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COM USD1 773903109 3972.0000000000 NS USD 1268656.8000000000 0.1106151770 Long EC CORP US N 1 N N N Roku Inc 549300KR6ITU0YIR1T71 Roku Inc COM USD0.0001 CLASS A 77543R102 4000.0000000000 NS USD 1219600.0000000000 0.1063378763 Long EC CORP US N 1 N N N Roper Technologies Inc 54930003T4SXCIWVXY35 Roper Technologies Inc COM USD0.01 776696106 3657.0000000000 NS USD 1784140.5900000000 0.1555606111 Long EC CORP US N 1 N N N S&P Global Inc Y6X4K52KMJMZE7I7MY94 S&P Global Inc COM USD1 78409V104 8398.0000000000 NS USD 3981995.6800000000 0.3471933126 Long EC CORP US N 1 N N N SBA Communications Corporation 5299001HX8ZN8Y8QIT49 SBA Communications Corporation COM USD0.01 CL A 78410G104 3707.0000000000 NS USD 1280138.3100000000 0.1116162588 Long EC CORP US N 1 N N N SSE Plc 549300KI75VYLLMSK856 SSE Plc SPON ADR REP 1 ORD GBP0.50 78467K107 36700.0000000000 NS USD 842265.0000000000 0.0734377430 Long EC CORP GB N 1 N N N Salesforce.com, Inc. RCGZFPDMRW58VJ54VR07 Salesforce.com, Inc. COM USD0.001 79466L302 31134.0000000000 NS USD 9330548.4600000000 0.8135378058 Long EC CORP US N 1 N N N Sanofi 549300E9PC51EN656011 Sanofi SPON ADR ECH REP 0.5 ORD SH 80105N105 75416.0000000000 NS USD 3803228.8800000000 0.3316064957 Long EC CORP FR N 1 N N N Henry Schein, Inc. VGO3WGL8H45T73F4RR92 Henry Schein, Inc. COM USD0.01 806407102 4800.0000000000 NS USD 366480.0000000000 0.0319536774 Long EC CORP US N 1 N N N Schneider Electric SE 969500A1YF1XUYYXS284 Schneider Electric SE UNSPON ADR EA REP 0.20 ORD 80687P106 97500.0000000000 NS USD 3362775.0000000000 0.2932029780 Long EC CORP FR N 1 N N N The Charles Schwab Corporation 549300VSGCJ7E698NM85 The Charles Schwab Corporation COM USD0.01 808513105 52278.0000000000 NS USD 4288364.3400000000 0.3739058353 Long EC CORP US N 1 N N N Seagen Inc N/A Seagen Inc COM 81181C104 37200.0000000000 NS USD 6559476.0000000000 0.5719258343 Long EC CORP US N 1 N N N Servicenow Inc 549300HJTQM36M0E1G39 Servicenow Inc COM USD0.001 81762P102 6900.0000000000 NS USD 4814544.0000000000 0.4197838507 Long EC CORP US N 1 N N N The Sherwin-Williams Company Z15BMIOX8DDH0X2OBP21 The Sherwin-Williams Company COM USD1 824348106 8392.0000000000 NS USD 2656991.1200000000 0.2316651304 Long EC CORP US N 1 N N N Shopify Inc 549300HGQ43STJLLP808 Shopify Inc COM NPV CL A 82509L107 3900.0000000000 NS USD 5720247.0000000000 0.4987528025 Long EC CORP CA N 1 N N N Siemens AG W38RGI023J3WT1HWRP32 Siemens AG SPON ADR REP 0.5 ORD SHS 826197501 55836.0000000000 NS USD 4561242.8400000000 0.3976983248 Long EC CORP DE N 1 N N N Simon Property Group Inc 529900GQL5X8H7AO3T64 Simon Property Group Inc COM USD0.0001 828806109 11400.0000000000 NS USD 1671012.0000000000 0.1456968411 Long EC CORP US N 1 N N N Smith(Ao)Corp 549300XG4US7UJNECY36 Smith(Ao)Corp COM USD1 831865209 4500.0000000000 NS USD 328815.0000000000 0.0286696366 Long EC CORP US N 1 N N N J.M. Smucker Company 5493000WDH6A0LHDJD55 J.M. Smucker Company COM NPV 832696405 3746.0000000000 NS USD 460233.5600000000 0.0401281235 Long EC CORP US N 1 N N N Snap-On Incorporated HHWAT5TDOYZMM26KKQ73 Snap-On Incorporated COM USD1 833034101 2000.0000000000 NS USD 406460.0000000000 0.0354395648 Long EC CORP US N 1 N N N Snowflake Inc 254900CJNSY1K7T53Z16 Snowflake Inc CL A 833445109 9100.0000000000 NS USD 3219944.0000000000 0.2807494316 Long EC CORP US N 1 N N N Softbank Group Corp 5493003BZYYYCDIO0R13 Softbank Group Corp UNSP ADR EACH REPR 0.5 ORD 83404D109 78173.0000000000 NS USD 2109889.2700000000 0.1839628929 Long EC CORP JP N 1 N N N Sony Group Corporation 529900R5WX9N2OI2N910 Sony Group Corporation SPON ADR EACH REPR 1 ORD 835699307 43155.0000000000 NS USD 4996917.4500000000 0.4356851342 Long EC CORP JP N 1 N N N Splunk Inc 549300XGDSGBP6UEI867 Splunk Inc COM USD0.001 848637104 5600.0000000000 NS USD 922992.0000000000 0.0804763932 Long EC CORP US N 1 N N N Square Inc 549300OHIIUWSTIZME52 Square Inc COM USD0.0000001 CL A 852234103 33998.0000000000 NS USD 8652491.0000000000 0.7544174464 Long EC CORP US N 1 N N N Stanley Black & Decker, Inc. 549300DJ09SMTO561131 Stanley Black & Decker, Inc. COM USD2.50 854502101 5654.0000000000 NS USD 1016193.4200000000 0.0886026978 Long EC CORP US N 1 N N N Starbucks Corporation OQSJ1DU9TAOC51A47K68 Starbucks Corporation COM USD0.001 855244109 40967.0000000000 NS USD 4345369.6900000000 0.3788761763 Long EC CORP US N 1 N N N Steel Dynamics, Inc. 549300HGGKEL4FYTTQ83 Steel Dynamics, Inc. COM STK USD0.01 858119100 6400.0000000000 NS USD 422912.0000000000 0.0368740275 Long EC CORP US N 1 N N N STMicroelectronics N.V. 213800Z8NOHIKRI42W10 STMicroelectronics N.V. SPON ADR EACH REP 1 ORD SHS 861012102 121938.0000000000 NS USD 5809126.3200000000 0.5065022598 Long EC CORP NL N 1 N N N Stryker Corporation 5493002F0SC4JTBU5137 Stryker Corporation COM USD0.10 863667101 11528.0000000000 NS USD 3067254.9600000000 0.2674363550 Long EC CORP US N 1 N N N Sunopta Inc 54930010CP0KEPPRPA40 Sunopta Inc COM NPV 8676EP108 317309.0000000000 NS USD 2462317.8400000000 0.2146914151 Long EC CORP CA N 1 N N N Sunrun Incorporation 54930007SJ77CI66U531 Sunrun Incorporation COM USD0.0001 86771W105 83938.0000000000 NS USD 4841543.8400000000 0.4221379878 Long EC CORP US N 1 N N N SYLVAMO CORPORATION 5493001AOYU1ZOWOC971 SYLVAMO CORPORATION COMMON STOCK 871332102 1245.0000000000 NS USD 35059.2000000000 0.0030568390 Long EC CORP US N 1 N N N Synopsys Inc QG7T915N9S0NY5UKNE63 Synopsys Inc COM USD0.01 871607107 5243.0000000000 NS USD 1746862.7400000000 0.1523103263 Long EC CORP US N 1 N N N Sysco Corporation 5RGWIFLMGH3YS7KWI652 Sysco Corporation COM USD1 871829107 16503.0000000000 NS USD 1269080.7000000000 0.1106521372 Long EC CORP US N 1 N N N The TJX Companies Inc. V167QI9I69W364E2DY52 The TJX Companies Inc. COM USD1 872540109 38700.0000000000 NS USD 2534463.0000000000 0.2209818079 Long EC CORP US N 1 N N N T-Mobile US, Inc. 549300QHIJYOHPACPG31 T-Mobile US, Inc. COM USD0.00001 872590104 20200.0000000000 NS USD 2323606.0000000000 0.2025970215 Long EC CORP US N 1 N N N Take-Two Interactive Software Inc. BOMSTHHJK882EWYX3334 Take-Two Interactive Software Inc. COM USD0.01 874054109 3981.0000000000 NS USD 720561.0000000000 0.0628262762 Long EC CORP US N 1 N N N Tapestry Inc 549300LJNVY5SW3VTN33 Tapestry Inc COM USD0.01 876030107 9300.0000000000 NS USD 362514.0000000000 0.0316078787 Long EC CORP US N 1 N N N Target Corporation 8WDDFXB5T1Z6J0XC1L66 Target Corporation COM STK USD0.0833 87612E106 17051.0000000000 NS USD 4426780.6200000000 0.3859744588 Long EC CORP US N 1 N N N Teladoc Health Inc 549300I2PVFBC9MFAC61 Teladoc Health Inc COM USD0.001 87918A105 26841.0000000000 NS USD 4015145.1900000000 0.3500836443 Long EC CORP US N 1 N N N Teleflex Incorporated UUL85LWXB4NGSWWXIQ25 Teleflex Incorporated COM USD1 879369106 1700.0000000000 NS USD 606798.0000000000 0.0529071914 Long EC CORP US N 1 N N N Telus Corporation L2TEUTQ8OSHMJWVLCE40 Telus Corporation COM NPV 87971M103 45694.0000000000 NS USD 1048677.3000000000 0.0914349926 Long EC CORP CA N 1 N N N Tesla Inc 54930043XZGB27CTOV49 Tesla Inc COM USD0.001 88160R101 30333.0000000000 NS USD 33790962.0000000000 2.9462603617 Long EC CORP US N 1 N N N Texas Instruments Incorporated WDJNR2L6D8RWOEB8T652 Texas Instruments Incorporated COM USD1.00 882508104 32152.0000000000 NS USD 6027856.9600000000 0.5255735551 Long EC CORP US N 1 N N N Thermo Fisher Scientific Inc HCHV7422L5HDJZCRFL38 Thermo Fisher Scientific Inc COM USD1 883556102 13688.0000000000 NS USD 8665462.1600000000 0.7555484120 Long EC CORP US N 1 N N N Thomson Reuters Corp. 549300561UZND4C7B569 Thomson Reuters Corp. COM NPV(POST REV SPLIT) 884903709 5800.0000000000 NS USD 697914.0000000000 0.0608516666 Long EC CORP CA N 1 N N N The Toro Company YJKE4YIT6BWQHVEW0D14 The Toro Company COM USD1 891092108 3700.0000000000 NS USD 353239.0000000000 0.0307991842 Long EC CORP US N 1 N N N The Toronto-Dominion Bank PT3QB789TSUIDF371261 The Toronto-Dominion Bank COM NPV 891160509 61417.0000000000 NS USD 4453346.6700000000 0.3882907735 Long EC CORP CA N 1 N N N Travelers Companies, Inc. 549300Y650407RU8B149 Travelers Companies, Inc. COM NPV 89417E109 8516.0000000000 NS USD 1370054.0800000000 0.1194560850 Long EC CORP US N 1 N N N Trex Company, Inc. 549300ER482WJT9UUX16 Trex Company, Inc. COM USD0.01 89531P105 4000.0000000000 NS USD 425600.0000000000 0.0371083963 Long EC CORP US N 1 N N N Truist Financial Corporation 549300DRQQI75D2JP341 Truist Financial Corporation COM 89832Q109 46002.0000000000 NS USD 2919746.9400000000 0.2545750155 Long EC CORP US N 1 N N N Twilio Inc 5493004W8TRGD63APX93 Twilio Inc COM USD0.001 CL A 90138F102 5600.0000000000 NS USD 1631616.0000000000 0.1422618731 Long EC CORP US N 1 N N N UDR Inc P3CH2EG5X6Z1XWU1OO74 UDR Inc COM USD0.01 902653104 10169.0000000000 NS USD 564684.5700000000 0.0492352886 Long EC CORP US N 1 N N N U.S. Bancorp N1GZ7BBF3NP8GI976H15 U.S. Bancorp COM USD0.01 902973304 45816.0000000000 NS USD 2765911.9200000000 0.2411620200 Long EC CORP US N 1 N N N Ulta Beauty Inc 529900CIV6HN8M28YM82 Ulta Beauty Inc COM STK USD0.01 90384S303 1898.0000000000 NS USD 697249.2800000000 0.0607937092 Long EC CORP US N 1 N N N Ultra Clean Holdings Inc 5493007L6LS7QX18PE75 Ultra Clean Holdings Inc COM USD0.001 90385V107 76623.0000000000 NS USD 3798202.1100000000 0.3311682077 Long EC CORP US N 1 N N N Unilever PLC 549300MKFYEKVRWML317 Unilever PLC ADS-EA REP 1 ORD GPB0.03111 904767704 89185.0000000000 NS USD 4778532.3000000000 0.4166439624 Long EC CORP GB N 1 N N N United Parcel Service, Inc. D01LMJZU09ULLNCY6Z23 United Parcel Service, Inc. CLASS'B'COM USD0.01 911312106 25293.0000000000 NS USD 5399296.7100000000 0.4707688961 Long EC CORP US N 1 N N N United Rentals, Inc. 5323X5O7RN0NKFCDRY08 United Rentals, Inc. COM USD0.01 911363109 2600.0000000000 NS USD 985686.0000000000 0.0859427320 Long EC CORP US N 1 N N N V.F. Corporation CWAJJ9DJ5Z7P057HV541 V.F. Corporation COM NPV 918204108 11800.0000000000 NS USD 859984.0000000000 0.0749826765 Long EC CORP US N 1 N N N Veeva Systems Inc 549300YZEXPDB92M2F02 Veeva Systems Inc COM USD0.00001 CL 'A' 922475108 4806.0000000000 NS USD 1523550.0600000000 0.1328395194 Long EC CORP US N 1 N N N Ventas Inc. ORQTRC074CWLT3DKHT41 Ventas Inc. COM USD0.25 92276F100 13063.0000000000 NS USD 697172.3100000000 0.0607869981 Long EC CORP US N 1 N N N Verizon Communications Inc. 2S72QS2UO2OESLG6Y829 Verizon Communications Inc. COM USD0.10 92343V104 138295.0000000000 NS USD 7328252.0500000000 0.6389560183 Long EC CORP US N 1 N N N Vertex Pharmaceuticals Incorporated 54930015RAQRRZ5ZGJ91 Vertex Pharmaceuticals Incorporated COM USD0.01 92532F100 8843.0000000000 NS USD 1635335.9900000000 0.1425862219 Long EC CORP US N 1 N N N Vestas Wind System 549300DYMC8BGZZC8844 Vestas Wind System ADR EACH REPR 0.33333 SHS 925458101 98600.0000000000 NS USD 1424770.0000000000 0.1242268088 Long EC CORP DK N 1 N N N Visa Inc 549300JZ4OKEHW3DPJ59 Visa Inc COM STK USD0.0001 92826C839 58500.0000000000 NS USD 12388545.0000000000 1.0801669119 Long EC CORP US N 1 N N N VMware Inc 549300BUDHS3LRWBE814 VMware Inc COM STK USD0.01 CLASS 'A' 928563402 2775.0000000000 NS USD 420967.5000000000 0.0367044850 Long EC CORP US N 1 N N N Vulcan Materials Company 549300Q8LSNHAVWBNI21 Vulcan Materials Company COM STK USD1 929160109 4644.0000000000 NS USD 882917.2800000000 0.0769822470 Long EC CORP US N 1 N N N W. P. Carey Inc 54930042CRNE713E3Q67 W. P. Carey Inc COM USD0.001 92936U109 6300.0000000000 NS USD 485793.0000000000 0.0423566710 Long EC CORP US N 1 N N N Wabtec Corp 06BTX5UWZD0GQ5N5Y745 Wabtec Corp COM USD0.01 929740108 6191.0000000000 NS USD 561709.4300000000 0.0489758838 Long EC CORP US N 1 N N N Walgreens Boots Alliance, Inc. 549300RPTUOIXG4LIH86 Walgreens Boots Alliance, Inc. COM USD0.01 931427108 25348.0000000000 NS USD 1191862.9600000000 0.1039194621 Long EC CORP US N 1 N N N Waters Corporation 5T547R1474YC9HOD8Q74 Waters Corporation COM USD0.01 941848103 2163.0000000000 NS USD 795010.6500000000 0.0693175993 Long EC CORP US N 1 N N N WestRock Company N/A WestRock Company COM USD0.01 96145D105 8885.0000000000 NS USD 427368.5000000000 0.0372625932 Long EC CORP US N 1 N N N Wex Inc T9M5IGROL1TL1G5OV478 Wex Inc COM USD0.01 96208T104 1516.0000000000 NS USD 226945.2000000000 0.0197875292 Long EC CORP US N 1 N N N Williams-Sonoma Incorporation 549300IARG6YWVTZ1I92 Williams-Sonoma Incorporation COM USD0.01 969904101 2600.0000000000 NS USD 482898.0000000000 0.0421042537 Long EC CORP US N 1 N N N Wolters Kluwer NV 724500TEM53I0U077B74 Wolters Kluwer NV SPON ADR EACH REP 1 ORD SHS 977874205 9300.0000000000 NS USD 978825.0000000000 0.0853445160 Long EC CORP NL N 1 N N N Workday Inc 549300J0DYC0N31V7G13 Workday Inc COM USD0.001 CL A 98138H101 6500.0000000000 NS USD 1884870.0000000000 0.1643432871 Long EC CORP US N 1 N N N Xylem, Inc. 549300DF5MV96DRYLQ48 Xylem, Inc. COM USD0.01 98419M100 6300.0000000000 NS USD 822717.0000000000 0.0717333376 Long EC CORP US N 1 N N N Zillow Group Inc 2549002XEELQDIR6FU05 Zillow Group Inc COM USD0.0001 CLASS A 98954M101 7100.0000000000 NS USD 750612.0000000000 0.0654464464 Long EC CORP US N 1 N N N Zoom Video Communications Inc 549300T9GCHU0ODOM055 Zoom Video Communications Inc COM USD0.001 CL A 98980L101 20211.0000000000 NS USD 5550951.1500000000 0.4839917651 Long EC CORP US N 1 N N N Allegion Plc 984500560CAC2E6FB757 Allegion Plc COM USD0.01 G0176J109 3100.0000000000 NS USD 397730.0000000000 0.0346783893 Long EC CORP IE N 1 N N N Aon plc 635400FALWQYX5E6QC64 Aon plc COM USD0.01 CL A G0403H108 7500.0000000000 NS USD 2399400.0000000000 0.2092055595 Long EC CORP IE N 1 N N N Atlassian Corporation Plc 549300AGBII4MWBVJY22 Atlassian Corporation Plc COM USD0.1 CL A G06242104 4800.0000000000 NS USD 2199024.0000000000 0.1917346196 Long EC CORP GB N 1 N N N Accenture Plc N/A Accenture Plc CLS'A'USD0.0000225 G1151C101 22000.0000000000 NS USD 7893380.0000000000 0.6882299656 Long EC CORP IE N 1 N N N Everest Re Group 549300N24XF2VV0B3570 Everest Re Group COM USD0.01 G3223R108 1300.0000000000 NS USD 339950.0000000000 0.0296405059 Long EC CORP BM N 1 N N N IHS Markit Ltd 549300HLPTRASHS0E726 IHS Markit Ltd COM USD0.01 G47567105 12194.0000000000 NS USD 1593999.6800000000 0.1389820767 Long EC CORP BM N 1 N N N Invesco Ltd ECPGFXU8A2SHKVVGJI15 Invesco Ltd COM STK USD0.20 G491BT108 13803.0000000000 NS USD 350734.2300000000 0.0305807914 Long EC CORP BM N 1 N N N Johnson Controls International Plc 549300XQ6S1GYKGBL205 Johnson Controls International Plc COM USD1.00 G51502105 24636.0000000000 NS USD 1807543.3200000000 0.1576011135 Long EC CORP IE N 1 N N N Linde Plc 8945002PAZHZLBGKGF02 Linde Plc COM EUR0.001 G5494J103 18030.0000000000 NS USD 5755176.0000000000 0.5017982892 Long EC CORP IE N 1 N N N Aptiv PLC N/A Aptiv PLC COM USD0.01 G6095L109 9500.0000000000 NS USD 1642455.0000000000 0.1432069339 Long EC CORP JE N 1 N N N Pentair Plc 549300EVR9D56WPSRP15 Pentair Plc COM USD0.01 G7S00T104 5500.0000000000 NS USD 406835.0000000000 0.0354722613 Long EC CORP IE N 1 N N N Steris Plc N/A Steris Plc ORD USD0.001 G8473T100 3500.0000000000 NS USD 818090.0000000000 0.0713299059 Long EC CORP IE N 1 N N N Trane Technologies Plc 549300BURLR9SLYY2705 Trane Technologies Plc COM USD1 G8994E103 8407.0000000000 NS USD 1521078.5100000000 0.1326240230 Long EC CORP IE N 1 N N N Alcon Ag 549300LDT5AP8S0NBM78 Alcon Ag CHF0.04 H01301128 17362.0000000000 NS USD 1447296.3200000000 0.1261908962 Long EC CORP CH N 1 N N N Chubb Limited E0JAN6VLUDI1HITHT809 Chubb Limited ORD CHF24.15 H1467J104 13087.0000000000 NS USD 2556938.0600000000 0.2229414260 Long EC CORP CH N 1 N N N Garmin Ltd 2549001E0HIPIJQ0W046 Garmin Ltd COM CHF10.00 H2906T109 5246.0000000000 NS USD 753325.6000000000 0.0656830473 Long EC CORP CH N 1 N N N Spotify Technology S.A. 549300B4X0JHWV0DTD60 Spotify Technology S.A. COM EUR0.000625 L8681T102 3900.0000000000 NS USD 1128660.0000000000 0.0984087467 Long EC CORP LU N 1 N N N ASML Holding N.V. 724500Y6DUVHQD6OXN27 ASML Holding N.V. NY REGISTRY SHS N07059210 14300.0000000000 NS USD 11624184.0000000000 1.0135216794 Long EC CORP NL N 1 N N N 2021-12-23 Domini Investment Trust Carole M. Laible Carole M. Laible President XXXX NPORT-EX 2 dominipartf_10312021.htm PART F 10/31/2021 HTML

Domini Impact Equity Fund

Portfolio of Investments

October 31, 2021 (Unaudited)

 

Security

   Shares      Value  

Long Term Investments – 99.8%

     

Common Stocks – 99.8%

     

Communication Services – 10.7%

     

Alphabet, Inc., Class A (a)

     19,950      $ 59,070,354  

Altice USA, Inc., Class A (a)

     8,300        135,290  

AT&T, Inc.

