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Boston Common Asset Management, LLC

Q4 2025 · 13F-HR

Boston Common Asset Management, LLCholdings as filed

Filed 2026-01-15 · accession 0001409427-26-000002

$1.97B
Reported value
196
Positions
2025-12-31
Period end
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The Brief · Boston Common Asset Management, LLC · Q4 2025

AI · grounded in 13F

Boston Common Asset Management, LLC closed its position in MBFJF for a reduction of $48.04M. The fund also exited positions in SIEMENS AG and SCHNEIDER ELECTRIC, each totaling over $41M. On the buy side, the fund established new positions in NUSC for $19.86M and SPOT for $18.63M. Additionally, it increased its holdings in TCOM by 104.12%.

Holdings as filed

CUSIPTickerIssuerValue% port.SharesClassVoting
874039100TSMTaiwan Semiconductor Manufacturing Co., Ltd.$164.7M8.35%542,072CommonSOLE
67066G104NVDANVIDIA Corp.$72.8M3.69%390,121CommonSOLE
594918104MSFTMicrosoft Corp.$70.2M3.56%145,215CommonSOLE
037833100AAPLApple Inc.$66.8M3.39%245,783CommonSOLE
40415F101HDBHDFC Bank Ltd.$56.2M2.85%1,537,511CommonNONE
02079K305GOOGLAlphabet Inc.$55.0M2.79%175,739CommonSOLE
11135F101AVGOBroadcom Inc$39.5M2.00%114,047CommonSOLE
02079K107GOOGAlphabet Inc.$37.8M1.91%120,397CommonSOLE
617446448MSMorgan Stanley$37.7M1.91%212,606CommonSOLE
92826C839VVisa Inc$32.8M1.66%93,636CommonSOLE
64110L106NFLXNetflix, Inc.$32.5M1.65%346,527CommonSOLE
532457108LLYEli Lilly & Co.$31.7M1.61%29,538CommonSOLE
G25508105CRHCRH Plc$30.5M1.55%244,413CommonSOLE
58933Y105MRKMerck & Co., Inc$26.9M1.36%255,480CommonSOLE
89677Q107TCOMTrip.com Group Ltd.$24.2M1.22%335,934CommonSOLE
79466L302CRMSalesforce Inc.$22.9M1.16%86,532CommonSOLE
194162103CLColgate-Palmolive Co.$22.7M1.15%286,759CommonSOLE
443510607HUBBHubbell Incorporated$22.6M1.14%50,853CommonSOLE
58733R102MELIMercadolibre Inc$21.5M1.09%10,674CommonNONE
92537N108VRTVertiv Holdings Co$21.4M1.08%132,155CommonSOLE
872540109TJXThe TJX Companies Inc.$21.1M1.07%137,196CommonSOLE
67092P607NUSCNuShares ETF Trust$19.9M1.01%444,826CommonSOLE
235851102DHRDanaher Corporation$19.8M1.01%86,672CommonSOLE
H1467J104CBChubb Ltd.$19.7M1.00%63,074CommonSOLE
98419M100XYLXylem, Inc.$19.6M0.99%143,740CommonSOLE
872590104TMUST-Mobile US Inc$19.5M0.99%96,256CommonSOLE
L8681T102SPOTSpotify Technology S.A.$18.6M0.94%32,080CommonSOLE
030420103AWKAmerican Water Works Company, Inc.$18.1M0.92%138,833CommonSOLE
929740108WABWabtec Corp$18.0M0.91%84,451CommonSOLE
12504L109CBRECBRE Group Inc.$18.0M0.91%111,809CommonSOLE
