Holdings

Symbol Grade Price % Change Allocation
AAPL C -0.90 10.52
NVDA A -1.37 10.49
MSFT D -0.54 9.49
GOOGL B -5.56 5.91
AVGO D -0.79 2.36
JPM B 0.99 2.08
LLY F -1.62 2.03
UNH B 0.35 1.66
V A 0.38 1.56
MA B 0.44 1.30
HD C 1.31 1.22
WMT A 0.82 1.11
NFLX A 0.11 1.08
CRM B 2.46 0.94
BAC A 1.53 0.94
ABBV F 0.11 0.91
MRK F -0.05 0.76
KO D 0.48 0.74
ADBE D -0.58 0.71
CSCO B -0.26 0.70
PEP F 0.28 0.69
ACN B 1.28 0.69
AMD F -0.78 0.68
NOW B 1.13 0.65
TMO D -0.46 0.62
DIS B -0.13 0.60
ABT B -0.05 0.60
INTU B 3.10 0.58
IBM C 1.79 0.58
QCOM F -0.07 0.55
VZ C -0.04 0.52
CMCSA B 0.03 0.51
BKNG A 0.92 0.51
AXP B 0.35 0.50
DHR D -0.65 0.48
AMGN D -1.09 0.48
T A 0.20 0.48
SPGI D 1.03 0.48
LOW C 0.20 0.47
NEE C 0.29 0.47
PFE F -0.46 0.45
ETN B 2.87 0.44
UNP D 1.04 0.43
SYK A 0.38 0.42
TJX A -1.01 0.41
BSX A 0.90 0.39
C B 0.82 0.39
VRTX D -0.92 0.38
PANW A -1.36 0.38
FI A -0.24 0.37
ADP B 0.45 0.37
BMY B 0.03 0.36
SCHW A 0.51 0.36
GILD B -0.35 0.35
TMUS B -0.14 0.35
MMC D 0.05 0.33
MU D 0.67 0.33
SBUX B 0.30 0.33
MDT D 0.49 0.33
ADI D 0.02 0.32
INTC C 0.13 0.32
ANET D 3.82 0.30
DE C 6.68 0.30
ELV F 0.72 0.29
LRCX F 2.08 0.29
AMT D -0.05 0.28
TT A 1.39 0.28
PYPL B 0.22 0.27
WM B 0.17 0.27
PH B 1.68 0.27
ICE D 0.57 0.27
CI D 0.70 0.27
EQIX A 0.44 0.26
APH B 2.75 0.26
MDLZ F -0.09 0.26
WELL A 0.13 0.25
MSI A 0.42 0.25
REGN F -0.31 0.25
CRWD B 1.87 0.24
USB A 1.27 0.24
AON B 0.01 0.24
ZTS D 0.24 0.24
CME A 0.17 0.24
CL D -0.29 0.23
MCO B 0.31 0.23
EMR A 0.41 0.22
COF B 1.01 0.21
CVS D -0.40 0.21
TGT F 1.86 0.21
BDX F -0.02 0.20
FDX B 1.57 0.20
ADSK A 1.55 0.20
MAR B 1.14 0.20
TFC B 0.82 0.19
ECL D 0.56 0.19
CARR D 1.60 0.19
DLR A 0.41 0.18
TRV B 0.44 0.18
HLT A 0.80 0.18
AMP A 0.74 0.17
FICO A 0.13 0.17
TTD B -0.14 0.17
JCI B 1.24 0.17
BK B 0.66 0.17
SRE A -0.13 0.17
SPG A 0.07 0.17
ALL A 0.87 0.16
FIS C -0.65 0.15
AIG D 0.23 0.15
O D 0.12 0.15
CMI A 1.53 0.15
MET A 1.85 0.15
CPRT B 0.67 0.15
CCI C -0.06 0.14
PRU B 0.65 0.14
FAST B 0.54 0.14
PWR A 2.60 0.14
IR B 0.44 0.13
DAL A 1.35 0.13
KR B 0.94 0.13
BKR A 0.37 0.13
RSG A 0.08 0.13
PEG A 0.43 0.13
DFS B 0.92 0.13
KMB C 0.34 0.13
DELL C 1.14 0.12
EXC C 0.57 0.12
XEL A 0.31 0.12
YUM D 0.12 0.12
EW C 0.55 0.12
EA A -0.27 0.12
TEAM B 0.94 0.12
OTIS D 0.23 0.12
IT C 0.47 0.12
HUBS A 1.42 0.11
HPQ B 1.29 0.11
KDP D 0.20 0.11
GIS D -0.25 0.11
ACGL D 1.71 0.11
IQV F -0.24 0.11
SYY D 0.74 0.11
A F 1.63 0.11
FITB B 0.76 0.10
NDAQ A 0.44 0.10
EFX F 0.66 0.10
ALNY D -0.17 0.10
ROK B -0.02 0.10
VEEV C 1.16 0.10
HIG A 0.23 0.10
IDXX F -1.41 0.10
WAB B 0.61 0.10
ON F -0.36 0.09
XYL D 2.33 0.09
TSCO D 0.93 0.09
RJF A 0.44 0.09
ANSS B 1.01 0.09
CSGP C -1.39 0.09
EBAY D 0.45 0.09
CNC F 0.08 0.09
HBAN B -0.03 0.08
AWK C 0.15 0.08
SYF B 0.82 0.08
VTR B -0.11 0.08
HSY F 0.06 0.08
FTV C 0.33 0.08
BR B 0.51 0.08
TYL B 0.08 0.08
DECK A -0.20 0.08
HPE B 1.70 0.08
STE D 0.00 0.07