     249,385        6,299,465  

Charter Communications, Inc., Class A (a)

     4,158        2,806,193  

Comcast Corp., Class A

     158,121        8,132,163  

Electronic Arts, Inc.

     9,718        1,362,949  

Lumen Technologies, Inc.

     37,600        445,936  

Match Group, Inc. (a)

     9,100        1,372,098  

Netflix, Inc. (a)

     15,138        10,449,913  

New York Times Co. (The), Class A

     93,783        5,119,614  

Omnicom Group, Inc.

     7,400        503,792  

Pinterest, Inc., Class A (a)

     19,300        861,552  

Roku, Inc. (a)

     4,000        1,219,600  

SoftBank Group Corp. ADR

     78,173        2,109,889  

Spotify Technology SA (a)

     3,900        1,128,660  

Take-Two Interactive Software, Inc. (a)

     3,981        720,561  

TELUS Corp.

     45,694        1,048,677  

T-Mobile US, Inc. (a)

     20,200        2,323,606  

Verizon Communications, Inc.

     138,295        7,328,252  

Walt Disney Co. (The) (a)

     63,093        10,667,134  
     

 

 

 
        123,105,698  
     

 

 

 

Consumer Discretionary – 13.6%

     

Advance Auto Parts, Inc.

     2,057        463,895  

Amazon.com, Inc. (a)

     15,119        50,987,769  

Aptiv PLC (a)

     9,500        1,642,455  

Best Buy Co., Inc.

     7,649        935,014  

Booking Holdings, Inc. (a)

     1,390        3,364,884  

BorgWarner, Inc.

     8,400        378,588  

Bright Horizons Family Solutions, Inc. (a)

     2,000        332,000  

Chegg, Inc. (a)

     58,653        3,486,334  

Chipotle Mexican Grill, Inc. (a)

     917        1,631,370  

Cie Generale des Etablissements Michelin SCA ADR

     28,750        903,900  

Dollar General Corp.

     8,300        1,838,616  

eBay, Inc.

     21,900        1,680,168  

Etsy, Inc. (a)

     4,300        1,077,967  

Garmin, Ltd.

     5,246        753,326  

Gildan Activewear, Inc.

     6,800        249,696  

Home Depot, Inc. (The)

     36,751        13,661,817  

Lowe’s Cos., Inc.

     24,141        5,644,649  

MercadoLibre, Inc. (a)

     1,650        2,443,683  

NIKE, Inc., Class B

     43,949        7,352,228  

 

1


Domini Impact Equity Fund

Portfolio of Investments (Continued)

October 31, 2021 (Unaudited)

 

Security

   Shares      Value  

Consumer Discretionary (Continued)

     

NIO, Inc. ADR (a)

     47,200      $ 1,860,152  

NVR, Inc. (a)

     120        587,376  

O’Reilly Automotive, Inc. (a)

     2,300        1,431,336  

Peloton Interactive, Inc., Class A (a)

     8,900        813,816  

Sony Corp. ADR

     43,155        4,996,917  

Starbucks Corp.

     40,967        4,345,370  

Tapestry, Inc.

     9,300        362,514  

Target Corp.

     17,051        4,426,781  

Tesla, Inc. (a)

     30,333        33,790,962  

TJX Cos., Inc.

     38,700        2,534,463  

Ulta Beauty, Inc. (a)

     1,898        697,249  

VF Corp.

     11,800        859,984  

Williams-Sonoma, Inc.

     2,600        482,898  
     

 

 

 
        156,018,177  
     

 

 

 

Consumer Staples – 5.3%

     

AppHarvest, Inc. (a)

     266,049        1,601,615  

Beyond Meat, Inc. (a)

     25,193        2,493,603  

Campbell Soup Co.

     6,491        259,315  

Church & Dwight Co., Inc.

     8,712        761,080  

Clorox Co. (The)

     4,400        717,244  

Colgate-Palmolive Co.

     29,525        2,249,510  

Costco Wholesale Corp.

     15,403        7,571,191  

Estee Lauder Cos., Inc. (The), Class A

     7,477        2,425,015  

General Mills, Inc.

     21,599        1,334,818  

JM Smucker Co. (The)

     3,746        460,234  

Keurig Dr Pepper, Inc.

     25,200        909,468  

Kimberly-Clark Corp.

     11,718        1,517,364  

Kraft Heinz Co. (The)

     22,123        793,994  

Kroger Co. (The)

     23,311        932,906  

Lamb Weston Holdings, Inc.

     4,900        276,605  

L’Oreal SA ADR

     36,300        3,322,902  

McCormick & Co., Inc.

     9,300        746,139  

Mondelez International, Inc., Class A

     48,147        2,924,449  

PepsiCo, Inc.

     48,231        7,794,130  

Procter & Gamble Co. (The)

     83,925        12,000,436  

SunOpta, Inc. (a)

     317,309        2,462,318  

Sysco Corp.

     16,503        1,269,081  

Unilever PLC ADR

     89,185        4,778,532  

Walgreens Boots Alliance, Inc.

     25,348        1,191,863  
     

 

 

 
        60,793,812  
     

 

 

 

Financials – 9.4%

     

Aflac, Inc.

     21,115        1,133,242  

AGNC Investment Corp.

     18,200        289,744  

 

2


Domini Impact Equity Fund

Portfolio of Investments (Continued)

October 31, 2021 (Unaudited)

 

Security

   Shares      Value  

Financials (Continued)

     

Allstate Corp.

     10,200      $ 1,261,434  

American Express Co.

     20,648        3,588,209  

Annaly Capital Management, Inc.

     47,900        405,234  

Aon PLC, Class A

     7,500        2,399,400  

Banco do Brasil SA ADR

     49,300        251,923  

Bank of America Corp.

     257,054        12,282,040  

Bank of Montreal

     21,831        2,368,882  

Bank of New York Mellon Corp. (The)

     27,100        1,604,320  

Bank of Nova Scotia (The)

     40,066        2,626,727  

BlackRock, Inc.

     4,934        4,655,032  

Canadian Imperial Bank of Commerce

     15,400        1,867,404  

Capital One Financial Corp.

     15,318        2,313,478  

Cboe Global Markets, Inc.

     3,700        488,178  

Charles Schwab Corp. (The)

     52,278        4,288,364  

Chubb, Ltd.

     13,087        2,556,938  

Cincinnati Financial Corp.

     5,411        657,112  

Citigroup, Inc.

     70,108        4,848,669  

CME Group, Inc.

     12,298        2,712,324  

Comerica, Inc.

     4,654        396,009  

Discover Financial Services

     10,200        1,155,864  

DNB Bank ASA ADR

     30,840        733,992  

East West Bancorp, Inc.

     4,800        381,504  

Equitable Holdings, Inc.

     15,300        512,550  

Everest Re Group, Ltd.

     1,300        339,950  

FactSet Research Systems, Inc.

     1,300        577,057  

Fifth Third Bancorp

     23,456        1,021,040  

First Republic Bank

     6,100        1,319,613  

Hartford Financial Services Group, Inc. (The)

     12,493        911,114  

Huntington Bancshares, Inc.

     50,900        801,166  

Intercontinental Exchange, Inc.

     19,495        2,699,278  

Invesco, Ltd.

     13,803        350,734  

KeyCorp

     34,000        791,180  

London Stock Exchange Group PLC ADR

     49,500        1,227,105  

Markel Corp. (a)

     490        643,434  

MarketAxess Holdings, Inc.

     1,300        531,271  

Marsh & McLennan Cos., Inc.

     17,330        2,890,644  

MetLife, Inc.

     22,700        1,425,560  

Moody’s Corp.

     5,514        2,228,483  

Morgan Stanley

     49,759        5,114,230  

MSCI, Inc.

     2,805        1,864,988  

Nasdaq, Inc.

     4,200        881,454  

Northern Trust Corp.

     7,000        861,280  

PNC Financial Services Group, Inc. (The)

     14,649        3,091,378  

Principal Financial Group, Inc.

     9,400        630,646  

 

3


Domini Impact Equity Fund

Portfolio of Investments (Continued)

October 31, 2021 (Unaudited)

 

Security

   Shares      Value  

Financials (Continued)

     

Progressive Corp. (The)

     20,458      $ 1,941,055  

Prudential Financial, Inc.

     13,261        1,459,373  

Raymond James Financial, Inc.

     6,450        635,905  

Regions Financial Corp.

     33,528        793,943  

S&P Global, Inc.

     8,398        3,981,996  

T Rowe Price Group, Inc.

     7,711        1,672,362  

Toronto-Dominion Bank (The)

     61,417        4,453,347  

Travelers Cos., Inc. (The)

     8,516        1,370,054  

Truist Financial Corp.

     46,002        2,919,747  

US Bancorp

     45,816        2,765,912  
     

 

 

 
        107,973,872  
     

 

 

 

Health Care – 12.3%

     

AbbVie, Inc.

     60,652        6,954,965  

ABIOMED, Inc. (a)

     1,600        531,264  

Agilent Technologies, Inc.

     10,400        1,637,896  

Alcon, Inc.

     17,362        1,447,296  

Align Technology, Inc. (a)

     2,600        1,623,362  

Alnylam Pharmaceuticals, Inc. (a)

     4,100        654,196  

Amgen, Inc.

     19,819        4,101,938  

Becton Dickinson and Co.

     9,851        2,360,201  

Biogen, Inc. (a)

     5,167        1,377,936  

BioMarin Pharmaceutical, Inc. (a)

     6,300        499,149  

Bio-Rad Laboratories, Inc., Class A (a)

     700        556,276  

Bio-Techne Corp.

     1,400        733,110  

Bristol-Myers Squibb Co.

     76,301        4,455,978  

Catalent, Inc. (a)

     5,900        813,374  

Cerner Corp.

     10,723        796,612  

Cooper Cos., Inc. (The)

     1,700        708,764  

CSL, Ltd. ADR

     31,500        3,580,605  

Danaher Corp.

     22,115        6,894,794  

DENTSPLY SIRONA, Inc.

     7,516        429,990  

DexCom, Inc. (a)

     11,872        7,398,749  

Edwards Lifesciences Corp. (a)

     21,472        2,572,775  

Exact Sciences Corp. (a)

     20,366        1,939,251  

Gilead Sciences, Inc.

     43,646        2,831,752  

GlaxoSmithKline PLC ADR

     87,325        3,696,467  

Guardant Health, Inc. (a)

     3,300        385,407  

Henry Schein, Inc. (a)

     4,800        366,480  

Hologic, Inc. (a)

     81,084        5,944,268  

IDEXX Laboratories, Inc. (a)

     2,919        1,944,463  

Illumina, Inc. (a)

     5,449        2,261,662  

Incyte Corp. (a)

     6,500        435,370  

Inspire Medical Systems, Inc. (a)

     15,801        4,259,634  

 

4


Domini Impact Equity Fund

Portfolio of Investments (Continued)

October 31, 2021 (Unaudited)

 

Security

   Shares      Value  

Health Care (Continued)

     

Insulet Corp. (a)

     2,300      $ 713,046  

Koninklijke Philips NV

     32,176        1,520,316  

Masimo Corp. (a)

     1,800        510,372  

Merck & Co., Inc.

     87,535        7,707,457  

Mettler-Toledo International, Inc. (a)

     790        1,169,895  

Moderna, Inc. (a)

     12,100        4,177,041  

Novo Nordisk A/S ADR

     56,678        6,241,948  

Organon & Co.

     8,823        324,245  

PerkinElmer, Inc.

     3,900        689,871  

Pfizer, Inc.

     195,370        8,545,484  

Quest Diagnostics, Inc.

     4,115        604,000  

Regeneron Pharmaceuticals, Inc. (a)

     3,542        2,266,667  

ResMed, Inc.

     4,946        1,300,353  

Sanofi ADR

     75,416        3,803,229  

Seagen, Inc. (a)

     37,200        6,559,476  

STERIS PLC

     3,500        818,090  

Stryker Corp.

     11,528        3,067,255  

Teladoc Health, Inc. (a)

     26,841        4,015,145  

Teleflex, Inc.

     1,700        606,798  

Thermo Fisher Scientific, Inc.

     13,688        8,665,462  

Veeva Systems, Inc., Class A (a)

     4,806        1,523,550  

Vertex Pharmaceuticals, Inc. (a)

     8,843        1,635,336  

Waters Corp. (a)

     2,163        795,011  
     

 

 

 
        141,454,031  
     

 

 

 

Industrials – 6.9%

     

ABB, Ltd. ADR

     57,600        1,903,104  

Allegion PLC

     3,100        397,730  

Ameresco, Inc., Class A (a)

     114,985        9,443,718  

AO Smith Corp.

     4,500        328,815  

Assa Abloy AB ADR

     66,242        971,108  

Brambles, Ltd. ADR

     25,600        388,608  

Carrier Global Corp.

     30,200        1,577,346  

CH Robinson Worldwide, Inc.

     4,700        455,853  

Cintas Corp.

     3,000        1,299,300  

Copart, Inc. (a)

     7,500        1,164,675  

CoStar Group, Inc. (a)

     13,710        1,179,745  

Cummins, Inc.

     4,941        1,185,049  

Deere & Co.

     9,845        3,370,042  

Deutsche Post AG ADR

     34,037        2,115,059  

Donaldson Co., Inc.

     4,000        240,040  

Emerson Electric Co.

     20,826        2,020,330  

Expeditors International of Washington, Inc.

     5,900        727,234  

Fastenal Co.

     20,158        1,150,619  

 

5


Domini Impact Equity Fund

Portfolio of Investments (Continued)

October 31, 2021 (Unaudited)

 

Security

   Shares      Value  

Industrials (Continued)

     

Fortune Brands Home & Security, Inc.

     4,800      $ 486,720  

Generac Holdings, Inc. (a)

     2,100        1,046,976  

Graco, Inc.

     5,700        428,526  

Hubbell, Inc.

     1,800        358,866  

IAA, Inc. (a)

     4,400        262,460  

IDEX Corp.

     2,600        578,682  

IHS Markit, Ltd.

     12,194        1,594,000  

Illinois Tool Works, Inc.

     9,652        2,199,401  

Ingersoll Rand, Inc. (a)

     12,969        697,213  

JB Hunt Transport Services, Inc.

     2,800        552,132  

JetBlue Airways Corp. (a)

     10,288        144,341  

Johnson Controls International PLC

     24,636        1,807,543  

Lennox International, Inc.

     1,200        359,136  

Masco Corp.

     8,900        583,395  

Nidec Corp. ADR

     68,956        1,910,771  

Nordson Corp.

     1,800        457,578  

Old Dominion Freight Line, Inc.

     3,700        1,262,995  

Otis Worldwide Corp.

     14,900        1,196,619  

Owens Corning

     3,633        339,359  

PACCAR, Inc.

     12,000        1,075,440  

Pentair PLC

     5,500        406,835  

Plug Power, Inc. (a)

     19,000        727,130  

Rockwell Automation, Inc.

     3,972        1,268,657  

Roper Technologies, Inc.

     3,657        1,784,141  

Schneider Electric SE ADR

     97,500        3,362,775  

Siemens AG ADR

     55,836        4,561,243  

Snap-on, Inc.

     2,000        406,460  

Stanley Black & Decker, Inc.

     5,654        1,016,193  

Sunrun, Inc. (a)

     83,938        4,841,544  

Thomson Reuters Corp.

     5,800        697,914  

Toro Co. (The)

     3,700        353,239  

Trane Technologies PLC

     8,407        1,521,078  

Trex Co., Inc. (a)

     4,000        425,600  

United Parcel Service, Inc., Class B

     25,293        5,399,297  

United Rentals, Inc. (a)

     2,600        985,686  

Vestas Wind Systems A/S ADR

     98,600        1,424,770  

Westinghouse Air Brake Technologies Corp.

     6,191        561,709  

Wolters Kluwer NV ADR

     9,300        978,825  

WW Grainger, Inc.

     1,570        727,083  

Xylem, Inc.

     6,300        822,717  
     

 

 

 
        79,533,424  
     

 

 

 

Information Technology – 36.7%

     

Accenture PLC, Class A

     22,000        7,893,380  

 

6


Domini Impact Equity Fund

Portfolio of Investments (Continued)

October 31, 2021 (Unaudited)

 

Security

   Shares      Value  

Information Technology (Continued)

     

Adobe, Inc. (a)

     16,561      $ 10,770,612  

Advanced Micro Devices, Inc. (a)

     41,850        5,031,626  

Analog Devices, Inc.

     18,811        3,263,520  

Apple, Inc.

     544,496        81,565,501  

Applied Materials, Inc.

     31,502        4,304,748  

ASML Holding NV, Class G

     14,300        11,624,184  

Atlassian Corp. PLC, Class A (a)

     4,800        2,199,024  

Autodesk, Inc. (a)

     20,386        6,474,797  

Automatic Data Processing, Inc.

     14,668        3,292,819  

Broadcom, Inc.

     13,713        7,290,791  

Cadence Design Systems, Inc. (a)

     9,384        1,624,464  

Cerence, Inc. (a)

     32,535        3,420,405  

Cisco Systems, Inc.

     134,891        7,549,849  

Crowdstrike Holdings, Inc., Class A (a)

     6,600        1,859,880  

Dell Technologies, Inc., Class C (a)

     8,900        978,911  

DocuSign, Inc. (a)

     19,850        5,524,057  

Dropbox, Inc., Class A (a)

     10,500        320,145  

Enphase Energy, Inc. (a)

     49,375        11,436,731  

First Solar, Inc. (a)

     2,900        346,811  

Fiserv, Inc. (a)

     20,600        2,028,894  

Infineon Technologies AG ADR

     41,500        1,949,670  

Intel Corp.

     141,179        6,917,771  

International Business Machines Corp.

     31,266        3,911,377  

Intuit, Inc.

     9,222        5,772,880  

KLA Corp.

     5,310        1,979,356  

Lam Research Corp.

     4,900        2,761,493  

Mastercard, Inc., Class A

     30,152        10,116,599  

Micron Technology, Inc.

     39,000        2,694,900  

Microsoft Corp.

     257,861        85,511,865  

NetApp, Inc.

     7,708        688,324  

NortonLifeLock, Inc.

     20,300        516,635  

NVIDIA Corp.

     82,108        20,992,552  

Okta, Inc. (a)

     5,000        1,235,900  

Palo Alto Networks, Inc. (a)

     14,632        7,449,005  

Paychex, Inc.

     11,331        1,396,886  

Paycom Software, Inc. (a)

     1,700        931,345  

PayPal Holdings, Inc. (a)

     40,800        9,489,672  

QUALCOMM, Inc.

     39,200        5,215,168  

salesforce.com, Inc. (a)

     31,134        9,330,548  

ServiceNow, Inc. (a)

     6,900        4,814,544  

Shopify, Inc., Class A (a)

     3,900        5,720,247  

Snowflake, Inc., Class A (a)

     9,100        3,219,944  

Splunk, Inc. (a)

     5,600        922,992  

Square, Inc., Class A (a)

     33,998        8,652,491  

 

7


Domini Impact Equity Fund

Portfolio of Investments (Continued)

October 31, 2021 (Unaudited)

 

Security

   Shares      Value  

Information Technology (Continued)

     

STMicroelectronics NV, Class Y

     121,938      $ 5,809,126  

Synopsys, Inc. (a)

     5,243        1,746,863  

Texas Instruments, Inc.

     32,152        6,027,857  

Twilio, Inc., Class A (a)

     5,600        1,631,616  

Ultra Clean Holdings, Inc. (a)

     76,623        3,798,202  

Visa, Inc., Class A

     58,500        12,388,545  

VMware, Inc., Class A (a)

     2,775        420,968  

WEX, Inc. (a)

     1,516        226,945  

Workday, Inc., Class A (a)

     6,500        1,884,870  

Zoom Video Communications, Inc., Class A (a)

     20,211        5,550,951  
     

 

 

 
        420,479,256  
     

 

 

 

Materials – 1.7%

     

Air Products and Chemicals, Inc.

     7,759        2,326,226  

AptarGroup, Inc.

     2,500        301,950  

Avery Dennison Corp.

     2,900        631,388  

Ecolab, Inc.

     8,848        1,966,203  

International Paper Co.

     13,700        680,479  

Linde PLC (a)

     18,030        5,755,176  

Novozymes A/S ADR

     6,937        511,534  

Nucor Corp.

     9,992        1,115,607  

PPG Industries, Inc.

     8,342        1,339,475  

Sherwin-Williams Co. (The)

     8,392        2,656,991  

Steel Dynamics, Inc.

     6,400        422,912  

Sylvamo Corp. (a)

     1,245        35,059  

Vulcan Materials Co.

