Holdings Channel
EntityShares/Amount
Change
Position Value
Change
VT +101,000+$10,391
GLD +40,000+$7,647
IWV +24,570+$6,726
IWB +25,070+$6,575
IGM +8,155+$3,655
VNQ +39,000+$3,446
TIP +25,500+$2,741
ROBO +41,500+$2,378
BIL +18,000+$1,645
RWX +23,000+$628
EntityShares/Amount
Change
Position Value
Change
SONY -40,439-$3,333
SGEN -1,781-$378
EntityShares/Amount
Change
Position Value
Change
QQQ +35,875+$17,290
HEWJ +33,515+$1,194
SPY +27,970+$14,785
PFE +13,406+$120
FMC +8,382+$478
ME +6,527+$5
IWM +4,800+$2,183
OPK +4,499+$5
BMY +4,403+$90
MOS +4,262+$159
EntityShares/Amount
Change
Position Value
Change
T -6,333-$16
VZ -4,871+$93
GOOGL -2,375+$17
MSFT -2,365+$1,625
AAPL -2,170+$1,428
DELL -1,708-$80
AMZN -1,121+$149
BSX -1,081+$3
GEHC -967+$56
Size ($ in 1000's)
At 12/31/2023: $335,156
At 09/30/2023: $239,545

Humankind Investments LLC holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Humankind Investments LLC 13F filings. Link to 13F filings: SEC filings

All Stocks Held By Humankind Investments LLC
As of  12/31/2023, we find all stocks held by Humankind Investments LLC to be as follows, presented in the table below with each row detailing each Humankind Investments LLC position, ordered by largest to smallest position size. The all-stocks-held-by-Humankind Investments LLC table shows the entity held in the first column (click any entity to explore other funds holding positions), the share amount held, the share count change between the last two reporting periods, and finally the position size for all stocks held by Humankind Investments LLC as of the latest filing.

