Institution Information
Reportee Signature Date Report period Total Entries Total Value($)
DOMINI IMPACT INVESTMENTS LLC 08-13-2019 06-30-2019 22 7,209,000
Institutional Holdings
Issuer Class Position Value Shares Portfolio Percentage (%) Previous Percentage (%) Shares Delta Shares Delta(%)
Universal Display Corporation common 1 $577,000 3,069 8.00 7.23 -10 -0.32
Square Inc. class A 2 $464,000 6,400 6.44 9.31 -1,706 -21.05
First Solar, Inc. common 3 $454,000 6,908 6.30 5.62 -21 -0.30
Atlassian Corporation PLC class A 4 $414,000 3,162 5.74 7.06 -930 -22.73
Federal Agricultural Mortgage Corporation Class C 5 $402,000 5,530 5.58 5,530 +Inf
Cree, Inc. common 6 $400,000 7,114 5.55 8.02 -2,019 -22.11
Autodesk, Inc. common 7 $392,000 2,409 5.44 5.77 -7 -0.29
Dexcom Inc. common 8 $381,000 2,541 5.29 4.66 -8 -0.31
Itron, Inc. common 9 $379,000 6,060 5.26 4.36 -18 -0.30
Ameresco Inc. class A 10 $349,000 23,694 4.84 5.91 -73 -0.31
Amalgamated Bank New York Class A 11 $302,000 17,327 4.19 17,327 +Inf
Acuity Brands Inc. common 12 $291,000 2,112 4.04 2,112 +Inf
Weight Watchers International Inc. common Liquidated $0 0 5.84 3,094 +Inf
Teladoc Health Inc. common 14 $286,000 4,304 3.97 3.68 -13 -0.30
Hologic Inc. common 15 $283,000 5,888 3.93 4.39 -18 -0.30
2U, Inc. common 16 $269,000 7,156 3.73 5.58 2,020 39.33
OraSure Technologies, Inc. common 17 $254,000 27,417 3.52 3.04 9,650 54.31
Sunrun Inc. common 18 $250,000 13,303 3.47 2.88 -41 -0.31
BioTelemetry Inc. common Liquidated $0 0 3.79 4.78 -20 -0.50
Pluralsight Inc. class A Liquidated $0 0 3.73 7,644 +Inf
Pluralsight, Inc. Class A 21 $231,000 7,621 3.20 7,621 +Inf
Tesla Inc. common Liquidated $0 0 4.63 690 +Inf
Blackbaud Inc. common 23 $228,000 2,732 3.16 3.34 -8 -0.29
Seattle Genetics Inc. common 24 $215,000 3,111 2.98 3.51 -9 -0.29
SunPower Corp. common 25 $198,000 18,516 2.75 1.86 -57 -0.31
Mitek Systems, Inc. common new 26 $190,000 19,079 2.64 3.59 -59 -0.31
SunOpta Inc. common Liquidated $0 0 2.67 3.47 5,843 13.14
Debug Info- Version: 1.9