Holdings Channel
Size ($ in 1000's)
At 12/31/2023: $24,909,644
At 09/30/2023: $22,293,015

Combined Holding Report Includes:
Impax Asset Management Group plc
Fidante Partners Ltd

Impax Asset Management Group plc holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Impax Asset Management Group plc 13F filings. Link to 13F filings: SEC filings

Impax Asset Management Group plc Top Holdings
As of  12/31/2023, below is a summary of the Impax Asset Management Group plc top holdings by largest position size, as per the latest 13f filing made by Impax Asset Management Group plc. In the Impax Asset Management Group plc-top-holdings-table below, each of the top holdings by name is presented in the first column, followed by the amount of shares held by Impax Asset Management Group plc in that top holding, then the share count change between reporting periods, and finally the Impax Asset Management Group plc top holding position size for that row.

   EntityAmountChange
 09/30/2023 to 12/31/2023
Position Size
($ in 1000's)
Linde PLC 2,813,999 -62,424 $1,154,509
     LIN2,813,999-62,424$1,154,509
Microsoft Corp 3,048,699 +67,992 $1,145,123
     MSFT3,048,699+67,992$1,145,123
American Water Works Co Inc 5,589,339 -35,420 $737,030
     AWK5,589,339-35,420$737,030
Pentair PLC 9,897,479 +131,745 $718,440
     PNR9,897,479+131,745$718,440
Cintas Corp 1,126,123 -3,769 $677,608
     CTAS1,126,123-3,769$677,608
Aptiv PLC 7,273,382 +483,157 $651,978
     APTV7,273,382+483,157$651,978
TE Connectivity Ltd 3,774,896 +51,866 $529,798
     TEL3,774,896+51,866$529,798
Mastercard Inc 1,197,498 -989 $509,568
     MA1,197,498-989$509,568
IDEX Corp 2,190,741 +84,502 $475,632
     IEX2,190,741+84,502$475,632
United Rentals Inc 820,424 -139,632 $469,935
     URI820,424-139,632$469,935
Applied Materials Inc 2,604,951 +58,279 $421,654
     AMAT2,604,951+58,279$421,654
Thermo Fisher Scientific Inc 753,666 +80,567 $399,194
     TMO753,666+80,567$399,194
HDFC Bank Ltd 5,771,491 +160,220 $386,431
     HDB5,771,491+160,220$386,431
Advanced Drainage Systems Inc 2,706,706 -309,029 $379,831
     WMS2,706,706-309,029$379,831
Danaher Corp 1,552,417 +351,090 $358,428
     DHR1,552,417+351,090$358,428
Veralto Corp 4,233,797 +4,233,797 $347,827
     VLTO4,233,797+4,233,797$347,827
Republic Services Inc 2,032,965 -149,283 $335,256
     RSG2,032,965-149,283$335,256
Watts Water Technologies Inc 1,597,987 -211,551 $332,238
     WTS1,597,987-211,551$332,238
MSCI Inc 587,978 +522,926 $331,906
     MSCI587,978+522,926$331,906
Waste Management Inc 1,847,956 -176,826 $330,969
     WM1,847,956-176,826$330,969
Agilent Technologies Inc 2,364,236 -52,639 $328,700
     A2,364,236-52,639$328,700
Cadence Design Systems Inc 1,201,392 -282,513 $326,642
     CDNS1,201,392-282,513$326,642
Visa Inc 1,220,110 +20,890 $317,081
     V1,220,110+20,890$317,081
Analog Devices Inc 1,583,138 +30,978 $313,660
     ADI1,583,138+30,978$313,660
IQVIA Holdings Inc 1,342,415 -317,469 $309,957
     IQV1,342,415-317,469$309,957
Zurn Elkay Water Solutions Cor 10,144,139 -516,762 $297,682
     ZWS10,144,139-516,762$297,682
A O Smith Corp 3,532,300 -569,086 $291,203
     AOS3,532,300-569,086$291,203
Cia de Saneamento Basico do Es 18,135,419 -1,610,157 $275,471
     SBS18,135,419-1,610,157$275,471
Texas Instruments Inc 1,548,458 +247,183 $263,950
     TXN1,548,458+247,183$263,950
Marsh & McLennan Cos Inc 1,384,825 +1,384,825 $261,787
     MMC1,384,825+1,384,825$261,787
Autodesk Inc 1,035,080 -58,787 $252,021
     ADSK1,035,080-58,787$252,021
Boston Scientific Corp 4,342,045 +80,071 $250,409
     BSX4,342,045+80,071$250,409
Waters Corp 744,663 -30,877 $245,165
     WAT744,663-30,877$245,165
Trane Technologies PLC 973,294 -136,328 $237,386
     TT973,294-136,328$237,386
Mettler Toledo International I 192,857 +11,880 $233,928
     MTD192,857+11,880$233,928
Trimble Inc 4,369,696 -5,314,906 $231,760
     TRMB4,369,696-5,314,906$231,760
Xylem Inc NY 1,975,817 -57,109 $225,954
     XYL1,975,817-57,109$225,954
Becton Dickinson & Co 919,899 +122,038 $223,795
     BDX919,899+122,038$223,795
Hubbell Inc 676,318 -14,355 $222,461
     HUBB676,318-14,355$222,461
Rayonier Inc 6,563,109 -441,569 $218,358
     RYN6,563,109-441,569$218,358
PTC Inc 1,238,219 -258,009 $215,451
     PTC1,238,219-258,009$215,451
ANSYS Inc 585,625 -55,090 $212,512
     ANSS585,625-55,090$212,512
STERIS PLC 964,935 +779,038 $211,430
     STE964,935+779,038$211,430
Masco Corp 3,073,907 -13,077 $205,890
     MAS3,073,907-13,077$205,890
Ecolab Inc 1,005,301 -92,203 $199,401
     ECL1,005,301-92,203$199,401
Ormat Technologies Inc 2,638,182 +343,650 $199,004
     ORA2,638,182+343,650$199,004
Littelfuse Inc 733,819 -15,724 $195,389
     LFUS733,819-15,724$195,389
Apple Inc 1,006,086 -14,329 $193,702
     AAPL1,006,086-14,329$193,702
Carrier Global Corp 3,306,877 +1,070,036 $189,980
     CARR3,306,877+1,070,036$189,980
Monolithic Power Systems Inc 301,659 -17,078 $189,328
     MPWR301,659-17,078$189,328

See Full List: All Stocks Held By Impax Asset Management Group plc
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Impax Asset Management Group plc

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