465562106ITUBItau Unibanco Holding SA$17.6M0.89%2,461,883CommonNONE
771195104RHHBYRoche Holding AG$17.6M0.89%339,393CommonSOLE
064058100BKThe Bank of New York Mellon Corp.$17.4M0.88%150,204CommonSOLE
92343V104VZVerizon Communications Inc.$16.9M0.86%415,328CommonSOLE
40090E106CIBBancolombia SA$16.1M0.82%253,147CommonNONE
74834L100DGXQuest Diagnostics Incorporated$15.9M0.81%91,857CommonSOLE
66987V109NVSNovartis AG$15.6M0.79%113,266CommonSOLE
031162100AMGNAmgen Inc.$14.7M0.75%44,989CommonSOLE
94106L109WMWaste Management, Inc.$14.6M0.74%66,379CommonSOLE
461202103INTUIntuit Inc$14.4M0.73%21,699CommonSOLE
12572Q105CMECME Group Inc.$14.1M0.71%51,564CommonSOLE
09857L108BKNGBooking Holdings Inc$14.0M0.71%2,614CommonSOLE
375558103GILDGilead Sciences Inc.$14.0M0.71%113,856CommonSOLE
316773100FITBFifth Third Bancorp$13.8M0.70%295,193CommonSOLE
742718109PGThe Procter & Gamble Co.$13.6M0.69%94,751CommonSOLE
278865100ECLEcolab Inc.$13.5M0.69%51,527CommonSOLE
59156R108METMetLife Inc.$13.5M0.68%170,821CommonSOLE
291011104EMREmerson Electric Co.$13.5M0.68%101,565CommonSOLE
833635105SQMSociedad Quimica y Minera de Chile S A$13.3M0.67%192,695CommonNONE
060505104BACBank of America Corp.$12.7M0.64%230,789CommonSOLE
G0403H108AONAon PLC$12.6M0.64%35,583CommonSOLE
28176E108EWEdwards Lifesciences Corporation$12.3M0.63%144,703CommonSOLE
858119100STLDSteel Dynamics, Inc.$12.1M0.62%71,672CommonSOLE
89055F103BLDTopbuild Corporation$11.6M0.59%27,854CommonSOLE
808513105SCHWThe Charles Schwab Corporation$11.5M0.58%114,976CommonNONE
456788108INFYInfosys Ltd.$11.5M0.58%643,224CommonNONE
032654105ADIAnalog Devices Inc.$11.3M0.57%41,623CommonSOLE
336433107FSLRFirst Solar Inc$11.2M0.57%42,789CommonSOLE
904767803ULUnilever PLC$11.2M0.57%170,680CommonSOLE
803054204SAPSAP SE$11.0M0.55%45,081CommonSOLE
231021106CMICummins Inc.$10.5M0.53%20,652CommonSOLE
22160K105COSTCostco Wholesale Corporation$10.5M0.53%12,185CommonSOLE
595112103MUMicron Technology Inc.$10.5M0.53%36,644CommonNONE
751212101RLRalph Lauren Corp.$9.9M0.50%28,116CommonSOLE
606822104MUFGMitsubishi UFJ Financial Group Inc.$9.4M0.48%593,184CommonSOLE
437076102HDHome Depot Inc.$9.1M0.46%26,333CommonSOLE
92532F100VRTXVertex Pharmaceuticals Incorporated$9.0M0.46%19,947CommonSOLE
857477103STTState Street Corp.$8.7M0.44%67,285CommonNONE
038222105AMATApplied Materials Inc.$8.5M0.43%33,212CommonNONE
482480100KLACKLA Corp.$8.4M0.43%6,945CommonNONE
G8994E103TTTrane Technologies PLC$8.4M0.43%21,604CommonSOLE
025816109AXPAmerican Express Company$8.0M0.41%21,737CommonNONE
548661107LOWLowes Companies, Inc.$7.9M0.40%32,786CommonNONE