ES C 0.51 0.07
WY D 0.20 0.07
EME A 2.34 0.07
WAT B 0.69 0.07
LPLA A 1.93 0.07
BIIB F -0.37 0.07
RF A 1.10 0.07
NTAP C 1.43 0.07
WST C 0.76 0.07
DTE C 0.29 0.07
PODD B -0.66 0.06
BBY D -0.43 0.06
NRG B 0.92 0.06
BAH F 3.77 0.06
FSLR F 1.01 0.06
PFG C 0.52 0.06
CMS C 0.00 0.06
ZBRA B 1.68 0.06
OMC D 0.41 0.06
CLX A -0.43 0.06
STX D 0.67 0.06
IFF D 0.15 0.06
CFG B 1.47 0.06
CBOE C 0.30 0.06
NTRS A 0.34 0.06
K A 0.11 0.06
WDC F 1.54 0.06
RGA B 0.42 0.05
EL F 0.76 0.05
Z A 1.78 0.05
EQH B -0.01 0.05
LNT A 0.19 0.05
ALGN D 0.82 0.05
VRSN D 0.58 0.05
USFD A -0.03 0.05
BAX F 0.31 0.05
NTNX B 2.48 0.05
DOCU B -0.09 0.05
KIM A 0.24 0.05
GEN B 0.58 0.05
TWLO A 2.91 0.05
BURL B -0.85 0.05
OC A 1.02 0.05
DG F 0.64 0.05
EXPD D 1.02 0.05
XPO B 2.91 0.05
TER F 0.52 0.05
TRMB B 1.33 0.05
MAS D 0.51 0.05
PINS F -1.81 0.05
IEX B 0.00 0.05
HOLX D 0.72 0.05
WSO A 0.00 0.05
KEY B 0.84 0.05
DAY B 1.91 0.04
SCI B -0.51 0.04
JEF A 1.53 0.04
HST D 0.00 0.04
NVT C 3.80 0.04
ALLE D 0.74 0.04
ITT B 0.00 0.04
JLL D 1.02 0.04
JKHY D 0.46 0.04
JNPR D -1.11 0.04
RNR C -0.26 0.04
ELS B 0.00 0.04
CLH C 0.59 0.04
PFGC B 1.59 0.04
AKAM F 1.96 0.04
SWK F 0.84 0.04
CAG D 0.33 0.04
UNM A 2.44 0.04
TXRH B 0.24 0.04
POOL D 0.78 0.04
MRNA F -0.97 0.04
EPAM C 3.04 0.04
AVTR F -0.55 0.04
DT D 1.46 0.04
DLTR F 1.60 0.04
EWBC A 0.88 0.04
SOFI A 0.44 0.04
APTV F 0.38 0.04
ACM B 2.75 0.04
AMCR C 0.71 0.04
CASY A 0.45 0.04
TW A -1.38 0.04
DOC D 0.30 0.04
HSIC C -1.25 0.03
CFR B 0.49 0.03
TTC F 0.57 0.03
MOS D 1.69 0.03
MEDP F 0.00 0.03
GPK D 0.00 0.03
BILL A 2.03 0.03
WTFC B 0.83 0.03
BRX A 0.00 0.03
ZION B 1.02 0.03
SNX C 0.71 0.03
PEN B -0.79 0.03
AAON B 1.38 0.03
PCTY B 0.41 0.03
ORI A 0.64 0.03
MORN B 0.07 0.03
REXR F 0.05 0.03
CMA B 1.15 0.03
TPX B 0.19 0.03
FBIN D 0.00 0.03
GL C -0.38 0.03
RPRX D 1.09 0.03
PRI B 0.09 0.03
CIEN B 1.41 0.03
AES F -1.24 0.03
MKTX D -1.19 0.03
OHI C 0.08 0.03
AFG A 0.76 0.03
AIT B 1.52 0.03
CUBE D 0.35 0.03
CCK D 0.29 0.03
TTEK F 0.99 0.03
IPG D 0.00 0.03
DKS D -0.09 0.03
BLD F 1.84 0.03
PAYC B 1.49 0.03
LECO C 0.98 0.03
SJM D -0.36 0.03
RDN D 0.46 0.02
INSP F -0.23 0.02
GATX A -0.20 0.02
ITRI B 2.38 0.02
BC F 1.66 0.02
APPF C 0.34 0.02
CRUS F 0.72 0.02
LEA F 0.56 0.02
THO C 1.45 0.02
BCPC B 0.75 0.02
ETSY D 0.17 0.02
PVH D 1.52 0.02
CROX F 0.49 0.02
SUM B 0.25 0.02
LNC B 0.66 0.02
JHG B 0.36 0.02
BPMC C -1.58 0.02
WHR B 0.24 0.02
COOP B 1.00 0.02
IDA A 0.00 0.02
LYFT C -0.85 0.02
MTG C -0.04 0.02
SAIC F 2.87 0.02
FAF A -0.37 0.02
MTH D 0.24 0.02
MAT D 0.57 0.02
AWI A 0.73 0.02
DBX C 0.35 0.02
MTN C 1.72 0.02
BMI B 0.21 0.02
RHP B 1.61 0.02
AZEK B 0.00 0.02
ALK A -0.53 0.02
HALO F -0.80 0.02
BBWI C -0.69 0.02
FMC D 1.02 0.02
H B 0.14 0.02
CADE B 0.00 0.02
ATI C 1.74 0.02
ELAN D 0.11 0.02
ONB B 0.88 0.02
FCN D 0.61 0.02
PARA D 0.15 0.02
EXLS B 1.24 0.02
MIDD D 0.00 0.02
GTLS A 2.00 0.02
BIO C -0.29 0.02
