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Domini Sustainable Solutions Fund

Domini Investment Trust

Assets: $35M Net: $35M Series: S000067792 EDGAR ↗
+21
New
-15
Exited
65
Positions
Period:
vs
Compare:
← All Funds
# Name Ticker Since Shares Shares Δ Value Val Δ% % Port Cat
1 Munich Reinsurance AG MURGF Jul 2024 2,522 -693 $1.7M +9.0% 4.99% EC
2 Haleon PLC HLNCF Jul 2024 259,895 +91,267 $1.3M +72.9% 3.78% EC
3 Resona Holdings Inc. RSNHF Jul 2024 155,862 -3,400 $1.3M +9.5% 3.61% EC
4 Mercadolibre Inc MELI Jul 2024 517 +85 $1.2M +67.1% 3.48% EC
5 Vertex Pharmaceuticals Incorporated VRTX Jul 2024 2,258 +159 $1.2M +10.6% 3.32% EC
6 Palo Alto Networks Inc PANW Jul 2024 5,081 +90 $950K -41.4% 2.74% EC
7 Halozyme Therapeutics Inc HALO Jul 2024 14,416 -6,752 $885K -24.3% 2.56% EC
8 Schneider Electric SE SBGSF Jul 2024 3,660 -1,840 $855K -35.5% 2.47% EC
9 Crowdstrike Holdings Inc CRWD Jul 2024 1,942 -779 $833K +32.0% 2.41% EC
10 International Business Machines Corporation IBM Jul 2024 3,337 -1,939 $807K -20.4% 2.33% EC
11 Xylem, Inc. XYL Jul 2024 6,350 -1,327 $766K -25.3% 2.21% EC
12 Acuity Inc. AYI Jul 2024 3,058 +858 $745K +34.7% 2.15% EC
13 The Sage Group PLC SGGEF Apr 2025 44,529 New $738K 2.13% EC
14 Autodesk Inc ADSK Jul 2024 2,646 -725 $726K -13.0% 2.10% EC
15 Natera Inc. NTRA Apr 2025 4,805 New $725K 2.09% EC
16 Wolters Kluwer NV WKL Jul 2024 3,954 -3,633 $698K -45.0% 2.02% EC
17 United Therapeutics Corporation UTHR Apr 2025 2,291 New $694K 2.01% EC
18 Arcadis NV ARCVF Jul 2024 14,292 -848 $693K -35.9% 2.00% EC
19 Fiserv Inc. FI Apr 2025 3,735 New $689K 1.99% EC
20 GSK plc GLAXF Jul 2024 33,541 -30,649 $664K -46.8% 1.92% EC
21 Hologic Inc HOLX Jul 2024 11,234 -3,150 $654K -44.3% 1.89% EC
22 ASML Holding N.V. ASML Jul 2024 972 -315 $649K -46.1% 1.88% EC
23 Flex Ltd. FLEX Jul 2024 18,552 -10,199 $637K -31.1% 1.84% EC
24 Comfort Systems USA Inc. FIX Jul 2024 1,547 -621 $615K -14.7% 1.78% EC
25 Ventas Inc. VTR Apr 2025 8,773 New $615K 1.78% EC
26 GE Healthcare Technologies Inc. GEHC Apr 2025 8,375 New $589K 1.70% EC
27 DexCom Inc DXCM Jul 2024 7,932 +2,146 $566K +44.3% 1.64% EC
28 Brambles Ltd. BMBLF Apr 2025 42,602 New $560K 1.62% EC
29 Mueller Water Products, Inc. MWA Apr 2025 21,231 New $557K 1.61% EC
30 Organon & Co OGN Jul 2024 42,173 +10,930 $545K -20.2% 1.57% EC
31 BYD Co Ltd. BYDDF Jul 2024 11,004 -13,496 $523K -27.9% 1.51% EC
32 Caixabank S.A. CIXPF Apr 2025 67,681 New $519K 1.50% EC
33 Federal Agricultural Mortgage Corporation AGM Jul 2024 2,889 -1,526 $507K -44.4% 1.46% EC
34 Prysmian S.p.A. PRYMF Apr 2025 8,382 New $460K 1.33% EC
35 Inspire Medical Systems Inc INSP Jul 2024 2,815 +425 $446K +32.3% 1.29% EC
36 Quanta Services, Inc. PWR Apr 2025 1,489 New $436K 1.26% EC
37 Veralto Corp. VLTO Jul 2024 4,335 -7,617 $416K -67.4% 1.20% EC
38 Blue Bird Corp. BLBD Apr 2025 11,493 New $401K 1.16% EC
39 The New York Times Company NYT Jul 2024 7,521 -4,614 $392K -39.8% 1.13% EC
40 Levi Strauss & Co. LEVI Jul 2024 22,697 -12,003 $363K -42.9% 1.05% EC
41 Daifuku Co Ltd. DAIUF Apr 2025 13,500 New $357K 1.03% EC
42 Intuitive Surgical Inc. ISRG Apr 2025 689 New $355K 1.03% EC
43 Sse PLC SSEZF Apr 2025 15,526 New $350K 1.01% EC
44 DnB Bank ASA DNBBF Apr 2025 13,479 New $337K 0.97% EC
45 Metso Oyj OUKPF Apr 2025 30,977 New $337K 0.97% EC
46 Shopify Inc SHOP Jul 2024 3,476 -2,420 $330K -8.5% 0.95% EC
47 Corning Incorporated GLW Apr 2025 7,401 New $328K 0.95% EC
48 Arista Networks Inc ANET Apr 2025 3,580 New $295K 0.85% EC
49 Avient Corporation AVNT Apr 2025 8,628 New $287K 0.83% EC
50 Ciena Corporation CIEN Apr 2025 4,182 New $281K 0.81% EC
Kurita Water Industries Ltd. J37221116 23,221 Exited $1.0M
Arista Networks Inc 040413106 2,741 Exited $0.9M
Nexans SA F65277109 7,122 Exited $0.9M
First Solar Inc 336433107 3,476 Exited $0.8M
Tesla Inc 88160R101 2,949 Exited $0.7M
Advanced Drainage System Inc 00790R104 3,614 Exited $0.6M
Nordex SE D5736K135 35,956 Exited $0.5M
E L F Beauty Inc 26856L103 2,822 Exited $0.5M
SKF AB W84237143 23,462 Exited $0.4M
Cochlear Ltd Q25953102 1,896 Exited $0.4M
Enphase Energy Inc 29355A107 3,420 Exited $0.4M
NVIDIA Corp. 67066G104 3,288 Exited $0.4M
Amalgamated Financial Corp. 022671101 12,093 Exited $0.4M
Nextracker Inc. 65290E101 7,504 Exited $0.4M
Advanced Micro Devices, Inc. 007903107 1,988 Exited $0.3M