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Green Century Equity Fund (GCEQX) is an MF managed by Independent / Boutique. Its largest position is NVIDIA CORP (NVDA), representing 16.14% of fund assets.

Green Century Equity Fund Portfolio Holdings

Source: SEC Form N-PORT institutional portfolio disclosures

Ticker:
GCEQX
Type:
MF
Manager:
Independent / Boutique
Total Assets:
—
Report Date:
Apr 30, 2026
Filing Date:
Jun 16, 2026
Showing 50 out of 336 holdings
Holding Weight Market Value Shares
-
NVIDIA CORP
16.14% $125,337,942.80 628,040
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MICROSOFT CORP
9.58% $74,413,733.30 182,485
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Alphabet Inc.
7.45% $57,878,922.40 150,413
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Alphabet Inc.
6.19% $48,035,066.04 125,766
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Tesla, Inc.
3.59% $27,885,322.47 73,069
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ADVANCED MICRO DEVICES INC
1.92% $14,916,584.71 42,079
-
VISA INC.
1.85% $14,372,448.16 43,574
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INTEL CORP
1.42% $11,036,586.72 116,814
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Mastercard Inc
1.42% $11,007,410.04 21,887
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AbbVie Inc.
1.24% $9,654,788.16 45,688
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PROCTER & GAMBLE Co
1.14% $8,885,412.72 60,408
-
HOME DEPOT, INC.
1.09% $8,461,996.80 25,736
-
LAM RESEARCH CORP
1.08% $8,369,619.88 32,458
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COCA COLA CO
1.07% $8,318,709.96 105,621
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APPLIED MATERIALS INC /DE
1.04% $8,083,494.59 20,491
-
Merck & Co., Inc.
0.90% $7,003,460.28 64,146
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TEXAS INSTRUMENTS INC
0.85% $6,602,850.28 23,491
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LINDE PLC
0.78% $6,050,263.22 12,073
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MORGAN STANLEY
0.75% $5,850,541.23 30,697
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PEPSICO INC
0.72% $5,603,096.97 35,353
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MCDONALDS CORP
0.70% $5,405,579.08 18,412
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VERIZON COMMUNICATIONS INC
0.67% $5,235,654.24 109,008
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ANALOG DEVICES INC
0.66% $5,091,002.56 12,656
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AMGEN INC
0.62% $4,820,838.75 13,923
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Walt Disney Co
0.62% $4,789,307.50 46,162
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AMERICAN EXPRESS CO
0.59% $4,603,462.50 14,250
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Eaton Corp plc
0.56% $4,349,152.44 10,044
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Salesforce, Inc.
0.55% $4,276,968.84 24,228
-
GILEAD SCIENCES, INC.
0.54% $4,195,384.60 32,065
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BlackRock, Inc.
0.52% $4,062,067.20 3,812
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SCHWAB CHARLES CORP
0.52% $4,000,177.64 43,651
-
DEERE & CO
0.50% $3,919,096.28 6,644
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WELLTOWER INC.
0.50% $3,853,220.86 17,729
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WESTERN DIGITAL CORP
0.49% $3,839,853.24 8,837
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Palo Alto Networks Inc
0.48% $3,743,484.32 20,876
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Marvell Technology, Inc.
0.47% $3,620,913.75 21,925
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Booking Holdings Inc.
0.45% $3,510,306.00 20,850
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LOWES COMPANIES INC
0.45% $3,463,887.74 14,506
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CORNING INC /NY
0.45% $3,456,759.28 21,047
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S&P Global Inc.
0.45% $3,456,739.68 8,016
-
Prologis, Inc.
0.44% $3,411,604.44 24,022
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BRISTOL MYERS SQUIBB CO
0.41% $3,189,881.73 52,647
-
Chubb Ltd
0.41% $3,158,166.00 9,658
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NEWMONT Corp /DE/
0.40% $3,134,737.62 28,218
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STARBUCKS CORP
0.40% $3,097,860.63 29,411
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PROGRESSIVE CORP/OH/
0.39% $3,051,606.08 15,161
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DANAHER CORP /DE/
0.38% $2,942,116.95 16,441
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Accenture plc
0.37% $2,843,812.23 15,913
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Trane Technologies plc
0.36% $2,825,209.44 5,736
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QUANTA SERVICES, INC.
0.36% $2,805,553.35 3,855
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