826197501SIEGYSiemens AG$7.8M0.39%55,433CommonSOLE
046353108AZNNAstraZeneca PLC$7.7M0.39%83,424CommonSOLE
443251103HOCPYHOYA Corp.$7.5M0.38%49,923CommonSOLE
054536107AXAHYAxa SA$7.5M0.38%155,326CommonSOLE
835699307SONYSony Group Corp.$7.4M0.38%290,651CommonSOLE
78440P306SKMSK Telecom Co Ltd$7.4M0.38%362,424CommonNONE
456837103INGING Groep N.V.$7.3M0.37%260,417CommonSOLE
606776201MIELYMitsubishi Electric Corp.$7.3M0.37%123,968CommonSOLE
82929R304SGAPYSingapore Telecommunications Ltd.$7.1M0.36%201,801CommonSOLE
697435105PANWPalo Alto Networks Inc$7.1M0.36%38,708CommonSOLE
773903109ROKRockwell Automation, Inc.$7.0M0.36%18,102CommonNONE
80687P106SBGSYSchneider Electric SE$7.0M0.35%126,182CommonSOLE
G1151C101ACNAccenture PLC$6.7M0.34%25,137CommonNONE
41068X100HASIHA Sustainable Infrastructure Capital Inc$6.3M0.32%201,915CommonSOLE
46115H107ISNPYIntesa Sanpaolo S.p.A.$6.3M0.32%151,392CommonSOLE
78467K107SSEZYSse PLC$6.2M0.32%212,630CommonSOLE
89832Q109TFCTruist Financial Corp.$6.1M0.31%124,925CommonNONE
32054K103FRFirst Industrial Realty Trust, Inc.$6.1M0.31%106,713CommonNONE
G87052109TELTE Connectivity Ltd$6.0M0.30%26,436CommonNONE
251566105DTEGYDeutsche Telekom AG$5.7M0.29%175,690CommonSOLE
74440L106PRYMYPrysmian S.p.A.$5.6M0.28%110,851CommonSOLE
455793109IDEXYIndustria De Diseno Textil SA$5.6M0.28%338,214CommonSOLE
053332102AZOAutozone, Inc.$5.3M0.27%1,551CommonSOLE
20441A102SBSCompanhia de Saneamento Basico do Estado de Sao Paulo - SABESP$5.2M0.26%216,467CommonNONE
686330101IXORIX Corp.$5.2M0.26%176,395CommonSOLE
00762U200ATEYYAdvantest Corp.$5.0M0.25%40,081CommonSOLE
045387107ASAZYAssa Abloy AB$4.9M0.25%249,309CommonSOLE
911363109URIUnited Rentals, Inc.$4.8M0.24%5,957CommonNONE
244199105DEDeere & Company$4.8M0.24%10,318CommonNONE
962166104WYWeyerhaeuser Company$4.7M0.24%200,353CommonSOLE
002824100ABTAbbott Laboratories$4.7M0.24%37,771CommonSOLE
690333109OVCHYOversea-Chinese Banking Corp Ltd.$4.7M0.24%153,964CommonSOLE
36262G101GXOGXO Logistics Inc.$4.7M0.24%89,023CommonNONE
641069406NSRGYNestle SA$4.6M0.23%46,239CommonSOLE
22822V101CCICrown Castle Inc.$4.5M0.23%50,417CommonNONE
049255805ATLCYAtlas Copco AB$4.4M0.22%273,902CommonSOLE
92334N103VEOEYVeolia Environnement S.A.$4.4M0.22%253,260CommonSOLE
H01301128ALCAlcon AG$4.4M0.22%55,987CommonSOLE
253868103DLRDigital Realty Trust Inc.$4.2M0.21%27,172CommonNONE
N07045102ASMIYASM International N.V.$4.1M0.21%6,819CommonSOLE
853254100SCBFYStandard Chartered PLC$4.1M0.21%83,978CommonSOLE
85208M102SFMSprouts Farmers Markets Inc$4.0M0.20%49,799CommonSOLE
