ZEVIN ASSET MANAGEMENT LLC

CIK 1394096 · Ver en SEC EDGAR ↗

Valor de la cartera
$712.7M
#3 048 de 9 443 por valor de 13F · top 32.3%
Posiciones
97
A fecha de
30 de junio de 2026

Valor de cartera interanual: -1.4% El 13F no revela efectivo

Peso de las 10 principales tenencias
37,35%
Peso de las 25 principales tenencias
71,02%
Posiciones superiores al 1%
38
Número efectivo de posiciones
39,6

Basado solo en tenencias de acciones a largo plazo del 13F (efectivo, bonos, posiciones cortas no reveladas)

Rotación Q2 2026: 1,27% Est. compras $9 130 897 · ventas $92 960 616

Nuevas posiciones
7
Aumentado
4
Disminuido
58
Cerrada
3
En esta página

Desglose por sector

Technology
26,9%
Retail
14,3%
Healthcare
8,8%
Communication Services
8,3%
Industrials
5,3%
Financials
5,2%
Financial Services
4,4%
Materials
4,0%
Real Estate
3,0%
Consumer products
2,3%
Utilities
0,7%
Logistics & Transportation
0,3%
Communications
0,1%
Consumer Discretionary
0,1%
Consumer Staples
0,1%
Energy
0,0%
Otro/No mapeado
16,1%

