Domini Impact Equity Fund – Schedule of Portfolio Holdings
Security Name | Shares | Market Value ($) | Weight (%) |
---|---|---|---|
NVIDIA CORP | 567,180 | 89,608,768 | 8.1 |
MICROSOFT CORP | 179,861 | 89,464,660 | 8.1 |
APPLE INC | 353,896 | 72,608,842 | 6.5 |
AMAZON.COM INC | 231,580 | 50,806,336 | 4.6 |
ALPHABET INC CL A | 254,800 | 44,903,404 | 4 |
JPMORGAN CHASE + CO | 93,300 | 27,048,603 | 2.4 |
VISA INC CLASS A SHARES | 57,600 | 20,450,880 | 1.8 |
NETFLIX INC | 14,338 | 19,200,446 | 1.7 |
MASTERCARD INC A | 27,552 | 15,482,571 | 1.4 |
COSTCO WHOLESALE CORP | 15,003 | 14,852,070 | 1.3 |
PROCTER + GAMBLE CO/THE | 79,725 | 12,701,787 | 1.1 |
HOME DEPOT INC | 33,751 | 12,374,467 | 1.1 |
ABBVIE INC | 60,052 | 11,146,852 | 1 |
BANK OF AMERICA CORP | 233,954 | 11,070,703 | 1 |
INTL BUSINESS MACHINES CORP | 31,166 | 9,187,113 | 0.8 |
SALESFORCE INC | 31,534 | 8,599,006 | 0.8 |
CISCO SYSTEMS INC | 122,191 | 8,477,612 | 0.8 |
NOVO NORDISK A/S SPONS ADR | 114,656 | 7,913,557 | 0.7 |
ADVANCED MICRO DEVICES | 54,450 | 7,726,455 | 0.7 |
WALT DISNEY CO/THE | 60,893 | 7,551,341 | 0.7 |
LINDE PLC | 15,930 | 7,474,037 | 0.7 |
INTUIT INC | 9,222 | 7,263,524 | 0.7 |
SERVICENOW INC | 7,058 | 7,256,189 | 0.7 |
ASTRAZENECA PLC SPONS ADR | 101,600 | 7,099,808 | 0.6 |
AT+T INC | 242,685 | 7,023,304 | 0.6 |
SIEMENS AG SPONS ADR | 53,936 | 6,950,732 | 0.6 |
SHOPIFY INC CLASS A | 60,100 | 6,932,535 | 0.6 |
MERCK + CO. INC. | 84,635 | 6,699,707 | 0.6 |
MERCADOLIBRE INC | 2,523 | 6,594,188 | 0.6 |
INTUITIVE SURGICAL INC | 12,000 | 6,520,920 | 0.6 |
TEXAS INSTRUMENTS INC | 30,852 | 6,405,492 | 0.6 |
AUTOMATIC DATA PROCESSING | 20,668 | 6,374,011 | 0.6 |
BOOKING HOLDINGS INC | 1,100 | 6,368,164 | 0.6 |
ACCENTURE PLC CL A | 21,200 | 6,336,468 | 0.6 |
CATERPILLAR INC | 16,000 | 6,211,360 | 0.6 |
PEPSICO INC | 46,331 | 6,117,545 | 0.6 |
TOYOTA MOTOR CORP SPON ADR | 34,300 | 5,908,518 | 0.5 |
QUALCOMM INC | 36,800 | 5,860,768 | 0.5 |
MORGAN STANLEY | 41,059 | 5,783,571 | 0.5 |
VERIZON COMMUNICATIONS INC | 131,895 | 5,707,097 | 0.5 |
S+P GLOBAL INC | 10,658 | 5,619,857 | 0.5 |
ADOBE INC | 14,424 | 5,580,357 | 0.5 |
