Johnston Asset Management Corp.

Hardman Johnston Global Advisors as of June 30, 2022

Portfolio Holdings for Hardman Johnston Global Advisors

Hardman Johnston Global Advisors holds 79 positions in its portfolio as reported in the June 2022 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
Aptiv SHS (APTV) 9.4 $221M 2.5M 89.07
Icici Bank Adr (IBN) 6.8 $160M 9.0M 17.74
Alkermes SHS (ALKS) 6.8 $160M 5.4M 29.79
Atlassian Corp Cl A 5.3 $125M 665k 187.40
Melco Resorts And Entmnt Adr (MLCO) 4.7 $111M 19M 5.75
Asml Holding N V N Y Registry Shs (ASML) 4.4 $103M 217k 475.88
Microsoft Corporation (MSFT) 2.9 $69M 267k 256.83
Iqvia Holdings (IQV) 2.8 $66M 304k 216.99
Vertex Pharmaceuticals Incorporated (VRTX) 2.8 $65M 232k 281.79
Edwards Lifesciences (EW) 2.4 $58M 607k 95.09
Mastercard Incorporated Cl A (MA) 2.4 $57M 181k 315.48
Howmet Aerospace (HWM) 2.4 $57M 1.8M 31.45
Taiwan Semiconductor Mfg Sponsored Ads (TSM) 2.3 $55M 675k 81.75
Sea Sponsord Ads (SE) 2.3 $55M 824k 66.86
UnitedHealth (UNH) 2.3 $54M 105k 513.63
Astrazeneca Sponsored Adr (AZN) 2.2 $52M 793k 66.07
Alphabet Cap Stk Cl A (GOOGL) 2.2 $51M 23k 2179.28
Corteva (CTVA) 2.0 $47M 859k 54.14
NVIDIA Corporation (NVDA) 1.9 $45M 300k 151.59
Adobe Systems Incorporated (ADBE) 1.9 $45M 123k 366.06
Apple (AAPL) 1.8 $42M 308k 136.72
Marsh & McLennan Companies (MMC) 1.8 $42M 271k 155.25
Automatic Data Processing (ADP) 1.7 $39M 185k 210.04
Albemarle Corporation (ALB) 1.4 $34M 163k 208.98
Metropcs Communications (TMUS) 1.3 $32M 235k 134.54
Genmab A/s Sponsored Ads (GMAB) 1.3 $30M 933k 32.49
Wolfspeed (WOLF) 1.2 $28M 438k 63.45
Johnson & Johnson (JNJ) 1.2 $28M 155k 177.51
Advanced Energy Industries (AEIS) 1.2 $27M 376k 72.98
Fmc Corp Com New (FMC) 1.2 $27M 253k 107.01
Becton, Dickinson and (BDX) 1.1 $26M 106k 246.53
Universal Display Corporation (OLED) 1.1 $26M 258k 101.14
TJX Companies (TJX) 1.0 $25M 439k 55.85
Comcast Corp Cl A (CMCSA) 1.0 $24M 616k 39.24
Boston Scientific Corporation (BSX) 1.0 $24M 634k 37.27
Medtronic SHS (MDT) 0.9 $22M 247k 89.75
Vertiv Holdings Com Cl A (VRT) 0.9 $21M 2.5M 8.22
Leidos Holdings (LDOS) 0.8 $19M 189k 100.71
Activision Blizzard 0.8 $18M 233k 77.86
Dentsply Sirona (XRAY) 0.7 $17M 480k 35.73
Stanley Black & Decker (SWK) 0.7 $17M 160k 104.86
Amazon (AMZN) 0.7 $17M 157k 106.21
Alphabet Cap Stk Cl C (GOOG) 0.6 $15M 6.7k 2187.49
Micron Technology (MU) 0.6 $14M 245k 55.28
Hdfc Bank Sponsored Ads (HDB) 0.5 $12M 221k 54.96
Jd.com Spon Adr Cl A (JD) 0.4 $8.9M 138k 64.22
Coty Com Cl A (COTY) 0.3 $7.5M 938k 8.01
Schlumberger Com Stk (SLB) 0.3 $7.5M 208k 35.76
Paypal Holdings (PYPL) 0.3 $6.5M 94k 69.84
Royal Caribbean Cruises (RCL) 0.3 $6.3M 182k 34.91
Enterprise Products Partners (EPD) 0.2 $5.5M 227k 24.37
Abbott Laboratories (ABT) 0.2 $5.1M 47k 108.65
Novo-nordisk A S Adr (NVO) 0.2 $4.3M 39k 111.44
Spdr Ser Tr Bloomberg 1-3 Mo (BIL) 0.2 $4.1M 45k 91.48
Prologis (PLD) 0.1 $3.4M 29k 117.66
Procter & Gamble Company (PG) 0.1 $2.7M 19k 143.79
M&T Bank Corporation (MTB) 0.1 $2.0M 13k 159.39
Fresenius Med Care Ag&co Kga Sponsored Adr (FMS) 0.1 $1.2M 48k 24.94
Merck & Co (MRK) 0.0 $1.2M 13k 91.14
Ishares Tr Core S&p500 Etf (IVV) 0.0 $1.1M 3.0k 379.03
Highwoods Properties (HIW) 0.0 $1.0M 30k 34.18
Chevron Corporation (CVX) 0.0 $912k 6.3k 144.76
Microchip Technology (MCHP) 0.0 $871k 15k 58.07
Oneok (OKE) 0.0 $785k 14k 55.48
Exxon Mobil Corporation (XOM) 0.0 $761k 8.9k 85.67
Hershey Company (HSY) 0.0 $624k 2.9k 215.17
Embecta Corp Common Stock (EMBC) 0.0 $539k 21k 25.34
Baidu Spon Adr Rep A (BIDU) 0.0 $388k 2.6k 148.72
Diageo Spon Adr New (DEO) 0.0 $383k 2.2k 174.09
Koninklijke Philips N V Ny Regis Shs New (PHG) 0.0 $382k 18k 21.51
Blackstone Mtg Tr Com Cl A (BXMT) 0.0 $347k 13k 27.65
Shell Spon Ads (SHEL) 0.0 $303k 5.8k 52.24
Iaa 0.0 $271k 8.3k 32.81
Pagseguro Digital Com Cl A (PAGS) 0.0 $269k 26k 10.22
Air Products & Chemicals (APD) 0.0 $255k 1.1k 240.57
Dlocal Class A Com (DLO) 0.0 $254k 9.7k 26.29
MercadoLibre (MELI) 0.0 $215k 337.00 637.98
Applied Materials (AMAT) 0.0 $202k 2.2k 90.79
Eaton Vance Municipal Bond Fund (EIM) 0.0 $140k 13k 10.67