Impax Asset Management Group plc Q1 2019 Filing

Filed May 13, 2019

Portfolio Value

$7.3B

Holdings

287

Report Date

Q1 2019

Filing Type

13F-HR

All Holdings (287 positions)

StockValue
XYLXylem Inc/NY
$346.0M
ECLEcolab Inc
$261.7M
AWCAmerican Water Works Co Inc
$250.2M
TRMBTrimble Inc
$246.0M
PNRPentair PLC
$221.9M
DHRDanaher Corp
$220.2M
AOSAO Smith Corp
$206.6M
IEXIDEX Corp
$204.5M
AG8Agilent Technologies Inc
$200.9M
WTSWatts Water Technologies Inc
$192.1M
PTCPTC Inc
$137.6M
FELEFranklin Electric Co Inc
$133.3M
MFS1EURWelbilt Inc
$132.1M
SEESealed Air Corp
$127.5M
ITRIItron Inc
$123.2M
LINLinde PLC
$112.3M
WMWaste Management Inc
$111.4M
TTCToro Co/The
$103.9M
TELTE Connectivity Ltd
$103.3M
IRIngersoll-Rand PLC
$102.8M
RXNEURRexnord Corp
$102.0M
Aqua America Inc
$97.7M
APTVAptiv PLC
$97.1M
HNMOrmat Technologies Inc
$96.8M
VMIValmont Industries Inc
$95.7M
WMSAdvanced Drainage Systems Inc
$94.9M
JT5Mueller Water Products Inc
$90.8M
WRKUSDWestrock Co
$87.0M
RYNRayonier Inc
$83.8M
PWIPower Integrations Inc
$76.2M
WATWaters Corp
$74.1M
BMIBadger Meter Inc
$73.3M
SAJACia de Saneamento Basico do Es
$71.9M
HUBBHubbell Inc
$71.2M
LNNLindsay Corp
$71.0M
POOLPool Corp
$66.3M
LIILennox International Inc
$64.7M
MSFTMicrosoft Corp
$64.5M
ADSKAutodesk Inc
$63.6M
SPX FLOW Inc
$57.4M
CLHClean Harbors Inc
$54.8M
STSensata Technologies Holding P
$54.3M
HOLIHollysys Automation Technologi
$54.3M
PKNPerkinElmer Inc
$53.9M
GNRCGenerac Holdings Inc
$52.6M
VVisa Inc
$43.5M
MMM3M Co
$42.6M
DARDarling Ingredients Inc
$42.2M
FLSFlowserve Corp
$42.1M
DCIDonaldson Co Inc
$40.4M
Cantel Medical Corp
$32.1M
TMOThermo Fisher Scientific Inc
$30.4M
SONSonoco Products Co
$30.1M
AGCOAGCO Corp
$27.7M
SPWRQSunPower Corp
$27.7M
Delphi Technologies PLC
$27.5M
AAPLApple Inc
$27.1M
BDXBecton Dickinson and Co
$26.8M
SFMSprouts Farmers Market Inc
$26.2M
SBUXStarbucks Corp
$23.9M
UTLUnitil Corp
$23.8M
VCTRVictory Capital Holdings Inc
$23.2M
HTBHomeTrust Bancshares Inc
$23.1M
FTVFortive Corp
$22.4M
LFUSLittelfuse Inc
$22.2M
Meridian Bancorp Inc
$21.1M
MRKMerck & Co Inc
$21.1M
PGProcter & Gamble Co/The
$20.6M
VOYAVoya Financial Inc
$19.7M
IBMInternational Business Machine
$18.8M
HDBHDFC Bank Ltd
$18.7M
ICHRIchor Holdings Ltd
$18.5M
JPMJPMorgan Chase & Co
$17.8M
DISWalt Disney Co/The
$17.1M
TAT&T Inc
$16.5M
MDLZMondelez International Inc
$16.2M
DYHTarget Corp
$16.2M
LOWLowe's Cos Inc
$16.0M
Natus Medical Inc
$16.0M
BACBank of America Corp
$15.9M
OGSONE Gas Inc
$15.6M
CFGCitizens Financial Group Inc
$15.3M
EQIXEQUINIX INC
$15.1M
CDNSCadence Design Systems Inc
$15.0M
COPConocoPhillips
$14.7M
CRMsalesforce.com Inc
$14.7M
MCXMcCormick & Co Inc/MD
$14.5M
Wright Medical Group NV
$14.0M
AQLTiShares Core MSCI EAFE ETF
$13.5M
PLDPrologis Inc
$13.4M
CICIGNA CORP
$12.6M
PXDEURPioneer Natural Resources Co
$12.4M
HUMHumana Inc
$12.4M
DowDuPont Inc
$12.1M
TSMTaiwan Semiconductor Manufactu
$11.9M
Parsley Energy Inc
$11.7M
WHWYNDHAM HOTELS &
$11.7M
WENWendy's Co/The
$11.6M
37MMRC Global Inc
$11.6M
BLKCHFBlackRock Inc
$11.6M
Page 1 of 3Next