AMERICAN EXPRESS CO | 17,048 | 5,437,971 | 0.5 |
PROGRESSIVE CORP | 19,958 | 5,325,992 | 0.5 |
CITIGROUP INC | 62,408 | 5,312,169 | 0.5 |
SCHWAB (CHARLES) CORP | 57,278 | 5,226,045 | 0.5 |
THERMO FISHER SCIENTIFIC INC | 12,588 | 5,103,930 | 0.5 |
AMGEN INC | 18,119 | 5,059,006 | 0.5 |
SCHNEIDER ELECT SE UNSP ADR | 94,600 | 5,049,748 | 0.5 |
BLACKROCK INC | 4,786 | 5,021,711 | 0.5 |
UNILEVER PLC SPONSORED ADR | 81,685 | 4,996,671 | 0.5 |
APPLIED MATERIALS INC | 27,002 | 4,943,256 | 0.4 |
MICRON TECHNOLOGY INC | 37,900 | 4,671,175 | 0.4 |
GILEAD SCIENCES INC | 42,046 | 4,661,640 | 0.4 |
TJX COMPANIES INC | 37,600 | 4,643,224 | 0.4 |
STRYKER CORP | 11,728 | 4,639,949 | 0.4 |
PFIZER INC | 190,870 | 4,626,689 | 0.4 |
CAPITAL ONE FINANCIAL CORP | 21,481 | 4,570,298 | 0.4 |
BYD CO LTD UNSPONSORED ADR | 48,500 | 4,549,300 | 0.4 |
COMCAST CORP CLASS A | 124,921 | 4,458,430 | 0.4 |
DANAHER CORP | 22,015 | 4,348,843 | 0.4 |
DEERE + CO | 8,445 | 4,294,198 | 0.4 |
LOWE S COS INC | 19,041 | 4,224,627 | 0.4 |
DEUTSCHE TELEKOM AG SPON ADR | 114,200 | 4,178,578 | 0.4 |
CROWDSTRIKE HOLDINGS INC A | 8,080 | 4,115,225 | 0.4 |
AIR LIQUIDE UNSPONSORED ADR | 97,741 | 4,036,703 | 0.4 |
ANALOG DEVICES INC | 16,911 | 4,025,156 | 0.4 |
VERTEX PHARMACEUTICALS INC | 8,643 | 3,847,864 | 0.3 |
SANOFI ADR | 77,116 | 3,725,474 | 0.3 |
T MOBILE US INC | 15,400 | 3,669,204 | 0.3 |
CHUBB LTD | 12,587 | 3,646,706 | 0.3 |
MARSH + MCLENNAN COS | 16,630 | 3,635,983 | 0.3 |
L OREAL UNSPONSORED ADR | 41,600 | 3,557,216 | 0.3 |
INTERCONTINENTAL EXCHANGE IN | 19,195 | 3,521,707 | 0.3 |
AMERICAN TOWER CORP | 15,709 | 3,472,003 | 0.3 |
STARBUCKS CORP | 37,567 | 3,442,264 | 0.3 |
WELLTOWER INC | 22,300 | 3,428,179 | 0.3 |
FORTINET INC | 32,400 | 3,425,328 | 0.3 |
ARISTA NETWORKS INC | 33,100 | 3,386,461 | 0.3 |
RELX PLC SPON ADR | 62,300 | 3,385,382 | 0.3 |
CME GROUP INC | 12,098 | 3,334,451 | 0.3 |
SNOWFLAKE INC CLASS A | 14,900 | 3,334,173 | 0.3 |
PROLOGIS INC | 31,222 | 3,282,057 | 0.3 |
FISERV INC | 18,700 | 3,224,067 | 0.3 |
PALO ALTO NETWORKS INC | 14,950 | 3,059,368 | 0.3 |
INTEL CORP | 133,279 | 2,985,450 | 0.3 |
HERMES INTL UNSPONSORED ADR | 10,960 | 2,971,366 | 0.3 |
