Boston Trust Walden Corp

Holdings as of 2026-06-30, filed 2026-07-24

This is history, not a current position. These holdings describe 2026-06-30, and the report became public 24 days later. The portfolio has changed since.

Aggregates

computed from the positions below
Positions reported
620
Value reported by manager
$13.1B
Sum of our stored positions
$13.1B
should match the line above
Disclosure lag
24 d
quarter end to filing
Top 5 concentration
11.5%
of the positions shown
New positions
0
vs previous quarter
Exited
0
vs previous quarter
Option positions
0
puts and calls

Positions

200 largest shown
IssuerClassValueSharesTypeCUSIP
APPLE INCCOMMON STOCK$315.5M1,090,354037833100
MICROSOFT CORPCOMMON STOCK$265.4M711,557594918104
ALPHABET INC-ACOMMON STOCK$213M595,95602079K305
ALPHABET INC-CL CCOMMON STOCK$195.7M553,87602079K107
NVIDIA CORPCOMMON STOCK$171.5M856,91267066G104
JPMORGAN CHASE & COCOMMON STOCK$163.7M500,02946625H100
APPLIED MATERIALS, INC.COMMON STOCK$115.8M160,107038222105
VISA INCCOMMON STOCK$111M323,50492826C839
DONALDSON CO INCCOMMON STOCK$107.9M1,202,183257651109
APPLE INCCOMMON STOCK$104.8M362,205037833100
JOHNSON & JOHNSONCOMMON STOCK$102.5M403,618478160104
HUBBELL INCCOMMON STOCK$102.2M195,408443510607
APTARGROUP INCCOMMON STOCK$100.4M801,782038336103
CISCO SYSTEMS INCCOMMON STOCK$98.7M840,43217275R102
MICROSOFT CORPCOMMON STOCK$93.2M249,748594918104
COSTCO WHOLESALE CORPCOMMON STOCK$86M91,89122160K105
APPLIED INDUSTRIAL TECH INCCOMMON STOCK$84.7M250,56603820C105
KLA-TENCOR CORPORATIONCOMMON STOCK$84.5M280,190482480100
WATTS WATER TECHNOLOGIES-ACOMMON STOCK$84.5M215,897942749102
CINCINNATI FINANCIAL CORPCOMMON STOCK$84.4M455,602172062101
NVIDIA CORPCOMMON STOCK$81.2M405,78567066G104
LITTELFUSE INCCOMMON STOCK$81M177,899537008104
QUALYS INCCOMMON STOCK$79.5M577,99074758T303
ALPHABET INC-ACOMMON STOCK$77.4M216,47002079K305
JPMORGAN CHASE & COCOMMON STOCK$74.1M226,51246625H100
DEERE & COCOMMON STOCK$74.1M116,743244199105
GLOBUS MEDICAL INC-ACOMMON STOCK$73.6M932,003379577208
METTLER-TOLEDO INTERNATIONALCOMMON STOCK$73.4M57,447592688105
COMMERCE BANCSHARES INCCOMMON STOCK$71.6M1,239,250200525103
ROSS STORES INCCOMMON STOCK$69.8M327,992778296103
STRYKER CORPCOMMON STOCK$68.4M217,344863667101
CHUBB LTDCOMMON STOCK$67.8M199,025H1467J104
AUTOMATIC DATA PROCESSINGCOMMON STOCK$66.7M297,869053015103
ALPHABET INC-CL CCOMMON STOCK$66.5M188,18502079K107
BADGER METER INCCOMMON STOCK$64.7M435,741056525108
JAZZ PHARMACEUTICALS PLCCOMMON STOCK$64.1M266,050G50871105
CULLEN/FROST BANKERS INCCOMMON STOCK$63.4M410,496229899109
HUBBELL INCCOMMON STOCK$63.2M120,862443510607
APTARGROUP INCCOMMON STOCK$62.8M501,944038336103
WATTS WATER TECHNOLOGIES-ACOMMON STOCK$59.9M153,070942749102
APPLIED INDUSTRIAL TECH INCCOMMON STOCK$59.8M176,77903820C105
ACUITY INCCOMMON STOCK$59.4M157,59200508Y102
INTERNATIONAL BANCSHARES CRPCOMMON STOCK$58.9M775,012459044103
