Heavy Numbers
Menu
← Funds
Fund · CIK 919192

Amalgamated Bank

Jun 30, 2026Filed Jul 23, 2026 · SEC filing ↗
Reported value$14.5B +11%
Positions1,632
Opened · sold out62 · 48

Holdings

Share positions at Jun 30, 2026
Stock% of fundValueSharesSince Q1 2026
NVDANvidia CorpCOM6.7%$967M4,835,258Cut −3%
AAPLApple IncCOM5.6%$814M2,811,845Cut −7%
MSFTMicrosoft CorpCOM3.7%$529M1,418,151Cut −8%
GOOGLAlphabet Inc-Cl ACAP STK CL A2.9%$426M1,192,090Added +2%
AMZNAmazon.Com IncCOM2.8%$412M1,727,020Cut −11%
AVGOBroadcom IncCOM2.5%$357M945,091Cut −3%
GOOGAlphabet Inc-Cl CCAP STK CL C2.4%$341M965,367Added +3%
MUMicron Technology IncCOM1.8%$263M227,833Cut −1%
METAMeta Platforms Inc-Class ACL A1.7%$244M432,950Cut −3%
TSLATesla IncCOM1.7%$241M572,468Cut −2%
LLYEli Lilly & CoStock1.4%$196M163,154Cut −2%
AMDAdvanced Micro DevicesStock1.3%$191M328,142Added +1%
BRK-BBerkshire Hathaway Inc-Cl BCL B NEW1.1%$161M322,016Cut −5%
JPMJpmorgan Chase & CoCOM1.0%$151M461,859Cut −6%
VVisa Inc-Class A SharesCOM CL A0.8%$121M353,468Held
AMATApplied Materials IncStock0.8%$118M163,810Added +3%
LRCXLam Research CorpCOM NEW0.8%$114M262,534Cut −5%
INTCIntel CorpStock0.8%$112M798,985Cut −4%
JNJJohnson & JohnsonStock0.8%$110M431,231Cut −3%
Exxon Mobil CorpStock0.7%$101M737,592Cut −7%
CATCaterpillar IncCOM0.7%$98.7M92,658Added +4%
WMTWalmart IncCOM0.6%$89.0M785,826Cut −4%
MAMastercard Inc - ACL A0.6%$88.6M172,431Added +1%
CSCOCisco Systems IncStock0.6%$84.9M722,574Cut −1%
KLACKla CorpCOM NEW0.6%$82.9M274,778Added +854%
COSTCostco Wholesale CorpStock0.6%$80.6M86,150Cut −8%
GEGeneral ElectricStock0.6%$79.7M213,374Cut −3%
ABBVAbbvie IncStock0.6%$79.7M316,843Cut −15%
HDHome Depot IncCOM0.5%$68.1M193,009Cut −5%
SNDKSandisk CorpCOM0.5%$66.7M29,351Added +11%
UNHUnitedhealth Group IncStock0.5%$66.5M160,011Cut −2%
GEVGe Vernova IncStock0.5%$65.7M55,897Cut −3%
BACBank of America CorpStock0.4%$65.1M1,141,841Cut −6%
NFLXNetflix IncCOM0.4%$61.7M863,915Cut −3%
PGProcter & Gamble Co/TheStock0.4%$61.6M420,063Cut −1%
KOCoca-Cola Co/TheCOM0.4%$56.1M689,923Cut −9%
TXNTexas Instruments IncStock0.4%$55.9M187,496Added +7%
MRKMerck & Co. Inc.Stock0.4%$55.8M434,306Cut −5%
PANWPalo Alto Networks IncCOM0.4%$55.7M163,350Cut −3%
CVXChevron CorpCOM0.4%$53.4M322,308Cut −9%
PLTRPalantir Technologies Inc-AStock0.4%$52.9M453,483Cut −6%
MRVLMarvell Technology IncStock0.4%$52.3M175,644Added +310%
GSGoldman Sachs Group IncStock0.4%$51.2M50,581Cut −8%
PMPhilip Morris InternationalStock0.3%$50.3M278,155Cut −4%
ORCLOracle CorpStock0.3%$49.8M339,671Cut −5%
IBMIntl Business Machines CorpCOM0.3%$45.6M162,188Cut −6%