     4,644        882,917  

Westrock Co.

     8,885        427,368  
     

 

 

 
        19,053,285  
     

 

 

 

Real Estate – 2.7%

     

Alexandria Real Estate Equities, Inc.

     5,286        1,079,084  

American Tower Corp.

     15,809        4,457,664  

Boston Properties, Inc.

     4,946        562,063  

CBRE Group, Inc., Class A (a)

     11,322        1,178,394  

Crown Castle International Corp.

     14,922        2,690,437  

Digital Realty Trust, Inc.

     9,892        1,561,057  

Duke Realty Corp.

     12,900        725,496  

Equinix, Inc.

     3,131        2,620,866  

Equity LifeStyle Properties, Inc.

     5,700        481,707  

Essex Property Trust, Inc.

     2,300        781,839  

Extra Space Storage, Inc.

     4,500        888,165  

Federal Realty Investment Trust

     2,500        300,875  

Host Hotels & Resorts, Inc. (a)

     23,922        402,607  

Kilroy Realty Corp.

     3,700        249,306  

Mid-America Apartment Communities, Inc.

     4,000        816,840  

 

8


Domini Impact Equity Fund

Portfolio of Investments (Continued)

October 31, 2021 (Unaudited)

 

Security

   Shares      Value  

Real Estate (Continued)

     

Prologis, Inc.

     25,695      $ 3,724,747  

Public Storage

     5,277        1,752,914  

Realty Income Corp.

     13,121        937,233  

SBA Communications Corp.

     3,707        1,280,138  

Simon Property Group, Inc.

     11,400        1,671,012  

UDR, Inc.

     10,169        564,685  

Ventas, Inc.

     13,063        697,172  

WP Carey, Inc.

     6,300        485,793  

Zillow Group, Inc., Class A (a)

     7,100        750,612  
     

 

 

 
        30,660,706  
     

 

 

 

Utilities – 0.5%

     

Alliant Energy Corp.

     8,600        486,502  

Consolidated Edison, Inc.

     12,061        909,399  

Eversource Energy

     12,058        1,023,724  

Fortis, Inc.

     16,900        752,219  

National Grid PLC ADR

     25,119        1,609,626  

SSE PLC ADR

     36,700        842,265  
     

 

 

 
        5,623,735  
     

 

 

 

Total Investments 99.8% (Cost $610,410,654)

        1,144,695,996  

Other Assets, less liabilities – 0.2%

        2,098,175  
     

 

 

 

Net Assets – 100.0%

      $ 1,146,794,171  
     

 

 

 

 

(a)

Non-income producing security.

Abbreviations

ADR — American Depositary Receipt

 

See Notes to Portfolio of Investments

9


Domini International Opportunities Fund

Portfolio of Investments

October 31, 2021 (Unaudited)

 

Country/Security

   Industry      Shares      Value  

Common Stocks – 99.5%

        

Argentina – 0.8%

        

MercadoLibre, Inc. (a)

     Retailing        148      $ 219,191  
        

 

 

 
           219,191  
        

 

 

 

Australia – 2.9%

        

APA Group

     Utilities        3,768        23,343  

ASX, Ltd.

     Diversified Financials        612        38,428  

Brambles, Ltd.

     Commercial & Professional Services        4,635        35,111  

Cochlear, Ltd.

     Health Care Equipment & Services        588        98,200  

CSL, Ltd.

     Pharmaceuticals, Biotechnology & Life Sciences        1,420        322,613  

Dexus

     Real Estate        3,429        28,084  

Fortescue Metals Group, Ltd.

     Materials        5,429        56,484  

GPT Group (The)

     Real Estate        6,114        23,833  

Magellan Financial Group, Ltd.

     Diversified Financials        468        12,292  

Mirvac Group

     Real Estate        12,544        26,730  

Reece, Ltd.

     Capital Goods        893        13,520  

Stockland

     Real Estate        6,744        23,211  

Transurban Group

     Transportation        9,607        97,738  
        

 

 

 
           799,587  
        

 

 

 

Austria – 0.4%

        

Erste Group Bank AG

     Banks        942        40,442  

Mondi PLC

     Materials        1,548        38,721  

Verbund AG

     Utilities        211        22,019  
        

 

 

 
           101,182  
        

 

 

 

Belgium – 0.5%

        

Elia Group SA

     Utilities        92        10,745  

Etablissements Franz Colruyt NV

     Food & Staples Retailing        159        7,815  

KBC Group NV

     Banks        884        82,410  

Umicore SA

     Materials        623        35,759  
        

 

 

 
           136,729  
        

 

 

 

Canada – 2.1%

        

Fortis, Inc.

     Utilities        1,452        64,532  

Saputo, Inc.

     Food, Beverage & Tobacco        900        21,462  

SunOpta, Inc. (a)

     Food, Beverage & Tobacco        9,364        72,665  

Toronto-Dominion Bank (The)

     Banks        5,539        401,455  
        

 

 

 
           560,114  
        

 

 

 

 

10


Domini International Opportunities Fund

Portfolio of Investments (Continued)

October 31, 2021 (Unaudited)

 

Country/Security

   Industry      Shares      Value  

China – 1.4%

        

BYD Co., Ltd., Class H

     Automobiles & Components        5,360      $ 205,045  

NIO, Inc. ADR (a)

     Automobiles & Components        4,320        170,251  
        

 

 

 
           375,296  
        

 

 

 

Denmark – 4.2%

        

Ambu A/S, Class B

     Health Care Equipment & Services      691        19,691  

Chr Hansen Holding A/S

     Materials        328        26,124  

DSV A/S

     Transportation        687        159,836  

Genmab A/S (a)

     Pharmaceuticals, Biotechnology & Life Sciences        204        91,742  

GN Store Nord A/S

     Health Care Equipment & Services        413        25,123  

Novo Nordisk A/S, Class B

     Pharmaceuticals, Biotechnology & Life Sciences        5,119        561,904  

Novozymes A/S, Class B

     Materials        650        47,863  

Orsted A/S

     Utilities        553        78,188  

Vestas Wind Systems A/S

     Capital Goods        3,115        134,799  
        

 

 

 
           1,145,270  
        

 

 

 

Finland – 1.2%

        

Elisa Oyj

     Telecommunication Services        455        27,489  

Kesko OYJ, Class B

     Food & Staples Retailing        1,144        37,271  

Kone OYJ, Class B

     Capital Goods        1,123        76,671  

Nordea Bank Abp

     Banks        9,777        119,730  

Sampo OYJ, Class A

     Insurance        1,344        71,526  
        

 

 

 
           332,687  
        

 

 

 

France – 8.2%

        

Adevinta ASA (a)

     Media & Entertainment        882        14,549  

Aeroports de Paris (a)

     Transportation        105        14,025  

Air Liquide SA

     Materials        1,477        246,863  

BioMerieux

     Health Care Equipment & Services        124        15,811  

BNP Paribas SA

     Banks        3,568        239,090  

Capgemini SE

     Software & Services        499        116,474  

Carrefour SA

     Food & Staples Retailing        1,990        36,066  

Cie Generale des Etablissements Michelin SCA

     Automobiles & Components        503        79,166  

Credit Agricole SA

     Banks        4,567        68,977  

Edenred

     Software & Services        797        43,173  

 

11


Domini International Opportunities Fund

Portfolio of Investments (Continued)

October 31, 2021 (Unaudited)

 

Country/Security

   Industry      Shares      Value  

France (Continued)

        

Eiffage SA

     Capital Goods        254      $ 26,171  

Gecina SA

     Real Estate        175        24,516  

Hermes International

     Consumer Durables & Apparel        106        168,501  

Kering SA

     Consumer Durables & Apparel        228        171,307  

Legrand SA

     Capital Goods        828        90,424  

L’Oreal SA

     Household & Personal Products        650        297,667  

Nexans SA

     Capital Goods        578        58,055  

Orange SA

     Telecommunication Services        6,189        67,564  

Sanofi

     Pharmaceuticals, Biotechnology & Life Sciences        3,381        339,969  

Sartorius Stedim Biotech

     Pharmaceuticals, Biotechnology & Life Sciences        76        41,934  

Unibail-Rodamco-Westfield (a)

     Real Estate        366        26,162  

Valeo

     Automobiles & Components        619        18,207  

Worldline SA (a)

     Software & Services        724        42,266  
        

 

 

 
           2,246,937  
        

 

 

 

Germany – 10.9%

        

adidas AG

     Consumer Durables & Apparel        544        178,244  

Allianz SE

     Insurance        1,289        299,643  

Beiersdorf AG

     Household & Personal Products        312        33,212  

Carl Zeiss Meditec AG

     Health Care Equipment & Services        112        22,580  

Deutsche Boerse AG

     Diversified Financials        577        95,889  

Deutsche Post AG

     Transportation        3,078        190,756  

Encavis AG

     Utilities        5,039        105,711  

Henkel AG & Co. KGaA

     Household & Personal Products        894        74,741  

Infineon Technologies AG

     Semiconductors & Semiconductor Equipment        3,765        176,510  

KION Group AG

     Capital Goods        247        27,009  

Knorr-Bremse AG

     Capital Goods        210        22,188  

LEG Immobilien SE

     Real Estate        233        34,694  

Merck KGaA

     Pharmaceuticals, Biotechnology & Life Sciences        405        95,815  

Muenchener Rueckversicherungs-Gesellschaft AG in  Muenchen

     Insurance        632        187,329  

Nordex SE (a)

     Capital Goods        6,803        125,156  

 

12


Domini International Opportunities Fund

Portfolio of Investments (Continued)

October 31, 2021 (Unaudited)

 

Country/Security

   Industry      Shares      Value  

Germany (Continued)

        

Puma SE

     Consumer Durables & Apparel        318      $ 39,490  

SAP SE

     Software & Services        3,156        457,518  

Sartorius AG, Pfd Shares

     Health Care Equipment & Services        116        75,219  

Siemens AG

     Capital Goods        2,533        412,265  

Siemens Energy AG (a)

     Capital Goods        1,368        39,305  

Siemens Healthineers AG

     Health Care Equipment & Services        886        58,988  

Symrise AG

     Materials        396        54,835  

Vonovia SE

     Real Estate        1,813        110,100  

Zalando SE (a)

     Retailing        695        65,735  
        

 

 

 
           2,982,932  
        

 

 

 

Hong Kong – 2.7%

        

AIA Group, Ltd.

     Insurance        37,894        424,758  

Hong Kong Exchanges & Clearing, Ltd.

     Diversified Financials        3,931        236,854  

Techtronic Industries Co., Ltd.

     Capital Goods        4,232        86,964  
        

 

 

 
           748,576  
        

 

 

 

Hungary – 0.2%

        

OTP Bank Nyrt (a)

     Banks        702        42,221  
        

 

 

 
           42,221  
        

 

 

 

Ireland – 1.1%

        

Bank of Ireland Group PLC (a)

     Banks        2,827        16,859  

CRH PLC

     Materials        2,448        117,295  

Kerry Group PLC, Class A

     Food, Beverage & Tobacco        493        66,238  

Kingspan Group plc

     Capital Goods        469        54,052  

Smurfit Kappa Group PLC

     Materials        822        43,133  
        

 

 

 
           297,577  
        

 

 

 

Italy – 0.8%

        

A2A S.p.A.

     Utilities        5,004        10,541  

DiaSorin SpA

     Health Care Equipment & Services        75        16,973  

Hera SpA

     Utilities        2,715        11,120  

Intesa Sanpaolo SpA

     Banks        53,759        152,958  

Terna SPA

     Utilities        4,504        33,595  
        

 

 

 
           225,187  
        

 

 

 

Japan – 22.3%

        

Aeon Co., Ltd.

     Food & Staples Retailing        2,077        47,760  

 

13


Domini International Opportunities Fund

Portfolio of Investments (Continued)

October 31, 2021 (Unaudited)

 

Country/Security

   Industry      Shares      Value  

Japan (Continued)

        

Asahi Intecc Co., Ltd.

     Health Care Equipment & Services        663      $ 17,469  

Asahi Kasei Corp.

     Materials        4,172        43,809  

Canon, Inc.

     Technology Hardware & Equipment        3,200        72,734  

Central Japan Railway Co.

     Transportation        521        77,252  

Daifuku Co., Ltd.

     Capital Goods        364        33,495  

Dai-ichi Life Holdings, Inc.

     Insurance        3,205        67,399  

Daiichi Sankyo Co., Ltd.

     Pharmaceuticals, Biotechnology & Life Sciences        5,940        149,815  

Daiwa House Industry Co., Ltd.

     Real Estate        1,853        61,104  

Eisai Co., Ltd.

     Pharmaceuticals, Biotechnology & Life Sciences        840        59,493  

FANUC Corp.

     Capital Goods        590        116,545  

Fast Retailing Co., Ltd.

     Retailing        169        112,136  

FUJIFILM Holdings Corp.

     Technology Hardware & Equipment        1,175        90,761  

Hankyu Hanshin Holdings, Inc.

     Transportation        742        22,996  

Hoya Corp.

     Health Care Equipment & Services        1,129        166,125  

Japan Real Estate Investment Corp.

     Real Estate        4        24,506  

Kao Corp.

     Household & Personal Products        1,446        81,762  

Keio Corp.

     Transportation        352        17,760  

Keyence Corp.

     Technology Hardware & Equipment        582        351,150  

Kose Corp.

     Household & Personal Products        96        11,143  

Kurita Water Industries, Ltd.

     Capital Goods        2,539        125,350  

Lasertec Corp.

     Semiconductors & Semiconductor Equipment        236        51,170  

LIXIL Corp.

     Capital Goods        878        22,546  

Makita Corp.

     Capital Goods        743        34,469  

Mitsubishi Estate Co., Ltd.

     Real Estate        3,616        54,928  

Mitsui Fudosan Co., Ltd.

     Real Estate        2,751        62,871  

MS&AD Insurance Group Holdings, Inc.

     Insurance        1,435        46,341  

Murata Manufacturing Co., Ltd.

     Technology Hardware & Equipment        1,933        143,324  

Nidec Corp.

     Capital Goods        1,564        173,149  

Nintendo Co., Ltd.

     Media & Entertainment        363        160,251  

Nippon Paint Holdings Co., Ltd.

     Materials        2,716        29,048  

Nippon Prologis REIT, Inc.

     Real Estate        7        23,370  

 

14


Domini International Opportunities Fund

Portfolio of Investments (Continued)

October 31, 2021 (Unaudited)

 

Country/Security

   Industry      Shares      Value  

Japan (Continued)

        

Nippon Telegraph & Telephone Corp.

     Telecommunication Services        7,166      $ 200,696  

Nissin Foods Holdings Co., Ltd.

     Food, Beverage & Tobacco        222        16,962  

Nitto Denko Corp.

     Materials        471        36,788  

Nomura Holdings, Inc.

     Diversified Financials        9,605        45,724  

NTT Data Corp.

     Software & Services        2,028        40,665  

Obic Co., Ltd.

     Software & Services        195        36,044  

Omron Corp.

     Technology Hardware & Equipment        591        56,495  

Ono Pharmaceutical Co., Ltd.

     Pharmaceuticals, Biotechnology & Life Sciences        1,285        26,950  

Oriental Land Co., Ltd.

     Consumer Services        617        97,406  

ORIX Corp.

     Diversified Financials        3,729        74,086  

Otsuka Corp.

     Software & Services        400        19,694  

Rakuten Group, Inc.

     Retailing        2,807        30,718  

Recruit Holdings Co., Ltd.

     Commercial & Professional Services        4,282        284,709  

Renesas Electronics Corp. (a)

     Semiconductors & Semiconductor Equipment        3,443        42,335  

Resona Holdings, Inc.

     Banks        21,878        82,151  

Rohm Co., Ltd.

     Semiconductors & Semiconductor Equipment        274        25,043  

Santen Pharmaceutical Co., Ltd.

     Pharmaceuticals, Biotechnology & Life Sciences        1,209        17,033  

Sekisui House, Ltd.

     Consumer Durables & Apparel        1,913        39,755  

Shimano, Inc.

     Consumer Durables & Apparel        247        68,886  

Shionogi & Co., Ltd.

     Pharmaceuticals, Biotechnology & Life Sciences        914        59,567  

Shiseido Co., Ltd.

     Household & Personal Products        1,225        81,705  

SMC Corp.

     Capital Goods        193        115,125  

SoftBank Group Corp.

     Telecommunication Services        3,604        195,025  

Sony Group Corp.

     Consumer Durables & Apparel        3,865        447,356  

Sumitomo Realty & Development Co., Ltd.

     Real Estate        974        35,185  

 

15


Domini International Opportunities Fund

Portfolio of Investments (Continued)

October 31, 2021 (Unaudited)

 

Country/Security

   Industry      Shares      Value  

Japan (Continued)

        

Sysmex Corp.

     Health Care Equipment & Services        479      $ 59,366  

Terumo Corp.

     Health Care Equipment & Services        2,211        97,497  

Tobu Railway Co., Ltd.

     Transportation        628        15,629  

Tokio Marine Holdings, Inc.

     Insurance        1,966        103,504  

Tokyo Electron, Ltd.

     Semiconductors & Semiconductor Equipment        461        214,747  

Tokyu Corp.

     Transportation        1,698        23,928  

Toray Industries, Inc.

     Materials        4,716        29,375  

TOTO, Ltd.

     Capital Goods        499        24,098  

Toyota Motor Corp.

     Automobiles & Components        34,670        611,455  

Unicharm Corp.

     Household & Personal Products        1,229        49,682  

Welcia Holdings Co., Ltd.

     Food & Staples Retailing        272        10,150  

Yaskawa Electric Corp.

     Capital Goods        805        34,851  

Yokogawa Electric Corp.

     Technology Hardware & Equipment        764        15,260  

Z Holdings Corp.

     Media & Entertainment        8,073        50,095  
        

 

 

 
           6,067,771  
        

 

 

 

Netherlands – 9.5%

        

ABN AMRO Group NV

     Banks        3,003        44,215  

Adyen N.V. (a)(b)

     Software & Services        82        247,687  

Akzo Nobel NV

     Materials        524        60,282  

Alfen Beheer BV (a)

     Capital Goods        1,378        155,397  

Arcadis N.V.

     Capital Goods        3,622        176,729  

ASML Holding NV

     Semiconductors & Semiconductor Equipment        1,295        1,053,843  

Basic-Fit N.V. (a)

     Consumer Services        2,899        140,916  

ING Groep NV

     Banks        12,230        185,716  

JDE Peet’s NV

     Food, Beverage & Tobacco        241        7,025  

Koninklijke Ahold Delhaize NV

     Food & Staples Retailing        3,294        107,278  

Koninklijke DSM NV

     Materials        543        118,762  

Koninklijke KPN NV

     Telecommunication Services        10,475        31,332  

Koninklijke Philips NV

     Health Care Equipment & Services        2,855        134,831  

NN Group NV

     Insurance        856        45,808  

 

16


Domini International Opportunities Fund

Portfolio of Investments (Continued)

October 31, 2021 (Unaudited)

 

Country/Security

   Industry      Shares      Value  

Netherlands (Continued)

        

Wolters Kluwer NV

     Commercial & Professional Services        817      $ 85,647  
        

 

 

 
           2,595,468  
        

 

 

 

New Zealand – 0.3%

        

Contact Energy, Ltd.

     Utilities        2,348        13,760  

Meridian Energy, Ltd.

     Utilities        3,743        13,391  

Spark New Zealand, Ltd.

     Telecommunication Services        5,956        19,472  

Xero Ltd. (a)

     Software & Services        407        46,336  
        

 

 

 
           92,959  
        

 

 

 

Norway – 0.9%

        

DNB Bank ASA

     Banks        2,817        66,945  

Kahoot! ASA (a)

     Media & Entertainment        24,170        144,709  

Orkla ASA

     Food, Beverage & Tobacco        2,370        23,021  

Storebrand ASA

     Insurance        1,354        14,502  
        

 

 

 
           249,177  
        

 

 

 

Poland – 0.0%

        

CD Projekt SA

     Media & Entertainment        219        9,552  
        

 

 

 
           9,552  
        

 

 

 

Singapore – 0.4%

        

DBS Group Holdings, Ltd.

     Banks        4,257        99,477  
        

 

 

 
           99,477  
        

 

 

 

South Africa – 0.2%

        

FirstRand, Ltd.

     Diversified Financials        11,818        45,114  
        

 

 

 
           45,114  
        

 

 

 

South Korea – 0.1%

        

Coupang Inc. (a)

     Retailing        788        23,451  
        

 

 

 
           23,451  
        

 

 

 

Spain – 2.6%

        

Acciona SA

     Utilities        75        14,419  

Aena SME SA (a)

     Transportation        216        35,514  

Amadeus IT Group SA (a)

     Software & Services        1,418        94,964  

Banco Bilbao Vizcaya Argentaria SA

     Banks        20,712        145,102  

Banco Santander SA

     Banks        53,739        204,057  

CaixaBank SA

     Banks        13,852        39,863  

EDP Renovaveis SA

     Utilities        768        21,419  

Grifols SA

     Pharmaceuticals, Biotechnology & Life Sciences        1,383        31,681  

Red Electrica Corp. SA

     Utilities        1,233        25,701  

 

17


Domini International Opportunities Fund

Portfolio of Investments (Continued)

October 31, 2021 (Unaudited)

 

Country/Security

   Industry      Shares      Value  

Spain (Continued)

        

Siemens Gamesa Renewable Energy SA (a)

     Capital Goods        716      $ 19,450  

Telefonica SA

     Telecommunication Services        15,930        69,269  
        

 

 

 
           701,439  
        

 

 

 

Sweden – 3.4%

        

Assa Abloy AB, Class B

     Capital Goods        3,055        89,637  

Autoliv, Inc.

