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Latest MIROVA Stock Portfolio

MIROVA Performance:
2025 Q3: 2.73%YTD: 3.48%2024: 5.95%

Performance for 2025 Q3 is 2.73%, and YTD is 3.48%, and 2024 is 5.95%.

About MIROVA and 13F Hedge Fund Stock Holdings

MIROVA is a hedge fund based in BOSTON, MA. On 01-Nov-2021, the fund reported that it had an AUM (Regulated Assets under Management) of $319.4 Billions. In it's latest 13F Holdings report, MIROVA reported an equity portfolio of $707.4 Millions as of 30 Sep, 2025.

The top stock holdings of MIROVA are NVDA, MSFT, ECL. The fund has invested 6.7% of it's portfolio in NVIDIA CORPORATION and 6.4% of portfolio in MICROSOFT CORP.

The fund managers got completely rid off ORACLE CORP (ORCL), PFIZER INC (PFE) and MEDTRONIC PLC (MDT) stocks. They significantly reduced their stock positions in NEXTERA ENERGY INC (NEE), BANK NEW YORK MELLON CORP (BK) and THERMO FISHER SCIENTIFIC INC (TMO). MIROVA opened new stock positions in NEXTRACKER INC, PINTEREST INC (PINS) and KEYSIGHT TECHNOLOGIES INC (KEYS). The fund showed a lot of confidence in some stocks as they added substantially to ADVANCED DRAIN SYS INC DEL (WMS), DANAHER CORPORATION (DHR) and FIRST SOLAR INC (FSLR).

MIROVA Annual Return Estimates Vs S&P 500

Our best estimate is that MIROVA made a return of 2.73% in the last quarter. In trailing 12 months, it's portfolio return was -2.46%.
  • Performance
  • S&P 500

New Buys

Ticker$ Bought
nextracker inc2,382,180
pinterest inc1,806,180
keysight technologies inc1,717,710
synopsys inc487,469
taiwan semiconductor mfg ltd458,594

New stocks bought by MIROVA

Additions to existing portfolio by MIROVA

Reductions

Ticker% Reduced
nextera energy inc-92.6
bank new york mellon corp-87.19
thermo fisher scientific inc-85.56
core & main inc-85.5
zurn elkay water solns corp-65.31
chipotle mexican grill inc-49.7
eli lilly & co-23.3
aptiv plc-22.45

MIROVA reduced stake in above stock

Sold off

Ticker$ Sold
pfizer inc-1,658,210
fluence energy inc-227,711
united nat foods inc-669,836
medtronic plc-1,429,680
enphase energy inc-537,654
oracle corp-2,433,350
cisco sys inc-500,507
dexcom inc-422,833

MIROVA got rid off the above stocks

Sector Distribution

MIROVA has about 36.3% of it's holdings in Technology sector.

Sector%
Technology36.3
Industrials18.3
Healthcare10
Basic Materials8.8
Consumer Cyclical6.8
Financial Services5.7
Consumer Defensive5.2
Others4.9
Utilities2.4

Market Cap. Distribution

MIROVA has about 84.1% of it's portfolio invested in the large-cap and mega-cap stocks.

Category%
LARGE-CAP55.8
MEGA-CAP28.3
MID-CAP8.7
UNALLOCATED4.9
SMALL-CAP2.3

Stocks belong to which Index?

About 84.7% of the stocks held by MIROVA either belong to S&P 500 or RUSSELL 2000 index.

Index%
S&P 50077.7
Others15.3
RUSSELL 20007
Top 5 Winners (%)%
RUN
sunrun inc
106.1 %
PL
planet labs pbc
95.0 %
MP
mp materials corp
67.7 %
EMBC
embecta corp
45.6 %
ARRY
array technologies inc
38.1 %
Top 5 Winners ($)$
NVDA
nvidia corporation
7.4 M
TMO
thermo fisher scientific inc
6.3 M
FSLR
first solar inc
5.0 M
RUN
sunrun inc
4.9 M
XYL
xylem inc
2.7 M
Top 5 Losers (%)%
SG
sweetgreen inc
-46.4 %
SFM
sprouts fmrs mkt inc
-33.3 %
BMI
badger meter inc
-26.9 %
LULU
lululemon athletica inc
-23.3 %
CMG
chipotle mexican grill inc
-22.7 %
Top 5 Losers ($)$
ACN
accenture plc ireland
-6.5 M
SFM
sprouts fmrs mkt inc
-3.4 M
BMI
badger meter inc
-3.2 M
ISRG
intuitive surgical inc
-1.7 M
CL
colgate palmolive co
-1.5 M

MIROVA Holdings Map

This heatmap illustrates the top 50 positions within the fund's portfolio.

Current Stock Holdings of MIROVA

MIROVA has 111 stocks in it's portfolio. About 40.9% of the portfolio is in top 10 stocks. ACN proved to be the most loss making stock for the portfolio. NVDA was the most profitable stock for MIROVA last quarter.

Last Reported on: 29 Dec, 2025
TickerNamesorted ascending% PortfolioShares Held$ ValueType% ChangeOptions