Boston Common Asset Management, LLC
Annual return
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SPY
—
Alpha
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Invested
$3.1B
Holdings
184
Trades YTD
0
Performance · Fund vs SPY
Cumulative return · quarterly snapshotsIn development
Quarterly performance not yet computed for this fund.
The metrics pipeline computes return / SPY benchmark / alpha per quarter from this fund's 13F holdings and the SPY adj-close. It hasn't produced enough quarters here yet — the chart fills in automatically once at least two are on record.
Top holdings · current snapshot
Source: 13F-HR01
$TSM
Taiwan Semiconductor Manufacturing Co., Ltd.
Q1 2026: New position (19.3k shares)
6.5%
02
$NVDA
NVIDIA Corp.
Q3 2025: Increased +4.0% (402.2k → 418.1k shares)
4.7%
03
$AAPL
Apple Inc.
Q3 2025: Increased +5.5% (248.5k → 262.3k shares)
4.1%
04
$MSFT
Microsoft Corp.
Q3 2025: Sold 2.2% (151.5k → 148.1k shares)
3.5%
05
$GOOGL
Alphabet Inc.
Q3 2025: Increased +5.1% (193.4k → 203.2k shares)
2.7%
06
$AVGO
Broadcom Inc
Q3 2025: Sold 11.6% (148.5k → 131.3k shares)
2.6%
07
$GOOG
Alphabet Inc.
Q3 2025: Sold 1.8% (157.5k → 154.8k shares)
2.5%
08
$NFLX
Netflix, Inc.
Q3 2025: Increased +1.2% (34.8k → 35.2k shares)
2.3%
09
$V
Visa Inc
Q3 2025: Increased +3.9% (93.7k → 97.3k shares)
1.9%
10
$BAC
Bank of America Corp.
Q3 2025: Sold 13.8% (810.7k → 698.6k shares)
1.8%
Recent trades · Last 90 days
No Form 4 / 13D / 13G trade events on file in the recent window. 13F filers report position snapshots quarterly rather than per-trade events, so this section is most useful for managers who also file Form 4 or 13D/G.
Source data: SEC EDGAR · 13F-HR filings · Last refreshed 06:34 UTC.