WDCWestern Digital CorpStock0.3%$45.4M71,098Added +3%
RTXRtx CorpStock0.3%$44.7M235,569Cut −5%
APHAmphenol Corp-Cl AStock0.3%$44.0M249,447Cut −4%
WFCWells Fargo & CoCOM0.3%$43.6M527,851Cut −7%
MSMorgan StanleyStock0.3%$42.5M203,238Cut −9%
LINLinde PLCStock0.3%$42.4M81,737Cut −4%
CCitigroup IncStock0.3%$42.1M301,106Cut −8%
GLWCorning IncCOM0.3%$40.1M157,095Added +9%
CRWDCrowdstrike Holdings Inc - ACL A0.3%$38.8M50,860Cut −4%
AMGNAmgen IncStock0.3%$37.9M104,750Cut −6%
ANETArista Networks IncCOM SHS0.3%$36.8M216,389Held
QCOMQualcomm IncStock0.2%$35.7M193,414Cut −7%
ADIAnalog Devices IncStock0.2%$34.4M86,680Cut −3%
MCDMcdonald'S CorpStock0.2%$33.5M124,028Cut −5%
TJXTjx Companies IncStock0.2%$33.3M219,530Cut −2%
PEPPepsico IncStock0.2%$32.9M243,333Cut −5%
AXPAmerican Express CoStock0.2%$32.7M96,746Cut −7%
TMOThermo Fisher Scientific IncStock0.2%$32.5M64,872Cut −5%
BABoeing Co/TheStock0.2%$32.1M148,435Added +4%
NEENextera Energy IncStock0.2%$32.0M364,555Cut −6%
VZVerizon Communications IncStock0.2%$31.1M734,154Cut −9%
ETNEaton Corp PLCStock0.2%$30.5M71,525Added +1%
ISRGIntuitive Surgical IncStock0.2%$30.1M75,735Added +2%
DISWalt Disney Co/TheStock0.2%$29.4M305,436Cut −6%
BKNGBooking Holdings IncStock0.2%$29.1M163,318Cut −4%
UNPUnion Pacific CorpStock0.2%$28.8M105,771Cut −4%
ABTAbbott LaboratoriesStock0.2%$28.5M314,250Cut −2%
GILDGilead Sciences IncStock0.2%$28.0M221,709Cut −7%
WELLWelltower IncREIT0.2%$27.6M121,737Cut −3%
STXSeagate Technology HoldingsStock0.2%$27.5M28,511Cut −1%
DEDeere & CoCOM0.2%$27.4M43,251Cut −6%
APPApplovin Corp-Class AStock0.2%$26.6M51,653Cut −10%
UBERUber Technologies IncStock0.2%$26.4M366,046Cut −21%
SCHWSchwab (Charles) CorpStock0.2%$26.3M285,274Cut −7%
VRTVertiv Holdings Co-AStock0.2%$25.7M76,757Cut −6%
TAT&T IncCOM0.2%$25.1M1,214,423Cut −11%
BLKBlackrock IncStock0.2%$24.4M25,427Cut −4%
PFEPfizer IncStock0.2%$23.9M993,106Cut −5%
VRTXVertex Pharmaceuticals IncStock0.2%$23.7M47,716Cut −10%
PGRProgressive CorpStock0.2%$23.4M107,297Cut −2%
TTTrane Technologies PLCStock0.2%$23.4M47,633Added +1%
CVSCvs Health CorpStock0.2%$23.2M224,588Cut −24%
HWMHowmet Aerospace IncStock0.2%$22.8M84,798Held
COPConocophillipsStock0.2%$22.7M218,479Cut −4%
CRMSalesforce IncStock0.2%$22.5M143,557Cut −16%
MOAltria Group IncStock0.2%$22.4M310,912Cut −8%
SBUXStarbucks CorpStock0.2%$22.2M217,614Added +3%
DELLDell Technologies -CStock0.2%$22.2M51,471Cut −16%
SPGIS&P Global IncStock0.2%$22.0M54,078Cut −2%
PHParker Hannifin CorpStock0.2%$22.0M22,458Cut −4%
PLDPrologis IncREIT0.2%$21.9M161,637Cut −5%
COFCapital One Financial CorpStock0.2%$21.8M108,552Cut −9%
