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Calvert ETF List

Here you can find all ETFs issued by Calvert and compare their essential indicators like expense ratio or rate of return to see which one suits your portfolio best.

Calvert Research and Management is a U.S.-based ESG-focused asset manager and subsidiary of Morgan Stanley Investment Management, known for responsible investing strategies. Calvert ETFs apply environmental, social, and governance screening and engagement to equity and fixed income strategies across domestic and international markets. The Calvert ETF list covers ESG-screened equity and bond strategies across multiple market segments. This page lets you compare Calvert ETFs on expense ratio, historical returns, dividend yield, max drawdown, Sharpe ratio, Sortino ratio, and Risk/Return Score — useful for evaluating ESG and responsible investing funds for portfolio construction, diversification, or long-term investing.

Number of ETFs
6
Average Expense Ratio
0.19%
Average 1 Year Return
16.85%
Average 5 Year Return
Median Risk/Return Score
55 / 100

Issuer is Calvert
Symbol
Full Name
Category
Inception
Expense Ratio
YTD Return
10Y Return (Annualized)
Dividend Yield

Risk / Return Rank

Max. Drawdown
Sharpe Ratio
Sortino Ratio
Omega Ratio
Martin Ratio
Calmar Ratio
Ulcer Index
Calvert US Large-Cap Diversity, Equity And Inclusi...Large Cap Blend EquitiesJan 30, 20230.14%
-5.10%
1.11%
52
Calvert International Responsible Index ETFForeign Large Cap EquitiesJan 30, 20230.18%
3.73%
2.55%
83
Calvert US Large-Cap Core Responsible Index ETFLarge Cap Blend EquitiesJan 30, 20230.15%
-3.93%
1.04%
55
Calvert US Mid-Cap Core Responsible Index ETFMid Cap Blend EquitiesJan 30, 20230.15%
1.05%
1.34%
41
Calvert Ultra-Short Investment Grade ETFUltrashort BondJan 30, 20230.24%
0.64%
4.49%
99
Calvert US Select Equity ETFLarge Cap Blend EquitiesJan 30, 20230.29%
0.00%
0.59%
54

Rows per page

1–6 of 6

Risk vs. Return Scatterplot

The Risk vs. Return Scatterplot allows you to quickly compare funds, stocks, and ETFs in one view. It displays the yearly return of an instrument on one axis and the risk (volatility) on the other.

0%Annualized Volatility0%Annualized Return

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