$0.00
N/A - BK RAKYAT
Reduce 100%
0.00%
$0.00
REGN - REGENERON PHARMACEUTICALS
Reduce 100%
0.00%
$0.00
MU - MICRON TECHNOLOGY INC COM
Reduce 100%
0.00%
$0.00
N/A - KON AHOLD DELHAIZE
Reduce 100%
0.00%
$0.00
DHR - DANAHER CORPORATION COM
Reduce 100%
0.00%
$0.00
N/A - DSM FIRMENICH AG
Reduce 100%
0.00%
$0.00