Titelia

Holdings of ClearBridge Sustainability Leaders Fund

Legg Mason Partners Investment Trust · 58 declared positions · as of Apr 30, 2026

Original filing · Net assets 96.5M $ · Ten largest lines: 43.1 % of the equity sleeve

Sector breakdown

  • Technology 28.4 %
  • Financials 10.8 %
  • Communication 9.0 %
  • Consumer discretionary 8.7 %
  • Health care 8.5 %
  • Industrials 4.4 %
  • Real estate 3.2 %
  • Materials 2.9 %
  • Consumer staples 2.1 %
  • Utilities 2.0 %
  • Unattributed 20.1 %

Sector is not declared in Form N-PORT: this is a Titelia classification, decided company by company. The unattributed share is counted as such rather than spread over the others.

Currency breakdown

  • USD 100.0 %

The currency each line is denominated in, as declared. It does not follow the country: a French company listed in the United States is declared in dollars.

Country breakdown

  • US 93.6 %
  • NL 3.8 %
  • SG 1.4 %
  • CA 1.1 %

Shares computed on the equity sleeve, the only part this site carries.

CountryLinesValue (USD)Share
US5388.7M $93.65 %
NL33.6M $3.84 %
SG11.3M $1.39 %
CA11.1M $1.12 %

Positions

CompanySharesValue (USD)Weight
NVIDIA Corp 39,2707.8M $8.12 %
Alphabet Inc 14,2105.5M $5.67 %
Apple Inc 19,3905.3M $5.45 %
Amazon.com Inc 18,0304.8M $4.95 %
Microsoft Corp 10,7304.4M $4.53 %
Johnson & Johnson 13,7403.2M $3.27 %
Broadcom Inc 7,4703.1M $3.23 %
JPMorgan Chase & Co 8,8302.8M $2.87 %
Netflix Inc 22,3702.1M $2.17 %
TJX Cos Inc/The 12,7902M $2.08 %
Linde PLC 3,9302M $2.04 %
CenterPoint Energy Inc 43,7201.9M $1.98 %
Visa Inc 5,5401.8M $1.89 %
United Rentals Inc 1,9001.8M $1.89 %
Travelers Cos Inc/The 5,7601.8M $1.82 %
Equinix Inc 1,6201.8M $1.82 %
Danaher Corp 9,2601.7M $1.72 %
Republic Services Inc 7,8301.6M $1.70 %
Blackrock Inc 1,4801.6M $1.63 %
US Foods Holding Corp 16,8201.6M $1.63 %
Palo Alto Networks Inc 8,7601.6M $1.63 %
Analog Devices Inc 3,8301.5M $1.60 %
Home Depot Inc/The 4,4901.5M $1.53 %
ASML Holding NV 1,0201.5M $1.52 %
ASM INTERNATIONAL NV 1,4701.4M $1.48 %
Vulcan Materials Co 4,5301.4M $1.42 %
Flex Ltd 14,3801.3M $1.36 %
Regal Rexnord Corp 6,0801.3M $1.35 %
Valmont Industries Inc 2,5501.3M $1.34 %
Procter & Gamble Co/The 8,7301.3M $1.33 %
Prologis Inc 8,6801.2M $1.28 %
Bank of America Corp 22,7601.2M $1.26 %
Ferguson Enterprises Inc 4,4101.2M $1.22 %
Eaton Corp PLC 2,6901.2M $1.21 %
Gilead Sciences Inc 8,4401.1M $1.14 %
BROOKFIELD RENEWABLE PARTNERS LP 32,0301.1M $1.10 %
Morgan Stanley 5,5501.1M $1.10 %
Clean Harbors Inc 3,2701M $1.06 %
UL Solutions Inc 10,940990K $1.03 %
Walt Disney Co/The 9,350970.1K $1.01 %
McKesson Corp 1,170953.8K $0.99 %
MetLife Inc 10,760861.9K $0.89 %
Synopsys Inc 1,690815.6K $0.85 %
Ecolab Inc 2,930763.6K $0.79 %
American Water Works Co Inc 5,890756.4K $0.78 %
Deere & Co 1,280755K $0.78 %
Argenx SE 950742.6K $0.77 %
Costco Wholesale Corp 700710.2K $0.74 %
Chewy Inc 27,750705.4K $0.73 %
CVS Health Corp 8,100674.6K $0.70 %
CF Industries Holdings Inc 4,650577.5K $0.60 %
Alnylam Pharmaceuticals Inc 1,760544.7K $0.56 %
AppLovin Corp 1,090486.5K $0.50 %
Flowserve Corp 6,330466.1K $0.48 %
Cooper Cos Inc/The 6,570413.3K $0.43 %
Trane Technologies PLC 830408.8K $0.42 %
Oracle Corp 2,440393.8K $0.41 %
Enphase Energy Inc 9,710320K $0.33 %