     Automobiles & Components        282        27,312  

Axfood AB

     Food & Staples Retailing        2,456        60,213  

Essity AB, Class B

     Household & Personal Products        1,950        63,160  

H & M Hennes & Mauritz AB, Class B

     Retailing        2,256        42,439  

ICA Gruppen AB

     Food & Staples Retailing        272        14,062  

Industrivarden AB, Class A

     Diversified Financials        73        2,408  

Kinnevik AB, Class B (a)

     Diversified Financials        763        29,947  

MIPS AB

     Consumer Durables & Apparel        1,664        200,916  

Nibe Industrier AB, Class B

     Capital Goods        5,068        75,375  

Samhallsbyggnadsbolaget i Norden AB

     Real Estate        24,320        163,106  

Sinch AB (a)

     Software & Services        2,005        38,163  

SKF AB, Class B

     Capital Goods        1,208        28,054  

SSAB AB, Class A (a)

     Materials        2,353        13,407  

Svenska Cellulosa AB SCA, Class B

     Materials        2,013        31,451  

Svenska Handelsbanken AB, Class A

     Banks        4,781        54,798  
        

 

 

 
           934,448  
        

 

 

 

Switzerland – 4.5%

        

ABB, Ltd.

     Capital Goods        5,155        170,889  

Adecco Group AG

     Commercial & Professional Services        520        26,251  

Chocoladefabriken Lindt & Spruengli AG

     Food, Beverage & Tobacco        7        82,659  

EMS-Chemie Holding AG

     Materials        22        21,866  

Geberit AG

     Capital Goods        109        85,296  

Kuehne + Nagel International AG

     Transportation        171        53,966  

Lonza Group AG

     Pharmaceuticals, Biotechnology & Life Sciences        233        191,867  

Sika AG

     Materials        444        150,723  

STMicroelectronics NV

     Semiconductors & Semiconductor Equipment        3,605        171,282  

Swisscom AG

     Telecommunication Services        81        44,196  

 

18


Domini International Opportunities Fund

Portfolio of Investments (Continued)

October 31, 2021 (Unaudited)

 

Country/Security

   Industry      Shares      Value  

Switzerland (Continued)

        

Temenos AG

     Software & Services        203      $ 31,141  

Zurich Insurance Group AG

     Insurance        471        209,180  
        

 

 

 
           1,239,316  
        

 

 

 

United Kingdom – 9.6%

        

3i Group PLC

     Diversified Financials        2,953        55,236  

Abrdn PLC

     Diversified Financials        6,956        24,219  

Barratt Developments PLC

     Consumer Durables & Apparel        3,244        29,497  

Berkeley Group Holdings PLC

     Consumer Durables & Apparel        342        20,433  

Bunzl PLC

     Capital Goods        1,074        39,759  

Burberry Group PLC

     Consumer Durables & Apparel        1,290        34,148  

CNH Industrial NV

     Capital Goods        3,147        54,267  

Compass Group PLC (a)

     Consumer Services        5,622        119,494  

Dr. Martens PLC (a)

     Consumer Durables & Apparel        1,616        8,169  

Farfetch Ltd., Class A (a)

     Retailing        900        35,289  

GlaxoSmithKline PLC

     Pharmaceuticals, Biotechnology & Life Sciences        15,763        327,779  

Halma PLC

     Technology Hardware & Equipment        1,206        48,986  

Informa PLC (a)

     Media & Entertainment        4,788        34,116  

Intertek Group PLC

     Commercial & Professional Services        513        34,410  

J Sainsbury PLC

     Food & Staples Retailing        6,063        24,873  

Johnson Matthey PLC

     Materials        617        23,098  

Just Eat Takeaway.com NV (a)

     Retailing        574        41,278  

Kingfisher PLC

     Retailing        6,477        29,775  

Land Securities Group PLC

     Real Estate        2,364        22,244  

Legal & General Group PLC

     Insurance        18,469        72,955  

Linde PLC (a)

     Materials        1,605        512,316  

London Stock Exchange Group PLC

     Diversified Financials        1,125        109,688  

National Grid PLC

     Utilities        11,365        145,746  

Next PLC

     Retailing        390        42,574  

Ocado Group PLC (a)

     Food & Staples Retailing        1,619        40,022  

Pennon Group PLC

     Utilities        896        14,315  

 

19


Domini International Opportunities Fund

Portfolio of Investments (Continued)

October 31, 2021 (Unaudited)

 

Country/Security

   Industry      Shares      Value  

United Kingdom (Continued)

        

Schroders PLC

     Diversified Financials        542      $ 26,890  

Segro PLC

     Real Estate        3,816        67,554  

Spirax-Sarco Engineering PLC

     Capital Goods        235        50,246  

SSE PLC

     Utilities        3,227        72,787  

Taylor Wimpey PLC

     Consumer Durables & Apparel        11,316        23,981  

Unilever PLC

     Household & Personal Products        8,002        429,130  
        

 

 

 
           2,615,274  
        

 

 

 

United States – 8.3%

        

Alliant Energy Corp.

     Utilities        800        45,256  

Autodesk, Inc. (a)

     Software & Services        501        159,122  

Campbell Soup Co.

     Food, Beverage & Tobacco        653        26,087  

Clorox Co. (The)

     Household & Personal Products        377        61,455  

Consolidated Edison, Inc.

     Utilities        1,100        82,940  

Copart, Inc. (a)

     Commercial & Professional Services        652        101,249  

Enphase Energy, Inc. (a)

     Semiconductors & Semiconductor Equipment        1,043        241,590  

Eversource Energy

     Utilities        1,052        89,315  

Ferguson PLC

     Capital Goods        700        105,494  

General Mills, Inc.

     Food, Beverage & Tobacco        1,881        116,246  

Kroger Co. (The)

     Food & Staples Retailing        2,100        84,042  

McCormick & Co., Inc.

     Food, Beverage & Tobacco        813        65,227  

Nucor Corp.

     Materials        902        100,708  

Pentair PLC

     Capital Goods        506        37,429  

QIAGEN N.V. (a)

     Pharmaceuticals, Biotechnology & Life Sciences        700        39,032  

Schneider Electric SE

     Capital Goods        1,739        300,159  

Spotify Technology SA (a)

     Media & Entertainment        357        103,316  

Square, Inc., Class A (a)

     Software & Services        366        93,147  

Swiss Re AG

     Insurance        893        86,685  

Tesla, Inc. (a)

     Automobiles & Components        222        247,308  

 

20


Domini International Opportunities Fund

Portfolio of Investments (Continued)

October 31, 2021 (Unaudited)

 

Country/Security

   Industry      Shares      Value  

United States (Continued)

        

Zoom Video Communications, Inc., Class A (a)

     Software & Services        240      $ 65,916  
        

 

 

 
           2,251,723  
        

 

 

 

Total Investments 99.5% (Cost $24,174,506)

           27,138,655  

Other Assets, less liabilities – 0.5%

           128,349  
        

 

 

 

Net Assets – 100.0%

         $ 27,267,004  
        

 

 

 

 

(a)

Non-income producing security.

(b)

Security that may be sold to qualified institutional buyers under Rule 144A of the Securities Act of 1933, as amended. At October 31, 2021, the aggregate value of these securities was $247,687, representing 0.9% of net assets.

Abbreviations

ADR — American Depositary Receipt

As of the date of this report, certain foreign securities were fair valued by an independent pricing service under the direction of the Board of Trustees or its delegates in accordance with the Trust’s Valuation and Pricing Policies and Procedures.

See Notes to Portfolio of Investments

 

21


Domini Sustainable Solutions Fund

Portfolio of Investments

October 31, 2021 (Unaudited)

 

Security

   Shares      Value  

Long Term Investments – 97.9%

     

Common Stocks – 97.9%

     

Communication Services – 5.6%

     

Kahoot! ASA (a)

     150,321      $ 899,995  

New York Times Co. (The), Class A

     22,896        1,249,892  
     

 

 

 
        2,149,887  
     

 

 

 

Consumer Discretionary – 12.3%

     

Basic-Fit N.V. (a)

     13,439        653,247  

Chegg, Inc. (a)

     12,990        772,126  

MIPS AB

     9,753        1,177,605  

Tesla, Inc. (a)

     1,919        2,137,766  
     

 

 

 
        4,740,744  
     

 

 

 

Consumer Staples – 3.6%

     

AppHarvest, Inc. (a)

     73,187        440,586  

Beyond Meat, Inc. (a)

     3,664        362,663  

SunOpta, Inc. (a)

     76,204        591,343  
     

 

 

 
        1,394,592  
     

 

 

 

Financials – 6.5%

     

Amalgamated Financial Corp.

     21,963        403,241  

Federal Agricultural Mortgage Corp., Class C

     8,948        1,128,253  

Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen

     3,381        1,002,150  
     

 

 

 
        2,533,644  
     

 

 

 

Health Care – 19.6%

     

Cochlear, Ltd.

     2,619        437,389  

DexCom, Inc. (a)

     2,755        1,716,943  

Exact Sciences Corp. (a)

     5,273        502,095  

Hologic, Inc. (a)

     19,418        1,423,534  

Inspire Medical Systems, Inc. (a)

     4,577        1,233,868  

Seagen, Inc. (a)

     6,623        1,167,834  

Teladoc Health, Inc. (a)

     7,394        1,106,068  
     

 

 

 
        7,587,731  
     

 

 

 

Industrials – 15.6%

     

Alfen Beheer BV (a)

     6,261        706,052  

Ameresco, Inc., Class A (a)

     22,782        1,871,086  

Arcadis N.V.

     15,350        748,978  

Kurita Water Industries, Ltd.

     20,740        1,023,931  

Nexans SA

     7,213        724,488  

Vestas Wind Systems A/S

     22,296        964,844  
     

 

 

 
        6,039,379  
     

 

 

 

Information Technology – 31.0%

     

ASML Holding NV, Class G

     1,424        1,157,541  

Autodesk, Inc. (a)

     4,068        1,292,037  

Cerence, Inc. (a)

     3,517        369,742  

 

22


Domini Sustainable Solutions Fund

Portfolio of Investments (Continued)

October 31, 2021 (Unaudited)

 

Security

   Shares      Value  

Information Technology (Continued)

     

DocuSign, Inc. (a)

     4,019      $ 1,118,448  

Enphase Energy, Inc. (a)

     8,176        1,893,807  

Halma PLC

     4,296        174,497  

Palo Alto Networks, Inc. (a)

     3,065        1,560,361  

Square, Inc., Class A (a)

     5,162        1,313,729  

STMicroelectronics NV

     24,737        1,175,315  

Ultra Clean Holdings, Inc. (a)

     17,855        885,072  

Zoom Video Communications, Inc., Class A (a)

     3,880        1,065,642  
     

 

 

 
        12,006,191  
     

 

 

 

Real Estate – 3.7%

     

Samhallsbyggnadsbolaget i Norden AB

     212,002        1,421,822  
     

 

 

 
        1,421,822  
     

 

 

 

Total Investments 97.9% (Cost $26,446,324)

        37,873,990  

Other Assets, less liabilities – 2.1%

        818,952  
     

 

 

 

Net Assets – 100.0%

      $ 38,692,942  
     

 

 

 

 

(a)

Non-income producing security.

As of the date of this report, certain foreign securities were fair valued by an independent pricing service under the direction of the Board of Trustees or its delegates in accordance with the Trust’s Valuation and Pricing Policies and Procedures.

 

Portfolio Holdings by Country (% Of Net Assets) (Unaudited)       

United States

     64.7

Netherlands

     8.4

Sweden

     6.7

Switzerland

     3.0

Japan

     2.7

Germany

     2.6

Denmark

     2.5

Norway

     2.3

France

     1.9

Canada

     1.5

Australia

     1.1

United Kingdom

     0.5
  

 

 

 

Total

     97.9
  

 

 

 

See Notes to Portfolio of Investments

 

23


Domini Impact International Equity Fund

Portfolio of Investments

October 31, 2021 (Unaudited)

 

Country/Security

  

Industry

   Shares      Value  

Common Stocks – 98.4%

        

Australia – 3.8%

        

Bendigo & Adelaide Bank, Ltd.

   Banks      821,197      $ 5,742,790  

BlueScope Steel, Ltd.

   Materials      1,028,868        16,052,613  

Charter Hall Group

   Real Estate      191,448        2,507,940  

Fortescue Metals Group, Ltd.

   Materials      1,273,413        13,248,719  

Harvey Norman Holdings, Ltd.

   Retailing      1,714,494        6,422,272  

JB Hi-Fi, Ltd.

   Retailing      279,182        10,642,693  

Mirvac Group

   Real Estate      6,693        14,262  

SEEK, Ltd.

   Media & Entertainment      166,175        4,123,612  

WiseTech Global, Ltd.

   Software & Services      73,350        2,854,357  
        

 

 

 
           61,609,258  
        

 

 

 

Austria – 0.6%

        

Verbund AG

   Utilities      32,227        3,363,046  

voestalpine AG

   Materials      178,705        6,794,743  
        

 

 

 
           10,157,789  
        

 

 

 

Belgium – 0.4%

        

Ageas SA

   Insurance      139,803        6,808,444  
        

 

 

 
           6,808,444  
        

 

 

 

Brazil – 0.7%

        

Cia Brasileira de Distribuicao

   Food & Staples Retailing      314,300        1,423,466  

Itausa SA, Pfd Shs

   Banks      3,680,500        6,692,412  

Porto Seguro SA

   Insurance      698,400        2,891,726  

Raia Drogasil SA

   Food & Staples Retailing      2,380        9,816  
        

 

 

 
           11,017,420  
        

 

 

 

China – 2.1%

        

China Life Insurance Co., Ltd., Class H

   Insurance      2,351,000        4,085,082  

Chow Tai Fook Jewellery Group Ltd.

   Retailing      730,600        1,490,409  

Lenovo Group, Ltd.

   Technology Hardware & Equipment      4,544,000        4,935,558  

Li Ning Co., Ltd.

   Consumer Durables & Apparel      707,142        7,804,806  

SITC International Holdings Co. Ltd.

   Transportation      3,188,000        10,776,941  

Zhongsheng Group Holdings, Ltd.

   Retailing      515,500        4,648,793  
        

 

 

 
           33,741,589  
        

 

 

 

Denmark – 2.8%

        

Demant A/S (a)

   Health Care Equipment & Services      172,897        8,390,362  

DSV A/S

   Transportation      52,186        12,141,471  

GN Store Nord A/S

   Health Care Equipment & Services      93,831        5,707,746  

Novo Nordisk A/S, Class B

   Pharmaceuticals, Biotechnology & Life Sciences      179        19,648  

Pandora A/S

   Consumer Durables & Apparel      132,248        18,525,341  

Vestas Wind Systems A/S

   Capital Goods      290        12,550  
        

 

 

 
           44,797,118  
        

 

 

 

Finland – 0.9%

        

Kesko OYJ, Class B

   Food & Staples Retailing      419,660        13,672,379  

 

24


Domini Impact International Equity Fund

Portfolio of Investments (Continued)

October 31, 2021 (Unaudited)

 

Country/Security

  

Industry

   Shares      Value  

Finland (Continued)

        

Nordea Bank Abp

   Banks      127,754      $ 1,564,489  
        

 

 

 
           15,236,868  
        

 

 

 

France – 8.1%

        

BNP Paribas SA

   Banks      377,690        25,308,841  

Carrefour SA

   Food & Staples Retailing      513,887        9,313,392  

CNP Assurances

   Insurance      89,361        2,241,374  

Credit Agricole SA

   Banks      839,299        12,676,157  

Edenred

   Software & Services      152,036        8,235,743  

EssilorLuxottica SA

   Consumer Durables & Apparel      94,236        19,518,248  

Kering SA

   Consumer Durables & Apparel      18        13,524  

Publicis Groupe SA

   Media & Entertainment      193,116        12,978,551  

Rexel SA

   Capital Goods      264,792        5,268,746  

Sanofi

   Pharmaceuticals, Biotechnology & Life Sciences      364,181        36,619,373  
        

 

 

 
           132,173,949  
        

 

 

 

Germany – 6.3%

        

adidas AG

   Consumer Durables & Apparel      33        10,813  

Carl Zeiss Meditec AG

   Health Care Equipment & Services      24,679        4,975,481  

Deutsche Telekom AG

   Telecommunication Services      477        8,880  

Evonik Industries AG

   Materials      155,117        5,031,347  

Henkel AG & Co. KGaA, Pfd Shs

   Household & Personal Products      125,001        11,210,632  

HUGO BOSS AG

   Consumer Durables & Apparel      166,770        10,453,960  

LEG Immobilien SE

   Real Estate      66,619        9,919,822  

Merck KGaA

   Pharmaceuticals, Biotechnology & Life Sciences      155,648        36,823,233  

SAP SE

   Software & Services      11,314        1,640,164  

Siemens AG

   Capital Goods      26,491        4,311,612  

Telefonica Deutschland Holding AG

   Telecommunication Services      1,883,016        4,911,346  

Vonovia SE

   Real Estate      149,482        9,077,797  

Wacker Chemie AG

   Materials      18,579        3,360,982  
        

 

 

 
           101,736,069  
        

 

 

 

Hong Kong – 2.0%

        

Swire Properties, Ltd.

   Real Estate      691,800        1,855,038  

Techtronic Industries Co., Ltd.

   Capital Goods      1,474,500        30,299,619  
        

 

 

 
           32,154,657  
        

 

 

 

Hungary – 0.1%

        

Richter Gedeon Nyrt

   Pharmaceuticals, Biotechnology & Life Sciences      90,625        2,541,136  
        

 

 

 
           2,541,136  
        

 

 

 

India – 0.3%

        

Cipla, Ltd.

   Pharmaceuticals, Biotechnology & Life Sciences      407,142        4,955,592  

Dr Reddy’s Laboratories, Ltd.

   Pharmaceuticals, Biotechnology & Life Sciences      250        15,472  
        

 

 

 
           4,971,064  
        

 

 

 

 

25


Domini Impact International Equity Fund

Portfolio of Investments (Continued)

October 31, 2021 (Unaudited)

 

Country/Security

  

Industry

   Shares      Value  

Ireland – 0.2%

        

Bank of Ireland Group PLC (a)

   Banks      626,638      $ 3,737,034  
        

 

 

 
           3,737,034  
        

 

 

 

Israel – 1.7%

        

Check Point Software Technologies, Ltd. (a)

   Software & Services      230,706        27,592,438  
        

 

 

 
           27,592,438  
        

 

 

 

Italy – 3.0%

        

Amplifon S.p.A.

   Health Care Equipment & Services      245,344        12,498,621  

Assicurazioni Generali SpA

   Insurance      379,568        8,274,100  

Banco BPM SpA

   Banks      3,929,668        12,233,655  

Intesa Sanpaolo SpA

   Banks      4,188,858        11,918,340  

Moncler SpA

   Consumer Durables & Apparel      55,118        3,970,820  
        

 

 

 
           48,895,536  
        

 

 

 

Japan – 21.8%

        

Aeon Mall Co., Ltd.

   Real Estate      101,300        1,483,364  

Aisin Corp.

   Automobiles & Components      64,000        2,340,910  

Alps Alpine Co., Ltd.

   Technology Hardware & Equipment      150,000        1,465,016  

Benesse Holdings, Inc.

   Consumer Services      136,482        3,121,090  

Brother Industries, Ltd.

   Technology Hardware & Equipment      174,675        3,375,674  

Canon, Inc.

   Technology Hardware & Equipment      554,900        12,612,543  

Central Japan Railway Co.

   Transportation      80        11,862  

Dai Nippon Printing Co., Ltd.

   Commercial & Professional Services      341,141        8,448,084  

Dai-ichi Life Holdings, Inc.

   Insurance      1,185,500        24,930,266  

Eisai Co., Ltd.

   Pharmaceuticals, Biotechnology & Life Sciences      150        10,624  

Fancl Corp.

   Household & Personal Products      89,324        2,706,935  

GungHo Online Entertainment, Inc.

   Media & Entertainment      170,314        3,193,838  

Hachijuni Bank, Ltd. (The)

   Banks      488,522        1,632,017  

Hino Motors, Ltd.

   Capital Goods      432,800        4,092,354  

Hoya Corp.

   Health Care Equipment & Services      207,069        30,468,944  

Kose Corp.

   Household & Personal Products      13,287        1,542,287  

Medipal Holdings Corp.

   Health Care Equipment & Services      260,757        4,715,605  

MINEBEA MITSUMI, Inc.

   Capital Goods      62,000        1,568,967  

MISUMI Group, Inc.

   Capital Goods      200,900        8,398,702  

Mitsubishi Estate Co., Ltd.

   Real Estate      1,765,025        26,811,296  

Mitsui Fudosan Co., Ltd.

   Real Estate      405,000        9,255,793  

MS&AD Insurance Group Holdings, Inc.

   Insurance      83,610        2,700,032  

Murata Manufacturing Co., Ltd.

   Technology Hardware & Equipment      40,300        2,988,085  

Nikon Corp.

   Consumer Durables & Apparel      585,900        6,457,156  

Nintendo Co., Ltd.

   Media & Entertainment      60,877        26,874,959  

Nippon Electric Glass Co., Ltd.

   Technology Hardware & Equipment      289,675        7,393,011  

Nissan Motor Co., Ltd. (a)

   Automobiles & Components      704,174        3,582,575  

Nomura Real Estate Holdings, Inc.

   Real Estate      430        10,478  

NTN Corp. (a)

   Capital Goods      5,300        11,488  

NTT Data Corp.

   Software & Services      1,102,018        22,097,685  

 

26


Domini Impact International Equity Fund

Portfolio of Investments (Continued)

October 31, 2021 (Unaudited)

 

Country/Security

  

Industry

   Shares      Value  

Japan (Continued)

        

ORIX Corp.

   Diversified Financials      630      $ 12,517  

Panasonic Corp.

   Consumer Durables & Apparel      1,575,500        19,474,126  

Pigeon Corp.

