Nia Impact Advisors, Llc Portfolio Stock Holdings

Nia Impact Advisors, Llc disclosed 89 stock positions valued at approximately $224.9 million in its latest SEC 13F filing. The largest holdings include VANGUARD INDEX FDS, FIRST SOLAR INC, and TAIWAN SEMICONDUCTOR MANUFAC. The filing reflects positions held as of March 31, 2026 and was filed on May 8, 2026.

Report Period
March 31, 2026
No. of Stocks
89
Portfolio Value
$224.9M
Holdings by Sector
Nia Impact Advisors, Llc Portfolio Holdings in Q1 2026

87 holdings in the latest reporting period.

Page 1 of 1
CompanySymbolSectorPortfolio %SharesChange (Shares)Change %Value
VANGUARD INDEX FDSVTIOther6.22%43,575--$13,979,296
FIRST SOLAR INCFSLRTechnology4.05%46,139-4,128-8.21%$9,101,373
TAIWAN SEMICONDUCTOR MANUFACTSMTechnology3.75%24,960-7,260-22.53%$8,435,184
APPLE INCAAPLTechnology3.32%29,461-13,151-30.86%$7,476,952
NEXTPOWER INCNXTTechnology3.08%57,418-16,699-22.53%$6,921,789
GILEAD SCIENCES INCGILDHealthcare3.08%49,642-4,712-8.67%$6,918,582
VERTEX PHARMACEUTICALS INCVRTXHealthcare3.08%15,490-2,148-12.18%$6,917,119
INTERNATIONAL BUSINESS MACHSIBMTechnology3.05%28,291-2,089-6.88%$6,857,473
GSK PLCGSKHealthcare2.98%121,637-4,970-3.93%$6,713,153
HA SUSTAINABLE INFRA CAP INCHASIReal Estate2.74%167,649-4,956-2.87%$6,161,106
EBAY INC.EBAYConsumer Cyclical2.72%67,114-4,482-6.26%$6,108,736
VERTIV HOLDINGS COVRTIndustrials2.65%23,765-5,508-18.82%$5,954,943
STANTEC INCSTNIndustrials2.60%67,592-4,425-6.14%$5,839,945
IRON MTN INC DELIRMReal Estate2.26%49,872-2,102-4.04%$5,093,896
XYLEM INCXYLIndustrials2.04%38,432-11,224-22.60%$4,592,596
BROOKFIELD RENEWABLE CORPBEPCOther2.01%113,540+303+0.27%$4,522,294
PALO ALTO NETWORKS INCPANWTechnology1.99%27,926-2,951-9.56%$4,477,092
BROADCOM INCAVGOTechnology1.98%14,399-4,929-25.50%$4,456,569
VITA COCO CO INCCOCOConsumer Defensive1.94%90,855+1,908+2.15%$4,352,872
SAP SESAPTechnology1.82%23,861-649-2.65%$4,085,268
LEMONADE INCLMNDFinancial Services1.77%63,645-2,275-3.45%$3,989,297
STRIDE INCLRNConsumer Defensive1.71%43,587-3,603-7.64%$3,843,077
UNITED NAT FOODS INCUNFIConsumer Defensive1.69%84,357-14,231-14.43%$3,801,123
AMALGAMATED FINANCIAL CORPAMALFinancial Services1.67%96,393-22,763-19.10%$3,746,810
ROBINHOOD MKTS INCHOODFinancial Services1.64%53,153+7,964+17.62%$3,683,502
FRESENIUS MEDICAL CARE AGFMSHealthcare1.48%147,597-5,365-3.51%$3,329,791
CLOUDFLARE INCNETTechnology1.46%15,875-5,517-25.79%$3,275,577
MUELLER WTR PRODS INCMWAIndustrials1.45%118,536-4,523-3.68%$3,258,541
CORE & MAIN INCCNMIndustrials1.43%64,910-2,475-3.67%$3,206,532
NATERA INCNTRAHealthcare1.29%14,547-340-2.28%$2,909,289
MICROSOFT CORPMSFTTechnology1.22%7,440-3,439-31.61%$2,754,104
ADVANCED MICRO DEVICES INCAMDTechnology1.09%12,072-11,673-49.16%$2,455,866
AKAMAI TECHNOLOGIES INCAKAMTechnology1.05%20,578+20,578+100.00%$2,363,403
FRONTDOOR INCFTDRConsumer Cyclical1.05%44,707+44,707+100.00%$2,363,198
AUTODESK INCADSKTechnology1.03%9,662-921-8.70%$2,313,181
SPOTIFY TECHNOLOGY S ASPOTOther0.96%4,451-390-8.06%$2,158,326
IMMUNITYBIO INCIBRXHealthcare0.92%268,797+268,797+100.00%$2,061,671
GENEDX HOLDINGS CORPWGSHealthcare0.90%31,631+999+3.26%$2,031,370
