Fund HoldingsMIROVA

Total Portfolio Value
$2.71B
Total Bought
$556.05M
Total Sold
$460.85M
Net Transaction
+$95.20M
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
CADENCE DESIGN SYSTEM INC(CDNS)232,032271,512+39,48064,475101,9043.76%+37,429
ADVANCED MICRO DEVICES INC(AMD)182,667124,492-58,17537,16072,3192.67%+35,159
BROADCOM INC(AVGO)169,717221,859+52,14252,52983,8073.10%+31,278
QUANTA SVCS INC055,398+55,398039,8891.47%+39,889
NVIDIA CORPORATION(NVDA)869,338905,162+35,824151,613181,1146.69%+29,501
MICROSOFT CORP(MSFT)188,849263,154+74,30569,90698,1623.63%+28,255
KLA CORP(KLAC)19,632183,756+164,12428,90655,4412.05%+26,535
ALPHABET INC(GOOG)180,834215,705+34,87152,00177,0862.85%+25,086
SNOWFLAKE INC(SNOW)257,688247,227-10,46138,86562,9192.32%+24,055
DATADOG INC(DDOG)72,649124,696+52,0478,57632,4661.20%+23,890
MONGODB INC(MDB)97,300128,865+31,56523,81643,2861.60%+19,470
MICRON TECHNOLOGY INC(MU)014,267+14,267016,4680.61%+16,468
FLEX LTD(FLEX)0155,716+155,716025,2370.93%+25,237
VISA INC(V)078,691+78,691026,9981.00%+26,998
CVS HEALTH CORP(CVS)0154,532+154,532015,9860.59%+15,986
COLGATE PALMOLIVE CO(CL)0253,811+253,811023,2690.86%+23,269
MERCK & CO INC(MRK)43,698144,550+100,8525,25618,5750.69%+13,318
VERIZON COMMUNICATIONS INC(VZ)161,329480,731+319,4028,09920,3540.75%+12,255
ABBVIE INC(ABBV)28,04968,391+40,3426,10017,2100.64%+11,110
SAMSARA INC(IOT)0298,000+298,00009,6640.36%+9,664
AMPHENOL CORP068,421+68,421012,0640.45%+12,064
RUBRIK INC.(RBRK)0110,000+110,00008,8310.33%+8,831
EDWARDS LIFESCIENCES CORP091,821+91,82108,3060.31%+8,306
KEYSIGHT TECHNOLOGIES INC(KEYS)39,82153,821+14,00011,24418,8410.70%+7,597
FORTUNE BRANDS INNOVATIONS I(FBIN)0137,614+137,61407,5550.28%+7,555
SHOPIFY INC(SHOP)065,742+65,74207,5060.28%+7,506
VARONIS SYS INC(VRNS)0150,000+150,00006,2940.23%+6,294
TJX COS INC NEW(TJX)084,803+84,803012,8480.47%+12,848
AMERICAN EXPRESS CO(AXP)046,729+46,729015,8060.58%+15,806
TOAST INC(TOST)0295,993+295,99308,2350.30%+8,235
ENERSYS(ENS)075,268+75,268017,5990.65%+17,599
VERALTO CORP(VLTO)354,189418,199+64,01031,31737,0861.37%+5,768
MASTERCARD INCORPORATED(MA)017,168+17,16808,8170.33%+8,817
JBT MAREL CORPORATION(JBTM)194,430208,212+13,78224,86230,1911.11%+5,329
CROWDSTRIKE HLDGS INC(CRWD)117,62466,800-50,82445,92250,9781.88%+5,056
JFROG LTD(FROG)354,574232,115-122,45916,64021,0950.78%+4,454
EMERSON ELEC CO(EMR)0118,071+118,071016,9020.62%+16,902
BALL CORP069,561+69,56104,3410.16%+4,341
VERTIV HOLDINGS CO(VRT)151,388126,001-25,38737,93542,1881.56%+4,253
VERISK ANALYTICS INC(VRSK)035,338+35,33806,3440.23%+6,344
BRUKER CORP(BRKR)269,877230,148-39,7299,74813,8500.51%+4,102
CANADIAN PACIFIC KANSAS CITY(CP)046,372+46,37204,0180.15%+4,018
IDEX CORP(IEX)160,700151,873-8,82730,46134,4681.27%+4,007
LINDE PLC(LIN)033,473+33,473017,3700.64%+17,370
ADVANCED DRAIN SYS INC DEL(WMS)172,152173,559+1,40723,60727,2421.01%+3,635
COSTCO WHOLESALE CORPORATION(COST)6,39410,598+4,2046,3719,9140.37%+3,543
