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Calvert U.S. Mid Cap Core Responsible Index Fund (CMCRX) is an MF managed by Calvert / Morgan Stanley. Its largest position is CORNING INC /NY (GLW), representing 0.94% of fund assets.

Calvert U.S. Mid Cap Core Responsible Index Fund Portfolio Holdings

Source: SEC Form N-PORT institutional portfolio disclosures

Ticker:
CMCRX
Type:
MF
Manager:
Calvert / Morgan Stanley
Total Assets:
—
Report Date:
Mar 31, 2026
Filing Date:
May 26, 2026
Showing 50 out of 625 holdings
Holding Weight Market Value Shares
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CORNING INC /NY
0.94% $4,013,426.49 29,517
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Vertiv Holdings Co
0.84% $3,592,064.30 14,335
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WESTERN DIGITAL CORP
0.82% $3,476,337.48 12,852
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Marvell Technology, Inc.
0.80% $3,400,683.65 34,333
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Sandisk Corp
0.80% $3,390,174.24 5,336
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Seagate Technology Holdings plc
0.77% $3,271,979.52 8,352
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QUANTA SERVICES, INC.
0.74% $3,143,688.52 5,726
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CUMMINS INC
0.68% $2,886,477.30 5,365
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ROSS STORES, INC.
0.65% $2,745,135.36 12,672
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Warner Bros. Discovery, Inc.
0.63% $2,659,226.40 96,840
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General Motors Co
0.62% $2,647,655.50 35,539
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SEMPRA
0.60% $2,547,214.38 26,214
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Baker Hughes Co
0.57% $2,404,271.10 39,382
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TE Connectivity plc
0.57% $2,404,148.04 11,502
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PACCAR INC
0.56% $2,374,911.00 20,562
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TRUIST FINANCIAL CORP
0.54% $2,296,982.99 49,967
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REALTY INCOME CORP
0.54% $2,276,630.16 37,212
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CIENA CORP
0.53% $2,251,345.77 5,799
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DOMINION ENERGY, INC
0.52% $2,219,832.56 35,908
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TARGET CORP
0.51% $2,172,510.00 17,925
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FASTENAL CO
0.50% $2,126,790.40 45,836
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MONOLITHIC POWER SYSTEMS, INC.
0.49% $2,093,765.25 1,915
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EXELON CORP
0.49% $2,080,506.84 42,442
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XCEL ENERGY INC
0.48% $2,044,388.40 25,735
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AMETEK INC/
0.48% $2,033,204.60 9,485
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Lumentum Holdings Inc.
0.47% $2,015,515.68 2,868
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OCCIDENTAL PETROLEUM CORP /DE/
0.47% $2,001,155.00 30,787
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COMFORT SYSTEMS USA INC
0.47% $1,987,124.59 1,441
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Keysight Technologies, Inc.
0.46% $1,975,742.89 6,997
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ELECTRONIC ARTS INC.
0.46% $1,941,861.75 9,525
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KROGER CO
0.45% $1,932,156.72 26,702
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Edwards Lifesciences Corp
0.45% $1,911,349.44 23,868
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TERADYNE, INC
0.45% $1,907,127.18 6,433
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UNITED RENTALS, INC.
0.44% $1,866,570.72 2,562
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BECTON DICKINSON & CO
0.44% $1,858,930.29 11,823
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ALNYLAM PHARMACEUTICALS, INC.
0.44% $1,853,202.87 5,601
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IDEXX LABORATORIES INC /DE
0.43% $1,831,199.51 3,259
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DELTA AIR LINES, INC.
0.43% $1,828,864.80 27,510
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FORD MOTOR CO
0.43% $1,823,608.50 158,025
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YUM BRANDS INC
0.43% $1,819,116.00 11,700
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Ferguson Enterprises Inc. /DE/
0.43% $1,814,996.06 7,781
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WESTINGHOUSE AIR BRAKE TECHNOLOGIES CORP
0.42% $1,781,108.57 7,127
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CONSOLIDATED EDISON INC
0.42% $1,765,268.46 15,597
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PUBLIC SERVICE ENTERPRISE GROUP INC
0.40% $1,721,968.40 21,272
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CBRE GROUP, INC.
0.40% $1,693,791.84 12,504
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Datadog, Inc.
0.39% $1,679,379.30 14,226
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FIFTH THIRD BANCORP
0.39% $1,674,836.54 36,049
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ROCKWELL AUTOMATION, INC
0.39% $1,670,227.52 4,654
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NUCOR CORP
0.39% $1,665,127.70 9,847
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MSCI Inc.
0.39% $1,648,292.58 3,058
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