   EntityAmountChange
 09/30/2023 to 12/31/2023
Position Size
($ in 1000's)
HUMANKIND BENEFIT CORPORATIO 2,816,578 UNCH $82,407
     HKND2,816,578UNCH$82,407
INVESCO QQQ TR 86,575 +35,875 $35,454
     QQQ86,575+35,875$35,454
SPDR S&P 500 ETF TR (SPY) 59,140 +27,970 $28,110
     SPY59,140+27,970$28,110
APPLE INC 84,386 -2,170 $16,247
     AAPL84,386-2,170$16,247
MICROSOFT CORP 39,330 -2,365 $14,790
     MSFT39,330-2,365$14,790
ISHARES TR (IWM) 55,660 +4,800 $11,172
     IWM55,660+4,800$11,172
VANGUARD INTL EQUITY INDEX F (VT) 101,000 +101,000 $10,391
     VT101,000+101,000$10,391
SPDR GOLD TR (GLD) 40,000 +40,000 $7,647
     GLD40,000+40,000$7,647
ISHARES TR (IWV) 24,570 +24,570 $6,726
     IWV24,570+24,570$6,726
ISHARES TR (IWB) 25,070 +25,070 $6,575
     IWB25,070+25,070$6,575
ALPHABET INC 37,105 -2,375 $5,183
     GOOGL37,105-2,375$5,183
PROCTER AND GAMBLE CO 32,981 +4 $4,833
     PG32,981+4$4,833
CISCO SYS INC 83,900 UNCH $4,239
     CSCO83,900UNCH$4,239
ISHARES TR (IGM) 8,155 +8,155 $3,655
     IGM8,155+8,155$3,655
VANGUARD INDEX FDS (VNQ) 39,000 +39,000 $3,446
     VNQ39,000+39,000$3,446
ARCHER DANIELS MIDLAND CO 41,100 +4,127 $2,968
     ADM41,100+4,127$2,968
JOHNSON & JOHNSON 18,866 +2,241 $2,957
     JNJ18,866+2,241$2,957
ELI LILLY & CO 4,782 -459 $2,788
     LLY4,782-459$2,788
ISHARES TR (TIP) 25,500 +25,500 $2,741
     TIP25,500+25,500$2,741
MERCK & CO INC 23,931 +1,476 $2,609
     MRK23,931+1,476$2,609
ABBVIE INC 16,692 +1,205 $2,587
     ABBV16,692+1,205$2,587
ECOLAB INC 12,902 -450 $2,559
     ECL12,902-450$2,559
DEERE & CO 6,019 +147 $2,407
     DE6,019+147$2,407
EXCHANGE TRADED CONCEPTS TR (ROBO) 41,500 +41,500 $2,378
     ROBO41,500+41,500$2,378
ISHARES TR (HEWJ) 67,411 +33,515 $2,353
     HEWJ67,411+33,515$2,353
CORTEVA INC 48,765 +2,738 $2,337
     CTVA48,765+2,738$2,337
PFIZER INC 74,285 +13,406 $2,139
     PFE74,285+13,406$2,139
MOSAIC CO NEW 56,105 +4,262 $2,005
     MOS56,105+4,262$2,005
BUNGE GLOBAL SA 18,681 +774 $1,886
     BG18,681+774$1,886
VERIZON COMMUNICATIONS INC 47,508 -4,871 $1,791
     VZ47,508-4,871$1,791
AMAZON COM INC 11,736 -1,121 $1,783
     AMZN11,736-1,121$1,783
SPDR SER TR (BIL) 18,000 +18,000 $1,645
     BIL18,000+18,000$1,645
WALMART INC 9,467 +33 $1,492
     WMT9,467+33$1,492
UNITEDHEALTH GROUP INC 2,796 -234 $1,472
     UNH2,796-234$1,472
FMC CORP 21,187 +8,382 $1,336
     FMC21,187+8,382$1,336
HCA HEALTHCARE INC 4,908 +366 $1,328
     HCA4,908+366$1,328
BRISTOL MYERS SQUIBB CO 24,646 +4,403 $1,265
     BMY24,646+4,403$1,265
AMGEN INC 4,027 -78 $1,160
     AMGN4,027-78$1,160
CF INDS HLDGS INC 13,946 +30 $1,109
     CF13,946+30$1,109
STRYKER CORPORATION 3,658 -164 $1,095
     SYK3,658-164$1,095
BECTON DICKINSON & CO 4,409 +631 $1,075
     BDX4,409+631$1,075
AMERICAN WTR WKS CO INC NEW 8,078 +376 $1,066
     AWK8,078+376$1,066
GE HEALTHCARE TECHNOLOGIES I 13,137 -967 $1,016
     GEHC13,137-967$1,016
AGCO CORP 8,349 +76 $1,014
     AGCO8,349+76$1,014
XYLEM INC 8,818 -264 $1,008
     XYL8,818-264$1,008
DANAHER CORPORATION 4,234 +256 $979
     DHR4,234+256$979
PEPSICO INC 5,757 +282 $978
     PEP5,757+282$978
COMCAST CORP NEW 22,263 +1,475 $976
     CMCSA22,263+1,475$976
THERMO FISHER SCIENTIFIC INC 1,824 +214 $968
     TMO1,824+214$968
GILEAD SCIENCES INC 11,838 +31 $959
     GILD11,838+31$959
REGENERON PHARMACEUTICALS 1,064 -4 $935
     REGN1,064-4$935
VERTEX PHARMACEUTICALS INC 2,264 -44 $921
     VRTX2,264-44$921
HOME DEPOT INC 2,375 +111 $823
     HD2,375+111$823
DISNEY WALT CO 8,635 -919 $780
     DIS8,635-919$780
MODERNA INC 7,636 +1,882 $759
     MRNA7,636+1,882$759
AT&T INC 44,988 -6,333 $755
     T44,988-6,333$755
JACOBS SOLUTIONS INC 5,629 -62 $731
     J5,629-62$731
LABORATORY CORP AMER HLDGS 3,156 +7 $717
     LH3,156+7$717
HP INC 23,312 +1,984 $701
     HPQ23,312+1,984$701
BOSTON SCIENTIFIC CORP 12,019 -1,081 $695
     BSX12,019-1,081$695
JPMORGAN CHASE & CO 4,079 -132 $694
     JPM4,079-132$694
ELEVANCE HEALTH INC 1,334 -10 $629
     ELV1,334-10$629
SPDR INDEX SHS FDS (RWX) 23,000 +23,000 $628
     RWX23,000+23,000$628
METLIFE INC 9,424 -101 $623
     MET9,424-101$623
ISHARES TR (IBB) 4,500 +4,500 $611
     IBB4,500+4,500$611
THE CIGNA GROUP 2,001 -63 $599
