CGACX
Calvert Global Energy Solutions Fund
Calvert Impact Fund, Inc.
Index fund

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
173
Top-10 weight
10.33%
Effective holdings ?
159
Crowding ?
384.0

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 NESTE OYJ 67,842 $2.20M 1.28%
2 SSE PLC 54,026 $1.87M 1.09%
3 ORSTED A/S 72,215 $1.79M 1.04%
4 BORALEX INC -A 67,898 $1.79M 1.04%
5 EDP SA 335,430 $1.77M 1.03%
6 ORMAT TECHNOLOGIES INC 15,503 $1.74M 1.01%
7 VERBUND AG 22,054 $1.69M 0.98%
8 Brookfield Renewable Partners LP BEP-U 51,651 $1.68M 0.98%
9 NORTHLAND POWER 96,187 $1.61M 0.94%
10 ELIA GROUP SA/NV 10,437 $1.60M 0.93%
11 EDP RENOVAVEIS S 99,234 $1.59M 0.93%
12 CLEARWAY ENERGY INC CL C 40,425 $1.59M 0.93%
13 DRAX GROUP PLC 128,392 $1.52M 0.88%
14 SOLARIA ENERGIA 54,433 $1.51M 0.88%
15 BROOKFIELD RENEW 37,773 $1.50M 0.88%
16 CONTACT ENERGY 279,745 $1.49M 0.87%
17 ACCIONA SA 5,604 $1.47M 0.86%
18 MERIDIAN ENERGY 456,903 $1.46M 0.85%
19 SCATEC ASA 106,079 $1.43M 0.84%
20 ENERGISA-UNITS 140,570 $1.42M 0.83%
21 MERCURY NZ LTD 380,481 $1.37M 0.80%
22 AUREN ENERGIA-ON 583,400 $1.34M 0.78%
23 GE VERNOVA LLC 1,536 $1.34M 0.78%
24 SAO MARTINHO 326,452 $1.34M 0.78%
25 ENEL CHILE SA 16,893,463 $1.31M 0.76%
26 ENGIE BR ENER SA 205,140 $1.30M 0.76%
27 VESTAS WIND SYST 42,742 $1.29M 0.75%
28 ENEL AMERICAS SA 14,789,636 $1.27M 0.74%
29 XPLR INFRASTRUCTURE LP COMMON STOCK XIFR 119,032 $1.26M 0.74%
30 DELTA ELEC 27,000 $1.22M 0.71%
31 BYD COMPANY LTD H 88,700 $1.21M 0.71%
32 QUANTA SVCS INC 2,183 $1.20M 0.70%
33 SOLAREDGE TECHNOLOGIES INC 23,419 $1.20M 0.70%
34 NEXTRACKER INC CL A 9,821 $1.18M 0.69%
35 ERG SPA 45,966 $1.17M 0.68%
36 DARLING INGREDIENTS INC 18,782 $1.16M 0.68%
37 CORP ACCIONA ENE 46,902 $1.16M 0.68%
38 CHROMA ATE 24,000 $1.15M 0.67%
39 NORSK HYDRO ASA 107,770 $1.15M 0.67%
40 MASTEC INC 3,565 $1.15M 0.67%
41 NIO Inc. SPON ADS EACH REP 1 ORD SHS NIO 190,025 $1.15M 0.67%
42 EATON CORP PLC 3,179 $1.14M 0.66%
43 SIEMENS ENERGY AG 6,575 $1.13M 0.66%
44 CAMECO CORP 9,944 $1.08M 0.63%
45 FIRST SOLAR INC 5,448 $1.07M 0.63%
46 HUBBELL INC 2,164 $1.06M 0.62%
47 TOYOTA MOTOR CORP 50,500 $1.05M 0.61%
48 TRANE TECHNOLOGIES PLC 2,508 $1.05M 0.61%
49 ABB Ltd. (Registered) ABLZF 12,819 $1.04M 0.61%
50 JOHNSON CONTROLS INTERNATIONAL PLC 7,932 $1.04M 0.60%
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