Company Profile
Calvert is one of the US’s largest families of responsible mutual funds, with over $10 billion in assets under management for more than 400,000 investors. For more than 23 years, Calvert has provided shareholders with solid financial performance and strong leadership on sustainability issues through portfolios whose companies are examined for their environmental, social, and corporate practices. Managed by seasoned, expert investment managers, our 30 stock, bond, and money market funds make it easy for individual and institutional investors to pursue a broad range of investment objectives.

Calvert & CSR
Calvert has been a leader in the socially responsible investing field for more than two decades. At the heart of Calvert’s success is a clear and compelling investment philosophy that reflects our Double Diligence(tm) research process. Only when a company meets our rigorous standards for both financial and social performance do we invest.

Calvert has been a leader in promoting corporate responsibility for many years, through its investments, social screening and shareholder advocacy programs. Calvert’s Corporate Responsibility Matters campaign is a five-pillar initiative designed to help contribute to healthier companies, stronger markets, and better investments. Here are just a few ways in which a company’s attention to social concerns can have positive effects on its long-term prosperity: environmental efficiency and awareness, workforce diversity, product safety and quality, innovative personnel policies, positive corporate citizenship, and responsible corporate governance.