CVLT A 0.64 0.02
G B 0.29 0.02
VFC C -0.38 0.02
RHI C 0.23 0.02
TREX C 0.49 0.02
MKSI C 1.80 0.02
NNN C -0.46 0.02
BWA D 0.09 0.02
SNV B 1.06 0.02
SKX F -0.28 0.02
HQY A 0.21 0.02
AGR A 0.00 0.01
COLM C 0.00 0.01
CWEN C 0.36 0.01
TNET C -0.08 0.01
ASH F -0.09 0.01
OGN F 0.75 0.01
CHH A 0.41 0.01
FELE B 0.00 0.01
FLO D 0.23 0.01
M F 1.17 0.01
SLGN A -0.49 0.01
CELH F -0.96 0.01
SWX A 0.00 0.01
POR C 0.28 0.01
MMS D -7.05 0.01
TENB D 1.79 0.01
SON D 0.00 0.01

Recent News for Calvert US Large-Cap Diversity, Equity and Inclusion Index ETF & its Holdings

Date Stock Title
Nov 21 KO Warren Buffett Is Set To Collect $776 Million In Coca-Cola Dividends – But Daughter Says His Wife Buys Him The Soda 'On Sale'
Nov 21 PANW Dow Jones Rises On Surprise Jobless Claims; Nvidia Reverses From Record Highs
Nov 21 HPQ HP keeps Equal-weight rating at Morgan Stanley ahead of earnings
Nov 21 PANW Palo Alto Networks beats Q1 estimates, while guidance disappoints
Nov 21 DELL Nvidia's results are a positive for Dell and enterprise AI demand: Citi
Nov 21 IBM Q1 2025 Palo Alto Networks Inc Earnings Call
Nov 21 PANW Q1 2025 Palo Alto Networks Inc Earnings Call
Nov 21 PANW Wells Fargo lifts target price on Palo Alto even as stock dip post results
Nov 21 OMC MERCURY PUBLIC AFFAIRS ANNOUNCES MERGER WITH SERAFIN & ASSOCIATES
Nov 21 DELL Nvidia results positive for Dell, HPE, SuperMicro: Citi
Nov 21 INTC This Surprising Number Inside Intel's Balance Sheet Suggests Something Big Is Coming In Its War With TSMC
Nov 21 PANW Palo Alto dips, but analysts stay bullish after 'strong' Q1, billings 'miss'
Nov 21 DE Dow Jones Futures Extend Gains On Surprise Jobless Claims; Nvidia Ventures Into The Black
Nov 21 DE Deere’s stock rises on quarterly results; outlook weakens
Nov 21 MSFT Microsoft (MSFT) Corporation Fell as its Azure Cloud Segment’s Revenue Fell Short Of Expectations
Nov 21 CRM Salesforce Option Trade Banks On Pre-Earnings Volatility
Nov 21 CNC Meridian Health Plan of Illinois and Liberty Bank and Trust Partner to Create Small Business Loan Program to Support and Empower Diverse and Small Businesses in Illinois
Nov 21 MSFT Artificial General Intelligence Is Coming: 1 Unstoppable Vanguard ETF to Buy Now
Nov 21 AAPL Artificial General Intelligence Is Coming: 1 Unstoppable Vanguard ETF to Buy Now
Nov 21 INTU How To Earn $500 A Month From Intuit Stock Ahead Of Q1 Earnings
Under normal circumstances, the fund invests at least 80% of its net assets (plus any borrowings for investment purposes) in securities included in the underlying index. The index is composed of common stocks of large companies that operate their businesses in a manner consistent with the Calvert Principles for Responsible Investment. The fund is non-diversified.
Stock Fund Socially Responsible Investing
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