Birch Hill Investment Advisors LLC
Q2 2026 13F filing
Updated 51 days ago211 disclosed positions worth $2.5B
Full holdings
Every line item disclosed in Q2 2026
| # | Stock | Value | Shares | % Portfolio | Change |
|---|---|---|---|---|---|
| 1 | A AMZN AMAZON COM INC | $130.3M | 546.7K | 5.28% | Trimmed(-0.4%) |
| 2 | A APH AMPHENOL CORP | $126.9M | 719.9K | 5.14% | Added(+3.1%) |
| 3 | G GOOGN ALPHABET INC | $112.5M | 314.7K | 4.55% | Trimmed(-3.2%) |
| 4 | B BRK-A BERKSHIRE HATHAWAY INC DEL | $106.4M | 212.6K | 4.31% | Trimmed(-0.2%) |
| 5 | A AAPL APPLE INC | $106.2M | 367.1K | 4.30% | Added(+1.5%) |
| 6 | M MSFT MICROSOFT CORP | $105.8M | 283.6K | 4.28% | Added(+1.1%) |
| 7 | R ROK ROCKWELL AUTOMATION INC | $92.1M | 186.1K | 3.73% | Trimmed(-1.4%) |
| 8 | T TJX TJX COS INC NEW | $86.7M | 572.2K | 3.51% | Trimmed(-1.2%) |
| 9 | A ASMLF ASML HLDG NV | $81.8M | 41.1K | 3.31% | Added(+3.5%) |
| 10 | E ECL ECOLAB INC | $81.5M | 292.6K | 3.30% | Added(+1.0%) |
| 11 | I IBM INTERNATIONAL BUSINESS MACHS | $81.4M | 289.5K | 3.30% | Added(+3.6%) |
| 12 | W WTS WATTS WATER TECHNOLOGIES INC | $76M | 194.2K | 3.08% | Added(+2.6%) |
| 13 | V VRTX VERTEX PHARMACEUTICALS INC | $73.4M | 147.7K | 2.97% | Trimmed(-2.0%) |
| 14 | M MRSH MARSH & MCLENNAN COS INC | $68.4M | 410.2K | 2.77% | Trimmed(-4.0%) |
| 15 | E EW EDWARDS LIFESCIENCES CORP | $66.5M | 735.4K | 2.69% | Trimmed(-0.7%) |
| 16 | G GOOGN ALPHABET INC | $62.5M | 177.0K | 2.53% | Trimmed(-2.2%) |
| 17 | W WST WEST PHARMACEUTICAL SVSC INC | $57.3M | 159.7K | 2.32% | Trimmed(-0.9%) |
| 18 | L LECO LINCOLN ELEC HLDGS INC | $53.8M | 202.7K | 2.18% | Added(+1.3%) |
| 19 | A ADI ANALOG DEVICES INC | $44.8M | 112.9K | 1.82% | Trimmed(-1.7%) |
| 20 | K KR KROGER CO | $44.2M | 796.4K | 1.79% | Added(+0.5%) |
| 21 | S SPGI S&P GLOBAL INC | $41.7M | 102.5K | 1.69% | Trimmed(-3.2%) |
| 22 | C COST COSTCO WHOLESALE CORPORATION | $32.6M | 34.9K | 1.32% | Trimmed(-0.5%) |
| 23 | J JNJ JOHNSON & JOHNSON | $32.2M | 126.6K | 1.30% | Trimmed(-4.0%) |
| 24 | E ETHA ISHARES TR | $31.7M | 213.8K | 1.28% | Added(+1.4%) |
| 25 | C CLX CLOROX CO DEL | $31M | 324.9K | 1.26% | Added(+9.2%) |
| 26 | J JPM-PM JPMORGAN CHASE & CO | $30.9M | 94.4K | 1.25% | Trimmed(-1.2%) |
| 27 | F FISV FISERV INC | $30.6M | 623.3K | 1.24% | Added(+17.8%) |
| 28 | E ETHA ISHARES TR | $30.5M | 40.8K | 1.24% | Trimmed(-0.1%) |
| 29 | M MA MASTERCARD INCORPORATED | $29.5M | 57.5K | 1.20% | Added(+0.1%) |
| 30 | G GWW WW GRAINGER INC | $28.5M | 21.0K | 1.16% | Trimmed(-1.5%) |
| 31 | N NVDA NVIDIA CORPORATION | $27.2M | 136.1K | 1.10% | Added(+5.8%) |
| 32 | P PEP PEPSICO INC | $25M | 184.9K | 1.01% | Trimmed(-0.3%) |
| 33 | A ALC ALCON AG | $21.4M | 319.6K | 0.87% | Trimmed(-22.8%) |
| 34 | N NEE-PS NEXTERA ENERGY INC | $19.8M | 225.3K | 0.80% | Added(+35.8%) |
| 35 | T TT TRANE TECHNOLOGIES PLC | $18.4M | 37.5K | 0.75% | Unchanged |
| 36 | C CSL CARLISLE COS INC | $18M | 49.5K | 0.73% | Added(+1.0%) |
| 37 | ? N/A J P MORGAN EXCHANGE TRADED F | $15.1M | 200.3K | 0.61% | Added(+28.7%) |
| 38 | L LH LABCORP HOLDINGS INC | $14.3M | 51.1K | 0.58% | Trimmed(-16.3%) |
| 39 | P PG PROCTER & GAMBLE CO | $13.3M | 90.5K | 0.54% | Added(+2.3%) |
| 40 | M MRK MERCK & CO INC | $11.3M | 88.0K | 0.46% | Trimmed(-0.9%) |
| 41 | B BAC-PS BANK OF AMER CORP | $10.2M | 178.4K | 0.41% | Trimmed(-2.5%) |
| 42 | A AVGO BROADCOM INC | $9.4M | 24.9K | 0.38% | Trimmed(-0.1%) |
| 43 | E ETHA ISHARES TR | $9.3M | 121.1K | 0.38% | Added(+1.9%) |
| 44 | C CHWY CHEWY INC | $9.3M | 475.0K | 0.38% | Trimmed(-33.5%) |
| 45 | E ETHA ISHARES TR | $8.6M | 82.7K | 0.35% | Added(+2.1%) |
| 46 | V VGES VANGUARD INTL EQUITY INDEX F | $8M | 133.3K | 0.32% | Added(+2.3%) |
| 47 | V VGES VANGUARD TAX-MANAGED FDS | $7.9M | 110.3K | 0.32% | Added(+8.3%) |
| 48 | U UBER UBER TECHNOLOGIES INC | $7.7M | 107.0K | 0.31% | Trimmed(-6.1%) |
| 49 | ? N/A BXP INC | $7.4M | 110.9K | 0.30% | Trimmed(-3.3%) |
| 50 | I IVZ INVESCO EXCHANGE TRADED FD T | $7.3M | 34.5K | 0.30% | Trimmed(-2.1%) |