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Birch Hill Investment Advisors LLC

Q2 2026 13F filing

Updated 51 days ago

211 disclosed positions worth $2.5B

Portfolio value
$2.5B
Total holdings
211
New positions
19
Closed positions
3
Increased
50
Decreased
76
Turnover
10.4%
Filed
2026-07-21

Full holdings

Every line item disclosed in Q2 2026

A

AMAZON COM INC

-0.4%
Value
$130.3M
Shares
546.7K
% Port
5.28%
A
2.APH

AMPHENOL CORP

+3.1%
Value
$126.9M
Shares
719.9K
% Port
5.14%
G

ALPHABET INC

-3.2%
Value
$112.5M
Shares
314.7K
% Port
4.55%
B

BERKSHIRE HATHAWAY INC DEL

-0.2%
Value
$106.4M
Shares
212.6K
% Port
4.31%
A

APPLE INC

+1.5%
Value
$106.2M
Shares
367.1K
% Port
4.30%
M

MICROSOFT CORP

+1.1%
Value
$105.8M
Shares
283.6K
% Port
4.28%
R
7.ROK

ROCKWELL AUTOMATION INC

-1.4%
Value
$92.1M
Shares
186.1K
% Port
3.73%
T
8.TJX

TJX COS INC NEW

-1.2%
Value
$86.7M
Shares
572.2K
% Port
3.51%
A

ASML HLDG NV

+3.5%
Value
$81.8M
Shares
41.1K
% Port
3.31%
E
10.ECL

ECOLAB INC

+1.0%
Value
$81.5M
Shares
292.6K
% Port
3.30%
I
11.IBM

INTERNATIONAL BUSINESS MACHS

+3.6%
Value
$81.4M
Shares
289.5K
% Port
3.30%
W
12.WTS

WATTS WATER TECHNOLOGIES INC

+2.6%
Value
$76M
Shares
194.2K
% Port
3.08%
V
13.VRTX

VERTEX PHARMACEUTICALS INC

-2.0%
Value
$73.4M
Shares
147.7K
% Port
2.97%
M
14.MRSH

MARSH & MCLENNAN COS INC

-4.0%
Value
$68.4M
Shares
410.2K
% Port
2.77%
E
15.EW

EDWARDS LIFESCIENCES CORP

-0.7%
Value
$66.5M
Shares
735.4K
% Port
2.69%
G

ALPHABET INC

-2.2%
Value
$62.5M
Shares
177.0K
% Port
2.53%
W
17.WST

WEST PHARMACEUTICAL SVSC INC

-0.9%
Value
$57.3M
Shares
159.7K
% Port
2.32%
L
18.LECO

LINCOLN ELEC HLDGS INC

+1.3%
Value
$53.8M
Shares
202.7K
% Port
2.18%
A
19.ADI

ANALOG DEVICES INC

-1.7%
Value
$44.8M
Shares
112.9K
% Port
1.82%
K
20.KR

KROGER CO

+0.5%
Value
$44.2M
Shares
796.4K
% Port
1.79%
S
21.SPGI

S&P GLOBAL INC

-3.2%
Value
$41.7M
Shares
102.5K
% Port
1.69%
C
22.COST

COSTCO WHOLESALE CORPORATION

-0.5%
Value
$32.6M
Shares
34.9K
% Port
1.32%
J
23.JNJ

JOHNSON & JOHNSON

-4.0%
Value
$32.2M
Shares
126.6K
% Port
1.30%
E
24.ETHA

ISHARES TR

+1.4%
Value
$31.7M
Shares
213.8K
% Port
1.28%
C
25.CLX

CLOROX CO DEL

+9.2%
Value
$31M
Shares
324.9K
% Port
1.26%
J

JPMORGAN CHASE & CO

-1.2%
Value
$30.9M
Shares
94.4K
% Port
1.25%
F
27.FISV

FISERV INC

+17.8%
Value
$30.6M
Shares
623.3K
% Port
1.24%
E
28.ETHA

ISHARES TR

-0.1%
Value
$30.5M
Shares
40.8K
% Port
1.24%
M
29.MA

MASTERCARD INCORPORATED

+0.1%
Value
$29.5M
Shares
57.5K
% Port
1.20%
G
30.GWW

WW GRAINGER INC

-1.5%
Value
$28.5M
Shares
21.0K
% Port
1.16%
N
31.NVDA

NVIDIA CORPORATION

+5.8%
Value
$27.2M
Shares
136.1K
% Port
1.10%
P
32.PEP

PEPSICO INC

-0.3%
Value
$25M
Shares
184.9K
% Port
1.01%
A
33.ALC

ALCON AG

-22.8%
Value
$21.4M
Shares
319.6K
% Port
0.87%
N

NEXTERA ENERGY INC

+35.8%
Value
$19.8M
Shares
225.3K
% Port
0.80%
T
35.TT

TRANE TECHNOLOGIES PLC

Unchanged
Value
$18.4M
Shares
37.5K
% Port
0.75%
C
36.CSL

CARLISLE COS INC

+1.0%
Value
$18M
Shares
49.5K
% Port
0.73%
?
37.N/A

J P MORGAN EXCHANGE TRADED F

+28.7%
Value
$15.1M
Shares
200.3K
% Port
0.61%
L
38.LH

LABCORP HOLDINGS INC

-16.3%
Value
$14.3M
Shares
51.1K
% Port
0.58%
P
39.PG

PROCTER & GAMBLE CO

+2.3%
Value
$13.3M
Shares
90.5K
% Port
0.54%
M
40.MRK

MERCK & CO INC

-0.9%
Value
$11.3M
Shares
88.0K
% Port
0.46%
B

BANK OF AMER CORP

-2.5%
Value
$10.2M
Shares
178.4K
% Port
0.41%
A
42.AVGO

BROADCOM INC

-0.1%
Value
$9.4M
Shares
24.9K
% Port
0.38%
E
43.ETHA

ISHARES TR

+1.9%
Value
$9.3M
Shares
121.1K
% Port
0.38%
C
44.CHWY

CHEWY INC

-33.5%
Value
$9.3M
Shares
475.0K
% Port
0.38%
E
45.ETHA

ISHARES TR

+2.1%
Value
$8.6M
Shares
82.7K
% Port
0.35%
V
46.VGES

VANGUARD INTL EQUITY INDEX F

+2.3%
Value
$8M
Shares
133.3K
% Port
0.32%
V
47.VGES

VANGUARD TAX-MANAGED FDS

+8.3%
Value
$7.9M
Shares
110.3K
% Port
0.32%
U
48.UBER

UBER TECHNOLOGIES INC

-6.1%
Value
$7.7M
Shares
107.0K
% Port
0.31%
?
49.N/A

BXP INC

-3.3%
Value
$7.4M
Shares
110.9K
% Port
0.30%
I
50.IVZ

INVESCO EXCHANGE TRADED FD T

-2.1%
Value
$7.3M
Shares
34.5K
% Port
0.30%