Impax Asset Management Group plc Q1 2023 Filing
Filed May 10, 2023
Portfolio Value
$23.9B
Holdings
391
Report Date
Q1 2023
Filing Type
13F-HR
All Holdings (391 positions)
| Stock | Value |
|---|---|
GSGoldman Sachs Group Inc/The | $3.0M |
INTUIntuit Inc | $3.0M |
VENVentas Inc | $3.0M |
SWAVUSDShockwave Medical Inc | $3.0M |
QCOMQUALCOMM Inc | $3.0M |
ALSAllstate Corp/The | $3.0M |
NFLXNetflix Inc | $3.0M |
KMBKimberly-Clark Corp | $3.0M |
WELLWelltower Inc | $2.0M |
CBRECBRE Group Inc | $2.0M |
CLColgate-Palmolive Co | $2.0M |
AXPAmerican Express Co | $2.0M |
SPGIS&P Global Inc | $2.0M |
TJXTJX Cos Inc/The | $2.0M |
CMICummins Inc | $2.0M |
HUBSHubSpot Inc | $2.0M |
7HPHP Inc | $2.0M |
BKBank of New York Mellon Corp/T | $2.0M |
PYPLPayPal Holdings Inc | $2.0M |
MDLZMondelez International Inc | $2.0M |
CICigna Group/The | $2.0M |
SYKStryker Corp | $2.0M |
MITKMitek Systems Inc | $2.0M |
DOWDow Inc | $1.0M |
MCOMoody's Corp | $1.0M |
ICEIntercontinental Exchange Inc | $1.0M |
HCAHCA Healthcare Inc | $1.0M |
0VVBParamount Global | $1.0M |
HSYHershey Co/The | $1.0M |
TSCOTractor Supply Co | $1.0M |
GMGeneral Motors Co | $1.0M |
KEYSKeysight Technologies Inc | $1.0M |
FSLRFirst Solar Inc | $1.0M |
AONAon PLC | $1.0M |
IEMGiShares Core S&P 500 UCITS ETF | $1.0M |
MARMarriott International Inc/MD | $1.0M |
MCKMcKesson Corp | $1.0M |
DGDollar General Corp | $1.0M |
IVViShares Core S&P 500 ETF | $1.0M |
DOCHealthpeak Properties Inc | $1.0M |
BIIBBiogen Inc | $1.0M |
HLTHilton Worldwide Holdings Inc | $1.0M |
IRIngersoll Rand Inc | $1.0M |
PANWPalo Alto Networks Inc | $1.0M |
XYZBlock Inc | $1.0M |
USBUS Bancorp | $1.0M |
AMGNAmgen Inc | $1.0M |
ABGAmerisourceBergen Corp | $1.0M |
ADPAutomatic Data Processing Inc | $1.0M |
AFLAflac Inc | $1.0M |
CCChemours Co/The | $1.0M |
TRVTravelers Cos Inc/The | $1.0M |
CARRCarrier Global Corp | $1.0M |
PRUPrudential Financial Inc | $1.0M |
CSXCSX Corp | $1.0M |
TAT&T Inc | $1.0M |
IPGInterpublic Group of Cos Inc/T | $1.0M |
VMWEURVMware Inc | $1.0M |
HOLXHologic Inc | $1.0M |
SNPSSynopsys Inc | $1.0M |
IBMInternational Business Machine | $1.0M |
UNPUnion Pacific Corp | $1.0M |
BBWIBath & Body Works Inc | $1.0M |
A4SAmeriprise Financial Inc | $1.0M |
HDHome Depot Inc/The | $1.0M |
ORealty Income Corp | $1.0M |
JCIJohnson Controls International | $1.0M |
HIGHartford Financial Services Gr | $1.0M |
GKDGrand Canyon Education Inc | $1.0M |
WDAYWorkday Inc | $994K |
DOVDover Corp | $981K |
ROSTRoss Stores Inc | $952K |
AVBAvalonBay Communities Inc | $940K |
OHIOmega Healthcare Investors Inc | $935K |
DGXQuest Diagnostics Inc | $935K |
YUMYum! Brands Inc | $930K |
PWRQuanta Services Inc | $917K |
EHCEncompass Health Corp | $881K |
BAHBooz Allen Hamilton Holding Co | $870K |
HBANHuntington Bancshares Inc/OH | $863K |
STTState Street Corp | $851K |
NEMNewmont Corp | $840K |
ANETEURArista Networks Inc | $819K |
BXPBoston Properties Inc | $817K |
SJMJ M Smucker Co/The | $809K |
CHRWCH Robinson Worldwide Inc | $788K |
DFSEURDiscover Financial Services | $774K |
VRSKVerisk Analytics Inc | $726K |
VICIVICI Properties Inc | $721K |
MTNVail Resorts Inc | $718K |
MSIMotorola Solutions Inc | $689K |
ZBHZimmer Biomet Holdings Inc | $672K |
CDWCDW Corp/DE | $663K |
CRLCharles River Laboratories Int | $662K |
MKTXMarketAxess Holdings Inc | $659K |
TTWOTake-Two Interactive Software | $658K |
NVRNVR Inc | $618K |
ALNYAlnylam Pharmaceuticals Inc | $604K |
TROWT Rowe Price Group Inc | $599K |
EFXEquifax Inc | $591K |