Institution Information
Reportee Signature Date Report period Total Entries Total Value($)
IMPAX ASSET MANAGEMENT GROUP PLC 08-13-2019 06-30-2019 273 7,697,804,000
Institutional Holdings
Issuer Class Position Value Shares Portfolio Percentage (%) Previous Percentage (%) Shares Delta Shares Delta(%)
Xylem Inc/NY Common Stock 1 $352,426,000 4,213,604 4.58 4.76 -163,920 -3.74
Trimble Inc Common Stock 2 $265,780,000 5,891,811 3.45 3.39 -197,211 -3.24
Pentair PLC Common Stock 3 $259,091,000 6,964,821 3.37 3.05 1,979,216 39.70
American Water Works Co Inc Common Stock 4 $254,435,000 2,193,408 3.31 3.44 -206,695 -8.61
Agilent Technologies Inc Common Stock 5 $236,455,000 3,166,667 3.07 2.77 667,383 26.70
Danaher Corp Common Stock 6 $235,396,000 1,647,046 3.06 3.03 -20,730 -1.24
IDEX Corp Common Stock 7 $234,159,000 1,360,284 3.04 2.81 12,822 0.95
Ecolab Inc Common Stock 8 $208,855,000 1,057,817 2.71 3.60 -424,449 -28.64
Watts Water Technologies Inc Common Stock 9 $180,447,000 1,936,538 2.34 2.64 -440,134 -18.52
AO Smith Corp Common Stock 10 $180,066,000 3,818,189 2.34 2.84 -56,477 -1.46
PTC Inc Common Stock 11 $149,538,000 1,665,973 1.94 1.89 173,600 11.63
Itron Inc Common Stock 12 $146,197,000 2,336,543 1.90 1.70 -304,752 -11.54
Linde PLC Common Stock 13 $145,252,000 723,369 1.89 1.55 85,297 13.37
Welbilt Inc Common Stock 14 $142,440,000 8,529,334 1.85 1.82 464,398 5.76
Franklin Electric Co Inc Common Stock 15 $136,461,000 2,872,860 1.77 1.83 263,676 10.11
Waste Management Inc Common Stock 16 $132,252,000 1,146,326 1.72 1.53 74,325 6.93
Rexnord Corp Common Stock 17 $129,644,000 4,290,017 1.68 1.40 231,562 5.71
TE Connectivity Ltd Common Stock 18 $126,906,000 1,324,970 1.65 1.42 45,482 3.55
Ingersoll-Rand PLC Common Stock 19 $123,812,000 977,440 1.61 1.41 25,454 2.67
Advanced Drainage Systems Inc Common Stock 20 $117,735,000 3,590,575 1.53 1.31 -92,742 -2.52
Sealed Air Corp Common Stock 21 $115,108,000 2,690,688 1.50 1.75 -76,963 -2.78
Aptiv PLC Common Stock 22 $113,280,000 1,401,462 1.47 1.34 180,387 14.77
Valmont Industries Inc Common Stock 23 $112,304,000 885,612 1.46 1.32 150,115 20.41
Mueller Water Products Inc Common Stock 24 $110,189,000 11,220,838 1.43 1.25 2,177,793 24.08
Toro Co/The Common Stock 25 $107,769,000 1,610,894 1.40 1.43 102,218 6.78
Westrock Co Common Stock 26 $106,922,000 2,931,787 1.39 1.20 663,154 29.23
Rayonier Inc REIT 27 $101,511,000 3,350,211 1.32 1.15 691,355 26.00
Aqua America Inc Common Stock 28 $100,986,000 2,441,042 1.31 1.35 -240,606 -8.97
Generac Holdings Inc Common Stock 29 $93,862,000 1,352,289 1.22 0.72 326,138 31.78
Ormat Technologies Inc Common Stock 30 $92,546,000 1,459,952 1.20 1.33 -294,764 -16.80
Hubbell Inc Common Stock 31 $87,822,000 673,481 1.14 0.98 69,570 11.52
Cia de Saneamento Basico do Es ADR 32 $83,423,000 6,854,806 1.08 0.99 55,463 0.82
Waters Corp Common Stock 33 $80,658,000 374,737 1.05 1.02 80,450 27.34
Badger Meter Inc Common Stock 34 $80,099,000 1,341,918 1.04 1.01 24,465 1.86
Power Integrations Inc Common Stock 35 $78,155,000 974,745 1.02 1.05 -114,421 -10.51
SPX FLOW Inc Common Stock 36 $77,595,000 1,853,675 1.01 0.79 52,952 2.94
Microsoft Corp Common Stock 37 $77,275,000 576,852 1.00 0.89 29,800 5.45
Pool Corp Common Stock 38 $76,603,000 401,065 1.00 0.91 -649 -0.16
Lindsay Corp Common Stock 39 $71,965,000 875,379 0.93 0.98 141,988 19.36
Sensata Technologies Holding P Common Stock 40 $69,822,000 1,424,936 0.91 0.75 217,835 18.05
Autodesk Inc Common Stock 41 $66,754,000 409,783 0.87 0.88 1,775 0.44
Clean Harbors Inc Common Stock 42 $56,636,000 796,575 0.74 0.75 30,444 3.97
Lennox International Inc Common Stock 43 $55,793,000 202,883 0.72 0.89 -41,633 -17.03
Flowserve Corp Common Stock 44 $53,929,000 1,023,513 0.70 0.58 91,426 9.81
PerkinElmer Inc Common Stock 45 $53,818,000 558,628 0.70 0.74 -738 -0.13
Visa Inc Common Stock 46 $48,837,000 281,398 0.63 0.60 2,871 1.03
Darling Ingredients Inc Common Stock 47 $46,086,000 2,317,038 0.60 0.58 368,743 18.93
Donaldson Co Inc Common Stock 48 $42,893,000 843,350 0.56 0.56 35,926 4.45
Hollysys Automation Technologi Common Stock 49 $39,753,000 2,092,280 0.52 0.75 -499,296 -19.27
SunPower Corp Common Stock 50 $38,596,000 3,610,502 0.50 0.38 -643,588 -15.13
3M Co Common Stock 51 $38,538,000 222,326 0.50 0.59 17,261 8.42
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