     CI2,001-63$599
QUEST DIAGNOSTICS INC 4,301 -80 $593
     DGX4,301-80$593
MCKESSON CORP 1,216 -94 $563
     MCK1,216-94$563
T MOBILE US INC 3,491 -322 $560
     TMUS3,491-322$560
BAXTER INTL INC 13,745 +2,019 $531
     BAX13,745+2,019$531
BIOGEN INC 1,940 +346 $502
     BIIB1,940+346$502
MONDELEZ INTL INC 6,860 -3 $497
     MDLZ6,860-3$497
ABBOTT LABS 4,404 +131 $485
     ABT4,404+131$485
LOWES COS INC 2,157 +138 $480
     LOW2,157+138$480
DUPONT DE NEMOURS INC 6,209 +360 $478
     DD6,209+360$478
ZIMMER BIOMET HOLDINGS INC 3,879 +196 $472
     ZBH3,879+196$472
GENERAL MLS INC 7,217 +534 $470
     GIS7,217+534$470
BROADCOM INC 414 +26 $462
     AVGO414+26$462
WELLS FARGO CO NEW 9,193 -170 $452
     WFC9,193-170$452
INGREDION INC 4,008 -157 $435
     INGR4,008-157$435
COLGATE PALMOLIVE CO 5,291 -155 $422
     CL5,291-155$422
PROGRESSIVE CORP 2,616 -509 $417
     PGR2,616-509$417
CENTENE CORP DEL 5,598 -790 $415
     CNC5,598-790$415
CARDINAL HEALTH INC 4,026 -817 $406
     CAH4,026-817$406
TARGET CORP 2,821 +16 $402
     TGT2,821+16$402
ALLSTATE CORP 2,852 -754 $399
     ALL2,852-754$399
INTERNATIONAL BUSINESS MACHS 2,416 -225 $395
     IBM2,416-225$395
BANK AMERICA CORP 11,679 -423 $393
     BAC11,679-423$393
DELL TECHNOLOGIES INC 4,898 -1,708 $375
     DELL4,898-1,708$375
KELLANOVA 6,661 +575 $372
     K6,661+575$372
HUMANA INC 799 -22 $366
     HUM799-22$366
INTUITIVE SURGICAL INC 1,076 -84 $363
     ISRG1,076-84$363
VISA INC 1,369 -79 $356
     V1,369-79$356
EDWARDS LIFESCIENCES CORP 4,613 +546 $352
     EW4,613+546$352
FRESH DEL MONTE PRODUCE INC 13,309 +1,568 $349
     FDP13,309+1,568$349
STATE STR CORP 4,492 -174 $348
     STT4,492-174$348
CENCORA INC 1,903 -165 $343
     ABC1,903-165$343
CHURCH & DWIGHT CO INC 3,547 -15 $335
     CHD3,547-15$335
META PLATFORMS INC 939 -190 $332
     META939-190$332
TRAVELERS COMPANIES INC 1,743 -114 $332
     TRV1,743-114$332
CVS HEALTH CORP 4,177 -125 $330
     CVS4,177-125$330
MARSH & MCLENNAN COS INC 1,706 -99 $323
     MMC1,706-99$323
AMERICAN INTL GROUP INC 4,727 -583 $320
     AIG4,727-583$320
COCA COLA CO 5,329 +266 $314
     KO5,329+266$314
WALGREENS BOOTS ALLIANCE INC 11,946 +2,360 $312
     WBA11,946+2,360$312
UNIVERSAL HLTH SVCS INC 1,992 -132 $304
     UHS1,992-132$304
BEST BUY INC 3,647 +457 $285
     BBY3,647+457$285
GRAINGER W W INC 343 -51 $284
     GWW343-51$284
AMERICAN EXPRESS CO 1,485 -29 $278
     AXP1,485-29$278
IQVIA HLDGS INC 1,195 +42 $276
     IQV1,195+42$276
CBRE GROUP INC 2,900 +146 $270
     CBRE2,900+146$270
MASTERCARD INCORPORATED 615 -20 $262
     MA615-20$262
PRUDENTIAL FINL INC 2,491 -100 $258
     PRU2,491-100$258
HOLOGIC INC 3,593 +29 $257
     HOLX3,593+29$257
ORACLE CORP 2,401 -2 $253
     ORCL2,401-2$253
3M CO 2,306 +86 $252
     MMM2,306+86$252
PAYPAL HLDGS INC 4,015 +159 $247
     PYPL4,015+159$247
TJX COS INC NEW 2,632 -28 $247
     TJX2,632-28$247
ALNYLAM PHARMACEUTICALS INC 1,270 +128 $243
     ALNY1,270+128$243
AECOM 2,547 -19 $235
     ACM2,547-19$235
ABM INDS INC 5,213 +5,213 $234
     ABM5,213+5,213$234
SALESFORCE INC 863 +863 $227
     CRM863+863$227
TENET HEALTHCARE CORP 3,008 +3,008 $227
     THC3,008+3,008$227
RESMED INC 1,312 +1,312 $226
     RMD1,312+1,312$226
COGNIZANT TECHNOLOGY SOLUTIO 2,924 -49 $221
     CTSH2,924-49$221
HENRY SCHEIN INC 2,907 +2,907 $220
     HSIC2,907+2,907$220
GXO LOGISTICS INCORPORATED 3,457 +3,457 $211
     GXO3,457+3,457$211
CONAGRA BRANDS INC 7,262 +7,262 $208
     CAG7,262+7,262$208
AGILENT TECHNOLOGIES INC 1,451 +1,451 $202
     A1,451+1,451$202
HEWLETT PACKARD ENTERPRISE C 10,620 +10,620 $180
     HPE10,620+10,620$180
AMERICAN VANGUARD CORP (AVD) 14,537 +14,537 $159
     AVD14,537+14,537$159
COMPASS INC      $46
     CL A12,102+12,102$46
OPKO HEALTH INC 25,241 +4,499 $38
     OPK25,241+4,499$38
LUMEN TECHNOLOGIES INC 13,934 +3,089 $25
     LUMN13,934+3,089$25
23ANDME HOLDING CO 27,281 +6,527 $25
     ME27,281+6,527$25
SEAGEN INC $0 (exited)
     SGEN0-1,781$0
SONY GROUP CORP 0 -40,439 $0 (exited)
     SONY0-40,439$0

See Summary: Humankind Investments LLC Top Holdings
See Details: Top 10 Stocks Held By Humankind Investments LLC

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