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Size ($ in 1000's)
At 09/30/2024: $25,398,734 At 06/30/2024: $24,567,765Impax Asset Management Group plc AUM history
Impax Asset Management Group plc holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Impax Asset Management Group plc 13F filings.
Link to 13F filings: SEC filings
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As of 09/30/2024, below is a summary of the Impax Asset Management Group plc top holdings by largest position size, as per the latest 13f filing made by Impax Asset Management Group plc.
In the Impax Asset Management Group plc-top-holdings-table below, each of the top holdings by name is presented in the first column, followed by the amount of shares
held by Impax Asset Management Group plc in that top holding, then the share count change between reporting periods, and finally the Impax Asset Management Group plc top holding position size
for that row.
Entity | Amount | Change
06/30/2024 to 09/30/2024 |
Position Size
($ in 1000's) |
Microsoft Corp |
2,646,934 |
-129,932 |
$1,137,571 | MSFT | 2,646,934 | -129,932 | $1,137,571 | Linde PLC |
2,374,339 |
+56,775 |
$1,130,986 | LIN | 2,374,339 | +56,775 | $1,130,986 | American Water Works Co Inc |
5,678,248 |
-1,224,009 |
$829,172 | AWK | 5,678,248 | -1,224,009 | $829,172 | Pentair PLC |
7,618,725 |
-1,265,821 |
$743,461 | PNR | 7,618,725 | -1,265,821 | $743,461 | NVIDIA Corp |
5,501,589 |
+640,840 |
$667,278 | NVDA | 5,501,589 | +640,840 | $667,278 | TE Connectivity PLC |
3,476,940 |
-8,074 |
$524,220 | TEL | 3,476,940 | -8,074 | $524,220 | Applied Materials Inc |
2,551,103 |
-21,647 |
$514,720 | AMAT | 2,551,103 | -21,647 | $514,720 | Hubbell Inc |
1,202,455 |
+279,654 |
$514,377 | HUBB | 1,202,455 | +279,654 | $514,377 | Mastercard Inc |
1,024,966 |
-35,061 |
$504,810 | MA | 1,024,966 | -35,061 | $504,810 | Cintas Corp |
2,429,272 |
+1,648,350 |
$499,236 | CTAS | 2,429,272 | +1,648,350 | $499,236 | RenaissanceRe Holdings Ltd |
1,697,636 |
+415,366 |
$461,679 | RNR | 1,697,636 | +415,366 | $461,679 | Boston Scientific Corp |
5,470,174 |
+815,403 |
$457,138 | BSX | 5,470,174 | +815,403 | $457,138 | Veralto Corp |
4,049,172 |
-349,748 |
$452,213 | VLTO | 4,049,172 | -349,748 | $452,213 | Thermo Fisher Scientific Inc |
702,337 |
-16,734 |
$433,315 | TMO | 702,337 | -16,734 | $433,315 | Aptiv PLC |
5,948,349 |
-276,722 |
$427,817 | APTV | 5,948,349 | -276,722 | $427,817 | IQVIA Holdings Inc |
1,793,010 |
+157,809 |
$423,885 | IQV | 1,793,010 | +157,809 | $423,885 | IDEX Corp |
1,891,967 |
-69,015 |
$405,827 | IEX | 1,891,967 | -69,015 | $405,827 | Marsh & McLennan Cos Inc |
1,812,150 |
+95,540 |
$403,200 | MMC | 1,812,150 | +95,540 | $403,200 | Agilent Technologies Inc |
2,667,616 |
+203,234 |
$396,088 | A | 2,667,616 | +203,234 | $396,088 | Oracle Corp |
2,325,268 |
+53,128 |
