C000071458 Holdings — Domini Impact International Equity Fund

All 149 reported holdings of Domini Impact International Equity Fund (C000071458) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Novartis AG3.35%$34.33M
Asml Holding NV2.92%$29.90M
Bnp Paribas SA2.38%$24.37M
Banco Santander SA2.38%$24.36M
Sony Group Corp.2.35%$24.07M
Vodafone Group PLC2.28%$23.34M
Recruit Holdings Co. Ltd.2.26%$23.17M
Deutsche Telekom AG2.22%$22.75M
Sanofi SA2.12%$21.73M
Fortescue Ltd.2.06%$21.05M
Abb Ltd. (ch)2.04%$20.84M
Barclays PLC1.80%$18.44M
Dbs Group Holdings Ltd.1.79%$18.33M
Credit Agricole SA1.75%$17.89M
Abn Amro Bank NV1.70%$17.37M
Societe Generale SA1.69%$17.27M
Nn Group NV1.63%$16.71M
Telefonaktiebolaget Lm Ericsson1.59%$16.25M
Sompo Holdings, Inc.1.59%$16.23M
Hoya Corp.1.56%$15.95M
Intercontinental Hotels Group PLC1.54%$15.75M
Assa Abloy Ab1.44%$14.72M
Singapore Exchange Ltd.1.38%$14.14M
Deutsche Post AG1.37%$14.06M
Mercedes-Benz Group AG1.37%$14.00M
Aercap Holdings NV1.37%$14.00M
Panasonic Holdings Corp.1.24%$12.75M
Qbe Insurance Group Ltd.1.17%$11.99M
Astrazeneca PLC1.17%$11.94M
Klepierre SA1.16%$11.86M
Fast Retailing Company Ltd.1.11%$11.32M
Aisin Corp.1.11%$11.31M
Lasertec Corp.1.05%$10.71M
Csl Ltd.1.01%$10.35M
Sandvik Ab1.00%$10.22M
Murata Manufacturing Company Ltd.0.95%$9.68M
Vat Group AG0.90%$9.17M
Next PLC0.87%$8.93M
Unibail-Rodamco-Westfield SE0.87%$8.86M
Galderma Group AG0.83%$8.51M
Ucb SA0.82%$8.42M
Central Japan Railway Company0.82%$8.41M
Tower Semiconductor Ltd.0.78%$7.95M
Nsk Ltd.0.78%$7.94M
Kobe Bussan Company Ltd.0.77%$7.84M
Asahi Intecc Company Ltd.0.76%$7.81M
Koninklijke Ahold Delhaize NV0.74%$7.59M
Sap SE0.72%$7.42M
Relx PLC0.72%$7.40M
Tokyo Electron Ltd.0.72%$7.32M
3i Group PLC0.71%$7.27M
Talanx AG0.70%$7.20M
Industrivarden Ab0.70%$7.13M
Makita Corp.0.69%$7.07M
Trend Micro, Inc.0.69%$7.02M
Hera - Holding Energia Risorse Ambiente Spa0.66%$6.77M
Prysmian Spa0.66%$6.73M
Compagnie Financiere Richemont SA0.64%$6.54M
Daiwa House Industry Co. Ltd.0.64%$6.53M
Orkla Asa0.64%$6.51M
Cathay Pacific Airways Ltd.0.61%$6.25M
Siemens Energy AG0.61%$6.23M
United Overseas Bank Ltd.0.60%$6.09M
Henkel AG & Co. Kgaa0.58%$5.93M
Renesas Electronics Corp.0.56%$5.78M
Unipol Assicurazioni Spa0.53%$5.44M
Skf Ab0.53%$5.42M
Tmbthanachart Bank Pcl0.52%$5.30M
Gea Group AG0.49%$4.98M
Mapfre SA0.48%$4.92M
Endeavour Mining PLC0.47%$4.81M
China Life Insurance Company Ltd.0.46%$4.73M