Cartera completa 97 posiciones

Tipo Racha Tendencia 8T
AAPL Apple Inc. - Common Stock $33 585 193 4,71% 116 067 $2 269 282 Bajar ×1
GOOG Alphabet Inc. - Class C Capital Stock $33 238 816 4,66% 94 073 $4 981 383 Bajar ×1
NVDA NVIDIA Corporation - Common Stock $29 188 657 4,10% 145 878 $1 069 520 Bajar ×1
SHV iShares 0-1 Year Treasury Bond ETF $27 030 578 3,79% 244 953 $-2 374 454 Bajar ×1
MSFT Microsoft Corporation - Common Stock $25 483 480 3,58% 68 317 $-1 690 879 Bajar ×1
V Visa Inc. $25 159 158 3,53% 73 331 $-1 362 772 Bajar ×1
MELI MercadoLibre, Inc. - Common Stock $24 944 716 3,50% 14 696 $-1 631 985 Bajar ×1
TJX TJX Companies, Inc. (The) Common Stock $23 271 438 3,27% 153 607 $-4 181 883 Bajar ×1
AMZN Amazon.com, Inc. - Common Stock $22 983 562 3,22% 96 432 $-481 769 Bajar ×1
ASML ASML Holding N.V. - New York Registry Shares $21 268 534 2,98% 10 691 $5 818 651 Bajar ×1
CRWD CrowdStrike Holdings, Inc. - Class A Common Stock $20 612 040 2,89% 27 010 $7 279 147 Bajar ×1
ADI Analog Devices, Inc. - Common Stock $19 901 155 2,79% 50 107 $2 813 387 Bajar ×1
ABBV AbbVie Inc. Common Stock $19 349 127 2,71% 76 892 $1 547 754 Bajar ×1
ADP Automatic Data Processing, Inc. - Common Stock $18 540 289 2,60% 82 788 $786 892 Bajar ×1
COST Costco Wholesale Corporation - Common Stock $18 272 429 2,56% 19 533 $-6 294 265 Bajar ×1
GOOGL Alphabet Inc. - Class A Common Stock $16 988 403 2,38% 47 537 $1 326 012 Bajar ×1
VMBS Vanguard Mortgage-Backed Securities ETF $16 346 838 2,29% 349 217 $-750 766 Bajar ×1
LIN Linde plc - Ordinary Shares $16 333 678 2,29% 31 475 $213 243 Bajar ×1
LLY Eli Lilly and Company Common Stock $14 753 000 2,07% 12 300 $2 117 749 Bajar ×1
VGSH Vanguard Short-Term Treasury ETF $14 355 162 2,01% 246 652 $799 153 Subir ×1
CB Chubb Limited Common Stock $14 000 534 1,96% 41 089 $-1 115 363 Bajar ×1
DDOG Datadog, Inc. - Class A Common Stock $12 883 085 1,81% 49 482 $4 891 729 Bajar ×1
AVGO Broadcom Inc. - Common Stock $12 788 560 1,79% 33 855 $1 536 556 Bajar ×1
EAGG $12 490 203 1,75% 263 451 $-759 219 Bajar ×1
DLR Digital Realty Trust, Inc. Common Stock $12 384 308 1,74% 68 963 $-1 192 087 Bajar ×1
ECL Ecolab Inc. Common Stock $12 025 144 1,69% 43 161 $-110 308 Bajar ×1
SPY SPY $11 673 509 1,64% 15 632 $89 653 Bajar ×1
NVS Novartis AG Common Stock $11 642 861 1,63% 74 291 $-437 683 Bajar ×1
AZN AstraZeneca PLC - American Depositary Shares $11 126 554 1,56% 58 678 $-1 359 524 Bajar ×1
AON Aon plc Class A Ordinary Shares (Ireland) $11 117 940 1,56% 33 519 $59 105 Bajar ×1
EMR Emerson Electric Company Common Stock $10 890 684 1,53% 76 079 $370 379 Bajar ×1
PNC PNC Financial Services Group, Inc. (The) Common Stock $10 749 401 1,51% 43 658 $239 953 Bajar ×1
CDNS Cadence Design Systems, Inc. - Common Stock $9 059 031 1,27% 24 137 $1 856 085 Bajar ×1
PLD Prologis, Inc. Common Stock $9 042 549 1,27% 66 749 $-278 112 Bajar ×1
NFLX Netflix, Inc. - Common Stock $9 031 805 1,27% 126 496 $-4 759 865 Bajar ×1
UL Unilever PLC American Depositary Shares (each representing One Ordinary Share) $8 739 754 1,23% 145 372 $-3 737 163 Bajar ×1
Emisor desconocido (CUSIP: 94106b101) $7 527 016 1,06% 45 156 $-574 527 Bajar ×1
TRU TransUnion Common Stock $7 288 282 1,02% 101 030 $-366 488 Bajar ×1
VTEB $7 073 155 0,99% 139 841 $156 680 Subir ×1
CL Colgate-Palmolive Company Common Stock $6 529 778 0,92% 71 224 $-4 321 848 Bajar ×1
SMERY $6 520 961 0,91% 170 974 Subir ×1
HD Home Depot, Inc. (The) Common Stock $6 281 617 0,88% 17 811 $-535 424 Bajar ×1
SPGI S&P Global Inc. Common Stock $5 685 580 0,80% 13 961 $-755 021 Bajar ×1
KR Kroger Company (The) Common Stock $5 020 241 0,70% 90 406 $-9 097 344 Bajar ×1
NGG National Grid Transco, PLC National Grid PLC (NEW) American Depositary Shares $4 689 268 0,66% 56 586 $-868 718 Bajar ×1
ACN Accenture plc Class A Ordinary Shares (Ireland) $3 342 619 0,47% 26 861 $-2 076 260 Bajar ×1
AMAT Applied Materials, Inc. - Common Stock $2 593 401 0,36% 3 587 $1 322 626 Bajar ×1
EXPD Expeditors International of Washington, Inc. Common Stock $2 325 073 0,33% 14 266 $281 754
DHR Danaher Corporation Common Stock $2 098 382 0,29% 11 016 $-897 540 Bajar ×1
VOO $1 786 393 0,25% 2 601 $232 165
AMGN Amgen Inc. - Common Stock $1 179 063 0,17% 3 256 $33 439
IEF iShares 7-10 Year Treasury Bond ETF $1 164 825 0,16% 12 317 $-87 560 Bajar ×1
ESGV $1 164 638 0,16% 8 807 $172 845 Bajar ×1
DLN $1 088 416 0,15% 11 300 $78 987
BGRN iShares USD Green Bond ETF $975 794 0,14% 20 555 $-2 622 Bajar ×1
PG Procter & Gamble Company (The) Common Stock $894 211 0,13% 6 098 $-58 515 Bajar ×1
ABT Abbott Laboratories Common Stock $858 128 0,12% 9 457 $-155 122 Bajar ×1
WMT Walmart Inc. - Common Stock $783 306 0,11% 6 916 $-76 214
MUB $765 286 0,11% 7 111 $-28 610 Bajar ×1
MRK Merck & Company, Inc. Common Stock (new) $683 363 0,10% 5 318 $43 661
MU Micron Technology, Inc. - Common Stock $525 202 0,07% 455 Subir ×1
CSCO Cisco Systems, Inc. - Common Stock $506 135 0,07% 4 309 $171 800
GILD Gilead Sciences, Inc. - Common Stock $506 118 0,07% 4 006 $-52 198
MCD McDonald's Corporation Common Stock $506 020 0,07% 1 872 $-75 779
KO Coca-Cola Company (The) Common Stock $502 817 0,07% 6 187 $32 296
QQQ Invesco QQQ Trust, Series 1 $501 488 0,07% 681 $-354 470 Bajar ×1
VSGX $494 734 0,07% 6 008 $62 530 Bajar ×1
VGIT Vanguard Intermediate-Term Treasury ETF $489 737 0,07% 8 303 $26 133 Subir ×1
BRKB $449 851 0,06% 899 $19 050
MMM 3M Company Common Stock $436 186 0,06% 2 694 $44 936
TSLA Tesla, Inc. - Common Stock $434 480 0,06% 1 033 $31 875 Bajar ×1
VPU $428 453 0,06% 2 189 $-5 275
IEI iShares 3-7 Year Treasury Bond ETF $427 776 0,06% 3 642 $-28 333 Bajar ×1
BY Byline Bancorp, Inc. Common Stock $400 100 0,06% 10 624 $64 700
PEP PepsiCo, Inc. - Common Stock $393 337 0,06% 2 905 $-57 780
BNS Bank Nova Scotia Halifax Pfd 3 Ordinary Shares $381 228 0,05% 4 390 $76 957
SUSA $372 800 0,05% 2 416 $-13 602 Bajar ×1
IVV $360 965 0,05% 482 $46 118
PFE Pfizer, Inc. Common Stock $352 555 0,05% 14 641 $-58 564
GWW W.W. Grainger, Inc. Common Stock $334 658 0,05% 246 $66 319
BEP Brookfield Renewable Partners L.P. Limited Partnership Units $329 345 0,05% 9 483 $19 820
JPM JP Morgan Chase & Co. Common Stock $313 582 0,04% 958 $23 246 Bajar ×1
GSY $295 885 0,04% 5 900 $177
XOM Exxon Mobil Corporation Common Stock $295 452 0,04% 2 161 $-174 337 Bajar ×1
Emisor desconocido (CUSIP: 92203j407) $284 526 0,04% 5 875 $28 419 Subir ×1
TD Toronto Dominion Bank (The) Common Stock $267 632 0,04% 2 204 $61 977
AB AllianceBernstein Holding L.P. Units $264 115 0,04% 7 499 $-16 648
JNJ Johnson & Johnson Common Stock $263 621 0,04% 1 038 $9 892
SO Southern Company (The) Common Stock $253 632 0,04% 2 650 $-2 146
AMD Advanced Micro Devices, Inc. - Common Stock $242 820 0,03% 418 Subir ×1
ORLY O'Reilly Automotive, Inc. - Common Stock $234 830 0,03% 2 550 $-561
DSI $218 569 0,03% 1 535
VWOB Vanguard Emerging Markets Government Bond ETF $213 689 0,03% 3 178 $4 926
CAT Caterpillar, Inc. Common Stock $212 980 0,03% 200 Subir ×1
SUB $208 894 0,03% 1 962 $-59
IBM International Business Machines Corporation Common Stock $208 658 0,03% 742
IYW $205 820 0,03% 816 Subir ×1