   Household & Personal Products      141,447        3,273,936  

Ricoh Co., Ltd.

   Technology Hardware & Equipment      1,041,900        10,141,403  

Ryohin Keikaku Co., Ltd.

   Retailing      127,777        2,516,900  

Seiko Epson Corp.

   Technology Hardware & Equipment      335,700        5,974,875  

Seino Holdings Co., Ltd.

   Transportation      276,620        3,350,030  

Shimamura Co., Ltd.

   Retailing      97,019        8,211,227  

Shimano, Inc.

   Consumer Durables & Apparel      28,578        7,970,149  

Sony Group Corp.

   Consumer Durables & Apparel      170        19,677  

Sumitomo Dainippon Pharma Co., Ltd.

   Pharmaceuticals, Biotechnology & Life Sciences      120,900        1,708,965  

Sumitomo Realty & Development Co., Ltd.

   Real Estate      91,300        3,298,127  

Sundrug Co., Ltd.

   Food & Staples Retailing      144,096        4,215,274  

Sysmex Corp.

   Health Care Equipment & Services      92,600        11,476,514  

Taiyo Yuden Co., Ltd.

   Technology Hardware & Equipment      96,800        4,904,294  

TIS, Inc.

   Software & Services      151,662        4,129,896  

Toho Gas Co., Ltd.

   Utilities      105,349        3,119,326  

Tokyo Gas Co., Ltd.

   Utilities      119,469        2,072,229  

TOPPAN, Inc.

   Commercial & Professional Services      540        8,713  

Toyo Seikan Group Holdings, Ltd.

   Materials      137,427        1,631,098  

Trend Micro, Inc.

   Software & Services      128,900        7,282,280  

Yamada Holding Co., Ltd.

   Retailing      245,200        936,571  

Yamato Holdings Co., Ltd.

   Transportation      676,700        16,628,153  

Yamazaki Baking Co., Ltd.

   Food, Beverage & Tobacco      185,700        2,819,695  

ZOZO, Inc.

   Retailing      137,100        4,398,781  
        

 

 

 
           353,876,396  
        

 

 

 

Luxembourg – 0.2%

        

Eurofins Scientific SE

   Pharmaceuticals, Biotechnology & Life Sciences      26,053        3,077,966  
        

 

 

 
           3,077,966  
        

 

 

 

Mexico – 0.1%

        

Gruma SAB de C.V., Class B

   Food, Beverage & Tobacco      184,025        2,159,067  
        

 

 

 
           2,159,067  
        

 

 

 

Netherlands – 4.6%

        

ASM International NV

   Semiconductors & Semiconductor Equipment      50,687        22,964,950  

ASML Holding NV

   Semiconductors & Semiconductor Equipment      19,945        16,230,807  

Koninklijke Ahold Delhaize NV

   Food & Staples Retailing      963,567        31,381,081  

Randstad NV

   Commercial & Professional Services      49,221        3,540,223  
        

 

 

 
           74,117,061  
        

 

 

 

Norway – 0.6%

        

Orkla ASA

   Food, Beverage & Tobacco      312,804        3,038,359  

Storebrand ASA

   Insurance      619,820        6,638,692  
        

 

 

 
           9,677,051  
        

 

 

 

 

27


Domini Impact International Equity Fund

Portfolio of Investments (Continued)

October 31, 2021 (Unaudited)

 

Country/Security

  

Industry

   Shares      Value  

Russian Federation – 0.1%

        

Coca-Cola HBC AG

   Food, Beverage & Tobacco      48,357      $ 1,678,755  
        

 

 

 
           1,678,755  
        

 

 

 

Singapore – 0.9%

        

DBS Group Holdings, Ltd.

   Banks      626,556        14,641,271  
        

 

 

 
           14,641,271  
        

 

 

 

South Africa – 1.6%

        

Aspen Pharmacare Holdings, Ltd.

   Pharmaceuticals, Biotechnology & Life Sciences      213,778        3,421,151  

Capitec Bank Holdings, Ltd.

   Banks      63,536        7,134,340  

Clicks Group, Ltd.

   Food & Staples Retailing      316,488        5,805,889  

FirstRand, Ltd.

   Diversified Financials      388,817        1,484,277  

Mr Price Group, Ltd.

   Retailing      211,290        2,779,576  

Nedbank Group, Ltd.

   Banks      225,449        2,581,676  

Shoprite Holdings, Ltd.

   Food & Staples Retailing      241,095        2,878,706  
        

 

 

 
           26,085,615  
        

 

 

 

South Korea – 0.1%

        

E-MART, Inc.

   Food & Staples Retailing      10,911        1,570,661  
        

 

 

 
           1,570,661  
        

 

 

 

Spain – 2.7%

        

Banco Bilbao Vizcaya Argentaria SA

   Banks      1,586,035        11,111,270  

Banco de Sabadell SA (a)

   Banks      6,807,773        5,484,795  

Banco Santander SA

   Banks      7,149,156        27,146,652  
        

 

 

 
           43,742,717  
        

 

 

 

Sweden – 3.2%

        

Alfa Laval AB

   Capital Goods      144,333        6,190,776  

Castellum AB

   Real Estate      103,946        2,770,376  

Electrolux AB, Class B

   Consumer Durables & Apparel      268,411        6,091,087  

Elekta AB, Class B

   Health Care Equipment & Services      143,703        1,673,243  

Essity AB, Class B

   Household & Personal Products      318        10,300  

Getinge AB, Class B

   Health Care Equipment & Services      169,769        7,597,033  

H & M Hennes & Mauritz AB, Class B

   Retailing      484        9,105  

Husqvarna AB, Class B

   Consumer Durables & Apparel      235,956        3,362,393  

Industrivarden AB, Class C

   Diversified Financials      132,691        4,315,998  

Sandvik AB

   Capital Goods      615,999        15,620,029  

Trelleborg AB, Class B

   Capital Goods      156,517        3,582,095  
        

 

 

 
           51,222,435  
        

 

 

 

Switzerland – 11.7%

        

ABB, Ltd.

   Capital Goods      934,719        30,986,126  

Adecco Group AG

   Commercial & Professional Services      190,324        9,607,942  

Kuehne + Nagel International AG

   Transportation      61,307        19,347,759  

Novartis AG

   Pharmaceuticals, Biotechnology & Life Sciences      416,424        34,513,290  

Partners Group Holding AG

   Diversified Financials      4,893        8,565,153  

PSP Swiss Property AG

   Real Estate      15,075        1,888,281  

 

28


Domini Impact International Equity Fund

Portfolio of Investments (Continued)

October 31, 2021 (Unaudited)

 

Country/Security

  

Industry

   Shares      Value  

Switzerland (Continued)

        

Sika AG

   Materials      98,471      $ 33,427,509  

Straumann Holding AG

   Health Care Equipment & Services      6,942        14,480,399  

Swatch Group AG

   Consumer Durables & Apparel      43,885        12,103,562  

Swiss Life Holding AG

   Insurance      29,531        16,232,509  

Swiss Prime Site AG

   Real Estate      16,238        1,654,199  

Temenos AG

   Software & Services      12,361        1,896,257  

VAT Group AG

   Capital Goods      9,576        4,586,889  
        

 

 

 
           189,289,875  
        

 

 

 

Taiwan – 2.1%

        

Acer, Inc.

   Technology Hardware & Equipment      1,850,000        1,731,565  

Chailease Holding Co., Ltd.

   Diversified Financials      669,000        6,407,381  

China Development Financial Holding Corp.

   Insurance      9,694,000        4,954,880  

momo.com, Inc.

   Retailing      46,000        2,964,252  

Novatek Microelectronics Corp.

   Semiconductors & Semiconductor Equipment      194,277        2,913,949  

Realtek Semiconductor Corp.

   Semiconductors & Semiconductor Equipment      83,000        1,492,973  

Unimicron Technology Corp.

   Technology Hardware & Equipment      766,000        5,250,808  

United Microelectronics Corp.

   Semiconductors & Semiconductor Equipment      3,004,259        6,236,763  

Yuanta Financial Holding Co., Ltd.

   Diversified Financials      1,838,000        1,633,767  
        

 

 

 
           33,586,338  
        

 

 

 

Thailand – 0.2%

        

Kasikornbank PCL

   Banks      831,100        3,511,747  
        

 

 

 
           3,511,747  
        

 

 

 

United Kingdom – 11.2%

        

3i Group PLC

   Diversified Financials      573,934        10,735,448  

Ashtead Group PLC

   Capital Goods      309,326        25,966,300  

Aviva PLC

   Insurance      885,968        4,788,289  

B&M European Value Retail SA

   Retailing      466,558        4,048,622  

CNH Industrial NV

   Capital Goods      1,548,700        26,706,059  

ConvaTec Group PLC

   Health Care Equipment & Services      691,106        2,025,398  

GlaxoSmithKline PLC

   Pharmaceuticals, Biotechnology & Life Sciences      163,906        3,408,291  

Halma PLC

   Technology Hardware & Equipment      74,337        3,019,453  

Inchcape PLC

   Retailing      380,831        4,311,917  

J Sainsbury PLC

   Food & Staples Retailing      3,388,967        13,903,030  

Kingfisher PLC

   Retailing      315,400        1,449,883  

Man Group PLC/Jersey

   Diversified Financials      652,508        2,081,327  

Marks & Spencer Group PLC (a)

   Retailing      1,075,390        2,707,600  

Next PLC

   Retailing      132,955        14,513,968  

Pennon Group PLC

   Utilities      456,608        7,294,849  

Schroders PLC

   Diversified Financials      37,755        1,873,153  

Segro PLC

   Real Estate      983,113        17,403,989  

St James’s Place PLC

   Diversified Financials      190,116        4,113,643  

Travis Perkins PLC

   Capital Goods      116,312        2,462,885  

Unilever PLC

   Household & Personal Products      237        12,710  

 

29


Domini Impact International Equity Fund

Portfolio of Investments (Continued)

October 31, 2021 (Unaudited)

 

Country/Security

  

Industry

   Shares      Value  

United Kingdom (Continued)

        

Vodafone Group PLC

   Telecommunication Services      19,916,588      $ 29,401,243  
        

 

 

 
           182,228,057  
        

 

 

 

United States – 4.3%

        

Ferguson PLC

   Capital Goods      138,675        20,899,036  

JS Global Lifestyle Co., Ltd.

   Consumer Durables & Apparel      768,500        1,423,428  

Parade Technologies, Ltd.

   Semiconductors & Semiconductor Equipment      38,000        2,447,941  

QIAGEN N.V. (a)

   Pharmaceuticals, Biotechnology & Life Sciences      322,380        17,975,909  

Schneider Electric SE

   Capital Goods      153,983        26,578,148  
        

 

 

 
           69,324,462  
        

 

 

 

Total Investments 98.4% (Cost $1,400,183,464)

           1,596,959,843  

Other Assets, less liabilities – 1.6%

           25,500,468  
        

 

 

 

Net Assets – 100.0%

         $ 1,622,460,311  
        

 

 

 

 

(a)

Non-income producing security.

As of the date of this report, certain foreign securities were fair valued by an independent pricing service under the direction of the Board of Trustees or its delegates in accordance with the Trust’s Valuation and Pricing Policies and Procedures.

See Notes to Portfolio of Investments

 

30


Domini Impact Equity Fund

Domini International Opportunities Fund

Domini Sustainable Solutions Fund

Domini Impact International Equity Fund

NOTES TO PORTFOLIO OF INVESTMENTS

October 31, 2021 (Unaudited)

1. ORGANIZATION AND SIGNIFICANT ACCOUNTING POLICIES

The Domini Investment Trust is a Massachusetts business trust registered under the Investment Company Act of 1940 as an open-end management investment company. The Domini Investment Trust comprises five separate series: Domini Impact Equity Fund, Domini International Opportunities Fund, Domini Sustainable Solutions Fund, Domini Impact International Equity Fund and Domini Impact Bond Fund (each the “Fund,” collectively the “Funds”). The Portfolio of Investments of the Domini Impact Bond Fund are included elsewhere in this report. Each Fund is an investment company and accordingly follows the investment company accounting and reporting guidance of the Financial Accounting Standards Board (the “FASB”) Accounting Standard Codification Topic 946 “Financial Services - Investment Companies”. The Domini Impact Equity Fund offers Investor shares, Class A shares, Institutional shares and Class Y shares (formerly Class R Shares). Class Y shares of the Domini Impact Equity Fund commenced on November 28, 2003. Class A and Institutional shares of the Domini Impact Equity Fund commenced on November 28, 2008. The Domini International Opportunities Fund commenced on November 30, 2020 and offers Investor shares and Institutional shares. The Domini Sustainable Solutions Fund commenced on April 1, 2020 and offers Investor shares and Institutional shares. The Domini Impact International Equity Fund offers Investor shares, Class A shares, Institutional shares and Class Y shares. Class A, Institutional and Class Y shares of the Domini Impact International Equity Fund were not offered prior to November 28, 2008, November 30, 2012, and June 15, 2018 respectively. The Investor shares, Institutional shares and Class Y shares are sold at their offering price, which is net asset value. The Class A shares are sold with a front-end sales charge (load) of up to 4.75%. The Institutional shares may only be purchased by or for the benefit of investors that meet the minimum investment requirements, and fall within the following categories: endowments, foundations, religious organizations and other nonprofit entities, individuals, retirement plan sponsors, family office clients, certain corporate or similar institutions, or omnibus accounts maintained by financial intermediaries and that are approved by the Fund’s Distributor. Class Y shares are generally available only through omnibus accounts held on the books of the Fund for financial intermediaries that have been approved by the Funds’ distributor. Class Y shares are also available to endowments, foundations, religious organizations or other tax - exempt entities, and certain eligible retirement and benefit plans. All classes of shares have identical rights and voting privileges with respect to the Fund in general and exclusive voting rights on matters that affect that class alone. Earnings, net assets, and net asset value per share may differ due to each class having its own expenses, such as transfer and shareholder servicing agent fees and registration fees, directly attributable to that class. Institutional and Class Y shares are not subject to distribution and service fees.

(A) Valuation of Investments. Securities listed or traded on national securities exchanges are valued at the last sale price reported by the security’s primary exchange or, if there have been no sales that day, at the mean of the current bid and ask price that represents the current value of the security. Securities listed on the NASDAQ National Market System are valued using the NASDAQ Official Closing Price (the “NOCP”). If an NOCP is not available for a security listed on the NASDAQ National Market System, the security will be valued at the last sale price or, if there have been no sales that day, at the mean of the current bid and ask price. Securities for which market quotations are not readily available or as a result of an event occurring after the close of the foreign market but before pricing the Funds are valued at fair value as determined in good faith under procedures established by and under the supervision of the Funds’ Board of Trustees. Securities that are primarily traded on foreign exchanges generally are valued at the closing price of such securities on their respective exchanges, except that if the Trusts’ manager or submanager, as applicable, is of the opinion that such price would result in an inappropriate value for a security, including as a result of an occurrence subsequent to the time a value was so established, then the fair value of those securities may be determined by consideration of other factors (including the use of an independent pricing service) by or under the direction of the Board of Trustees or its delegates.

The Funds follow a fair value hierarchy that distinguishes between (a) market participant assumptions developed based on market data obtained from sources independent of the reporting entity (observable inputs) and (b) the Fund’s own assumptions about market participant assumptions developed based on the best information available in the circumstances (unobservable inputs). These inputs are used in determining the value of the Funds’ investments and are summarized in the following fair value hierarchy:

Level 1 — quoted prices in active markets for identical securities

Level 2 — other significant observable inputs (including quoted prices for similar securities, interest rates, and evaluated quotation obtained from pricing services)

Level 3 — significant unobservable inputs (including the Funds’ own assumptions in determining the fair value of investments)

The inputs or methodology used for valuing securities are not an indication of the risk associated with investing in those securities.

 

31


Domini Impact Equity Fund

Domini International Opportunities Fund

Domini Sustainable Solutions Fund

Domini Impact International Equity Fund

NOTES TO PORTFOLIO OF INVESTMENTS (continued)

October 31, 2021 (Unaudited)

 

The following is a summary of the inputs used by the Domini Impact Equity Fund, as of October 31, 2021, in valuing the Fund’s assets carried at fair value:

 

     Level 1 -
Quoted Prices
     Level 2 -
Other
Significant
Observable
Inputs
     Level 3 -
Significant
Unobservable
Inputs
     Total  

Common Stocks

           

Communication Services

   $ 123,105,698      $ —        $ —        $ 123,105,698  

Consumer Discretionary

     156,018,177        —          —          156,018,177  

Consumer Staples

     60,793,812        —          —          60,793,812  

Financials

     107,973,872        —          —          107,973,872  

Health Care

     141,454,031        —          —          141,454,031  

Industrials

     79,533,424        —          —          79,533,424  

Information Technology

     420,479,256        —          —          420,479,256  

Materials

     19,053,285        —          —          19,053,285  

Real Estate

     30,660,706        —          —          30,660,706  

Utilities

     5,623,735        —          —          5,623,735  
  

 

 

    

 

 

    

 

 

    

 

 

 

Total

   $ 1,144,695,996      $ —        $ —        $ 1,144,695,996  
  

 

 

    

 

 

    

 

 

    

 

 

 

The following is a summary of the inputs used by the Domini International Opportunities Fund, as of October 31, 2021, in valuing the Fund’s assets carried at fair value:

 

     Level 1 -
Quoted Prices
     Level 2 -
Other
Significant
Observable
Inputs
     Level 3 -
Significant
Unobservable
Inputs
     Total  

Common Stocks

           

Argentina

   $ 219,191      $ —        $ —        $ 219,191  

Australia

     —          799,587        —          799,587  

Austria

     —          101,182        —          101,182  

Belgium

     —          136,729        —          136,729  

Canada

     560,114        —          —          560,114  

China

     170,251        205,045        —          375,296  

Denmark

     26,124        1,119,146        —          1,145,270  

Finland

     —          332,687        —          332,687  

France

     —          2,246,937        —          2,246,937  

Germany

     —          2,982,932        —          2,982,932  

Hong Kong

     —          748,576        —          748,576  

Hungary

     —          42,221        —          42,221  

Ireland

     66,238        231,339        —          297,577  

Italy

     —          225,187        —          225,187  

Japan

     —          6,067,771        —          6,067,771  

Netherlands

     —          2,595,468        —          2,595,468  

New Zealand

     —          92,959        —          92,959  

Norway

     —          249,177        —          249,177  

 

32


Domini Impact Equity Fund

Domini International Opportunities Fund

Domini Sustainable Solutions Fund

Domini Impact International Equity Fund

NOTES TO PORTFOLIO OF INVESTMENTS (continued)

October 31, 2021 (Unaudited)

 

     Level 1 -
Quoted Prices
     Level 2 -
Other
Significant
Observable
Inputs
     Level 3 -
Significant
Unobservable
Inputs
     Total  

Poland

     9,552        —          —          9,552  

Singapore

     —          99,477        —          99,477  

South Africa

     —          45,114        —          45,114  

South Korea

     23,451        —          —          23,451  

Spain

     53,100        648,339        —          701,439  

Sweden

     405,396        529,052        —          934,448  

Switzerland

     82,659        1,156,657        —          1,239,316  

United Kingdom

     555,774        2,059,500        —          2,615,274  

United States

     1,759,385        492,338        —          2,251,723  
  

 

 

    

 

 

    

 

 

    

 

 

 

Total

   $ 3,931,235      $ 23,207,420      $ —        $ 27,138,655  
  

 

 

    

 

 

    

 

 

    

 

 

 

The following is a summary of the inputs used by the Domini Sustainable Solutions Fund, as of October 31, 2021, in valuing the Fund’s assets carried at fair value:

 

     Level 1 -
Quoted Prices
     Level 2 -
Other
Significant
Observable
Inputs
     Level 3 -
Significant
Unobservable
Inputs
     Total  

Common Stocks

           

Communication Services

   $ 1,249,892      $ 899,995      $ —        $ 2,149,887  

Consumer Discretionary

     4,087,497        653,247        —          4,740,744  

Consumer Staples

     1,394,592        —          —          1,394,592  

Financials

     1,531,494        1,002,150        —          2,533,644  

Health Care

     7,150,342        437,389        —          7,587,731  

Industrials

     1,871,086        4,168,293        —          6,039,379  

Information Technology

     10,656,379        1,349,812        —          12,006,191  

Real Estate

     1,421,822        —          —          1,421,822  
  

 

 

    

 

 

    

 

 

    

 

 

 

Total

   $ 29,363,104      $ 8,510,886      $ —        $ 37,873,990  
  

 

 

    

 

 

    

 

 

    

 

 

 

The following is a summary of the inputs used by the Domini Impact International Equity Fund, as of October 31, 2021, in valuing the Fund’s assets carried at fair value:

 

     Level 1 -
Quoted Prices
     Level 2 -
Other
Significant
Observable
Inputs
     Level 3 -
Significant
Unobservable
Inputs
     Total  

Common Stocks

           

Australia

   $ —        $ 61,609,258      $ —        $ 61,609,258  

Austria

     —          10,157,789        —          10,157,789  

Belgium

     —          6,808,444        —          6,808,444  

 

33


Domini Impact Equity Fund

Domini International Opportunities Fund

Domini Sustainable Solutions Fund

Domini Impact International Equity Fund

NOTES TO PORTFOLIO OF INVESTMENTS (continued)

October 31, 2021 (Unaudited)

 

     Level 1 -
Quoted Prices
     Level 2 -
Other
Significant
Observable
Inputs
     Level 3 -
Significant
Unobservable
Inputs
     Total  

Brazil

     11,017,420        —          —          11,017,420  

China

     —          33,741,589        —          33,741,589  

Denmark

     —          44,797,118        —          44,797,118  

Finland

     —          15,236,868        —          15,236,868  

France

     —          132,173,949        —          132,173,949  

Germany

     —          101,736,069        —          101,736,069  

Hong Kong

     —          32,154,657        —          32,154,657  

Hungary

     2,541,136        —          —          2,541,136  

India

     —          4,971,064        —          4,971,064  

Ireland

     —          3,737,034        —          3,737,034  

Israel

     27,592,438        —          —          27,592,438  

Italy

     —          48,895,536        —          48,895,536  

Japan

     —          353,876,396        —          353,876,396  

Luxembourg

     —          3,077,966        —          3,077,966  

Mexico

     2,159,067        —          —          2,159,067  

Netherlands

     —          74,117,061        —          74,117,061  

Norway

     —          9,677,051        —          9,677,051  

Russian Federation

     —          1,678,755        —          1,678,755  

Singapore

     —          14,641,271        —          14,641,271  

South Africa

     22,019,662        4,065,953        —          26,085,615  

South Korea

     —          1,570,661        —          1,570,661  

Spain

     —          43,742,717        —          43,742,717  

Sweden

     6,091,087        45,131,348        —          51,222,435  

Switzerland

     —          189,289,875        —          189,289,875  

Taiwan

     —          33,586,338        —          33,586,338  

Thailand

     —          3,511,747        —          3,511,747  

United Kingdom

     8,418,642        173,809,415        —          182,228,057  

United States

     17,975,909        51,348,553        —          69,324,462  
  

 

 

    

 

 

    

 

 

    

 

 

 

Total

   $ 97,815,361      $ 1,499,144,482      $ —        $ 1,596,959,843  
  

 

 

    

 

 

    

 

 

    

 

 

 

 

34


Domini Impact Bond Fund

Portfolio of Investments

October 31, 2021 (Unaudited)

 

Security

   Principal
Amount*
            Value  

Long Term Investments – 105.0%

        

Mortgage Backed Securities – 50.5%

        

Agency Collateralized Mortgage Obligations – 5.2%

        

Federal Home Loan Mortgage Corp.

