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Fund detail

Parnassus Investments

large-active, lo, esg

Quarters 52
2021-03-31 $41.20B
Positions 128
Showing 30 of 45 rows (filtered from 133)

Price is the latest implied close from the selected quarter's 13F (value ÷ shares). Est. Cost is a running average that assumes each quarter's trades cleared near the midpoint of consecutive 13F closes (or yfinance VWAP when available). Most accurate for slow accumulators, least accurate for activists who build positions in a few days.

# Issuer Value ↓ Weight Shares Share Δ Share Δ % Prev Weight First Held Price Est. Cost Unrealized % Status
1 Microsoft Corp. MSFT $1.66B 4.04% 7,060,537 +306,580 +4.54% 4.08% 2013-06-30 $236 ~$103 +128.45%
2 Deere & Co. DE $1.43B 3.46% 3,811,679 +38,969 +1.03% 2.75% 2013-09-30 $374 ~$159 +135.94%
3 Comcast Corp., Class A CMCSA $1.20B 2.90% 22,092,441 +442,089 +2.04% 3.08% 2019-12-31 $54 ~$42 +27.94%
4 CME Group Inc. CME $1.14B 2.78% 5,603,960 +899,549 +19.12% 2.32% 2019-06-30 $204 ~$190 +7.25%
5 Danaher Corp. DHR $1.09B 2.65% 4,849,812 +97,860 +2.06% 2.86% 2015-06-30 $225 ~$77 +194.21%
6 Verizon Communications Inc. VZ $1.01B 2.46% 17,426,230 +1,150,471 +7.07% 2.59% 2019-12-31 $58 ~$60 -3.36%
7 Mastercard Inc., Class A MA $987.3M 2.40% 2,772,840 +48,694 +1.79% 2.64% 2013-06-30 $356 ~$122 +192.66%
8 Linde plc $925.8M 2.25% 3,304,791 +79,155 +2.45% 2.31% 2020-06-30 $280 ~$215 +30.54%
9 VF Corp. VFC $803.0M 1.95% 10,047,797 +56,875 +0.57% 2.31% 2015-12-31 $80 ~$64 +24.56%
10 The Procter & Gamble Co. PG $793.5M 1.93% 5,859,148 +2,676,176 +84.08% 1.20% 2013-06-30 $135 ~$114 +18.80%
11 Apple Inc. AAPL $792.2M 1.92% 6,485,336 +2,759,233 +74.05% 1.34% 2013-06-30 $122 ~$71 +71.05%
12 Waste Management Inc. WM $789.0M 1.92% 6,115,606 +187,435 +3.16% 1.90% 2013-06-30 $129 ~$58 +121.93%
13 Becton Dickinson and Co. BDX $783.2M 1.90% 3,221,261 +92,085 +2.94% 2.12% 2020-03-31 $243 ~$232 +4.92%
14 Booking Holdings Inc. BKNG $738.9M 1.79% 317,164 +7,314 +2.36% 1.87% 2020-06-30 $2,330 ~$1,620 +43.84%
15 Fiserv Inc. FISV $695.1M 1.69% 5,839,490 +114,178 +1.99% 1.77% 2013-06-30 $119 ~$90 +31.85%
16 Costco Wholesale Corp. COST $683.9M 1.66% 1,940,284 +17,224 +0.90% 1.97% 2017-09-30 $352 ~$250 +40.77%
17 Mondelez International Inc., Class A MDLZ $670.6M 1.63% 11,458,219 +216,644 +1.93% 1.78% 2013-06-30 $59 ~$52 +12.87%
18 Adobe Inc. ADBE $666.2M 1.62% 1,401,419 +342,906 +32.40% 1.44% 2013-06-30 $475 ~$374 +27.18%
19 Pentair plc $655.2M 1.59% 10,512,851 +78,227 +0.75% 1.50% 2020-06-30 $62 ~$38 +61.88%
20 Kansas City Southern KSUEUR $648.9M 1.57% 2,458,528 +143,674 +6.21% 1.28% 2020-06-30 $264 ~$154 +71.04%
21 NVIDIA Corp. NVDA $638.4M 1.55% 1,195,595 +28,890 +2.48% 1.65% 2018-12-31 $534 ~$149 +259.42%
22 Texas Instrument Inc. TXN $614.4M 1.49% 3,251,096 +35,067 +1.09% 1.43% 2020-12-31 $189 ~$164 +15.05%
23 Intel Corp. INTC $526.1M 1.28% 8,219,979 +53,485 +0.65% 1.10% 2013-06-30 $64 ~$40 +61.87%
24 Digital Realty Trust Inc. DLR $509.3M 1.24% 3,615,852 +8,650 +0.24% 1.37% 2018-12-31 $141 ~$111 +27.03%
25 Western Digital Corp. WDC $388.5M 0.94% 5,819,844 +335,413 +6.12% 0.82% 2020-03-31 $67 ~$42 +57.36%
26 Gilead Sciences Inc. GILD $355.3M 0.86% 5,497,761 +1,990,761 +56.77% 0.55% 2013-06-30 $65 ~$68 -5.47%
27 Southwest Airlines Co. LUV $326.8M 0.79% 5,352,718 +9,092 +0.17% 0.68% 2020-03-31 $61 ~$36 +71.24%
28 Teleflex Inc. TFX $241.6M 0.59% 581,608 +31,862 +5.80% 0.61% 2013-06-30 $415 ~$233 +78.57%
29 Hologic Inc. HO1 $226.5M 0.55% 3,045,777 +215,605 +7.62% 0.56% 2017-09-30 $74 ~$41 +80.70%
30 BioMarin Pharmaceutical Inc. BMRN $202.7M 0.49% 2,684,874 +1,165,923 +76.76% 0.36% 2020-06-30 $76 ~$84 -9.88%