Security Name Shares Market Value ($) Weight (%)
MUENCHENER RUECKVERSICHERUNG3,2471,584,9924.59
PALO ALTO NETWORKS INC5,0911,446,5064.19
INTL BUSINESS MACHINES CORP7,1231,360,2083.94
CROWDSTRIKE HOLDINGS INC A4,0971,313,4573.80
ASML HOLDING NV NY REG SHS1,2871,248,9953.61
WOLTERS KLUWER7,6631,199,9483.47
GSK PLC55,8401,198,9063.47
AUTODESK INC4,2181,098,4523.18
SCHNEIDER ELECTRIC SE4,7591,075,8983.11
RESONA HOLDINGS INC160,862991,6272.87
ARCADIS NV15,291936,4152.71
COMFORT SYSTEMS USA INC2,771880,3742.55
VERTEX PHARMACEUTICALS INC2,099877,4032.54
HALOZYME THERAPEUTICS INC21,368869,2502.51
FEDERAL AGRIC MTG CORP CL C4,415869,2252.51
XYLEM INC6,453833,9862.41
ADVANCED DRAINAGE SYSTEMS IN4,746817,4512.37
KURITA WATER INDUSTRIES LTD19,121792,7572.29
ACUITY BRANDS INC2,926786,3042.28
ELF BEAUTY INC3,911766,6732.22
HOLOGIC INC9,745759,7202.20
NEXANS SA7,193751,9652.18
VERALTO CORP8,351740,4002.14
SHOPIFY INC CLASS A9,108702,8642.03
LEVI STRAUSS + CO CLASS A35,000699,6502.02
TESLA INC3,969697,7112.02
FLEX LTD22,802652,3651.89
ENPHASE ENERGY INC4,980602,4801.74
NEXTRACKER INC CL A10,686601,3011.74
DEXCOM INC4,204583,0951.69
NEW YORK TIMES CO A12,235528,7971.53
HALEON PLC125,232524,8191.52
REMITLY GLOBAL INC24,541508,9801.47
ZOOM VIDEO COMMUNICATIONS A7,406484,1301.40
SKF AB B SHARES23,696483,7491.40
STMICROELECTRONICS NV11,107477,9691.38
INSPIRE MEDICAL SYSTEMS INC2,044439,0311.27
ORGANON + CO23,066433,6411.25
NVIDIA CORP479432,8051.25
FIRST SOLAR INC2,522425,7141.23
COCHLEAR LTD1,915421,1681.22
MICROSOFT CORP863363,0811.05
ADVANCED MICRO DEVICES1,988358,8141.04
APPLE INC1,922329,5850.95
MERCADOLIBRE INC210317,5120.92
AMALGAMATED FINANCIAL CORP12,193292,6320.85
Holdings as of 3/31/24

The composition of the Fund’s portfolio is subject to change.