                         

Series 3768, Class CB, 3.500%, 12/15/25

     113,943         $ 119,179  

Series 3800, Class CB, 3.500%, 2/15/26

     219,727           229,739  

Series 3806, Class L, 3.500%, 2/15/26

     688,674           719,410  

Series 3877, Class LM, 3.500%, 6/15/26

     431,408           451,691  

Series 4961, Class JB, 2.500%, 12/15/42

     243,394           251,777  

Federal National Mortgage Association

        

Series 2012-17, Class BC, 3.500%, 3/25/27

     368,000           389,399  

Series 2019-6, Class GJ, 3.000%, 2/25/49

     111,606           116,765  

Series 2020-1, Class AC, 3.500%, 8/25/58

     346,348           371,705  

Federal National Mortgage Association Connecticut Avenue Securities

        

Series 2016-C07, Class 2M2, 4.439%, (1 Month USD-LIBOR + 4.35%), 5/25/29 (a)

     126,520           132,053  

Series 2017-C01, Class 1M2, 3.639%, (1 Month USD-LIBOR + 3.55%), 7/25/29 (a)

     80,985           83,651  

Freddie Mac Multiclass Certificates, Series 2021-P011, Class X1, 1.848%, 9/25/45 (a)

     2,331,945           368,098  

Freddie Mac Multifamily Structured Pass Through Certificates

        

Series K103, Class X1, 0.638%, 11/25/29 (a)

     8,918,368           415,779  

Series K111, Class X1, 1.572%, 5/25/30 (a)

     1,451,334           169,080  

Series K112, Class X1, 1.432%, 5/25/30 (a)

     1,503,288           161,522  

Series K113, Class X1, 1.387%, 6/25/30 (a)

     2,549,836           264,793  

Series K114, Class X1, 1.118%, 6/25/30 (a)

     2,350,622           199,136  

Series K119, Class X1, 0.932%, 9/25/30 (a)

     4,974,457           353,519  

Series K121, Class X1, 1.028%, 10/25/30 (a)

     663,964           51,872  

Series K122, Class X1, 0.883%, 11/25/30 (a)

     364,552           25,041  

Series K124, Class X1, 0.721%, 12/25/30 (a)

     1,467,744           85,415  

Series K740, Class X1, 0.759%, 9/25/27 (a)

     1,297,186           51,616  

Series KG03, Class X1, 1.381%, 6/25/30 (a)

     3,210,000           324,737  

Series KG04, Class X1, 0.853%, 11/25/30 (a)

     2,418,347           157,800  

Series KG05, Class X1, 0.312%, 1/25/31 (a)

     2,465,000           65,229  

Series KSG1, Class X1, 1.156%, 9/25/30 (a)

     4,066,557           351,959  

Series Q014, Class X, 2.800%, 10/25/55 (a)

     2,167,949           504,115  

FREMF Mortgage Trust

        

Series 2017-K64, Class B, 3.993%, 5/25/50 (a)(b)

     70,000           76,522  

Series 2017-K65, Class B, 4.073%, 7/25/50 (a)(b)

     155,000           171,166  

Series 2017-K66, Class B, 4.035%, 7/25/27 (a)(b)

     136,000           149,306  

Series 2017-K67, Class B, 3.945%, 9/25/49 (a)(b)

     85,000           93,029  

Series 2017-K67, Class C, 3.945%, 9/25/49 (a)(b)

     100,000           105,072  

Series 2017-K68, Class B, 3.843%, 10/25/49 (a)(b)

     90,000           98,015  

Series 2017-K69, Class C, 3.726%, 10/25/49 (a)(b)

     40,000           42,667  

Series 2017-K71, Class B, 3.753%, 11/25/50 (a)(b)

     220,000           239,254  

Series 2017-K71, Class C, 3.753%, 11/25/50 (a)(b)

     65,000           68,214  

Series 2017-K725, Class B, 3.882%, 2/25/50 (a)(b)

     100,000           105,504  

Series 2017-K726, Class B, 3.987%, 7/25/49 (a)(b)

     175,000           185,496  

 

35


Domini Impact Bond Fund

Portfolio of Investments (continued)

October 31, 2021 (Unaudited)

 

Security

   Principal
Amount*
            Value  

Agency Collateralized Mortgage Obligations (Continued)

        

Series 2017-K729, Class B, 3.675%, 11/25/49 (a)(b)

     250,000         $ 264,007  

Series 2017-K729, Class C, 3.675%, 11/25/49 (a)(b)

     90,000           93,915  

Series 2018-K154, Class B, 4.020%, 11/25/32 (a)(b)

     67,000           71,465  

Series 2018-K77, Class B, 4.160%, 5/25/51 (a)(b)

     355,000           393,789  

Series 2018-K85, Class C, 4.320%, 12/25/50 (a)(b)

     550,000           601,561  

Series 2018-KW07, Class B, 4.081%, 10/25/31 (a)(b)

     461,000           490,778  

Series 2019-100, Class C, 3.490%, 11/25/52 (a)(b)

     380,000           394,310  

Series 2019-K103, Class B, 3.453%, 12/25/51 (a)(b)

     525,000           559,412  

Series 2019-K736, Class C, 3.758%, 7/25/26 (a)(b)

     400,000           422,751  

Series 2019-K95, Class C, 3.919%, 8/25/52 (a)(b)

     307,000           330,150  

Series 2019-K97 , Class C, 3.764%, 9/25/51 (a)(b)

     204,000           217,264  

Series 2020-K104, Class B, 3.539%, 2/25/52 (a)(b)

     520,000           557,676  

Series K95, Class B, 3.919%, 8/25/52 (a)(b)

     500,000           548,997  

Series K99, Class B, 3.646%, 10/25/52 (a)(b)

     565,000           613,018  

SLG Office Trust 2021-OVA, Series OVA, Class C, 2.851%, 7/15/41 (b)

     835,000           859,259  

STACR Trust, Series 2018-HRP1, Class M2, 1.739%, (1 Month USD-LIBOR + 1.65%), 4/25/43 (a)(b)

     52,657           52,826  
        

 

 

 
           14,220,503  
        

 

 

 

Commercial Mortgage-Backed Securities – 6.0%

        

245 Park Avenue Trust, Series 2017-245P, Class A, 3.508%, 6/5/37 (b)

     800,000           863,898  

BANK

        

Series 2017-BNK8, Class ASB, 3.314%, 11/15/50

     147,000           156,711  

Series BN18, Class XA, 0.899%, 5/15/62 (a)

     2,138,129           123,197  

Series BN24, Class XA, 0.646%, 11/15/62 (a)

     5,538,736           260,063  

Series BN28, Class XA, 1.784%, 3/15/63 (a)

     1,932,479           253,682  

Benchmark Mortgage Trust

        

Series 2019-B10, Class XA, 1.227%, 3/15/62 (a)

     2,333,620           166,864  

Series 2020-B18, Class XA, 1.793%, 7/15/53 (a)

     504,268           54,514  

Series 2020-B22, Class XA, 1.521%, 1/15/54 (a)

     885,572           103,283  

BWAY Mortgage Trust

        

Series 2013-1515, Class A1, 2.809%, 3/10/33 (b)

     83,610           86,103  

Series 2013-1515, Class A2, 3.454%, 3/10/33 (b)

     1,000,000           1,058,127  

CityLine Commercial Mortgage Trust, Series 2016-CLNE, Class A, 2.778%,
11/10/31 (a)(b)

     800,000           820,309  

COMM Mortgage Trust

        

Series 2013-WWP, Class A2, 3.424%, 3/10/31 (b)

     640,000           661,004  

Series 2013-WWP, Class B, 3.726%, 3/10/31 (b)

     644,000           667,242  

Series 2015-LC19, Class A4, 3.183%, 2/10/48

     291,000           307,139  

Series 2016-LC6, Class A4, 2.941%, 1/10/46

     287,682           292,773  

Series 2020-CX, Class A, 2.173%, 11/10/46 (b)

     200,000           199,903  

Series 2020-CX, Class B, 2.446%, 11/10/46 (b)

     524,000           522,579  

Series 2020-CX, Class C, 2.683%, 11/10/46 (a)(b)

     100,000           100,769  

Series 2020-CX, Class D, 2.683%, 11/10/46 (a)(b)

     100,000           98,824  

Series 2020-SBX, Class A, 1.670%, 1/10/38 (b)

     595,000           596,942  

CPT Mortgage Trust, Series 2019-CPT, Class A, 2.865%, 11/13/39 (b)

     240,000           252,362  

 

36


Domini Impact Bond Fund

Portfolio of Investments (continued)

October 31, 2021 (Unaudited)

 

Security

   Principal
Amount*
            Value  

Commercial Mortgage-Backed Securities (Continued)

        

DBJPM Mortgage Trust, Series 2020-C9, Class XA, 1.713%, 9/15/53 (a)

     642,912         $ 61,775  

DC Office Trust, Series 2019-MTC, Class A, 2.965%, 9/15/45 (b)

     370,000           391,105  

Grace Trust, Series 2020-GRCE, Class A, 2.347%, 12/10/40 (b)

     925,000           935,345  

Hudson Yards Mortgage Trust

        

Series 2016-10HY, Class A, 2.835%, 8/10/38 (b)

     800,000           838,906  

Series 2019-30HY, Class A, 3.228%, 7/10/39 (b)

     700,000           754,288  

JP Morgan Chase Commercial Mortgage Securities Corp.

        

Series 2018-AON, Class A, 4.128%, 7/5/31 (b)

     555,000           581,079  

Series 2021-NYAH, Class G, 2.720%, (1 Month USD-LIBOR + 2.64%),
6/15/38 (a)(b)(c).

     655,000           655,474  

Life Mortgage Trust, Series 2021-BMR, Class D, 1.491%, (1 Month USD-LIBOR + 1.4%), 3/15/38 (a)(b)

     120,000           120,064  

MAD Mortgage Trust, Series 2017-330M, Class A, 3.188%, 8/15/34 (a)(b)

     829,000           844,998  

MKT Mortgage Trust, Series 2020-525M, Class A, 2.694%, 2/12/40 (b)

     600,000           622,216  

Morgan Stanley Bank of America Merrill Lynch Trust

        

Series 2013-C12, Class A4, 4.259%, 10/15/46 (a)

     300,000           315,408  

Series 2014-C15, Class A4, 4.051%, 4/15/47

     300,000           318,201  

Series 2014-C19, Class A4, 3.526%, 12/15/47

     180,167           190,908  

Morgan Stanley Capital I Trust

        

Series 2017-CLS, Class A, 0.790%, (1 Month USD-LIBOR + 0.7%), 11/15/34 (a)(b)

     531,000           530,845  

Series 2017-CLS, Class F, 2.690%, (1 Month USD-LIBOR + 2.6%), 11/15/34 (a)(b)

     650,000           648,877  

One Market Plaza Trust, Series 2017-1MKT, Class A, 3.614%, 2/10/32 (b)

     710,000           715,612  

Wells Fargo Commercial Mortgage Trust, Series 2015-NXS3, Class A4, 3.617%, 9/15/57

     340,000           366,029  
        

 

 

 
           16,537,418  
        

 

 

 

Federal Home Loan Mortgage Corporation – 1.0%

        

Federal Home Loan Mortgage Corp.

        

2.500%, 8/1/27

     27,054           28,245  

2.500%, 11/1/27

     76,317           79,758  

3.000%, 1/1/27

     104,904           110,676  

3.000%, 7/1/42

     26,129           27,726  

3.000%, 5/1/45

     270,534           287,174  

3.012%, (12 Month USD-LIBOR + 1.628%), 10/1/43 (a)

     44,022           45,710  

3.500%, 12/1/32

     129,572           138,717  

3.500%, 6/1/48

     537,757           569,266  

4.000%, 2/1/37

     44,432           48,967  

4.000%, 8/1/39

     27,815           30,808  

4.000%, 10/1/39

     55,673           61,574  

4.000%, 10/1/39

     54,876           60,495  

4.000%, 11/1/39

     26,697           29,527  

4.000%, 10/1/40

     80,306           88,953  

4.000%, 11/1/40

     76,513           84,347  

4.000%, 11/1/40

     13,487           14,870  

4.000%, 11/1/40

     9,783           10,819  

4.000%, 12/1/40

     34,955           38,474  

4.000%, 6/1/41

     6,535           7,004  

 

37


Domini Impact Bond Fund

Portfolio of Investments (continued)

October 31, 2021 (Unaudited)

 

Security

   Principal
Amount*
            Value  

Federal Home Loan Mortgage Corporation (Continued)

        

4.500%, 4/1/35

     70,680         $ 78,595  

4.500%, 9/1/35

     100,770           112,101  

4.500%, 7/1/36

     69,200           76,879  

4.500%, 6/1/39

     128,451           143,713  

4.500%, 9/1/40

     19,671           21,933  

4.500%, 2/1/41

     38,687           43,132  

5.000%, 8/1/33

     12,746           14,531  

5.000%, 10/1/33

     6,364           7,070  

5.000%, 4/1/35

     15,295           17,488  

5.000%, 7/1/35

     100,486           114,884  

5.000%, 7/1/35

     16,933           19,358  

5.000%, 1/1/37

     62,056           70,915  

5.000%, 7/1/40

     42,301           48,296  

5.000%, 4/1/41

     36,503           41,631  

5.500%, 12/1/36

     63,139           73,612  

5.500%, 8/1/40

     91,156           106,572  

6.000%, 8/1/36

     10,068           11,909  

6.000%, 7/1/39

     61,574           72,843  
        

 

 

 
           2,838,572  
        

 

 

 

Federal National Mortgage Association – 28.6%

        

Federal National Mortgage Association

        

1.890%, (12 Month USD-LIBOR + 1.58%), 5/1/44 (a)

     14,121           14,548  

2.000%, 10/1/27

     102,509           105,753  

2.000%, 1/1/28

     85,022           87,583  

2.500%, 6/1/24

     97,466           101,252  

2.500%, 11/1/31

     61,861           64,573  

2.500%, 12/1/31

     17,712           18,491  

2.500%, 12/1/43

     112,169           115,623  

2.500%, 4/1/45

     135,863           140,423  

3.000%, 8/1/46

     37,948           40,086  

3.000%, 10/1/46

     686,807           723,499  

3.000%, 11/1/46

     736,027           776,444  

3.000%, 12/1/46

     324,869           343,153  

3.500%, 12/1/31

     6,851           7,275  

3.500%, 1/1/32

     116,434           123,610  

3.500%, 1/1/32

     66,187           70,285  

3.500%, 10/1/32

     86,504           92,762  

3.500%, 6/1/46

     497,569           532,782  

3.500%, 1/1/48

     381,422           402,646  

4.000%, 11/1/30

     11,697           12,603  

4.000%, 10/1/33

     75,244           82,440  

4.000%, 12/1/36

     20,780           22,951  

4.000%, 8/1/39

     27,696           30,517  

4.000%, 10/1/39

     18,413           20,355  

 

38


Domini Impact Bond Fund

Portfolio of Investments (continued)

October 31, 2021 (Unaudited)

 

Security

   Principal
Amount*
            Value  

Federal National Mortgage Association (Continued)

        

4.000%, 12/1/39

     26,027         $ 28,705  

4.000%, 1/1/40

     234,606           259,358  

4.000%, 3/1/40

     27,987           30,937  

4.000%, 8/1/40

     58,139           64,148  

4.000%, 8/1/40

     10,591           11,711  

4.000%, 10/1/40

     126,786           140,397  

4.000%, 10/1/40

     19,321           21,294  

4.000%, 11/1/40

     20,336           22,416  

4.000%, 11/1/40

     14,672           16,196  

4.000%, 12/1/40

     45,713           51,122  

4.000%, 2/1/41

     46,687           51,385  

4.500%, 8/1/35

     22,090           24,541  

4.500%, 8/1/36

     18,399           20,324  

4.500%, 8/1/38

     54,228           60,614  

4.500%, 3/1/39

     67,307           75,283  

4.500%, 9/1/39

     24,771           27,607  

4.500%, 2/1/40

     31,155           34,847  

4.500%, 8/1/40

     73,089           81,754  

4.500%, 1/1/41

     21,847           24,324  

4.500%, 9/1/41

     44,666           49,920  

5.000%, 10/1/39

     2,719           3,116  

5.500%, 8/1/37

     42,149           49,002  

6.000%, 12/1/35

     22,814           26,326  

6.000%, 3/1/36

     142,212           162,949  

6.000%, 6/1/36

     49,403           58,425  

6.000%, 8/1/37

     13,548           15,879  

6.000%, 3/1/38

     25,295           29,918  

TBA 15 Yr, 2.000%, 11/16/36 (c)

     4,300,000           4,412,035  

TBA 15 Yr, 3.000%, 11/16/36 (c)

     1,700,000           1,781,945  

TBA 30 Yr, 2.000%, 11/10/51 (c)

     31,950,000           31,946,255  

TBA 30 Yr, 2.000%, 12/13/51 (c)

     12,695,000           12,667,230  

TBA 30 Yr, 2.500%, 11/10/51 (c)

     5,095,000           5,232,724  

TBA 30 Yr, 2.500%, 12/13/51 (c)

     2,505,000           2,566,744  

TBA 30 Yr, 3.000%, 11/10/51 (c)

     5,800,000           6,052,164  

TBA 30 Yr, 3.500%, 11/10/51 (c)

     1,700,000           1,796,688  

TBA 30 Yr, 4.000%, 11/10/51 (c)

     5,800,000           6,210,520  
        

 

 

 
           78,038,457  
        

 

 

 

Government National Mortgage Association – 9.7%

        

Government National Mortgage Association

        

TBA 30 Yr, 2.000%, 11/18/51 (c)

     2,200,000           2,226,984  

TBA 30 Yr, 2.500%, 11/18/51 (c)

     5,225,000           5,371,137  

TBA 30 Yr, 2.500%, 12/20/51 (c)

     2,700,000           2,769,926  

TBA 30 Yr, 3.000%, 11/18/51 (c)

     3,800,000           3,945,617  

TBA 30 Yr, 3.000%, 12/20/51 (c)

     3,800,000           3,940,867  

 

39


Domini Impact Bond Fund

Portfolio of Investments (continued)

October 31, 2021 (Unaudited)

 

Security

   Principal
Amount*
            Value  

Government National Mortgage Association (Continued)

        

TBA 30 Yr, 3.500%, 11/19/50 (c)

     5,300,000         $ 5,545,125  

TBA 30 Yr, 4.000%, 11/18/51 (c)

     1,600,000           1,695,997  

TBA 30 Yr, 4.500%, 11/18/51 (c)

     900,000           960,047  
        

 

 

 
           26,455,700  
        

 

 

 

Total Mortgage Backed Securities
(Cost $137,265,997)

           138,090,650  
        

 

 

 

Corporate Bonds and Notes – 31.0%

        

Communications – 3.9%

        

Alibaba Group Holding, Ltd., 2.800%, 6/6/23

     200,000           206,193  

AT&T, Inc.

        

2.750%, 6/1/31

     1,285,000           1,308,687  

3.550%, 9/15/55

     572,000           580,601  

CBS Corp., 2.900%, 1/15/27

     400,000           420,746  

Charter Communications Operating LLC/Charter Communications Operating Capital, 6.484%, 10/23/45

     1,325,000           1,828,939  

Comcast Corp., 3.200%, 7/15/36

     650,000           691,874  

Cox Communications, Inc.

        

3.150%, 8/15/24 (b)

     57,000           59,911  

3.850%, 2/1/25 (b)

     10,000           10,725  

eBay, Inc., 3.600%, 6/5/27

     195,000           213,018  

Go Daddy Operating Co. LLC/GD Finance Co., Inc., 3.500%, 3/1/29 (b)

     410,000           397,188  

Gray Television, Inc., 5.875%, 7/15/26 (b)

     200,000           206,500  

MercadoLibre, Inc., 2.375%, 1/14/26

     800,000           779,000  

Millicom International Cellular SA, 4.500%, 4/27/31 (b)

     950,000           980,647  

Verizon Communications, Inc.

