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Latest TRILLIUM ASSET MANAGEMENT, LLC Stock Portfolio

$3.93Billion

Equity Portfolio Value
Last Reported on: 09 May, 2024

About TRILLIUM ASSET MANAGEMENT, LLC and it’s 13F Hedge Fund Stock Holdings

TRILLIUM ASSET MANAGEMENT, LLC is a hedge fund based in BOSTON, MA. On 30-Mar-2023, the fund reported that it had an AUM (Regulated Assets under Management) of $4.5 Billions. In it's latest 13F Holdings report, TRILLIUM ASSET MANAGEMENT, LLC reported an equity portfolio of $3.9 Billions as of 31 Mar, 2024.

The top stock holdings of TRILLIUM ASSET MANAGEMENT, LLC are MSFT, NVDA, GOOG. The fund has invested 6.8% of it's portfolio in MICROSOFT CORP and 4.4% of portfolio in NVIDIA CORPORATION.

The fund managers got completely rid off SONOCO PRODS CO (SON), ILLINOIS TOOL WKS INC (ITW) and MERCADOLIBRE INC (MELI) stocks. They significantly reduced their stock positions in CHARGEPOINT HOLDINGS INC (CHPT), AVANGRID INC (AGR) and PAYPAL HLDGS INC (PYPL). TRILLIUM ASSET MANAGEMENT, LLC opened new stock positions in AVERY DENNISON CORP (AVY), FIFTH THIRD BANCORP (FITB) and AUTOZONE INC (AZO). The fund showed a lot of confidence in some stocks as they added substantially to UNION PAC CORP (UNP), NEXTERA ENERGY INC (NEE) and ISHARES TR (AGG).

New Buys

Ticker$ Bought
AVERY DENNISON CORP14,633,700
FIFTH THIRD BANCORP14,448,400
AUTOZONE INC6,594,240
SHOPIFY INC6,178,000
ENCOMPASS HEALTH CORP4,432,060
DYNATRACE INC4,223,140
ALLEGION PLC4,157,430
ENERGY RECOVERY INC3,774,000

New stocks bought by TRILLIUM ASSET MANAGEMENT, LLC

Additions to existing portfolio by TRILLIUM ASSET MANAGEMENT, LLC

Reductions

Ticker% Reduced
CHARGEPOINT HOLDINGS INC-95.91
AVANGRID INC-95.49
PAYPAL HLDGS INC-95.01
AVALONBAY CMNTYS INC-94.52
SMITH A O CORP-93.41
DEERE & CO-84.59
ANSYS INC-83.00
ISHARES TR-68.87

TRILLIUM ASSET MANAGEMENT, LLC reduced stake in above stock

Sold off

Ticker$ Sold
SONOCO PRODS CO-3,947,660
ILLINOIS TOOL WKS INC-2,091,000
GOLDMAN SACHS GROUP INC-491,000
ISHARES TR-234,000
MERCADOLIBRE INC-515,000
BOOKING HOLDINGS INC-206,000