$395,295 | ORCL | 2,325,268 | +53,128 | $395,295 | Cadence Design Systems Inc |
1,374,531 |
+237,495 |
$371,719 | CDNS | 1,374,531 | +237,495 | $371,719 | Waste Management Inc |
1,741,090 |
+122,696 |
$361,450 | WM | 1,741,090 | +122,696 | $361,450 | Analog Devices Inc |
1,536,463 |
+110,448 |
$352,728 | ADI | 1,536,463 | +110,448 | $352,728 | Zurn Elkay Water Solutions Cor |
8,801,275 |
+346,412 |
$315,645 | ZWS | 8,801,275 | +346,412 | $315,645 | Watts Water Technologies Inc |
1,491,976 |
-47,744 |
$308,440 | WTS | 1,491,976 | -47,744 | $308,440 | Visa Inc |
1,123,428 |
-31,422 |
$308,245 | V | 1,123,428 | -31,422 | $308,245 | Carrier Global Corp |
3,801,946 |
-407,561 |
$306,019 | CARR | 3,801,946 | -407,561 | $306,019 | Advanced Drainage Systems Inc |
1,879,948 |
-196,328 |
$294,783 | WMS | 1,879,948 | -196,328 | $294,783 | Mettler Toledo International I |
188,022 |
-6,199 |
$281,977 | MTD | 188,022 | -6,199 | $281,977 | A O Smith Corp |
3,133,600 |
-115,611 |
$281,491 | AOS | 3,133,600 | -115,611 | $281,491 | STERIS PLC |
1,114,584 |
-35,933 |
$269,204 | STE | 1,114,584 | -35,933 | $269,204 | Texas Instruments Inc |
1,296,287 |
-67,153 |
$267,774 | TXN | 1,296,287 | -67,153 | $267,774 | Danaher Corp |
945,937 |
-324,661 |
$262,363 | DHR | 945,937 | -324,661 | $262,363 | Cooper Cos Inc The |
2,294,697 |
-65,101 |
$252,559 | COO | 2,294,697 | -65,101 | $252,559 | Synopsys Inc |
490,723 |
+267,836 |
$248,497 | SNPS | 490,723 | +267,836 | $248,497 | HDFC Bank Ltd |
3,876,289 |
-659,045 |
$241,869 | HDB | 3,876,289 | -659,045 | $241,869 | Waters Corp |
645,646 |
-39,640 |
$232,362 | WAT | 645,646 | -39,640 | $232,362 | Cia de Saneamento Basico do Es |
14,037,496 |
-1,587,780 |
$231,430 | SBS | 14,037,496 | -1,587,780 | $231,430 | Xylem Inc NY |
1,677,816 |
+15,825 |
$226,555 | XYL | 1,677,816 | +15,825 | $226,555 | Becton Dickinson & Co |
936,258 |
-26,272 |
$225,113 | BDX | 936,258 | -26,272 | $225,113 | Autodesk Inc |
790,206 |
-142,928 |
$217,686 | ADSK | 790,206 | -142,928 | $217,686 | Masco Corp |
2,542,261 |
-312,795 |
$213,397 | MAS | 2,542,261 | -312,795 | $213,397 | Cognex Corp |
5,230,271 |
+131,560 |
$211,303 | CGNX | 5,230,271 | +131,560 | $211,303 | Rayonier Inc |
6,593,452 |
-221,736 |
$211,040 | RYN | 6,593,452 | -221,736 | $211,040 | Chemed Corp |
332,757 |
+14,814 |
$199,977 | CHE | 332,757 | +14,814 | $199,977 | PTC Inc |
1,105,972 |
-35,810 |
$198,426 | PTC | 1,105,972 | -35,810 | $198,426 | Trane Technologies PLC |
498,797 |
-49,435 |
$193,897 | TT | 498,797 | -49,435 | $193,897 | ANSYS Inc |
603,394 |
+44,605 |
$192,259 | ANSS | 603,394 | +44,605 | $192,259 | Littelfuse Inc |
702,947 |
-25,309 |
$185,371 | LFUS | 702,947 | -25,309 | $185,371 | Republic Services Inc |
904,792 |
-536,001 |
$181,718 | RSG | 904,792 | -536,001 | $181,718 |
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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