CHOICE HOTELS INTL INCCOMMON STOCK$58M526,380169905106
DONALDSON CO INCCOMMON STOCK$57.8M644,424257651109
ANTERO MIDSTREAM CORPCOMMON STOCK$57.6M2,530,08503676B102
NETAPP INCCOMMON STOCK$56.9M367,38364110D104
UNION PACIFIC CORPCOMMON STOCK$56.5M207,772907818108
QUALYS INCCOMMON STOCK$55.9M406,89974758T303
ESSENTIAL UTILS INCCOMMON STOCK$55.4M1,444,89729670G102
CHEMED CORPCOMMON STOCK$55.2M118,62816359R103
CAVCO INDUSTRIES INCCOMMON STOCK$55M89,495149568107
LITTELFUSE INCCOMMON STOCK$54.8M120,428537008104
SNAP ON INCCOMMON STOCK$54.8M136,091833034101
LINCOLN ELECTRIC HOLDINGSCOMMON STOCK$54.7M206,184533900106
SPROUTS FARMERS MARKET INCCOMMON STOCK$54.2M640,39785208M102
NORDSON CORPORATIONCOMMON STOCK$53.7M178,083655663102
STAG INDUSTRIAL INCCOMMON STOCK$53.7M1,410,67485254J102
AMERICAN EXPRESS COCOMMON STOCK$53.4M157,756025816109
IDEX CORP COMCOMMON STOCK$53M233,55745167R104
CINCINNATI FINANCIAL CORPCOMMON STOCK$52.2M281,709172062101
A10 NETWORKS INCCOMMON STOCK$51.9M1,390,249002121101
SEI INVESTMENTS COMPANYCOMMON STOCK$51.5M587,615784117103
APPLIED MATERIALS, INC.COMMON STOCK$51.4M71,030038222105
GLOBUS MEDICAL INC-ACOMMON STOCK$50.7M641,358379577208
UFP TECHNOLOGIES INCCOMMON STOCK$50.5M190,583902673102
COMMERCE BANCSHARES INCCOMMON STOCK$50.5M874,765200525103
PEPSICO INCCOMMON STOCK$50.3M371,722713448108
MEDPACE HOLDINGS INCCOMMON STOCK$50.1M94,66358506Q109
HALOZYME THERAPEUTICS INCCOMMON STOCK$49.9M637,83240637H109
CULLEN/FROST BANKERS INCCOMMON STOCK$49.7M321,835229899109
VISA INCCOMMON STOCK$49.1M143,12892826C839
PROCTER & GAMBLE CO/THECOMMON STOCK$48.6M331,323742718109
JONES LANG LASALLE INCCOMMON STOCK$47.8M154,08648020Q107
WW GRAINGER INCCOMMON STOCK$47.7M35,038384802104
SYSCO CORPCOMMON STOCK$47.4M567,609871829107
ALLEGION PLCCOMMON STOCK$46.8M333,414G0176J109
ONE GAS INCCOMMON STOCK$46.6M605,29168235P108
CHARLES RIVER LABORATORIES INTCOMMON STOCK$46.5M205,066159864107
F5 INCCOMMON STOCK$46.4M111,485315616102
BJ'S WHOLESALE CLUB HOLDINGSCOMMON STOCK$45.7M524,06805550J101
JOHNSON & JOHNSONCOMMON STOCK$45M177,215478160104
EXPEDITORS INTL WASH INCCOMMON STOCK$43.8M268,557302130109
BADGER METER INCCOMMON STOCK$43.5M293,220056525108
MAGNOLIA OIL & GAS CORPCOMMON STOCK$43.4M1,696,777559663109
MERCK & CO INC NEWCOMMON STOCK$43M334,90258933Y105
IDACORP INCCOMMON STOCK$42.9M283,601451107106
JAZZ PHARMACEUTICALS PLCCOMMON STOCK$42.7M177,073G50871105
ACUITY INCCOMMON STOCK$42.6M113,05000508Y102
POWER INTEGRATIONS INCCOMMON STOCK$42.5M507,870739276103
VERALTO CORPCOMMON STOCK$42.1M474,59892338C103
ORACLE CORPCOMMON STOCK$42.1M287,12768389X105
AMERICAN FINANCIAL GROUP INCCOMMON STOCK$41.7M297,814025932104
UNITED HEALTH GROUP INCCOMMON STOCK$41.2M99,09791324P102
CHOICE HOTELS INTL INCCOMMON STOCK$41.1M372,550169905106
CAVCO INDUSTRIES INCCOMMON STOCK$40.7M66,218149568107
NORTHERN TRUST CORPORATIONCOMMON STOCK$40.5M233,019665859104