PWRQuanta Services IncStock0.1%$21.6M29,951Cut −2%
LOWLowe'S Cos IncStock0.1%$21.3M96,572Cut −6%
CBChubb LtdStock0.1%$21.2M62,220Cut −10%
LMTLockheed Martin CorpStock0.1%$21.1M41,439Added +6%
DHRDanaher CorpStock0.1%$21.1M110,610Cut −3%
CDNSCadence Design Sys IncStock0.1%$21.0M56,064Cut −2%
BMYBristol-Myers Squibb CoStock0.1%$20.8M360,738Cut −5%
NOWServicenow IncStock0.1%$20.6M207,494Cut −5%
FTNTFortinet IncStock0.1%$19.9M129,455Cut −2%
MCKMckesson CorpStock0.1%$19.4M25,657Cut −22%
SYKStryker CorpStock0.1%$19.1M60,593Cut −7%
SOSouthern Co/TheStock0.1%$18.9M197,480Cut −4%
CMICummins IncStock0.1%$18.6M26,018Cut −2%
NEMNewmont CorpCOM0.1%$18.4M197,366Cut −10%
EQIXEquinix IncREIT0.1%$17.8M17,113Cut −3%
MDTMedtronic PLCStock0.1%$17.7M226,028Cut −5%
BXBlackstone IncStock0.1%$17.4M147,565Cut −6%
BNYBank of New York Mellon CorpStock0.1%$17.3M119,471Cut −8%
DUKDuke Energy CorpCOM NEW0.1%$17.3M136,338Cut −8%
DDOGDatadog Inc - Class AStock0.1%$17.2M65,889Cut −3%
PNCPnc Financial Services GroupStock0.1%$17.0M69,210Cut −6%
ADPAutomatic Data ProcessingStock0.1%$17.0M75,999Cut −9%
ADBEAdobe IncCOM0.1%$16.6M81,166Cut −6%
GDGeneral Dynamics CorpStock0.1%$16.4M46,283Cut −5%
JCIJohnson Controls InternationStock0.1%$16.3M111,468Cut −4%
USBUS BancorpStock0.1%$16.2M267,716Cut −7%
MARMarriott International -Cl AStock0.1%$15.9M43,038Cut −5%
FCXFreeport-Mcmoran IncStock0.1%$15.8M251,534Cut −8%
WMBWilliams Cos IncStock0.1%$15.7M211,256Cut −6%
SPGSimon Property Group IncREIT0.1%$15.7M70,181Added +13%
TERTeradyne IncStock0.1%$15.7M32,389Added +12%
CSXCsx CorpStock0.1%$15.4M324,815Cut −6%
CMCSAComcast Corp-Class AStock0.1%$15.4M626,318Cut −4%
WMWaste Management IncStock0.1%$15.4M68,887Cut −12%
HOODRobinhood Markets Inc - AStock0.1%$15.4M153,102Added +5%
HLTHilton Worldwide Holdings inStock0.1%$15.3M46,376Cut −4%
MMM3m CoStock0.1%$15.2M93,671Cut −7%
RCLRoyal Caribbean Cruises LtdStock0.1%$15.0M47,273Cut −14%
ELVElevance Health IncStock0.1%$14.9M38,513Cut −5%
FIXComfort Systems USA IncStock0.1%$14.7M7,408Cut −3%
SNPSSynopsys IncStock0.1%$14.6M32,778Cut −15%
AMTAmerican Tower CorpREIT0.1%$14.6M89,123Cut −10%
ROSTRoss Stores IncStock0.1%$14.6M68,400Added +10%
CRSCarpenter TechnologyCOM0.1%$14.5M23,565Added +2%
CIENCiena CorpStock0.1%$14.5M29,569Added +15%
CLColgate-Palmolive CoStock0.1%$14.4M157,448Held
SHWSherwin-Williams Co/TheStock0.1%$14.4M41,913Cut −13%
EMREmerson Electric CoStock0.1%$14.4M100,725Cut −2%
MRSHMarsh & Mclennan CosStock0.1%$14.4M86,409Cut −4%
TDGTransdigm Group IncStock0.1%$14.1M10,589Added +1%
CEGConstellation EnergyStock0.1%$14.1M56,740Held
TWLOTwilio Inc - AStock0.1%$14.0M68,002Cut −1%