TRILLIUM ASSET MANAGEMENT, LLC got rid off the above stocks

Current Stock Holdings of TRILLIUM ASSET MANAGEMENT, LLC

Last Reported on: 09 May, 2024
TickerNamesorted ascending% PortfolioShares Held$ ValueType% ChangeOptions
AAGILENT TECHNOLOGIES INC0.024,805699,000REDUCED-28.79
AAPLAPPLE INC3.44787,558135,051,000REDUCED-10.23
AAXJISHARES TR0.1453,4965,393,160REDUCED-68.87
AAXJISHARES TR0.014,580500,000ADDED10.39
ABBVABBVIE INC0.012,763503,000REDUCED-9.35
ABTABBOTT LABS0.027,184817,000UNCHANGED0.00
ACNACCENTURE PLC IRELAND1.03117,04940,570,900ADDED5.9
ADBEADOBE INC1.57122,19561,659,300REDUCED-0.69
ADIANALOG DEVICES INC0.1018,8253,723,000REDUCED-2.5
ADPAUTOMATIC DATA PROCESSING IN0.011,141285,000REDUCED-3.96
ADSKAUTODESK INC0.3653,87314,029,300REDUCED-15.24
AFLAFLAC INC0.76349,21329,983,400REDUCED-13.81
AGGISHARES TR0.012,106443,000UNCHANGED0.00
AGGISHARES TR0.013,940244,000ADDED400
AGGISHARES TR0.000.000.00SOLD OFF-100
AGRAVANGRID INC0.017,844286,000REDUCED-95.49
ALCALCON AG0.38178,11214,835,000REDUCED-1.41
ALGMALLEGRO MICROSYSTEMS INC0.18265,6937,163,480ADDED1.89
ALLALLSTATE CORP0.011,505260,000UNCHANGED0.00
ALLEALLEGION PLC0.1130,8634,157,430NEW
AMATAPPLIED MATLS INC0.2546,7869,649,000REDUCED-26.72
AMDADVANCED MICRO DEVICES INC0.025,043910,000REDUCED-4.27
AMGNAMGEN INC0.01941267,000REDUCED-6.27
AMNAMN HEALTHCARE SVCS INC0.0744,8262,801,940ADDED11.88
AMTAMERICAN TOWER CORP NEW1.05209,10841,317,600ADDED0.05
AMZNAMAZON COM INC0.024,193756,000REDUCED-2.67
ANSSANSYS INC0.044,2921,490,000REDUCED-83.00
AOSSMITH A O CORP0.014,104366,948REDUCED-93.41
APDAIR PRODS & CHEMS INC0.023,335808,000REDUCED-6.84
APTVAPTIV PLC0.79389,14630,995,900ADDED7.72
ASMLASML HOLDING N V1.4558,52956,799,900REDUCED-15.25
ATRAPTARGROUP INC0.1643,2256,219,380ADDED0.92
AVBAVALONBAY CMNTYS INC0.024,462828,000REDUCED-94.52
AVYAVERY DENNISON CORP0.3765,55014,633,700NEW
AWKAMERICAN WTR WKS CO INC NEW1.07342,83441,897,000ADDED10.11
AXPAMERICAN EXPRESS CO0.012,501569,000REDUCED-42.69
AZNASTRAZENECA PLC1.28740,19550,148,200ADDED0.95
AZOAUTOZONE INC0.172,0926,594,240NEW
AZTAAZENTA INC0.0747,1982,844,750ADDED3.74
BACBANK AMERICA CORP0.78809,10830,681,700REDUCED-1.34
BALLBALL CORP1.02597,35340,237,300ADDED0.32
BAPCREDICORP LTD0.1535,3155,983,000ADDED0.47
BCEBCE INC0.12142,9744,862,000ADDED0.47
BDXBECTON DICKINSON & CO0.1624,8666,152,370REDUCED-0.88
BFAMBRIGHT HORIZONS FAM SOL IN D0.88306,44334,738,900REDUCED-13.18
BJBJS WHSL CLUB HLDGS INC0.25129,5669,802,100ADDED1.98