Mayores apuestas nuevas

Nuevas posiciones abiertas este trimestre, las mayores primero.

Valor Valor Acciones % de la cartera
SMERY $6 520 961 170 974 0,91%
MU $525 202 455 0,07%
AMD $242 820 418 0,03%
DSI $218 569 1 535 0,03%
CAT $212 980 200 0,03%
IBM $208 658 742 0,03%
IYW $205 820 816 0,03%

Principales movimientos (trimestre a trimestre)

Valor Movimiento Acciones Δ Valor Δ
KR Reducido -105K -$9.1M
CRWD Reducido -7K +$7.3M
COST Reducido -5K -$6.3M
ASML Reducido -1K +$5.8M
GOOG Reducido -4K +$5.0M
DDOG Reducido -18K +$4.9M
NFLX Reducido -17K -$4.8M
CL Reducido -56K -$4.3M
TJX Reducido -18K -$4.2M
UL Reducido -74K -$3.7M

Posiciones cerradas

Incluye eventos corporativos (fusiones, exclusiones de cotización) — no todas las salidas son ventas

Las posiciones cerradas reflejan cambios en los informes 13F; para los gestores de índices, estos suelen ser mecánicos (exclusión de cotización, fusiones y adquisiciones, reequilibrio de índices), no decisiones activas.

ValorTrimestre Acciones anteriores Valor anterior Precio desde la eliminación
HDB 30 de junio de 2026 318 597 $7 926 697 -8,9%
TELFY 30 de junio de 2026 53 575 $232 516 Ya no se rastrea
GSK 30 de junio de 2026 3 647 $201 278 -1,3%