BPGSX Holdings — Boston Partners Global Sustainability Fund

All 87 reported holdings of Boston Partners Global Sustainability Fund (BPGSX) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Spie SA2.81%$290.84K
Sumitomo Mitsui Financial Grou2.37%$245.09K
Marks & Spencer Group PLC2.37%$244.84K
Cie de Saint-Gobain SA2.21%$228.06K
Informa PLC2.15%$222.16K
Rexel SA2.10%$216.51K
Cencora Inc2.07%$213.61K
Bank of America Corp2.04%$211.17K
U.S. Bank Money Market Deposit Account2.01%$207.22K
Sandoz Group AG1.99%$205.49K
Banco Santander SA1.95%$202.01K
AIB Group PLC1.92%$198.20K
Imi PLC1.88%$194.39K
Gen Digital Inc1.86%$192.58K
KT Corp1.82%$188.56K
Keysight Technologies Inc1.81%$187.06K
Babcock International Group PL1.65%$170.30K
Italgas SpA1.62%$167.36K
Capgemini SE1.61%$166.55K
Danske Bank A/S1.61%$165.86K
Allstate Corp/The1.58%$163.78K
JPMorgan Chase & Co1.57%$162.18K
ABN AMRO Bank NV1.56%$161.45K
LPL Financial Holdings Inc1.56%$160.93K
Alten SA1.48%$152.83K
Weir Group PLC/The1.47%$151.48K
AstraZeneca PLC1.39%$143.88K
Novartis AG1.34%$138.16K
NatWest Group PLC1.33%$137.41K
DNOW Inc1.31%$135.36K
Prudential PLC1.31%$135.05K
AbbVie Inc1.29%$133.66K
McKesson Corp1.26%$130.41K
Microchip Technology Inc1.24%$128.06K
US Foods Holding Corp1.22%$126.19K
Huntington Bancshares Inc/OH1.21%$124.56K
GE HealthCare Technologies Inc1.12%$115.43K
Old Dominion Freight Line Inc1.10%$114.18K
Cigna Group/The1.09%$112.58K
Seagate Technology Holdings PL1.06%$109.57K
Booking Holdings Inc1.05%$108.12K
Hiscox Ltd1.02%$105.00K
Samsung Fire & Marine Insuranc1.01%$104.44K
American Express Co1.01%$104.10K
Labcorp Holdings Inc0.99%$102.41K
Tesco PLC0.99%$102.34K
America Movil SAB de CV0.99%$101.90K
Textron Inc0.98%$101.46K
Vallourec SACA0.97%$100.46K
Visteon Corp0.97%$100.26K
Amgen Inc0.97%$100.18K
Hana Financial Group Inc0.95%$98.24K
Koninklijke Ahold Delhaize NV0.95%$97.82K
Saipem SpA0.95%$97.74K
Beazley PLC0.91%$94.38K
Chubb Ltd0.91%$94.19K
Fuji Electric Co Ltd0.88%$90.75K
Centene Corp0.86%$88.44K
Hikma Pharmaceuticals PLC0.85%$87.93K
Aptiv PLC0.83%$85.77K
Emerson Electric Co0.77%$79.76K
Eiffage SA0.71%$73.79K
Stanley Electric Co Ltd0.70%$72.44K
Abercrombie & Fitch Co0.69%$71.45K
SMC Corp0.68%$70.35K
Airbus SE0.68%$70.32K
Louisiana-Pacific Corp0.63%$65.03K
TE Connectivity PLC0.59%$60.83K
Eurazeo SE0.58%$59.43K
KB Financial Group Inc0.56%$57.92K
Melrose Industries PLC0.56%$57.35K
BAE Systems PLC0.55%$56.71K
Applied Materials Inc0.54%$56.00K
BNP Paribas SA0.51%$53.17K
Nomad Foods Ltd0.51%$52.36K
Merck KGaA0.50%$51.76K
Ball Corp0.49%$51.02K
Arrow Electronics Inc0.49%$50.98K
Andritz AG0.48%$49.59K
Renesas Electronics Corp0.48%$49.53K
Lancashire Holdings Ltd0.44%$45.29K
Cars.com Inc0.43%$44.20K
Asahi Group Holdings Ltd0.43%$44.08K
Primo Brands Corp0.41%$42.17K
Alphabet Inc0.39%$40.02K
Kyocera Corp0.28%$28.75K
AutoZone Inc0.27%$27.68K

BPGSX overview: performance, fees, allocation and SEC filings