APPLOVIN CORP CLASS A | 8,400 | 2,940,672 | 0.3 |
MONDELEZ INTERNATIONAL INC A | 43,447 | 2,930,066 | 0.3 |
DOORDASH INC A | 11,800 | 2,908,818 | 0.3 |
CLOUDFLARE INC CLASS A | 14,800 | 2,898,284 | 0.3 |
CADENCE DESIGN SYS INC | 9,184 | 2,830,050 | 0.3 |
ARTHUR J GALLAGHER + CO | 8,700 | 2,785,044 | 0.3 |
NIKE INC CL B | 39,049 | 2,774,041 | 0.3 |
SHERWIN WILLIAMS CO/THE | 7,792 | 2,675,461 | 0.2 |
EQUINIX INC | 3,331 | 2,649,711 | 0.2 |
SYNOPSYS INC | 5,143 | 2,636,713 | 0.2 |
RECRUIT HOLDINGS CO LTD ADR | 223,700 | 2,628,475 | 0.2 |
CINTAS CORP | 11,572 | 2,579,052 | 0.2 |
CSL LTD SPONSORED ADR | 32,500 | 2,574,000 | 0.2 |
O REILLY AUTOMOTIVE INC | 28,500 | 2,568,705 | 0.2 |
MOODY S CORP | 5,071 | 2,543,563 | 0.2 |
GSK PLC SPON ADR | 65,900 | 2,530,560 | 0.2 |
CHIPOTLE MEXICAN GRILL INC | 44,950 | 2,523,943 | 0.2 |
AON PLC CLASS A | 7,000 | 2,497,320 | 0.2 |
COLGATE PALMOLIVE CO | 27,425 | 2,492,933 | 0.2 |
UNITED PARCEL SERVICE CL B | 24,693 | 2,492,511 | 0.2 |
PNC FINANCIAL SERVICES GROUP | 13,349 | 2,488,521 | 0.2 |
PAYCHEX INC | 16,431 | 2,390,053 | 0.2 |
NATIONAL GRID PLC SP ADR | 31,719 | 2,360,211 | 0.2 |
US BANCORP | 51,716 | 2,340,149 | 0.2 |
ILLINOIS TOOL WORKS | 9,352 | 2,312,282 | 0.2 |
ECOLAB INC | 8,548 | 2,303,173 | 0.2 |
MARVELL TECHNOLOGY INC | 29,275 | 2,265,885 | 0.2 |
AUTODESK INC | 7,207 | 2,231,071 | 0.2 |
TRANE TECHNOLOGIES PLC | 5,007 | 2,190,112 | 0.2 |
BANK OF NEW YORK MELLON CORP | 23,800 | 2,168,418 | 0.2 |
BRISTOL MYERS SQUIBB CO | 46,101 | 2,134,015 | 0.2 |
AIR PRODUCTS + CHEMICALS INC | 7,559 | 2,132,092 | 0.2 |
ATLAS COPCO AB SPONS ADR A | 129,600 | 2,090,448 | 0.2 |
ROPER TECHNOLOGIES INC | 3,657 | 2,072,934 | 0.2 |
MARRIOTT INTERNATIONAL CL A | 7,500 | 2,049,075 | 0.2 |
TRAVELERS COS INC/THE | 7,616 | 2,037,585 | 0.2 |
DIGITAL REALTY TRUST INC | 11,292 | 1,968,534 | 0.2 |
CARRIER GLOBAL CORP | 26,700 | 1,954,173 | 0.2 |
INDITEX UNSPON ADR | 148,600 | 1,939,230 | 0.2 |
AFLAC INC | 18,315 | 1,931,500 | 0.2 |
QUANTA SERVICES INC | 5,000 | 1,890,400 | 0.2 |
REGENERON PHARMACEUTICALS | 3,600 | 1,890,000 | 0.2 |
TRUIST FINANCIAL CORP | 43,602 | 1,874,450 | 0.2 |