BKBANK NEW YORK MELLON CORP0.24162,3219,353,000ADDED0.4
BKNGBOOKING HOLDINGS INC0.000.000.00SOLD OFF-100
BURLBURLINGTON STORES INC0.2441,2799,584,430ADDED6.23
BWABORGWARNER INC0.0113,788479,000ADDED2.1
BXBLACKSTONE INC0.013,001394,000REDUCED-25.14
CATCATERPILLAR INC0.022,434892,000UNCHANGED0.00
CBCHUBB LIMITED0.01861223,000REDUCED-15.67
CBRECBRE GROUP INC0.012,275221,000REDUCED-12.13
CHDCHURCH & DWIGHT CO INC0.013,524367,816REDUCED-31.4
CHPTCHARGEPOINT HOLDINGS INC0.0014,24927,000REDUCED-95.91
CITHE CIGNA GROUP0.022,091759,000REDUCED-3.19
CLCOLGATE PALMOLIVE CO0.014,253383,000REDUCED-5.02
CMCSACOMCAST CORP NEW0.015,697247,000REDUCED-26.79
CMGCHIPOTLE MEXICAN GRILL INC0.8110,91331,722,000ADDED25.02
COINCOINBASE GLOBAL INC0.011,100292,000NEW
COLBCOLUMBIA BKG SYS INC0.09188,1463,641,000ADDED7.64
COPCONOCOPHILLIPS0.014,124525,000REDUCED-0.02
COSTCOSTCO WHSL CORP NEW1.1963,78446,730,800REDUCED-11.85
CPCANADIAN PACIFIC KANSAS CITY0.2193,5388,252,000ADDED0.47
CPTCAMDEN PPTY TR0.0830,4923,000,830REDUCED-35.85
CRMSALESFORCE INC0.045,1581,553,000REDUCED-10.78
CSCOCISCO SYS INC0.14111,8485,582,000REDUCED-26.72
CUBECUBESMART0.1193,9134,247,090ADDED4.12
CVSCVS HEALTH CORP0.30147,89211,796,000REDUCED-1.07
CVXCHEVRON CORP NEW0.023,948623,000REDUCED-11.32
CYBRCYBERARK SOFTWARE LTD0.2841,09410,915,800ADDED0.12
DARDARLING INGREDIENTS INC0.39327,61415,236,800ADDED16.11
DBEHMANAGER DIRECTED PORTFOLIOS0.0123,566231,000UNCHANGED0.00
DCIDONALDSON INC0.013,604269,000UNCHANGED0.00
DEDEERE & CO0.021,920788,408REDUCED-84.59
DECKDECKERS OUTDOOR CORP0.5121,40620,148,100REDUCED-34.66
DGXQUEST DIAGNOSTICS INC0.41121,36816,154,900REDUCED-0.24
DHRDANAHER CORPORATION0.011,094273,000REDUCED-34.33
DISDISNEY WALT CO0.3199,26312,146,000ADDED0.3
DPZDOMINOS PIZZA INC0.1512,0005,962,700ADDED2.46
DRIDARDEN RESTAURANTS INC0.012,041341,000UNCHANGED0.00
DTDYNATRACE INC0.1190,9324,223,140NEW
ECLECOLAB INC1.37233,09553,821,800ADDED0.24
EDVVANGUARD WORLD FD0.028,446787,000NEW
EGPEASTGROUP PPTYS INC0.1635,5806,395,780ADDED0.79
EHCENCOMPASS HEALTH CORP0.1153,6724,432,060NEW
ELVELEVANCE HEALTH INC1.1587,06645,147,500ADDED0.13
EMREMERSON ELEC CO0.013,695419,000REDUCED-2.74
EQIXEQUINIX INC0.5928,05123,150,100ADDED1.3
ERIIENERGY RECOVERY INC0.10238,9953,774,000NEW
ETNEATON CORP PLC1.66208,09865,067,900REDUCED-1.97
ETSYETSY INC0.32180,93312,433,900REDUCED-13.86
EWEDWARDS LIFESCIENCES CORP0.27110,76110,584,000ADDED0.47
EWBCEAST WEST BANCORP INC0.55272,52521,559,800REDUCED-3.93