INTERNATIONAL BANCSHARES CRPCOMMON STOCK$40.4M531,593459044103
RPM INTERNATIONAL INCCOMMON STOCK$40.2M361,409749685103
ILLINOIS TOOL WORKSCOMMON STOCK$39.5M146,037452308109
STAG INDUSTRIAL INCCOMMON STOCK$39.2M1,029,80585254J102
ESSENTIAL UTILS INCCOMMON STOCK$39M1,018,56429670G102
WILLIAMS-SONOMA INCCOMMON STOCK$38.7M166,032969904101
UFP TECHNOLOGIES INCCOMMON STOCK$38.6M145,695902673102
CHEMED CORPCOMMON STOCK$38.5M82,64716359R103
VANGUARD S&P 500 ETFETF - EQ$38.4M55,859922908363
A10 NETWORKS INCCOMMON STOCK$38.4M1,026,559002121101
NETAPP INCCOMMON STOCK$38.3M247,69164110D104
STERIS PLCCOMMON STOCK$38.3M182,004G8473T100
AXCELIS TECHNOLOGIES INCCOMMON STOCK$38M200,744054540208
VANGUARD ESG INTL STOCK ETFETF - INTL$37.9M460,280921910725
SPROUTS FARMERS MARKET INCCOMMON STOCK$37.6M444,63385208M102
ON SEMICONDUCTOR CORPORATIONCOMMON STOCK$37.1M392,306682189105
TEXAS ROADHOUSE INCCOMMON STOCK$36.8M190,569882681109
AUTOZONE INCCOMMON STOCK$36.7M11,494053332102
CISCO SYSTEMS INCCOMMON STOCK$36.1M307,10017275R102
IDEX CORP COMCOMMON STOCK$35.5M156,63845167R104
SEI INVESTMENTS COMPANYCOMMON STOCK$35.4M403,685784117103
FACTSET RESH SYS INCCOMMON STOCK$34.9M151,812303075105
HALOZYME THERAPEUTICS INCCOMMON STOCK$34.8M445,23040637H109
SNAP ON INCCOMMON STOCK$34.8M86,590833034101
PLEXUS CORPCOMMON STOCK$34.8M115,692729132100
NORDSON CORPORATIONCOMMON STOCK$34.8M115,298655663102
DYNATRACE INCCOMMON STOCK$34.7M790,775268150109
ACCENTURE PLC-CL ACOMMON STOCK$34.6M278,255G1151C101
METTLER-TOLEDO INTERNATIONALCOMMON STOCK$34.4M26,939592688105
VALMONT INDUSTRIESCOMMON STOCK$34M58,925920253101
ONE GAS INCCOMMON STOCK$33.9M440,15368235P108
CHUBB LTDCOMMON STOCK$33.9M99,366H1467J104
JONES LANG LASALLE INCCOMMON STOCK$33.3M107,53448020Q107
LOWES COS INCCOMMON STOCK$33.2M150,547548661107
AMAZON.COM INCCOMMON STOCK$32.9M138,008023135106
CBOE HOLDINGS INCCOMMON STOCK$32.9M135,37312503M108
BROADCOM LTDCOMMON STOCK$32.4M85,74311135F101
BALL CORPCOMMON STOCK$32.3M517,949058498106
MEDPACE HOLDINGS INCCOMMON STOCK$32.2M60,85458506Q109
EAST WEST BANCORP INCCOMMON STOCK$31.9M247,19127579R104
TE CONNECTIVITY LTDCOMMON STOCK$31.7M157,320G87052109
ATMOS ENERGY CORPCOMMON STOCK$31.6M183,667049560105
MORGAN STANLEYCOMMON STOCK$31.4M150,140617446448
POWER INTEGRATIONS INCCOMMON STOCK$31.4M374,601739276103
BJ'S WHOLESALE CLUB HOLDINGSCOMMON STOCK$31.3M358,87305550J101
ANALOG DEVICES INCCOMMON STOCK$31.2M78,671032654105
ALLEGION PLCCOMMON STOCK$31.2M222,081G0176J109
MASCO CORP COMCOMMON STOCK$31M380,632574599106
FORTINET INCCOMMON STOCK$30.5M198,41434959E109
SERVICE CORP INTERNATIONALCOMMON STOCK$30.2M398,153817565104
LAMAR ADVERTISING CO-ACOMMON STOCK$30M192,547512816109
AXCELIS TECHNOLOGIES INCCOMMON STOCK$30M158,512054540208
CAMDEN PROPERTY TRUSTCOMMON STOCK$30M261,860133131102
NEW YORK TIMES CO CL ACOMMON STOCK$29.8M425,536650111107