Sold out

Held at Mar 31, 2026, gone at Jun 30, 2026
Stock% of fund in Q1 2026Value in Q1 2026
Carnival CorpStockMerged away or delisted0.0%$6.0M
CTRACoterra Energy IncStockMerged away or delisted0.0%$5.3M
Topbuild CorpStock0.0%$4.8M
Masimo CorpStockMerged away or delisted0.0%$3.9M
Hologic IncStockMerged away or delisted0.0%$3.1M
Janus Henderson Group PLC Ord ShsStock0.0%$2.9M
Air Lease CorpCL AMerged away or delisted0.0%$2.3M
Sealed Air Corp NewCOMMerged away or delisted0.0%$2.0M
Apellis Pharmaceuticals IncCOMMerged away or delisted0.0%$1.4M
Tri Pointe Homes IncCOMMerged away or delisted0.0%$1.1M
BRBRBellring Brands IncStock0.0%$853K
Vici properties incCOMMerged away or delisted0.0%$624K
Select Medical Holdings CorpCOM0.0%$515K
Clearway Energy Inc-ACL A0.0%$458K
Enviri CorpCOMMerged away or delisted0.0%$453K
Veris Residential IncCOMMerged away or delisted0.0%$438K
ARIApollo Commercial Real EstatCOM0.0%$402K
Kennedy-Wilson Holdings IncCOMMerged away or delisted0.0%$374K
Proassurance CorpCOMMerged away or delisted0.0%$366K
PAHCPhibro Animal Health Corp-ACL A COM0.0%$328K
Liberty Broadband-CCOM SER C0.0%$315K
UIUbiquiti IncCOM0.0%$282K
SNCYSun Country Airlines HoldingCOMMerged away or delisted0.0%$253K
TRTootsie Roll IndsCOMMON STOCK0.0%$247K
GTLBGitlab Inc-Cl AStock0.0%$238K
DDSDillards Inc-Cl AStock0.0%$229K
FIZZNational Beverage CorpStock0.0%$228K
NPKNational Presto Inds IncCOMMON STOCK0.0%$208K
Clearwater Analytics Hds-AStockMerged away or delisted0.0%$207K
FRHCFreedom Holding Corp/NvCOM0.0%$205K
DRSLeonardo Drs IncStock0.0%$204K
AMPHAmphastar Pharmaceuticals inCOMMON STOCK0.0%$200K
Mister Car Wash IncCOMMerged away or delisted0.0%$197K
PRAAPra Group IncCOMMON STOCK0.0%$196K
JHXJames Hardie Ind PLCStock0.0%$191K
MTUSMetallus IncCOMMON STOCK0.0%$169K
EMBCEmbecta CorpCOMMON STOCK0.0%$151K
VITLVital Farms IncCOM0.0%$150K
RGTIRigetti Computing IncStock0.0%$141K
CTKBCytek Biosciences IncCOMMON STOCK0.0%$139K
GDYNGrid Dynamics Holdings IncCOMMON STOCK0.0%$109K
DJTTrump Media & Technology GroCOM0.0%$97.0K
TWITitan International IncCOMMON STOCK0.0%$96.0K
GOGOGogo IncCOM0.0%$90.0K
Marqeta IncCLASS A COM0.0%$47.0K
CLVTClarivate PLCORD SHS0.0%$46.0K
Beyond Meat IncCOM0.0%$8.0K
Alight Inc - Class ACOM CL A0.0%$8.0K

This filing reported values in thousands of dollars; they are shown here in dollars.

Showing the 150 largest of 1,632 positions. The full list is in the SEC filing.