FERGFERGUSON PLC NEW0.82146,98232,118,000ADDED16.8
FITBFIFTH THIRD BANCORP0.37388,28614,448,400NEW
FNDASCHWAB STRATEGIC TR0.0470,5561,432,000ADDED11.99
FRPTFRESHPET INC0.1448,3935,606,970ADDED1.83
FRTFEDERAL RLTY INVT TR NEW0.1040,0054,085,040ADDED100
FSLRFIRST SOLAR INC1.02237,83240,145,700ADDED4.58
GEGENERAL ELECTRIC CO0.013,322583,000REDUCED-0.18
GILDGILEAD SCIENCES INC0.31164,12912,022,000ADDED24.97
GISGENERAL MLS INC0.0210,584741,000REDUCED-18.18
GOOGALPHABET INC4.021,047,360158,079,000ADDED0.02
GOOGALPHABET INC0.0616,1662,461,000REDUCED-1.73
GSGOLDMAN SACHS GROUP INC0.000.000.00SOLD OFF-100
GWWGRAINGER W W INC0.01590600,000REDUCED-10.06
HASIHANNON ARMSTRONG SUST INFR C0.20274,0187,782,000ADDED36.85
HDHOME DEPOT INC0.8687,72333,651,000REDUCED-6.33
HDBHDFC BANK LTD0.23160,6058,989,000REDUCED-0.91
HIGHARTFORD FINL SVCS GROUP INC0.012,167223,000NEW
HMNHORACE MANN EDUCATORS CORP N0.10109,9974,068,430ADDED7.36
HOLXHOLOGIC INC0.20102,3267,977,000REDUCED-0.05
HUBBHUBBELL INC0.01600249,000NEW
HUMHUMANA INC0.022,130739,000ADDED3.85
HXLHEXCEL CORP NEW0.56304,24322,163,700REDUCED-4.54
IBMINTERNATIONAL BUSINESS MACHS0.012,498477,000REDUCED-0.4
ICEINTERCONTINENTAL EXCHANGE IN0.2264,1858,821,000REDUCED-2.16
ICLRICON PLC0.2124,2018,130,350REDUCED-5.75
IFFINTERNATIONAL FLAVORS&FRAGRA0.1465,5495,636,000REDUCED-0.67
IHGINTERCONTINENTAL HOTELS GROU0.1657,5406,079,860REDUCED-0.19
INTCINTEL CORP0.66589,65426,045,200ADDED28.5
INTUINTUIT0.021,445939,000ADDED58.27
IPGPIPG PHOTONICS CORP0.58249,63922,640,200ADDED1.13
IQVIQVIA HLDGS INC0.6397,32424,612,300REDUCED-4.93
ISRGINTUITIVE SURGICAL INC0.01707282,000REDUCED-6.61
ITRIITRON INC0.027,674710,000REDUCED-31.14
ITUBITAU UNIBANCO HLDG S A0.15873,6036,054,000ADDED0.47
ITWILLINOIS TOOL WKS INC0.000.000.00SOLD OFF-100
JBHTHUNT J B TRANS SVCS INC0.89174,64334,797,000ADDED0.11
JKHYHENRY JACK & ASSOC INC0.1636,4766,337,530ADDED1.81
JLLJONES LANG LASALLE INC0.70141,79927,663,300ADDED0.13
JNJJOHNSON & JOHNSON0.0614,0032,215,000REDUCED-0.39
JPMJPMORGAN CHASE & CO0.0611,4252,288,000REDUCED-1.37
KLACKLA CORP0.00292204,000NEW
LECOLINCOLN ELEC HLDGS INC0.2436,3629,288,400REDUCED-0.18
LEVILEVI STRAUSS & CO NEW0.35695,48313,902,900REDUCED-26.66
LINLINDE PLC0.8370,58632,774,400REDUCED-1.16
LKQLKQ CORP0.1069,8043,727,810ADDED5.38
LLYELI LILLY & CO0.01335261,000NEW
LOBLIVE OAK BANCSHARES INC0.12114,9604,771,550ADDED4.35
LOWLOWES COS INC0.011,478376,000REDUCED-5.26
LPLALPL FINL HLDGS INC1.24184,67248,789,900REDUCED-2.57