AMERICAN FINANCIAL GROUP INCCOMMON STOCK$29.7M211,995025932104
LANDSTAR SYSTEM INCCOMMON STOCK$29.6M143,234515098101
AVERY DENNISON CORPCOMMON STOCK$29.5M181,564053611109
BOOKING HLDGS INCCOMMON STOCK$28.6M160,54509857L108
JACK HENRY & ASSOCIATES INCCOMMON STOCK$28.6M207,742426281101
LINDE PLCCOMMON STOCK$28.5M54,860G54950103
META PLATFORMS INCCOMMON STOCK$28.4M50,40230303M102
EXPEDITORS INTL WASH INCCOMMON STOCK$28.3M173,578302130109
ZIMMER BIOMET HOLDINGS INCCOMMON STOCK$28.1M326,02798956P102
RPM INTERNATIONAL INCCOMMON STOCK$28M252,075749685103
EVERSOURCE ENERGYCOMMON STOCK$27.9M385,81730040W108
HANOVER INSURANCE GROUP INCCOMMON STOCK$27.8M129,936410867105
IDACORP INCCOMMON STOCK$27.8M183,764451107106
PLEXUS CORPCOMMON STOCK$27.8M92,332729132100
F5 INCCOMMON STOCK$27.4M65,895315616102
KLA-TENCOR CORPORATIONCOMMON STOCK$27.1M89,950482480100
QUALCOMM INCCOMMON STOCK$27M146,109747525103
GENUINE PARTS COCOMMON STOCK$27M228,631372460105
VERALTO CORPCOMMON STOCK$27M304,06992338C103
LENNOX INTL INCCOMMON STOCK$27M47,055526107107
UNITED PARCEL SERVICE-CL BCOMMON STOCK$26.7M248,778911312106
MATADOR RESOURCES COCOMMON STOCK$25.9M520,418576485205
BLACKROCK, INC.COMMON STOCK$25.9M26,92909290D101
THERMO FISHER SCIENTIFIC INCCOMMON STOCK$25.9M51,578883556102
TOPBUILD CORPCOMMON STOCK$25.8M72,89889055F103
MSC INDUSTRIAL DIRECT CO-ACOMMON STOCK$25.4M213,901553530106
WILLIAMS-SONOMA INCCOMMON STOCK$25.4M109,120969904101
WATERS CORPCOMMON STOCK$25.3M67,365941848103
TE CONNECTIVITY LTDCOMMON STOCK$25.2M124,962G87052109
META PLATFORMS INCCOMMON STOCK$25.2M44,71030303M102
EVERCORE PARTNERS INC-CL ACOMMON STOCK$24.9M73,05929977A105
STERIS PLCCOMMON STOCK$24.9M118,446G8473T100
VALMONT INDUSTRIESCOMMON STOCK$24.8M43,020920253101
UNION PACIFIC CORPCOMMON STOCK$24.7M90,885907818108
CUBESMARTCOMMON STOCK$24.7M619,948229663109
TEXAS ROADHOUSE INCCOMMON STOCK$24.3M125,989882681109
BERKSHIRE HATHAWAY INC DEL CLCOMMON STOCK$24.2M48,337084670702
HAEMONETICS CORP/MASSCOMMON STOCK$24.2M322,273405024100
STRYKER CORPCOMMON STOCK$24M76,245863667101
MSC INDUSTRIAL DIRECT CO-ACOMMON STOCK$24M201,539553530106
PAYCOM SOFTWARE INCCOMMON STOCK$24M190,62770432V102
FRANKLIN ELECTRIC CO INCCOMMON STOCK$24M223,481353514102
EATON CORPORATIONCOMMON STOCK$23.9M56,086G29183103
LINCOLN ELECTRIC HOLDINGSCOMMON STOCK$23.7M89,427533900106
PRICESMART INCCOMMON STOCK$23.5M120,529741511109
AMAZON.COM INCCOMMON STOCK$23.5M98,560023135106
WW GRAINGER INCCOMMON STOCK$23.3M17,115384802104
DISNEY (WALT) COCOMMON STOCK$23.3M241,728254687106
LANDSTAR SYSTEM INCCOMMON STOCK$23.2M112,191515098101
Values are shown exactly as filed. Before 2023 managers reported in thousands of dollars and afterwards in whole dollars; the reporting unit is not always determinable from the document, so nothing is converted automatically.

Source: U.S. Securities and Exchange Commission, Form 13F · as of 2026-07-24