SUNRUN INCRUNTechnology0.86%143,198-6,486-4.33%$1,941,766
ARISTA NETWORKS INCANETOther0.83%15,263+15,263+100.00%$1,874,004
NATURAL GROCERS BY VITAMINNGVCConsumer Defensive0.81%70,767-2,061-2.83%$1,829,320
TOAST INCTOSTTechnology0.79%67,180-1,954-2.83%$1,780,952
HOLOGIC INCHOLXHealthcare0.78%23,313-29,738-56.06%$1,762,260
VALMONT INDS INCVMIIndustrials0.78%4,388+4,388+100.00%$1,753,420
AECOMACMIndustrials0.76%20,078-26,157-56.57%$1,703,043
CALIFORNIA WTR SVC GROUPCWTUtilities0.72%35,916-1,300-3.49%$1,628,431
CRANE NXT COCXTIndustrials0.72%39,944-200-0.50%$1,621,341
NVIDIA CORPORATIONNVDATechnology0.70%9,014-15,223-62.81%$1,572,060
ANALOG DEVICES INCADITechnology0.58%4,089-8,963-68.67%$1,300,784
ZILLOW GROUP INCZGCommunication Services0.57%31,243+52+0.17%$1,293,165
MERCK & CO INCMRKHealthcare0.56%10,503-1,313-11.11%$1,263,380
APPLIED MATLS INCAMATTechnology0.56%3,681+3,681+100.00%$1,258,247
SHOPIFY INCSHOPTechnology0.56%10,550-15,982-60.24%$1,251,441
ADVANCED ENERGY INDSAEISIndustrials0.55%3,827+3,827+100.00%$1,234,956
ALPHABET INCGOOGLCommunication Services0.53%4,154-9,840-70.32%$1,194,524
STRYKER CORPORATIONSYKHealthcare0.39%2,683-5,624-67.70%$881,607
ROCKWELL AUTOMATION INCROKIndustrials0.38%2,390-5,688-70.41%$857,723
T-MOBILE US INCTMUSCommunication Services0.35%3,725-5,381-59.09%$782,362
DANAHER CORP DELDHRHealthcare0.32%3,839-5,572-59.21%$727,878
BERKSHIRE HATHAWAY INC DELBRK-AFinancial Services0.32%1--$718,140
MASTERCARD INCORPORATEDMAFinancial Services0.30%1,350-3,344-71.24%$674,541
CANADIAN NATL RY COCNIIndustrials0.28%6,196-14,405-69.92%$636,732
NEW YORK TIMES CO MTN BENYTCommunication Services0.26%7,102-17,145-70.71%$594,650
VANGUARD INTL EQUITY INDEX FVEUOther0.24%7,212-316-4.20%$541,621
CISCO SYS INCCSCOTechnology0.23%6,763-3,157-31.82%$524,714
ATLASSIAN CORPORATIONTEAMTechnology0.23%7,621-11,588-60.33%$520,133
CARRIER GLOBAL CORPORATIONCARRIndustrials0.21%8,525-17,292-66.98%$480,043
TIDAL TRUST IJSTCOther0.20%23,500-23,809-50.33%$458,007
VEEVA SYS INCVEEVHealthcare0.20%2,550-3,079-54.70%$447,933
STMICROELECTRONICS N VSTMTechnology0.19%12,145--$419,609
LAM RESEARCH CORPLRCXOther0.18%1,927-191-9.02%$411,629
AUTOMATIC DATA PROCESSING INADPTechnology0.17%1,925-4,607-70.53%$391,122
ABBVIE INCABBVHealthcare0.17%1,797-214-10.64%$390,802
PFIZER INCPFEHealthcare0.17%13,479-2,955-17.98%$378,478
ORMAT TECHNOLOGIES INCORAUtilities0.15%2,927-2,110-41.89%$327,590
APTARGROUP INCATRHealthcare0.15%2,595-6,870-72.58%$327,022
EATON CORP PLCETNOther0.14%876-413-32.04%$313,392
VISA INCVFinancial Services0.11%850-16-1.85%$256,904
QUALCOMM INCQCOMTechnology0.11%1,943-244-11.16%$250,180
GARMIN LTDGRMNOther0.10%1,008-88-8.03%$233,836
ALPHABET INCGOOGCommunication Services0.10%783-113-12.61%$224,472
TIM S ATIMBCommunication Services0.10%8,408+8,408+100.00%$222,715
CATERPILLAR INCCATIndustrials0.09%296-525-63.95%$209,704
CORNING INCGLWTechnology0.09%1,527+1,527+100.00%$207,626
DIGITAL RLTY TR INCDLRReal Estate0.09%1,142+1,142+100.00%$205,861
DESCARTES SYS GROUP INCDSGXTechnology0.09%2,800-1,300-31.71%$200,368
VODAFONE GROUP PLCVODCommunication Services0.09%13,031+2,524+24.02%$195,721
Nia Impact Advisors, Llc Portfolio Stock Holdings | InsiderSet