LTCLTC PPTYS INC0.09110,5193,593,000ADDED3.92
LULULULULEMON ATHLETICA INC0.6363,25024,708,400REDUCED-3.35
LWLAMB WESTON HLDGS INC0.54197,27721,015,900ADDED0.68
MAMASTERCARD INCORPORATED2.24182,49687,884,100REDUCED-3.42
MANMANPOWERGROUP INC WIS0.0945,8723,561,890ADDED2.28
MARMARRIOTT INTL INC NEW0.4672,07518,185,700ADDED99.22
MCDMCDONALDS CORP0.011,295365,000UNCHANGED0.00
MDLZMONDELEZ INTL INC0.014,861340,000UNCHANGED0.00
MDTMEDTRONIC PLC0.2196,4588,406,000REDUCED-2.32
MDYSPDR S&P MIDCAP 400 ETF TR0.01920512,000UNCHANGED0.00
MELIMERCADOLIBRE INC0.000.000.00SOLD OFF-100
METAMETA PLATFORMS INC0.01969471,000REDUCED-4.53
MIDDMIDDLEBY CORP0.2356,2789,048,710ADDED2.45
MKCMCCORMICK & CO INC1.05538,81841,386,900REDUCED-14.62
MMM3M CO0.014,885518,000UNCHANGED0.00
MMSIMERIT MED SYS INC0.22112,3368,509,030ADDED1.49
MRKMERCK & CO INC1.55462,47661,022,900REDUCED-0.66
MSAMSA SAFETY INC0.2652,89810,240,500ADDED0.82
MSCIMSCI INC0.5840,89722,921,000ADDED0.48
MSFTMICROSOFT CORP6.81636,125267,631,000ADDED4.65
MYRGMYR GROUP INC DEL0.3577,69413,732,700ADDED60.26
NEENEXTERA ENERGY INC0.0849,6713,174,000ADDED633
NFLXNETFLIX INC0.5435,13121,335,600ADDED15.37
NGVTINGEVITY CORP0.0971,5033,410,970ADDED11.63
NKENIKE INC0.52218,38120,522,900REDUCED-42.97
NOWSERVICENOW INC1.5579,85960,884,500ADDED0.14
NVDANVIDIA CORPORATION4.42191,965173,452,000ADDED8.79
NVONOVO-NORDISK A S0.79240,60430,894,200REDUCED-1.33
NXPINXP SEMICONDUCTORS N V0.91144,72135,857,500REDUCED-4.01
NYTNEW YORK TIMES CO0.18163,8967,083,260REDUCED-0.23
OMCLOMNICELL COM0.10134,4983,931,490REDUCED-57.27
ORAORMAT TECHNOLOGIES INC0.55324,40621,472,000ADDED1.04
ORCLORACLE CORP0.039,5341,198,000REDUCED-0.83
PANWPALO ALTO NETWORKS INC1.49206,05658,547,100REDUCED-0.23
PAYCPAYCOM SOFTWARE INC0.0918,0133,585,000REDUCED-1.03
PCTYPAYLOCITY HLDG CORP0.1431,9625,493,410ADDED9.31
PENPENUMBRA INC0.1323,4015,222,340ADDED1.99
PEPPEPSICO INC0.013,370590,000ADDED5.54
PFEPFIZER INC0.0116,776466,000UNCHANGED0.00
PGPROCTER AND GAMBLE CO0.59142,02523,043,300REDUCED-1.71
PGRPROGRESSIVE CORP0.4686,97417,988,200ADDED0.1
PLDPROLOGIS INC.0.97293,46838,215,500ADDED21.9
PNCPNC FINL SVCS GROUP INC1.08261,95842,333,100ADDED0.72
PPGPPG INDS INC0.024,580664,000UNCHANGED0.00
PSXPHILLIPS 660.011,930315,000UNCHANGED0.00
PWRQUANTA SVCS INC0.69104,06827,037,000REDUCED-12.52
PYPLPAYPAL HLDGS INC0.0319,6021,313,000REDUCED-95.01
RGAREINSURANCE GRP OF AMERICA I0.1835,9166,927,760ADDED0.75
ROGROGERS CORP0.2581,6519,690,840ADDED6.57