001317205AAGIYAIA Group Ltd, Hong Kong$3.8M0.19%92,764CommonSOLE
009126202AIQUYAir Liquide S.A.(L')$3.8M0.19%100,943CommonSOLE
872351408TTDKYTDK Corp.$3.7M0.19%259,745CommonSOLE
410693105HVRRYHannover Rueck SE$3.6M0.18%68,727CommonSOLE
045055209ASHGYAshtead Group PLC$3.6M0.18%50,572CommonSOLE
74365P108PROSYProsus NV$3.5M0.18%285,948CommonSOLE
500467501ADRNYKoninklijke Ahold Delhaize NV$3.5M0.18%86,083CommonSOLE
210919106CYATYContemporary Amperex Technology Co Ltd.$3.4M0.17%209,221CommonSOLE
142339100CSLCarlisle Companies Inc.$3.4M0.17%10,482CommonNONE
670100205NVONovo Nordisk A/S$3.2M0.16%61,958CommonSOLE
13646K108CPCanadian Pacific Kansas City Ltd.$3.1M0.16%42,048CommonSOLE
759530108RELXRelx PLC$3.1M0.16%75,966CommonSOLE
925458101VWDRYVestas Wind Systems AS$3.0M0.15%330,750CommonSOLE
00783V104ADYEYAdyen NV$2.9M0.14%177,122CommonSOLE
86317T103SAUHYStraumann Holding AG$2.7M0.14%230,136CommonSOLE
464287465EFAiShares Trust$2.7M0.14%27,756CommonSOLE
476493101JRONYJeronimo Martins - S.G.P.S., S.A.$2.7M0.14%55,997CommonSOLE
872120100TDHOYT&D Holdings Inc.$2.7M0.13%230,802CommonSOLE
233825207MBGYYMercedes-Benz Group AG$2.6M0.13%149,637CommonSOLE
V5633W109MMYTMakeMyTrip Ltd.$2.6M0.13%31,792CommonSOLE
55607P204MQBKYMacquarie Group Ltd.$2.6M0.13%18,878CommonSOLE
02071M507ALBKYAlpha Bank S.A.$2.5M0.13%2,363,874CommonSOLE
78663S201SGPYYThe Sage Group PLC$2.5M0.12%42,241CommonSOLE
87873R101TTNDYTechtronic Industries Co. Ltd.$2.4M0.12%42,063CommonSOLE
464287234EEMiShares Trust$2.4M0.12%43,511CommonSOLE
877409102TWODYTaylor Wimpey PLC$2.4M0.12%163,513CommonSOLE
247629306DELTDelta Electronics Inc.$2.3M0.12%14,766CommonSOLE
084670108BRK/ABerkshire Hathaway Inc.$2.3M0.11%3CommonSOLE
502117203LRLCYL'Oreal S.A.$2.2M0.11%25,271CommonSOLE
98980L101ZNGAZoom Communications Inc.$2.2M0.11%25,063CommonSOLE
626425102MRAAYMurata Manufacturing Co Ltd.$2.0M0.10%195,362CommonSOLE
54211Y107LSEGYLondon Stock Exchange Group PLC$1.7M0.09%55,192CommonSOLE
07724U103BDRFYBeiersdorf AG$1.7M0.08%75,709CommonSOLE
02263T104AMADYAmadeus IT Group SA$1.6M0.08%22,321CommonSOLE
72341E304PNGAYPing An Insurance (Group) Company of China Ltd.$1.6M0.08%94,763CommonSOLE
88032Q109TCEHYTencent Holdings Ltd.$1.6M0.08%20,301CommonSOLE
46982L108JJacobs Solutions Inc.$1.5M0.08%11,233CommonSOLE
78462F103SPYSpdr S&P 500 Etf Trust$1.3M0.07%1,915CommonSOLE
40052P107GBOOYGrupo Financiero Banorte S.A.B. de C.V.$1.0M0.05%21,632CommonSOLE
30040W108ESEversource Energy$795,3690.04%11,813CommonSOLE
256135203RDYDr. Reddy's Laboratories Ltd.$747,9810.04%53,275CommonSOLE
464287655IWMiShares Trust$702,0060.04%2,852CommonSOLE