Evergreen Marine Corp. (taiwan) Ltd.0.46%$4.72M
Knorr Bremse AG0.46%$4.67M
Nexon Co. Ltd.0.45%$4.62M
Ipsen SA0.44%$4.50M
Seiko Epson Corp.0.43%$4.45M
Db Insurance Co. Ltd.0.43%$4.36M
Singapore Airlines Ltd.0.40%$4.09M
Woori Financial Group, Inc.0.39%$3.95M
Ing Groep NV0.38%$3.85M
Carrefour SA0.38%$3.85M
Unicharm Corp.0.37%$3.84M
Pan Pacific International Holdings Corp.0.36%$3.65M
Atlas Copco Ab0.35%$3.58M
Delta Electronics, Inc.0.31%$3.15M
Banco Bilbao Vizcaya Argentaria SA0.30%$3.06M
Kasikornbank Pcl0.30%$3.06M
Nabtesco Corp.0.30%$3.03M
Sumitomo Mitsui Trust Group, Inc.0.29%$2.99M
Vestas Wind Systems A/s0.29%$2.95M
Pls Group Ltd.0.28%$2.91M
Fanuc Corp.0.27%$2.73M
Gruma Sab De Cv0.26%$2.69M
Konica Minolta, Inc.0.26%$2.68M
Coca-Cola Bottlers Japan Holdings, Inc.0.26%$2.63M
Umicore SA0.25%$2.57M
Sumitomo Realty & Development Co. Ltd.0.25%$2.53M
Enagas SA0.24%$2.48M
Hachijuni Nagano Bank Ltd.0.23%$2.32M
Norsk Hydro Asa0.22%$2.27M
Advantest Corp.0.21%$2.19M
Nippon Shinyaku Co. Ltd.0.20%$2.10M
Kioxia Holdings Corp.0.20%$2.03M
Ibiden Co. Ltd.0.20%$2.02M
Nordex SE0.19%$1.96M
Wolters Kluwer NV0.18%$1.83M
Voestalpine AG0.18%$1.81M
Gecina SA0.17%$1.69M
Stmicroelectronics NV0.16%$1.68M
Mediatek, Inc.0.15%$1.49M
Amundi SA0.14%$1.44M
Monday.com Ltd.0.14%$1.42M
Kenedix Office Investment Corp.0.14%$1.41M
Amrize AG0.14%$1.40M
Gedeon Richter PLC0.13%$1.29M
Aspeed Technology, Inc.0.12%$1.25M
Toto Ltd.0.11%$1.17M
Industrial Bank Of Korea0.11%$1.15M
Brother Industries Ltd.0.11%$1.11M
Unimicron Technology Corp.0.10%$1.02M
Accelleron Industries AG0.09%$971.73K
Swire Pacific Ltd.0.09%$925.79K
Be Semiconductor Industries NV0.09%$894.34K
Gsk PLC0.08%$832.87K
Guangdong Investment Ltd.0.08%$774.85K
Italgas Spa0.07%$750.79K
Tieto Oyj0.07%$724.53K
Swedish Orphan Biovitrum Ab0.07%$665.34K
Telefonica Brasil SA0.05%$561.30K
Covivio SA0.05%$549.42K
Nestle' Sa/ag0.05%$511.35K
Sandoz Group AG0.05%$472.15K
Novo Nordisk A/s0.00%$16.93K
Unilever PLC0.00%$13.36K
Essity Ab0.00%$9.24K
H&m Hennes & Mauritz Ab0.00%$8.86K
Shiseido Co. Ltd.0.00%$5.93K
Kering SA0.00%$5.94K
Adidas AG0.00%$6.11K
L'air Liquide SA0.00%$5.12K
Corporacion Acciona Energias Renovables SA0.00%$5.26K
L'oreal SA0.00%$5.34K
Burberry Group PLC0.00%$5.03K
Industria De Diseno Textil SA0.00%$5.22K
Evonik Industries AG0.00%$5.42K
Grupo Bimbo Sab De Cv0.00%$4.21K
Banco Do Brasil SA0.00%$3.53K
Kose Holdings Corp.0.00%$3.56K

C000071458 overview: performance, fees, allocation and SEC filings