        

2.355%, 3/15/32 (b)

     61,000           60,127  

3.400%, 3/22/41

     1,250,000           1,310,923  

ViacomCBS, Inc., 4.950%, 1/15/31

     985,000           1,170,914  

Vodafone Group PLC

        

4.375%, 2/19/43

     70,000           81,765  

6.150%, 2/27/37

     185,000           253,682  
        

 

 

 
           10,561,440  
        

 

 

 

Consumer, Cyclical – 2.5%

        

Aptiv Corp., 4.150%, 3/15/24

     401,000           428,004  

Home Depot, Inc. (The), 5.950%, 4/1/41

     420,000           607,669  

O’Reilly Automotive, Inc., 3.800%, 9/1/22

     155,000           157,933  

Starbucks Corp.

        

2.550%, 11/15/30

     990,000           1,013,982  

3.750%, 12/1/47

     275,000           308,497  

4.450%, 8/15/49

     750,000           933,657  

Toll Brothers Finance Corp., 4.350%, 2/15/28

     600,000           655,500  

Toyota Motor Corp., 2.362%, 3/25/31

     1,500,000           1,548,902  

 

40


Domini Impact Bond Fund

Portfolio of Investments (continued)

October 31, 2021 (Unaudited)

 

Security

   Principal
Amount*
            Value  

Consumer, Cyclical (Continued)

        

YMCA of Greater New York

        

2.303%, 8/1/26

     765,000         $ 761,212  

Series 2020, 3.230%, 8/1/32

     375,000           364,163  
        

 

 

 
           6,779,519  
        

 

 

 

Consumer, Non-cyclical – 7.6%

        

Advocate Health & Hospitals Corp.

        

Series 2020, 2.211%, 6/15/30

     325,000           326,071  

3.829%, 8/15/28

     1,115,000           1,251,380  

Allina Health System, 4.805%, 11/15/45

     291,000           380,887  

Amgen, Inc.

        

2.300%, 2/25/31

     1,000,000           995,911  

3.200%, 11/2/27

     525,000           563,554  

Biogen, Inc., 3.250%, 2/15/51 (b)

     448,000           449,088  

Bon Secours Mercy Health, Inc., 1.350%, 6/1/25

     155,000           155,272  

Boston Medical Center Corp., 4.519%, 7/1/26

     705,000           777,053  

Bristol-Myers Squibb Co., 3.875%, 8/15/25

     154,000           168,521  

CommonSpirit Health senior secured note

        

2.782%, 10/1/30

     185,000           189,257  

3.347%, 10/1/29

     600,000           640,471  

Conservation Fund A Nonprofit Corp. (The), 3.474%, 12/15/29

     800,000           843,900  

Dignity Health

        

4.500%, 11/1/42

     408,000           488,213  

5.267%, 11/1/64

     250,000           351,993  

ERAC USA Finance LLC, 3.850%, 11/15/24 (b)

     500,000           535,515  

Gartner, Inc., 3.750%, 10/1/30 (b)

     160,000           162,400  

Gilead Sciences, 1.650%, 10/1/30

     300,000           287,337  

Hologic, Inc., 3.250%, 2/15/29 (b)

     695,000           690,222  

Howard University

        

Series 2020, 1.991%, 10/1/25

     120,000           119,131  

Series 2020, 2.657%, 10/1/26

     100,000           101,788  

Series 2020, 3.476%, 10/1/41

     1,850,000           1,956,304  

John D and Catherine T MacArthur Foundation, 1.299%, 12/1/30

     1,440,000           1,353,070  

Kaiser Foundation Hospitals, 3.150%, 5/1/27

     185,000           198,734  

McCormick & Co, Inc., 2.500%, 4/15/30

     700,000           712,285  

Northeastern University, 5.285%, 3/1/32

     100,000           119,002  

Ochsner Clinic Foundation, 5.897%, 5/15/45

     400,000           568,238  

Ochsner LSU Health System of North Louisiana, 2.510%, 5/15/31

     1,250,000           1,218,529  

PeaceHealth Obligated Group, 1.375%, 11/15/25

     1,000,000           1,002,671  

Royalty Pharma PLC

        

2.150%, 9/2/31

     350,000           333,376  

3.300%, 9/2/40

     1,250,000           1,248,910  

Stanford Health Care, 3.310%, 8/15/30

     595,000           646,542  

StoneCo, Ltd., 3.950%, 6/16/28 (b)

     1,200,000           1,078,548  

 

41


Domini Impact Bond Fund

Portfolio of Investments (continued)

October 31, 2021 (Unaudited)

 

Security

   Principal
Amount*
            Value  

Consumer, Non-cyclical (Continued)

        

Thermo Fisher Scientific, Inc.

        

2.375%, 4/15/32

     305,000         $ 402,428  

4.133%, 3/25/25

     375,000           409,390  
        

 

 

 
           20,725,991  
        

 

 

 

Energy – 0.8%

        

Azure Power Energy, Ltd., 3.575%, 8/19/26 (b)

     200,000           202,085  

Azure Power Solar Energy Pvt, Ltd., 5.650%, 12/24/24 (b)

     500,000           526,250  

Greenko Dutch BV, 3.850%, 3/29/26 (b)

     896,350           906,344  

Investment Energy Resources, Ltd., 6.250%, 4/26/29 (b)

     500,000           536,283  
        

 

 

 
           2,170,962  
        

 

 

 

Financial – 10.1%

        

AerCap Ireland Capital DAC/AerCap Global Aviation Trust, 3.500%, 5/26/22

     775,000           785,985  

AIA Group, Ltd., 4.500%, 3/16/46 (b)

     325,000           412,247  

Air Lease Corp., 3.625%, 12/1/27

     500,000           532,053  

American International Group, Inc., 3.900%, 4/1/26

     380,000           417,484  

American Tower Corp.

        

3.375%, 5/15/24

     235,000           247,978  

5.000%, 2/15/24

     362,000           394,221  

AXA SA, 8.600%, 12/15/30

     400,000           589,239  

Bank of America Corp.

        

Series MTN, 2.456%, (3 Month USD-LIBOR + 0.87%), 10/22/25 (a)

     545,000           563,773  

4.083%, (3 Month USD-LIBOR + 3.15%), 3/20/51 (a)

     500,000           604,114  

7.750%, 5/14/38

     700,000           1,096,873  

BlueHub Loan Fund, Inc., 2.890%, 1/1/27

     600,000           613,461  

BNP Paribas SA, 3.800%, 1/10/24 (b)

     245,000           259,561  

Boston Properties L.P., 3.650%, 2/1/26

     430,000           464,560  

BPCE SA

        

3.000%, 5/22/22 (b)

     250,000           253,594  

4.875%, 4/1/26 (b)

     500,000           558,255  

Brandywine Operating Partnership L.P., 4.550%, 10/1/29

     500,000           556,166  

Brighthouse Financial, Inc., 5.625%, 5/15/30

     890,000           1,069,134  

Citigroup, Inc.

        

1.678%, (SOFR + 1.667), 5/15/24 (a)

     1,000,000           1,015,023  

2.561%, (SOFR + 1.167), 5/1/32 (a)

     500,000           502,800  

3.352%, (3 Month USD-LIBOR + 0.8966%), 4/24/25 (a)

     475,000           500,530  

Cooperatieve Rabobank UA

        

3.875%, 9/26/23 (b)

     250,000           265,003  

3.950%, 11/9/22

     375,000           387,652  

Credit Agricole SA, 4.125%, 1/10/27 (b)

     1,000,000           1,106,620  

Crown Castle International Corp., 3.700%, 6/15/26

     300,000           324,204  

Discover Financial Services, 3.750%, 3/4/25

     325,000           347,537  

Fifth Third Bancorp, 8.250%, 3/1/38

     425,000           701,820  

HAT Holdings I LLC/HAT Holdings II LLC, 6.000%, 4/15/25 (b)

     450,000           469,215  

HSBC Holdings PLC, 4.950%, 3/31/30

     1,000,000           1,178,864  

 

42


Domini Impact Bond Fund

Portfolio of Investments (continued)

October 31, 2021 (Unaudited)

 

Security

   Principal
Amount*
            Value  

Financial (Continued)

        

ING Groep NV, 4.625%, 1/6/26 (b)

     750,000         $ 840,833  

Kimco Realty Corp., 3.400%, 11/1/22

     160,000           163,697  

Kreditanstalt fuer Wiederaufbau, 0.000%, 6/29/37

     3,000,000           2,243,815  

KWG Group Holdings, Ltd., 6.000%, 8/14/26 (b)

     275,000           222,275  

Marsh & McLennan Cos., Inc., 3.300%, 3/14/23

     100,000           103,297  

Morgan Stanley

        

2.699%, (SOFR + 1.143), 1/22/31 (a)

     640,000           654,928  

3.950%, 4/23/27

     210,000           230,695  

Nationwide Mutual Insurance Co., 4.350%, 4/30/50 (b)

     550,000           640,582  

New York Life Insurance Co., 3.750%, 5/15/50 (b)

     160,000           183,565  

Nuveen Finance LLC, 4.125%, 11/1/24 (b)

     160,000           174,137  

Prologis L.P., 3.250%, 10/1/26

     165,000           177,897  

Prudential PLC, 3.125%, 4/14/30

     155,000           166,279  

Regency Centers L.P., 3.750%, 6/15/24

     300,000           318,910  

Reinsurance Group of America, Inc.

        

3.950%, 9/15/26

     250,000           274,626  

Series MTN, 4.700%, 9/15/23

     164,000           175,407  

Scentre Group Trust 1/Scentre Group Trust 2, 4.375%, 5/28/30 (b)

     615,000           705,276  

Sumitomo Mitsui Trust Bank, Ltd., 1.550%, 3/25/26 (b)

     1,500,000           1,498,154  

Truist Financial Corp., Series MTN, 3.875%, 3/19/29

     575,000           646,747  

U.S. Bancorp, Series MTN, 3.600%, 9/11/24

     493,000           528,767  

USAA Capital Corp., 2.125%, 5/1/30 (b)

     885,000           887,948  

Ventas Realty L.P., 3.500%, 2/1/25

     500,000           532,059  

Yuzhou Group Holdings Co., Ltd., 6.350%, 1/13/27 (b)

     255,000           115,946  
        

 

 

 
           27,703,806  
        

 

 

 

Industrial – 2.0%

        

Ardagh Metal Packaging Finance USA LLC/Ardagh Metal Packaging Finance PLC, 3.250%, 9/1/28 (b)

     200,000           196,000  

Ardagh Packaging Finance PLC/Ardagh Holdings USA, Inc., 5.250%, 8/15/27 (b)

     360,000           359,550  

Interchile SA, 4.500%, 6/30/56 (b)

     1,000,000           1,055,940  

Johnson Controls International PLC/Tyco Fire & Security Finance SCA, 2.000%, 9/16/31

     1,400,000           1,357,117  

Klabin Austria GmbH, 5.750%, 4/3/29 (b)

     700,000           763,000  

Nature Conservancy (The), Series A, 1.154%, 7/1/27

     430,000           419,052  

WRKCo, Inc., 3.000%, 9/15/24

     375,000           393,848  

Xylem, Inc., 2.250%, 1/30/31

     900,000           900,866  
        

 

 

 
           5,445,373  
        

 

 

 

Technology – 1.6%

        

Apple, Inc., 2.650%, 5/11/50

     300,000           296,477  

Black Knight InfoServ LLC, 3.625%, 9/1/28 (b)

     330,000           328,762  

Broadcom, Inc.

        

3.187%, 11/15/36 (b)

     852,000           839,614  

4.150%, 11/15/30

     958,000           1,053,705  

Change Healthcare Holdings LLC/Change Healthcare Finance, Inc., 5.750%, 3/1/25 (b)

     395,000           398,456  

HP, Inc., 3.000%, 6/17/27

     1,250,000           1,321,614  

 

43


Domini Impact Bond Fund

Portfolio of Investments (continued)

October 31, 2021 (Unaudited)

 

Security

   Principal
Amount*
            Value  

Technology (Continued)

        

Micron Technology, Inc., 4.640%, 2/6/24

     260,000         $ 280,475  
        

 

 

 
           4,519,103  
        

 

 

 

Utilities – 2.5%

        

Aegea Finance S.a.r.l., 5.750%, 10/10/24 (b)

     770,000           786,755  

Clearway Energy Operating LLC

        

3.750%, 2/15/31 (b)

     560,000           555,114  

4.750%, 3/15/28 (b)

     400,000           423,700  

EDP Finance B.V., 1.710%, 1/24/28 (b)

     1,300,000           1,269,074  

Instituto Costarricense de Electricidad, 6.750%, 10/7/31 (b)

     700,000           697,848  

NSTAR Electric Co., 3.950%, 4/1/30

     830,000           945,732  

Pattern Energy Operations L.P./Pattern Energy Operations, Inc., 4.500%, 8/15/28 (b)

     475,000           492,219  

Public Service Co. of Colorado, 4.100%, 6/15/48

     420,000           516,896  

Vena Energy Capital Pte, Ltd., 3.133%, 2/26/25 (b)

     1,000,000           1,020,486  
        

 

 

 
           6,707,824  
        

 

 

 

Total Corporate Bonds and Notes
(Cost $81,039,330)

           84,614,018  
        

 

 

 

Municipal Bonds – 9.5%

        

American Municipal Power-Ohio, Inc., (Meldahl Hydroelectric Project), 6.270%, 2/15/50

     485,000           697,961  

California Health Facilities Financing Authority, 2.984%, 6/1/33

     760,000           799,596  

Chicago Transit Authority Sales Tax Receipts Fund, 3.912%, 12/1/40

     260,000           293,570  

Colorado Health Facilities Authority, 4.480%, 12/1/40

     940,000           1,008,264  

Cook County Community High School District No. 228, IL, 5.019%, 12/1/41 (Insurer AGM)

     435,000           568,463  

County of Riverside, CA

        

2.963%, 2/15/27

     670,000           712,600  

3.070%, 2/15/28

     670,000           717,114  

District of Columbia, (Ingleside at Rock Creek)

        

3.432%, 4/1/42

     430,000           456,062  

4.125%, 7/1/27

     500,000           528,034  

Florida Development Finance Corp., 4.009%, 4/1/40

     925,000           971,953  

Illinois Finance Authority, 3.510%, 5/15/41

     1,000,000           1,028,206  

Inland Valley Development Agency, 5.500%, 3/1/33 (Insurer AGM)

     70,000           76,381  

Lancaster County Hospital Authority, PA, (Brethren Village)

        

5.000%, 7/1/24

     165,000           179,389  

5.000%, 7/1/25

     135,000           150,502  

Maryland Health and Higher Educational Facilities Authority, (Meritus Medical Center)

        

3.968%, 7/1/27

     205,000           229,997  

4.168%, 7/1/29

     40,000           46,117  

Massachusetts Development Finance Agency, (NewBridge on the Charles, Inc.), 4.000%, 10/1/27 (b)

     100,000           107,813  

Massachusetts Educational Financing Authority

        

1.921%, 7/1/27

     615,000           615,015  

2.305%, 7/1/29

     1,000,000           1,010,528  

2.306%, 7/1/25

     200,000           205,624  

 

44


Domini Impact Bond Fund

Portfolio of Investments (continued)

October 31, 2021 (Unaudited)

 

Security

   Principal
Amount*
            Value  

Municipal Bonds (Continued)

        

Massachusetts Health and Educational Facilities Authority, (Northeastern University), 6.432%, 10/1/35

     420,000         $ 570,828  

Metropolitan Government of Nashville and Davidson County, TN, (Vanderbilt University), 3.235%, 7/1/52 (a)

     800,000           810,882  

Metropolitan Transportation Authority

        

5.000%, 11/15/50

     240,000           285,606  

5.175%, 11/15/49

     855,000           1,171,506  

New Jersey Educational Facilities Authority, 3.958%, 7/1/48 (Insurer AGM)

     1,000,000           1,052,255  

New York Transportation Development Corp., 4.248%, 9/1/35

     555,000           617,017  

New York Transportation Development Corp., (LaGuardia Airport Terminal B Redevelopment), 3.473%, 7/1/28

     500,000           497,489  

Oklahoma Development Finance Authority, (OU Medicine)

        

4.650%, 8/15/30 (Insurer AGM)

     130,000           152,264  

5.450%, 8/15/28

     770,000           866,773  

Oklahoma State University, 3.427%, 9/1/36

     100,000           108,870  

Oregon Health and Science University, 5.000%, 7/1/45

     350,000           465,327  

Oregon State University, 3.424%, 3/1/60 (Insurer BAM)

     1,000,000           1,039,768  

Pennsylvania Industrial Development Authority, 3.556%, 7/1/24 (b)

     505,000           519,457  

Philadelphia, PA, Water and Wastewater Revenue, 4.189%, 10/1/37

     665,000           754,076  

Redevelopment Authority of the City of Philadelphia

        

2.239%, 9/1/29

     145,000           144,133  

2.339%, 9/1/30

     1,000,000           995,940  

Regents of the University of California Medical Center Pooled Revenue, 3.706%, 5/15/20

     900,000           1,002,430  

Sacramento, CA, 5.730%, 8/15/23 (Insurer NATL)

     340,000           357,741  

San Bernardino County, CA, Pension Obligation Revenue, 6.020%, 8/1/23 (Insurer AGM)

     145,000           155,017  

Shelby County, Health, Educational and Housing Facilities Board, (Trezevant Manor Project), 4.000%, 9/1/22 (b)

     250,000           248,994  

Southern Ohio Port Authority, 6.500%, 12/1/30 (b)

     470,000           540,795  

State Board of Administration Finance Corp., 1.258%, 7/1/25

     375,000           375,189  

Sustainable Energy Utility, Inc., 2.344%, 9/15/29

     900,000           882,148  

Uptown Development Authority, 2.581%, 9/1/31 (Insurer AGM)

     100,000           102,501  

Washington Housing Finance Commission, (Presbyterian Retirement Communities), 4.000%, 1/1/24 (b)

     300,000           304,874  

Washington Housing Finance Commission, (Transforming Age), 3.000%, 1/1/25 (b)

     985,000           985,245  

Wisconsin Health & Educational Facilities Authority

        

3.940%, 8/15/41

     335,000           342,645  

4.190%, 8/15/55

     190,000           196,106  
        

 

 

 

Total Municipal Bonds
(Cost $24,216,651)

           25,949,065  
        

 

 

 

U.S. Government Agency Obligations – 7.2%

        

Federal Farm Credit Banks Funding Corp.

        

2.625%, 10/15/49

     2,200,000           2,370,600  

2.780%, 11/2/37

     1,800,000           1,959,600  

3.430%, 4/6/45

     1,000,000           1,184,609  

3.660%, 3/7/44

     974,000           1,195,472  

 

45


Domini Impact Bond Fund

Portfolio of Investments (continued)

October 31, 2021 (Unaudited)

 

Security

   Principal
Amount*
            Value  

U.S. Government Agency Obligations (Continued)

        

Federal Home Loan Banks , 2.375%, 3/14/25

     2,710,000         $ 2,848,407  

Federal Home Loan Mortgage Corp. , 1.500%, 2/12/25

     5,600,000           5,719,713  

Federal National Mortgage Association

        

0.875%, 8/5/30

     4,000,000           3,761,544  

5.625%, 7/15/37

     391,000           589,119  
        

 

 

 

Total U.S. Government Agency Obligations
(Cost $18,864,564)

           19,629,064  
        

 

 

 

Senior Floating Rate Interests – 3.5%

        

Communication Services – 0.9%

        

Adevinta ASA EUR Term Loan B, 3.250%, (3 mo. EUR Euribor + 3.250%), 6/26/28 (a)

     185,000        EUR        214,371  

Altice France S.A. USD Term Loan B12, 3.811%, (3 mo. USD LIBOR + 3.688%), 1/31/26 (a)

     467,372           463,526  

Charter Communications Operating, LLC 2019 Term Loan B2, 1.840%, (1 mo. USD LIBOR + 1.750%), 2/1/27 (a)

     284,522           282,873  

Go Daddy Operating Company, LLC 2017 Repriced Term Loan

        

1.837%, (1 mo. USD LIBOR + 1.750%), 2/15/24 (a)

     182,628           181,509  

2.087%, (1 mo. USD LIBOR + 2.000%), 8/10/27 (a)

     306,125           304,339  

Nexstar Broadcasting, Inc. 2018 Term Loan B3, 2.337%, (1 mo. USD LIBOR + 2.250%), 1/17/24 (a)

     83,471           83,400  

UPC Financing Partnership 2021 USD Term Loan AX, 3.090%, (1 mo. USD LIBOR + 3.000%), 1/31/29 (a)

     995,000           991,891  
        

 

 

 
           2,521,909  
        

 

 

 

Consumer Discretionary – 0.5%

        

Adient US LLC 2021 Term Loan B, 3.587%, (1 mo. USD LIBOR + 3.500%), 4/8/28 (a)

     209,475           209,835  

American Builders & Contractors Supply Co., Inc. 2019 Term Loan, 2.087%, (1 mo. USD LIBOR + 2.000%), 1/15/27 (a)

     490,000           485,948  

Harbor Freight Tools USA, Inc. 2021 Term Loan B, 3.250%, (1 mo. USD LIBOR + 2.750%), 10/19/27 (a)

     571,673           570,923  
        

 

 

 
           1,266,706  
        

 

 

 

Consumer Staples – 1.2%

        

Biogroup-LCD 2021 EUR Term Loan B, 3.500%, (6 mo. EUR Euribor + 3.500%),
1/28/28 (a)

     465,000        EUR        536,042  

Boels Topholding BV 2021 EUR Term Loan B, 3.250%, (3 mo. EUR Euribor + 3.250%),
2/6/27 (a)