31488V107FERGFerguson Enterprises Inc$677,6860.03%3,044CommonSOLE
N5505D105MICCMagnum Ice Cream Co. NV (The)$614,6780.03%38,781CommonSOLE
T55067101IITSFIntesa Sanpaolo S.p.A.$613,0440.03%88,158CommonSOLE
67092P300NULVNuShares ETF Trust$587,1370.03%13,033CommonSOLE
16950T102CIHKYChina Merchants Bank Co Ltd.$554,9310.03%16,361CommonNONE
049255706ATLKYAtlas Copco AB$531,8790.03%29,529CommonNONE
05537Y304BDOUYBDO Unibank Inc.$529,5460.03%23,146CommonSOLE
464287200IVViShares Trust$513,7050.03%750CommonSOLE
J32491102KYCCFKeyence Corp.$495,7620.03%1,371CommonSOLE
J61933123ORXCFORIX Corp.$485,7460.02%16,719CommonSOLE
W1R924229ATLFFAtlas Copco AB$462,1280.02%28,883CommonSOLE
084670702BRK/BBerkshire Hathaway Inc.$452,3850.02%900CommonSOLE
363576109AJGGallagher Aj &Co$452,3650.02%1,748CommonSOLE
97717W505DONWisdomtree Trust$438,6000.02%8,500CommonSOLE
23636T100DANOYDanone SA$422,0170.02%23,400CommonNONE
337738108FISVFiserv Inc.$388,7130.02%5,787CommonSOLE
891160509TDThe Toronto-Dominion Bank$378,0250.02%4,013CommonNONE
23346J103DSFIYDSM Firmenich AG$358,2810.02%44,590CommonSOLE
01609W102BABAAlibaba Group Holding Ltd.$356,1890.02%2,430CommonNONE
464287499IWRiShares Trust$346,7650.02%3,602CommonSOLE
464287614IWFiShares Trust$339,8290.02%718CommonSOLE
J43873116MIELFMITSUBISHI ELEC CORP SHS$336,3350.02%10,982CommonSOLE
46625H100JPMJPMorgan Chase & Co.$317,0640.02%984CommonSOLE
46090E103QQQInvesco QQQ Trust, Series 1$281,9680.01%459CommonSOLE
824596100SHGShinhan Financial Group Co Ltd.$271,6360.01%5,065CommonNONE
57636Q104MAMasterCard Incorporated$268,3140.01%470CommonSOLE
88156J105TRUMYTerumo Corp.$262,5460.01%18,129CommonSOLE
871013108SCMWYSwisscom AG$258,5300.01%3,559CommonSOLE
78463V107GLDSpdr Gold Trust$241,3530.01%609CommonSOLE
79588J102SAXPYSampo PLC$230,8980.01%9,516CommonSOLE
N7163R103PROSFProsus NV$220,4920.01%3,553CommonSOLE
921943858VEAVanguard Tax Managed Funds$217,8950.01%3,488CommonSOLE
209115104EDConsolidated Edison, Inc.$208,2740.01%2,097CommonSOLE
37733W204GSKGSK plc$200,8680.01%4,096CommonNONE
J38296117KYKOFKyowa Kirin Co Ltd.$189,2540.01%12,492CommonSOLE
J82141136TTDKFTDK Corp.$174,9950.01%12,406CommonSOLE
G23969101CNVVFConvaTec Group PLC$141,4030.01%48,343CommonSOLE
G16612106BTGOFBT Group PLC$113,6350.01%45,990CommonSOLE
Y0697U112BKRKFBank Rakyat Indonesia (Persero) Tbk$5,6210.00%25,610CommonSOLE

Source: SEC EDGAR · raw 13F holdings as filed. The Class column shows the option type when reported (Put/Call) or Common when the issuer's equity is held directly. 13F discloses long positions only.