ROKROCKWELL AUTOMATION INC0.3040,08011,676,800REDUCED-0.33
ROPROPER TECHNOLOGIES INC0.031,8061,013,000REDUCED-9.56
RUNSUNRUN INC0.16467,4466,161,000ADDED35.93
SBACSBA COMMUNICATIONS CORP NEW0.3258,78312,738,000REDUCED-0.36
SBUXSTARBUCKS CORP0.68293,66026,837,000REDUCED-12.02
SCHWSCHWAB CHARLES CORP0.014,511326,000REDUCED-11.74
SEDGSOLAREDGE TECHNOLOGIES INC0.0527,6041,959,780ADDED1.57
SFSTIFEL FINL CORP0.1472,3805,658,340ADDED1.97
SHOPSHOPIFY INC0.1680,0596,178,000NEW
SONSONOCO PRODS CO0.000.000.00SOLD OFF-100
SPGIS&P GLOBAL INC0.021,806768,000REDUCED-12.16
SPYSPDR S&P 500 ETF TR0.043,0081,573,000REDUCED-8.24
SXTSENSIENT TECHNOLOGIES CORP0.1374,2265,135,600ADDED4.32
SYKSTRYKER CORPORATION0.7177,57427,761,600REDUCED-0.34
SYYSYSCO CORP0.34162,80113,216,300REDUCED-1.09
TGTTARGET CORP1.25277,15649,114,700REDUCED-0.44
THGHANOVER INS GROUP INC0.1851,1186,961,020ADDED2.82
TJXTJX COS INC NEW1.58613,13062,183,700REDUCED-0.93
TMOTHERMO FISHER SCIENTIFIC INC1.3792,69753,876,300REDUCED-0.27
TREXTREX CO INC0.34133,29513,295,900ADDED146
TRMBTRIMBLE INC0.19113,3857,297,750ADDED7.09
TRVTRAVELERS COMPANIES INC1.82310,06771,358,800REDUCED-0.84
TSCOTRACTOR SUPPLY CO0.93138,97536,372,400REDUCED-5.73
TSMTAIWAN SEMICONDUCTOR MFG LTD1.15331,56845,110,000REDUCED-5.75
TTTRANE TECHNOLOGIES PLC1.19155,78046,765,700REDUCED-2.34
TTEKTETRA TECH INC NEW0.49104,52019,306,300REDUCED-0.88
TXNTEXAS INSTRS INC0.023,982694,000REDUCED-43.28
ULUNILEVER PLC1.14888,90444,614,500REDUCED-0.18
UNHUNITEDHEALTH GROUP INC0.5140,30219,937,100ADDED0.45
UNPUNION PAC CORP0.3861,51715,129,400ADDED1,025
UPSUNITED PARCEL SERVICE INC0.70186,02027,648,100REDUCED-0.41
VVISA INC0.89125,67635,073,500ADDED22.55
VITLVITAL FARMS INC0.08130,3373,030,000REDUCED-2.23
VMIVALMONT INDS INC0.3357,54713,136,500ADDED4.97
VOOVANGUARD INDEX FDS0.011,716446,000REDUCED-0.46
VRSKVERISK ANALYTICS INC0.62103,63224,429,600ADDED0.64
VZVERIZON COMMUNICATIONS INC0.45417,24217,508,100ADDED0.54
WABWABTEC1.01273,44339,835,200REDUCED-12.35
WATWATERS CORP0.032,9121,002,000REDUCED-6.34
WBSWEBSTER FINL CORP0.20156,0837,924,530ADDED4.01
WMWASTE MGMT INC DEL0.68125,33526,715,500REDUCED-0.37
WOLFWOLFSPEED INC0.31415,41712,254,700REDUCED-1.44
WSTWEST PHARMACEUTICAL SVSC INC0.2019,3567,659,290REDUCED-55.16
WTRGESSENTIAL UTILS INC0.0665,5232,427,220ADDED8.72
XOMEXXON MOBIL CORP0.025,834678,000REDUCED-8.64
XYLXYLEM INC0.3194,83112,256,000REDUCED-1.28
BERKSHIRE HATHAWAY INC DEL0.022,051862,000REDUCED-9.01
FISERV INC0.001,291206,000NEW