CSIEX
Calvert Equity Fund
Calvert Social Investment Fund

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
64
Top-10 weight
43.80%
Effective holdings ?
32
Crowding ?
1296.3

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 MASTERCARD INC CL A 368,313 $184.03M 4.85%
2 THERMO FISHER SCIENTIFIC INC 366,460 $180.13M 4.75%
3 VISA INC-CLASS A 579,528 $175.16M 4.62%
4 VERISK ANALYTICS INC 896,207 $170.06M 4.48%
5 ALPHABET INC CL C 589,157 $169.01M 4.46%
6 DANAHER CORP 874,823 $165.87M 4.37%
7 TJX COS INC 1,021,085 $163.07M 4.30%
8 VERISIGN INC 640,118 $158.98M 4.19%
9 ZOETIS INC CL A 1,316,311 $155.60M 4.10%
10 MICROSOFT CORP 378,550 $140.13M 3.69%
11 S&P GLOBAL INC 308,782 $131.34M 3.46%
12 MSILF-GOVT-INS MVRXX 130,031,347 $130.03M 3.43%
13 LINDE PLC 249,245 $123.57M 3.26%
14 ECOLAB INC 431,319 $114.74M 3.03%
15 EQUIFAX INC 615,581 $110.85M 2.92%
16 XYLEM INC 916,389 $109.51M 2.89%
17 AGILENT TECHNOLOGIES INC 873,117 $99.52M 2.62%
18 AMERICAN TOWER CORP 528,676 $91.24M 2.41%
19 INTERCONTINENTAL EXCHANGE INC 506,193 $79.61M 2.10%
20 IDEXX LABS INC 140,669 $79.04M 2.08%
21 MARSH & MCLENNAN 443,830 $76.98M 2.03%
22 WEST PHARMACEUTICAL SVCS INC 305,693 $76.62M 2.02%
23 AMPHENOL CORPORATION CL A 556,128 $70.27M 1.85%
24 INTUIT INC 157,420 $68.07M 1.79%
25 MSCI INC 100,994 $54.44M 1.44%
26 DOLLAR GENERAL CORP 439,968 $52.24M 1.38%
27 IDEX CORPORATION 261,059 $49.48M 1.30%
28 AIR PRODUCTS and CHEMICALS INC 167,395 $48.63M 1.28%
29 MOODYS CORP 96,009 $41.88M 1.10%
30 GARTNER INC 261,507 $41.41M 1.09%
31 REVVITY INC 456,810 $40.02M 1.06%
32 VERALTO CORP 451,261 $39.90M 1.05%
33 COPART INC 1,195,276 $39.68M 1.05%
34 O'REILLY AUTOMOTIVE INC 397,821 $36.72M 0.97%
35 NETFLIX INC 374,792 $36.04M 0.95%
36 AON PLC 100,606 $32.47M 0.86%
37 METTLER-TOLEDO INTL INC 23,390 $29.50M 0.78%
38 ADOBE INC 110,835 $26.94M 0.71%
39 CROWN CASTLE INC 325,409 $26.46M 0.70%
40 STARBUCKS CORP 289,572 $25.94M 0.68%
41 INTUITIVE SURGICAL INC 56,222 $25.92M 0.68%
42 TYLER TECHNOLOGIES INC 68,464 $23.44M 0.62%
43 COSTCO WHOLESALE CORP 23,245 $23.16M 0.61%
44 NIKE INC CL B 424,628 $22.43M 0.59%
45 TE CONNECTIVITY PLC 94,079 $19.66M 0.52%
46 BALL CORP 300,872 $17.78M 0.47%
47 CORE INNOVATIONS CAPITAL I LP 1,027,756 $4.69M 0.12%
48 DBL EQUITY FUND BAEF II LP 1,000,000 $3.67M 0.10%
49 DBL PARTNERS III LP 1,000,000 $3.33M 0.09%
50 ACCION FRONTIER INCLUSION FUND 1,000,000 $1.66M 0.04%
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