Domini Sustainable Solutions Fund – Schedule of Portfolio Holdings
Security Name | Shares | Market Value ($) | Weight (%) |
---|---|---|---|
PALO ALTO NETWORKS INC | 4,991 | 1,691,999 | 4.81 |
MUENCHENER RUECKVERSICHERUNG | 3,215 | 1,607,356 | 4.57 |
CROWDSTRIKE HOLDINGS INC A | 4,097 | 1,569,929 | 4.47 |
SCHNEIDER ELECTRIC SE | 5,500 | 1,318,602 | 3.75 |
ASML HOLDING NV NY REG SHS | 1,287 | 1,316,254 | 3.74 |
WOLTERS KLUWER | 7,587 | 1,252,904 | 3.56 |
GSK PLC | 64,190 | 1,234,644 | 3.51 |
VERALTO CORP | 11,952 | 1,141,057 | 3.25 |
HALOZYME THERAPEUTICS INC | 21,168 | 1,108,356 | 3.15 |
HOLOGIC INC | 14,384 | 1,068,012 | 3.04 |
RESONA HOLDINGS INC | 159,262 | 1,059,434 | 3.01 |
XYLEM INC | 7,677 | 1,041,232 | 2.96 |
KURITA WATER INDUSTRIES LTD | 23,221 | 986,706 | 2.81 |
VERTEX PHARMACEUTICALS INC | 2,099 | 983,843 | 2.80 |
ARCADIS NV | 15,140 | 958,079 | 2.73 |
INTL BUSINESS MACHINES CORP | 5,276 | 912,484 | 2.60 |
FLEX LTD | 28,751 | 847,867 | 2.41 |
AUTODESK INC | 3,371 | 834,154 | 2.37 |
FEDERAL AGRIC MTG CORP CL C | 4,415 | 798,320 | 2.27 |
NEXANS SA | 7,122 | 783,833 | 2.23 |
FIRST SOLAR INC | 3,476 | 783,699 | 2.23 |
BYD CO LTD H | 24,500 | 727,622 | 2.07 |
MERCADOLIBRE INC | 432 | 709,949 | 2.02 |
HALEON PLC | 168,628 | 686,099 | 1.95 |
LEVI STRAUSS + CO CLASS A | 34,700 | 669,016 | 1.90 |
COMFORT SYSTEMS USA INC | 2,168 | 659,332 | 1.88 |
DEXCOM INC | 5,786 | 656,017 | 1.87 |
ORGANON + CO | 31,243 | 646,730 | 1.84 |
NEW YORK TIMES CO A | 12,135 | 621,433 | 1.77 |
ELF BEAUTY INC | 2,822 | 594,652 | 1.69 |
TESLA INC | 2,949 | 583,548 | 1.66 |
ADVANCED DRAINAGE SYSTEMS IN | 3,614 | 579,649 | 1.65 |
ACUITY BRANDS INC | 2,200 | 531,168 | 1.51 |
SKF AB B SHARES | 23,462 | 471,522 | 1.34 |
NORDEX SE | 35,956 | 439,560 | 1.25 |
COCHLEAR LTD | 1,896 | 418,523 | 1.19 |
NVIDIA CORP | 3,288 | 406,200 | 1.16 |
ARISTA NETWORKS INC | 1,128 | 395,341 | 1.12 |
SHOPIFY INC CLASS A | 5,896 | 389,431 | 1.11 |
NEXTRACKER INC CL A | 7,504 | 351,788 | 1.00 |
ENPHASE ENERGY INC | 3,420 | 341,008 | 0.97 |
AMALGAMATED FINANCIAL CORP | 12,093 | 331,348 | 0.94 |
ADVANCED MICRO DEVICES | 1,988 | 322,473 | 0.92 |
INSPIRE MEDICAL SYSTEMS INC | 2,390 | 319,854 | 0.91 |
The composition of the Fund’s portfolio is subject to change.