CSXAX
Calvert U.S. Large Cap Core Responsible Index Fund
Calvert Responsible Index Series, Inc.
Index fund

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
786
Top-10 weight
34.54%
Effective holdings ?
54
Crowding ?
1645.9

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 NVIDIA CORP 2,227,011 $388.39M 7.00%
2 APPLE INC 1,398,510 $354.93M 6.39%
3 ALPHABET INC CL A 1,037,820 $298.44M 5.38%
4 MICROSOFT CORP 703,051 $260.25M 4.69%
5 AMAZON.COM INC 949,194 $197.69M 3.56%
6 BROADCOM INC 461,288 $142.77M 2.57%
7 JPMORGAN CHASE and CO 279,981 $82.36M 1.48%
8 LILLY ELI and CO 87,251 $80.25M 1.45%
9 WALMART INC 449,196 $55.83M 1.01%
10 VISA INC-CLASS A 184,634 $55.80M 1.01%
11 COSTCO WHOLESALE CORP 45,710 $45.55M 0.82%
12 MASTERCARD INC CL A 89,764 $44.85M 0.81%
13 NETFLIX INC 466,124 $44.82M 0.81%
14 ABBVIE INC 203,259 $44.21M 0.80%
15 MICRON TECHNOLOGY INC 125,131 $42.27M 0.76%
16 BANK OF AMERICA CORPORATION 848,457 $41.36M 0.75%
17 CATERPILLAR INC 55,209 $39.11M 0.70%
18 ADV MICRO DEVICE 180,782 $36.78M 0.66%
19 COCA-COLA CO/THE 470,410 $35.77M 0.64%
20 MERCK & CO 293,017 $35.25M 0.63%
21 GENERAL ELECTRIC CO 123,375 $35.01M 0.63%
22 PROCTER & GAMBLE 240,284 $34.71M 0.63%
23 CISCO SYSTEMS INC 438,154 $34.00M 0.61%
24 HOME DEPOT INC 102,351 $33.66M 0.61%
25 GOLDMAN SACHS GROUP INC 37,637 $31.84M 0.57%
26 WELLS FARGO & CO 398,137 $31.70M 0.57%
27 LINDE PLC 60,394 $29.94M 0.54%
28 LAM RESEARCH CORP 139,527 $29.81M 0.54%
29 APPLIED MATERIALS INC 87,070 $29.76M 0.54%
30 UNITEDHEALTH GRP 109,038 $29.50M 0.53%
31 GE VERNOVA LLC 33,771 $29.48M 0.53%
32 PEPSICO INC 179,061 $27.81M 0.50%
33 ORACLE CORP 186,629 $27.45M 0.49%
34 CITIGROUP INC 225,763 $25.60M 0.46%
35 INTL BUS MACH CORP 103,098 $24.99M 0.45%
36 NEXTERA ENERGY INC 260,095 $24.16M 0.44%
37 VERIZON COMMUNICATIONS INC 469,912 $23.59M 0.42%
38 AMGEN INC 64,765 $22.79M 0.41%
39 AT&T INC 767,816 $22.26M 0.40%
40 THERMO FISHER SCIENTIFIC INC 44,673 $21.96M 0.40%
41 KLA CORP 14,643 $21.56M 0.39%
42 UNION PACIFIC CORP 88,597 $21.50M 0.39%
43 AMPHENOL CORPORATION CL A 169,741 $21.45M 0.39%
44 ABBOTT LABS 205,722 $21.12M 0.38%
45 WALT DISNEY CO/T 218,783 $21.09M 0.38%
46 AMERICAN EXPRESS CO 69,313 $20.97M 0.38%
47 INTEL CORP 466,531 $20.59M 0.37%
48 GILEAD SCIENCES INC 146,798 $20.46M 0.37%
49 SCHWAB CHARLES CORP 214,827 $20.19M 0.36%
50 TEXAS INSTRUMENTS INC 100,794 $19.57M 0.35%
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