SIMON PROPERTY GROUP INC | 10,900 | 1,752,284 | 0.2 |
ALLSTATE CORP | 8,700 | 1,751,397 | 0.2 |
LONZA GROUP AG UNSPON ADR | 24,500 | 1,748,320 | 0.2 |
GARMIN LTD | 8,346 | 1,741,977 | 0.2 |
AIRBNB INC CLASS A | 13,100 | 1,733,654 | 0.2 |
UNITED RENTALS INC | 2,259 | 1,701,931 | 0.2 |
EMERSON ELECTRIC CO | 12,726 | 1,696,758 | 0.2 |
PACCAR INC | 17,500 | 1,663,550 | 0.1 |
BECTON DICKINSON AND CO | 9,551 | 1,645,160 | 0.1 |
FASTENAL CO | 38,916 | 1,634,472 | 0.1 |
WW GRAINGER INC | 1,570 | 1,633,177 | 0.1 |
PAYPAL HOLDINGS INC | 21,900 | 1,627,608 | 0.1 |
VERTIV HOLDINGS CO A | 12,600 | 1,617,966 | 0.1 |
HALEON PLC ADR | 153,125 | 1,587,906 | 0.1 |
PUBLIC STORAGE | 5,377 | 1,577,719 | 0.1 |
METLIFE INC | 19,200 | 1,544,064 | 0.1 |
EDWARDS LIFESCIENCES CORP | 19,672 | 1,538,547 | 0.1 |
TARGET CORP | 15,551 | 1,534,106 | 0.1 |
ALCON INC | 17,362 | 1,532,717 | 0.1 |
TAKEDA PHARMACEUTIC SP ADR | 98,400 | 1,521,264 | 0.1 |
CROWN CASTLE INC | 14,722 | 1,512,391 | 0.1 |
KROGER CO | 20,711 | 1,485,600 | 0.1 |
MSCI INC | 2,568 | 1,481,068 | 0.1 |
MERCEDES BENZ GROUP UNSP ADR | 101,900 | 1,474,493 | 0.1 |
COPART INC | 29,900 | 1,467,193 | 0.1 |
FAIR ISAAC CORP | 800 | 1,462,368 | 0.1 |
KIMBERLY CLARK CORP | 11,318 | 1,459,117 | 0.1 |
IDEXX LABORATORIES INC | 2,719 | 1,458,308 | 0.1 |
TAKE TWO INTERACTIVE SOFTWRE | 6,000 | 1,457,100 | 0.1 |
DHL GROUP ADR | 30,900 | 1,435,305 | 0.1 |
FORD MOTOR CO | 132,200 | 1,434,370 | 0.1 |
NASDAQ INC | 15,900 | 1,421,778 | 0.1 |
VEEVA SYSTEMS INC CLASS A | 4,906 | 1,412,830 | 0.1 |
ALNYLAM PHARMACEUTICALS INC | 4,300 | 1,402,187 | 0.1 |
KEURIG DR PEPPER INC | 42,400 | 1,401,744 | 0.1 |
DATADOG INC CLASS A | 10,200 | 1,370,166 | 0.1 |
CBRE GROUP INC A | 9,722 | 1,362,247 | 0.1 |
ADIDAS AG SPONSORED ADR | 11,638 | 1,361,879 | 0.1 |
OTIS WORLDWIDE CORP | 13,500 | 1,336,770 | 0.1 |
WOLTERS KLUWER NV SPONS ADR | 8,000 | 1,334,880 | 0.1 |
ELECTRONIC ARTS INC | 8,300 | 1,325,510 | 0.1 |
PRUDENTIAL FINANCIAL INC | 12,061 | 1,295,834 | 0.1 |
ROCKWELL AUTOMATION INC | 3,872 | 1,286,162 | 0.1 |
HARTFORD INSURANCE GROUP INC | 9,993 | 1,267,812 | 0.1 |