     400,000        EUR        461,936  

CHG PPC Parent LLC 2018 Term Loan B, 2.837%, (1 mo. USD LIBOR + 2.750%),
3/31/25 (a)

     96,750           96,266  

Coty, Inc. 2018 USD Term Loan B, 2.337%, (1 mo. USD LIBOR + 2.250%), 4/7/25 (a)

     116,982           115,447  

Diamond (BC) B.V. 2021 Term Loan B, 3.500%, (3 mo. USD LIBOR + 3.000%), 9/29/28 (a)

     500,000           499,562  

Insulet Corporation Term Loan B, 3.750%, (1 mo. USD LIBOR + 3.250%), 5/4/28 (a)

     264,338           265,246  

Verisure Holding AB 2021 EUR Term Loan, 3.250%, (3 mo. EUR Euribor + 3.250%), 3/27/28 (a)

     900,000        EUR        1,035,192  

Xplornet Communications, Inc. 2021 Term Loan, 0.000%, 10/2/28 (d)

     270,000           269,972  
        

 

 

 
           3,279,663  
        

 

 

 

Financials – 0.3%

        

Blackhawk Network Holdings, Inc. 2018 1st Lien Term Loan, 3.087%, (1 mo. USD LIBOR + 3.000%), 6/15/25 (a)

     174,150           173,093  

 

46


Domini Impact Bond Fund

Portfolio of Investments (continued)

October 31, 2021 (Unaudited)

 

Security

   Principal
Amount*
            Value  

Financials (Continued)

        

Russell Investments US Inst’l Holdco, Inc. 2020 Term Loan, 4.500%, (6 mo. USD LIBOR + 3.500%), 5/30/25 (a)

     487,551         $ 489,633  

USI, Inc. 2017 Repriced Term Loan, 3.132%, (3 mo. USD LIBOR + 3.000%), 5/16/24 (a)

     168,000           166,980  
        

 

 

 
           829,706  
        

 

 

 

Industrials – 0.0%

        

Zephyr German BidCo GmbH EUR Term Loan B1, 3.750%, (3 mo. EUR Euribor + 3.750%), 3/10/28 (a)

     100,000        EUR        115,711  
        

 

 

 
           115,711  
        

 

 

 

Information Technology – 0.6%

        

DCert Buyer, Inc. 2019 Term Loan B, 4.087%, (1 mo. USD LIBOR + 4.000%), 10/16/26 (a)

     640,126           641,026  

Finastra USA, Inc. USD 1st Lien Term Loan, 4.500%, (3 mo. USD LIBOR + 3.500%), 6/13/24 (a)

     250,538           249,528  

MA FinanceCo., LLC USD Term Loan B3, 2.837%, (1 mo. USD LIBOR + 2.750%),
6/21/24 (a)

     28,300           28,100  

Seattle Spinco, Inc. USD Term Loan B3, 2.837%, (1 mo. USD LIBOR + 2.750%), 6/21/24 (a)

     191,114           189,770  

SS&C European Holdings S.A.R.L. 2018 Term Loan B4, 1.837%, (1 mo. USD LIBOR + 1.750%), 4/16/25 (a)

     37,323           36,982  

SS&C Technologies Inc. 2018 Term Loan B3, 1.837%, (1 mo. USD LIBOR + 1.750%), 4/16/25 (a)

     49,118           48,669  

Zelis Healthcare Corporation 2021 Term Loan, 3.582%, (1 mo. USD LIBOR + 3.500%), 9/30/26 (a)

     469,068           467,808  
        

 

 

 
           1,661,883  
        

 

 

 

Total Senior Floating Rate Interests
(Cost $9,787,734)

           9,675,578  
        

 

 

 

Foreign Government & Agency Securities – 1.7%

        

City of Ottawa Ontario, 2.500%, 5/11/51

     1,240,000        CAD        922,175  

City of Toronto Canada, 2.600%, 9/24/39

     1,060,000        CAD        827,337  

City of Vancouver, 2.300%, 11/5/31 (c)

     595,000        CAD        478,937  

Hong Kong Government International Bond, 2.500%, 5/28/24 (b)

     750,000           782,808  

Republic of Chile, 0.830%, 7/2/31 (a)

     1,370,000        EUR        1,567,623  
        

 

 

 

Total Foreign Government & Agency Securities
(Cost $4,501,864)

           4,578,880  
        

 

 

 

Asset Backed Securities – 0.7%

        

Carmax Auto Owner Trust Series 2017-4, 2.700%, 10/16/23

     250,000           250,721  

Corevest American Finance Trust Series 2020-4 , 2.250%, 12/15/52 (b)

     100,000           97,940  

Lendbuzz Securitization Trust Series 2021-1A, 1.460%, 6/15/26 (b)

     670,000           671,386  

Mosaic Solar Loan Trust Series 2020-2A, 1.440%, 8/20/46 (b)

     173,272           169,859  

SBA Tower Trust Series 2014-2A, 3.869%, 10/15/49 (b)(e)

     500,000           518,285  

Tricolor Auto Securitization Trust Series 1A, 0.740%, 4/15/24 (b)

     258,679           258,694  
        

 

 

 

Total Asset Backed Securities
(Cost $1,950,485)

           1,966,885  
        

 

 

 

Convertible Bonds – 0.5%

        

Consumer Discretionary – 0.2%

        

Etsy, Inc., 0.125%, 10/1/26

     110,000           318,600  

 

47


Domini Impact Bond Fund

Portfolio of Investments (continued)

October 31, 2021 (Unaudited)

 

Security

   Principal
Amount*
            Value  

Consumer Discretionary (Continued)

        

NIO, Inc., 0.500%, 2/1/27 (b)

     325,000         $ 275,575  
        

 

 

 
           594,175  
        

 

 

 

Health Care – 0.2%

        

Dexcom, Inc., 0.250%, 11/15/25

     205,000           262,718  

Insulet Corp., 0.375%, 9/1/26

     195,000           290,221  
        

 

 

 
           552,939  
        

 

 

 

Technology – 0.1%

        

Square, Inc., 0.125%, 3/1/25

     135,000           289,745  
        

 

 

 
           289,745  
        

 

 

 

Total Convertible Bonds
(Cost $1,314,097)

           1,436,859  
        

 

 

 

Preferred Stocks – 0.2%

        

Health Care – 0.2%

        

Becton Dickinson and Co., Series B, 6.000%, 6/1/23

     5,000           263,000  

Danaher Corp., 5.000%, 4/15/23

     170           282,328  
        

 

 

 
           545,328  
        

 

 

 

Total Preferred Stocks
(Cost $548,610)

           545,328  
        

 

 

 

Certificates of Deposit – 0.2%

        

Self-Help Federal Credit Union, 2.500%, 6/27/22

     400,000           406,461  
        

 

 

 

Total Certificates of Deposit
(Cost $400,000)

           406,461  
        

 

 

 

Total Long Term Investments
(Cost $279,889,332)

           286,892,788  
        

 

 

 

Short Term Investments – 13.2%

        

U.S. Government Agency Obligations – 13.2%

        

Federal Farm Credit Discount Notes

        

0.000%, 1/3/22

     5,000,000           4,999,650  

0.000%, 1/10/22

     7,000,000           6,999,456  

Federal Home Loan Bank Discount Notes

        

0.000%, 11/19/21

     12,000,000           11,999,820  

0.000%, 2/23/22

     12,000,000           11,998,100  
        

 

 

 

Total Short Term Investments
(Cost $35,997,156)

           35,997,026  
        

 

 

 

Total Investments–118.2% (Cost $315,886,488)

           322,889,814  

Other Liabilities, less assets – (18.2)%

           (49,605,136
        

 

 

 

Net Assets – 100.0%

         $ 273,284,678  
        

 

 

 

 

*

The principal amount is stated in U.S. dollars unless otherwise indicated.

(a)

Floating/Variable note with current rate and current maturity or next reset date shown. Certain variable rate securities are not based on a published reference rate and spread, but are determined by the issuer or agent and are based on current market conditions. These securities do not indicate a reference rate and spread in their description above.

(b)

Security that may be sold to qualified institutional buyers under Rule 144A of the Securities Act of 1933, as amended. At October 31, 2021, the aggregate value of these securities was $51,435,581, representing 18.8% of net assets.

 

48


(c)

A portion or all of the security was purchased as a when issued or delayed delivery security.

(d)

Represents an unsettled loan contract. The coupon rate will be determined at time of settlement.

(e)

Step coupon bond.

Abbreviations

TBA — To Be Announced

AGM — Assured Guaranty Municipal Corporation

BAM — Build America Mutual

NATL — National Public Finance Guarantee Corporation

EUR – Euro

CAD – Canadian Dollar

 

49


At October 31, 2021, the Fund had the following forward currency contracts outstanding.

 

Currency Bought

   Currency Sold      Counterparty      Settlement
Date
     Quantity      Value      Unrealized
Appreciation
(Depreciation)
 

United States Dollar

     Canadian Dollar        Morgan Stanley        12/15/21        1,052,000      $ 848,754      $ (16,416

United States Dollar

     Canadian Dollar        Morgan Stanley        12/15/21        1,142,000        921,366        (1,738

United States Dollar

     Canadian Dollar        BNP Paribas, N.A.        12/15/21        595,000        480,046        1,858  

United States Dollar

     Euro        Deutsche Bank AG        11/30/21        2,230,000        2,582,068        7,648  

United States Dollar

     Euro        Barclays Bank PLC        12/15/21        1,804,000        2,089,838        51,929  
                 

 

 

 
                  $ 43,281  
                 

 

 

 

At October 31, 2021, the Fund had the following future contracts outstanding.

 

Description

   Number of Contracts      Notional
Amount
    Value     Expiration Date      Unrealized
Appreciation
(Depreciation)
 

10-Year Canadian Government Bond (Short)

     5      $ (500,000   $ (568,553     12/20/21      $ 2,662  

Euro-BTP (Short)

     41      $ (4,100,000   $ (7,034,525     12/8/21      $ 200,590  

Euro-Bund (Short)

     9      $ (900,000   $ (1,751,011     12/8/21      $ 39,326  

10-Year Australia Government Bond (Long)

     16      $ 1,600,000     $ 1,620,589       12/15/21      $ (59,438
            

 

 

 
             $ 183,140  
            

 

 

 

At October 31, 2021, the Fund had the following centrally cleared interest rate swap contracts outstanding.

 

Description

   Counterparty/
Exchange
     Expiration Date      Notional
Amount
     Value     Upfront
Premiums
Paid
(Received)
    Unrealized
Appreciation
(Depreciation)
 

Pay Fixed rate annually 1.167% Receive Floating rate annually 12 month SOFR

     Morgan Stanley/ LCH        6/16/28      $ 12,820,000      $ (29,094   $ (135,822   $ 106,728  

Pay Fixed rate annually 1.470% Receive Floating rate annually 12 month SOFR

     Morgan Stanley/ LCH        6/16/31        23,780,000        (399,621     (430,692     31,071  

Receive Fixed rate annually 0.150% Pay Floating rate annually 12 month SOFR

     Morgan Stanley/ LCH        6/16/23        34,685,000        (129,526     (53,428     (76,098

Receive Fixed rate annually 0.821% Pay Floating rate annually 12 month SOFR

     Morgan Stanley/ LCH        6/16/26        3,123,000        (18,993     113,828       (132,821

Receive Fixed rate annually 1.850% Pay Floating rate annually 12 month SOFR

     Morgan Stanley/ LCH        6/16/51        7,290,000        699,294       762,893       (63,599

Receive Fixed rate annually 1.813% Pay Floating rate annually 12 month SOFR

     Morgan Stanley/ LCH        6/16/41        12,740,000        760,740       512,839       247,901  
             

 

 

   

 

 

 
              $ 769,618     $ 113,182  
             

 

 

   

 

 

 

 

50


At October 31, 2021, the Fund had the following OTC total return swap contracts outstanding.

 

Pay/Receive
Total Return

  

Reference
Enitity

   Floating
Rate
     Payment
Frequency
     Currency      Notional
Amount
     Maturity
Date
     Counterpatry      Value     Upfront
Premiums
Paid

(Received)
     Unrealized
Appreciation

(Depreciation)
 

Pay

   Total Return IBOXX USD Liquid High Yield, Series 1     

3 month
USD BBA
LIBOR
 
 
 
     Maturity        USD      $ 5,030,000        12/20/21       
Morgan
Stanley
 
 
   $ (144,429   $ 0      $ (144,429

Pay

   Total Return IBOXX USD Liquid High Yield, Series 1     

3 month
USD BBA
LIBOR
 
 
 
     Maturity        USD        490,000        12/20/21       
Morgan
Stanley
 
 
   $ (7,833   $ 0      $ (7,833

Pay

   Total Return IBOXX USD Liquid High Yield, Series 1     

3 month
USD BBA
LIBOR
 
 
 
     Maturity        USD        690,000        12/20/21       
Morgan
Stanley
 
 
   $ (6,178   $ 0      $ (6,178

Pay

   Total Return IBOXX USD Liquid High Yield, Series 1     

3 month
USD BBA
LIBOR
 
 
 
     Maturity        USD        435,000        12/20/21       
Morgan
Stanley
 
 
   $ 781     $ 0      $ 781  
                         

 

 

    

 

 

 
                          $ 0      $ (157,659
                         

 

 

    

 

 

 

At October 31, 2021, the Fund had the following centrally cleared credit default swap contracts outstanding.

 

Description

   Counterparty/
Exchange
     Expiration
Date
     Notional
Amount (a)
     Value (b)      Upfront
Premiums
Paid
(Received)
     Unrealized
Appreciation
(Depreciation)
 

Sell Protection (c):

                 

CDX-NAHY Series 36, Version 1, 5 Year Index, Fixed Rate 5.000% (d)

     Morgan Stanley/ ICE        6/20/26      $ 4,845,000      $ 429,897      $ 430,722      $ (825
              

 

 

    

 

 

 
               $ 430,722      $ (825
              

 

 

    

 

 

 

 

(a)

The maximum potential amount the Fund could be required to pay as a seller of credit protection or receive as a buyer of credit protection if a credit event occurs as defined under the terms of that particular swap agreement.

(b)

The prices and resulting values for credit default swap agreements on credit indices serve as an indicator of the current status of the payment/performance risk and represent the likelihood of an expected liability (or profit) for the credit derivative should the notional amount of the swap agreement be closed/sold as of the period end. Increasing market values, in absolute terms when compared to the notional amount of the swap, represent a deterioration of the referenced entity’s credit soundness and a greater likelihood or risk of default or other credit event occurring as defined under the terms of the agreement.

(c)

If the Fund is a buyer/(seller) of protection and a credit event occurs, as defined under the terms of that particular swap agreement, the Fund will either (i) receive from the seller/(pay to the buyer) of protection an amount equal to the notional amount of the swap and deliver/(take delivery) of the referenced obligation or underlying securities comprising the referenced index or (ii) receive/(pay) a net settlement amount in the form of cash or securities equal to the notional amount of the swap less the recovery value of the referenced obligation of underlying securities comprising the referenced index.

(d)

Ratings of Moody’s/S&P - B1/BB-

Abbreviations

LCH — London Clearing House

ICE — Intercontinental Exchange

 

 

51


Domini Impact Bond Fund

NOTES TO PORTFOLIO OF INVESTMENTS

October 31, 2021 (Unaudited)

1. ORGANIZATION AND SIGNIFICANT ACCOUNTING POLICIES

The Domini Impact Bond Fund (the “Fund”) is a series of the Domini Investment Trust. The Trust is a Massachusetts business trust registered under the Investment Company Act of 1940 as an open-end management investment company. The Fund is an investment company and accordingly follows the investment company accounting and reporting guidance of the Financial Accounting Standards Board (the “FASB”) Accounting Standard Codification Topic 946 “Financial Services — Investment Companies”. The Fund offers Investor Shares, Institutional Shares and Class Y shares. Institutional shares and Class Y shares were not offered prior to November 30, 2011, and June 15, 2018, respectively. Institutional shares and Class Y shares commenced operations on November 30, 2011 and June 1, 2021, respectively. Each class of shares is sold at its offering price, which is net asset value. The Institutional shares may only be purchased by or for the benefit of investors that meet the minimum investment requirements, and fall within the following categories: endowments, foundations, religious organizations and other nonprofit entities, individuals, retirement plan sponsors, family office clients, certain corporate or similar institutions, or omnibus accounts maintained by financial intermediaries and that are approved by the Fund’s Distributor. Class Y shares may be purchased through omnibus accounts held on the books of the Fund for financial intermediaries that have been approved by the Funds’ distributor. Class Y shares are also available to endowments, foundations, religious organizations, or other tax-exempt entities, as well as, certain eligible retirement and benefit plans, including 401(k) plans, 457 plans, profit sharing and money purchase pension plans, defined benefit plans, and non-qualified deferred compensation plans. Each class of shares has identical rights and voting privileges with respect to the Fund in general and exclusive voting rights on matters that affect that class alone. Earnings, net assets, and net asset value per share may differ due to each class having its own expenses, such as transfer and shareholder servicing agent fees and registration fees, directly attributable to that class. Institutional shares are not subject to distribution fees. The Fund seeks to provide its shareholders with a high level of current income and total return by investing in bonds and other debt instruments that are consistent with the Fund’s social and environmental standards and the submanager’s security selection approach.

(A) Valuation of Investments. Bonds and other fixed-income securities (other than obligations with maturities of 60 days or less) are valued on the basis of valuations furnished by an independent pricing service, use of which has been approved by the Board of Trustees of the Fund. In making such valuations, the pricing service utilizes both dealer-supplied valuations and electronic data processing techniques that take into account appropriate factors such as institutional-size trading in similar groups of securities, yield, quality, coupon rate, maturity, type of issue, trading characteristics, and other market data, without exclusive reliance upon quoted prices or exchange or over-the-counter prices, since such valuations are believed to reflect more accurately the fair value of such securities. Short-term obligations of sufficient credit quality (maturing in 60 days or less) are valued at amortized cost, which constitutes fair value as determined by the Board of Trustees of the Fund. Securities (other than short-term obligations with remaining maturities of 60 days or less) for which there are no such quotations or valuations are valued at fair value as determined in good faith by or at the direction of the Fund’s Board of Trustees.

The Fund follows a fair value hierarchy that distinguishes between (a) market participant assumptions developed based on market data obtained from sources independent of the reporting entity (observable inputs) and (b) the Fund’s own assumptions about market participant assumptions developed based on the best information available in the circumstances (unobservable inputs). These inputs are used in determining the value of the Fund’s investments and are summarized in the following fair value hierarchy:

Level 1 - quoted prices in active markets for identical securities

Level 2 - other significant observable inputs (including quoted prices for similar securities, interest rates, and evaluated quotation obtained from pricing services)

Level 3 - significant unobservable inputs (including the Fund’s own assumptions in determining the fair value of investments).

The inputs or methodology used for valuing securities are not an indication of the risk associated with investing in those securities.

 

52


Domini Impact Bond Fund

NOTES TO PORTFOLIO OF INVESTMENTS

October 31, 2021 (Unaudited)

The following is a summary of the inputs used, as of October 31, 2021, in valuing the Fund’s assets carried at fair value:

 

     Level 1 -
Quoted Prices
    Level 2 -
Other
Significant
Observable
Inputs
    Level 3 -
Significant
Unobservable
Inputs
     Total  

Assets:

         

Long Term Investments in Securities:

         

Mortgage Backed Securities

   $ —       $ 138,090,650     $ —        $ 138,090,650  

Corporate Bonds and Notes

     —         84,614,018       —          84,614,018  

Municipal Bonds

     —         25,949,065       —          25,949,065  

U.S. Government Agency Obligations

     —         19,629,064       —          19,629,064  

Senior Floating Rate Interests

     —         9,675,578       —          9,675,578  

Foreign Government & Agency Securities

     —         4,578,880       —          4,578,880  

Asset Backed Securities

     —         1,966,885       —          1,966,885  

Convertible Bonds

     —         1,436,859       —          1,436,859  

Preferred Stocks

     545,328       —         —          545,328  

Certificates of Deposit

     —         406,461       —          406,461  
  

 

 

   

 

 

   

 

 

    

 

 

 

Total Long Term Investments

   $ 545,328     $ 286,347,460     $ —        $ 286,892,788  
  

 

 

   

 

 

   

 

 

    

 

 

 

Short Term Investments in Securities:

         

U.S. Government Agency Obligations

     —         35,997,026       —          35,997,026  
  

 

 

   

 

 

   

 

 

    

 

 

 

Total Short Term Investments

   $ —       $ 35,997,026     $ —        $ 35,997,026  
  

 

 

   

 

 

   

 

 

    

 

 

 

Total Investment in Securities

   $ 545,328     $ 322,344,486     $ —        $ 322,889,814  
  

 

 

   

 

 

   

 

 

    

 

 

 

Other Financial Instruments:

         

Forward Currency Contracts

     —         61,435       —          61,435  

Futures

     242,578         —          242,578  

Interest Rate Swap - CCP

     —         385,700       —          385,700  

Total Return Swap - OTC

     —         781       —          781  
  

 

 

   

 

 

   

 

 

    

 

 

 

Total Other Financial Instruments

   $ 242,578     $ 447,916     $ —        $ 690,494  
  

 

 

   

 

 

   

 

 

    

 

 

 

Liabilities:

         

Other Financial Instruments:

         

Forward Currency Contracts

     —         (18,154     —          (18,154

Futures

     (59,438       —          (59,438

Credit Default Swap - CCP

     —         (825     —          (825

Interest Rate Swap - CCP

     —         (272,518     —          (272,518

Total Return Swap - OTC

     —         (158,440     —          (158,440
  

 

 

   

 

 

   

 

 

    

 

 

 

Total Other Financial Instruments

   $ (59,438   $ (449,937   $ —        $ (509,375
  

 

 

   

 

 

   

 

 

    

 

 

 

 

53