AGILENT TECHNOLOGIES INC(A)88,559101,789+13,23010,09413,5210.50%+3,427
H2O AMERICA(HTO)195,246244,550+49,30411,45514,8610.55%+3,406
TRANE TECHNOLOGIES PLC(TT)016,508+16,50808,1080.30%+8,108
HUBBELL INC(HUBB)015,172+15,17207,9380.29%+7,938
OWENS CORNING NEW(OC)038,350+38,35006,0960.23%+6,096
WASTE MGMT INC DEL(WM)166,449184,679+18,23038,24841,1611.52%+2,913
TAPESTRY INC(TPR)39,73158,026+18,2955,6068,4940.31%+2,887
MANHATTAN ASSOCIATES INC(MANH)148,622160,627+12,00519,78522,3670.83%+2,583
CINTAS CORP(CTAS)56,59369,080+12,4879,57211,7490.43%+2,177
PLANET LABS PBC(PL)0313,869+313,869010,3980.38%+10,398
CROWN HLDGS INC(CCK)033,204+33,20403,7130.14%+3,713
EBAY INC.(EBAY)0123,194+123,194013,7670.51%+13,767
MODINE MFG CO(MOD)36,50035,804-6967,9109,5600.35%+1,650
PENTAIR PLC(PNR)228,918280,319+51,40119,94121,4890.79%+1,548
INTEL CORP(INTC)09,574+9,57401,3370.05%+1,337
AXON ENTERPRISE INC(AXON)28,56424,000-4,56412,13113,4550.50%+1,324
BROOKFIELD RENEWABLE CORP(BEPC)0130,361+130,36104,8390.18%+4,839
INTUIT(INTU)015,952+15,95204,1630.15%+4,163
BEST BUY INC(BBY)107,977106,920-1,0576,9328,1130.30%+1,181
TETRA TECH INC NEW(TTEK)611,722669,611+57,88918,42519,3450.71%+920
ZURN ELKAY WATER SOLNS CORP(ZWS)167,277165,567-1,7107,5018,3660.31%+865
JOHNSON & JOHNSON(JNJ)03,117+3,11707920.03%+792
XYLEM INC(XYL)244,505253,836+9,33129,21830,0061.11%+788
FERGUSON ENTERPRISES INC(FERG)57,80459,932+2,12813,48314,2240.53%+740
HEWLETT PACKARD ENTERPRISE C(HPE)032,179+32,17901,4520.05%+1,452
LITTELFUSE INC(LFUS)47,41036,765-10,64516,08916,7400.62%+652
MP MATERIALS CORP(MP)061,848+61,84803,4640.13%+3,464
ITRON INC(ITRI)0151,285+151,285013,0910.48%+13,091
CLOUDFLARE INC(NET)02,140+2,14005250.02%+525
JAZZ PHARMACEUTICALS PLC(JAZZ)01,618+1,61803900.01%+390
WEYERHAEUSER CO(WY)0343,409+343,40908,2210.30%+8,221
COREWEAVE INC(CRWV)03,350+3,35003330.01%+333
TAIWAN SEMICONDUCTOR MANUFAC(TSM)01,831+1,83108740.03%+874
PROCTER & GAMBLE CO(PG)067,228+67,22809,8580.36%+9,858
SERVICETITAN INC(TTAN)039,649+39,64902,8040.10%+2,804
ARGENX SE(ARGX)19,83315,891-3,94214,48314,7430.54%+260
SUNRUN INC(RUN)0446,791+446,79105,9780.22%+5,978
WATTS WATER TECHNOLOGIES INC(WTS)02,383+2,38309330.03%+933
BANK OF NY MELLON CORP02,798+2,79804050.01%+405
UNION PAC CORP(UNP)07,707+7,70702,0960.08%+2,096
GENERAL MTRS CO(GM)016,066+16,06601,2380.05%+1,238
VERSIGENT PLC(VGNT)01,190+1,1900500.00%+50
BROOKFIELD RENEWABLE ENERGY
PARTNERSHIP UNIT
09,322+9,32203240.01%+324
GRAPHIC PACKAGING HLDG CO(GPK)051,936+51,93605490.02%+549
AUTOLIV INC(ALV)02,319+2,31902690.01%+269
AGCO CORP05,417+5,41706480.02%+648
ARRAY TECHNOLOGIES INC047,530+47,53003520.01%+352
LKQ CORP(LKQ)01,794+1,7940470.00%+47
MUELLER WTR PRODS INC(MWA)09,994+9,99402580.01%+258
NEXTERA ENERGY INC(NEE)06,806+6,80605970.02%+597
TRIMBLE INC(TRMB)0337,734+337,734017,2850.64%+17,285
YETI HLDGS INC(YETI)000000
METTLER TOLEDO INTERNATIONAL(MTD)02,824+2,82403,6080.13%+3,608
VITAL FARMS INC042,096+42,09604900.02%+490
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