RESMED INC | 4,846 | 1,250,268 | 0.1 |
CHARTER COMMUNICATIONS INC A | 3,058 | 1,250,141 | 0.1 |
SYSCO CORP | 16,103 | 1,219,641 | 0.1 |
WABTEC CORP | 5,791 | 1,212,346 | 0.1 |
CONSOLIDATED EDISON INC | 11,761 | 1,180,216 | 0.1 |
ATLASSIAN CORP CL A | 5,700 | 1,157,613 | 0.1 |
EBAY INC | 15,400 | 1,146,684 | 0.1 |
INGERSOLL RAND INC | 13,669 | 1,136,987 | 0.1 |
VULCAN MATERIALS CO | 4,344 | 1,133,002 | 0.1 |
AGILENT TECHNOLOGIES INC | 9,600 | 1,132,896 | 0.1 |
DEXCOM INC | 12,973 | 1,132,413 | 0.1 |
COSTAR GROUP INC | 13,810 | 1,110,324 | 0.1 |
GE HEALTHCARE TECHNOLOGY | 14,800 | 1,096,236 | 0.1 |
OLD DOMINION FREIGHT LINE | 6,600 | 1,071,180 | 0.1 |
EQUIFAX INC | 4,100 | 1,063,417 | 0.1 |
XYLEM INC | 8,200 | 1,060,752 | 0.1 |
ORANGE SPON ADR | 67,400 | 1,023,806 | 0.1 |
NUCOR CORP | 7,792 | 1,009,376 | 0.1 |
ASSA ABLOY AB UNSP ADR | 64,042 | 995,853 | 0.1 |
GENERAL MILLS INC | 18,699 | 968,795 | 0.1 |
VENTAS INC | 15,263 | 963,858 | 0.1 |
SSE PLC SPN ADR | 37,400 | 959,684 | 0.1 |
BROADRIDGE FINANCIAL SOLUTIO | 3,900 | 947,817 | 0.1 |
RAYMOND JAMES FINANCIAL INC | 6,050 | 927,889 | 0.1 |
FIFTH THIRD BANCORP | 22,500 | 925,425 | 0.1 |
THOMSON REUTERS CORP | 4,600 | 925,198 | 0.1 |
LULULEMON ATHLETICA INC | 3,800 | 902,804 | 0.1 |
HEWLETT PACKARD ENTERPRISE | 43,900 | 897,755 | 0.1 |
PPG INDUSTRIES INC | 7,642 | 869,278 | 0.1 |
FANUC CORP UNSP ADR | 61,700 | 838,503 | 0.1 |
INTERNATIONAL PAPER CO | 17,700 | 828,891 | 0.1 |
KONE OYJ B UNSPONSORED ADR | 25,100 | 823,782 | 0.1 |
SBA COMMUNICATIONS CORP | 3,507 | 823,584 | 0.1 |
SPROUTS FARMERS MARKET INC | 5,000 | 823,200 | 0.1 |
FORTIS INC | 17,000 | 811,410 | 0.1 |
METTLER TOLEDO INTERNATIONAL | 690 | 810,557 | 0.1 |
TELUS CORP | 50,094 | 804,510 | 0.1 |
STERIS PLC | 3,300 | 792,726 | 0.1 |
VERALTO CORP | 7,838 | 791,246 | 0.1 |
HUNTINGTON BANCSHARES INC | 46,600 | 781,016 | 0.1 |
EVERSOURCE ENERGY | 12,158 | 773,492 | 0.1 |
NORTHERN TRUST CORP | 6,100 | 773,419 | 0.1 |
CHURCH + DWIGHT CO INC | 8,012 | 770,033 | 0.1 |
SMURFIT WESTROCK PLC | 17,585 | 758,793 | 0.1 |
ULTA BEAUTY INC | 1,598 | 747,576 | 0.1 |
NETAPP INC | 7,008 | 746,702 | 0.1 |
HUBBELL INC | 1,800 | 735,138 | 0.1 |
REGIONS FINANCIAL CORP | 31,028 | 729,779 | 0.1 |
SMC CORP SPONSORED ADR | 40,500 | 726,165 | 0.1 |
INSULET CORP | 2,300 | 722,614 | 0.1 |
KRAFT HEINZ CO/THE | 27,923 | 720,972 | 0.1 |
BRAMBLES LTD SPONSORED ADR | 23,100 | 715,615 | 0.1 |
T ROWE PRICE GROUP INC | 7,311 | 705,512 | 0.1 |
M + T BANK CORP | 3,600 | 698,364 | 0.1 |
WILLIAMS SONOMA INC | 4,200 | 686,154 | 0.1 |
WATERS CORP | 1,963 | 685,166 | 0.1 |
QUEST DIAGNOSTICS INC | 3,715 | 667,325 | 0.1 |
MCCORMICK + CO NON VTG SHRS | 8,800 | 667,216 | 0.1 |
COMFORT SYSTEMS USA INC | 1,227 | 657,930 | 0.1 |
NIDEC CORPORATION SPON ADR | 134,712 | 657,125 | 0.1 |
CENTRAL JAPAN RAI UNSPON ADR | 57,800 | 642,389 | 0.1 |
WEYERHAEUSER CO | 24,600 | 631,974 | 0.1 |
LENNOX INTERNATIONAL INC | 1,100 | 630,564 | 0.1 |
BIOGEN INC | 4,967 | 623,806 | 0.1 |
ESSEX PROPERTY TRUST INC | 2,200 | 623,480 | 0.1 |
STEEL DYNAMICS INC | 4,800 | 614,448 | 0.1 |
PRINCIPAL FINANCIAL GROUP | 7,700 | 611,611 | 0.1 |
INTL FLAVORS + FRAGRANCES | 8,300 | 610,465 | 0.1 |
ZOOM COMMUNICATIONS INC | 7,731 | 602,863 | 0.1 |
TYLER TECHNOLOGIES INC | 1,000 | 592,840 | 0.1 |
FACTSET RESEARCH SYSTEMS INC | 1,300 | 581,464 | 0.1 |
PENTAIR PLC | 5,500 | 564,630 | 0.1 |
FIRST SOLAR INC | 3,400 | 562,836 | 0.1 |
MID AMERICA APARTMENT COMM | 3,800 | 562,438 | 0.1 |
CARLISLE COS INC | 1,500 | 560,100 | 0.1 |
MERCK KGAA SPONSORED ADR | 20,700 | 536,958 | 0 |
BALL CORP | 9,500 | 532,855 | 0 |
WATSCO INC | 1,200 | 529,944 | 0 |
SNAP ON INC | 1,700 | 529,006 | 0 |
ALLIANT ENERGY CORP | 8,500 | 513,995 | 0 |
ILLUMINA INC | 5,349 | 510,348 | 0 |
MONGODB INC | 2,400 | 503,976 | 0 |
HOLOGIC INC | 7,452 | 485,572 | 0 |
CLOROX COMPANY | 4,000 | 480,280 | 0 |
IDEX CORP | 2,600 | 456,482 | 0 |
AVERY DENNISON CORP | 2,600 | 456,222 | 0 |
ALIGN TECHNOLOGY INC | 2,400 | 454,392 | 0 |
BEST BUY CO INC | 6,749 | 453,060 | 0 |
OMNICOM GROUP | 6,200 | 446,028 | 0 |
BUILDERS FIRSTSOURCE INC | 3,800 | 443,422 | 0 |
ALEXANDRIA REAL ESTATE EQUIT | 5,800 | 421,254 | 0 |
OWENS CORNING | 2,933 | 403,346 | 0 |
KEYCORP | 18,800 | 327,496 | 0 |
The composition of the Fund’s portfolio is subject to change.