TCCHX Holdings — TIAA-CREF Social Choice Low Carbon Equity Fund

All 300 reported holdings of TIAA-CREF Social Choice Low Carbon Equity Fund (TCCHX) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
NVIDIA Corp6.10%$70.41M
Microsoft Corp5.94%$68.55M
Tesla Inc1.73%$19.98M
Eli Lilly & Co1.69%$19.56M
JPMorgan Chase & Co1.68%$19.35M
UnitedHealth Group Inc1.44%$16.66M
Visa Inc1.35%$15.60M
Mastercard Inc1.25%$14.45M
Home Depot Inc/The1.23%$14.15M
Procter & Gamble Co/The1.22%$14.06M
Netflix Inc1.10%$12.70M
Salesforce Inc1.02%$11.77M
Coca-Cola Co/The0.94%$10.91M
PepsiCo Inc0.91%$10.53M
McDonald's Corp0.86%$9.96M
ServiceNow Inc0.86%$9.91M
Booking Holdings Inc0.85%$9.84M
Texas Instruments Inc0.85%$9.78M
Comcast Corp0.84%$9.73M
Adobe Inc0.82%$9.49M
Amgen Inc0.82%$9.49M
International Business Machines Corp0.82%$9.45M
Caterpillar Inc0.82%$9.43M
Walt Disney Co/The0.81%$9.31M
Verizon Communications Inc0.80%$9.29M
Goldman Sachs Group Inc/The0.80%$9.26M
Intuit Inc0.80%$9.22M
American Express Co0.79%$9.13M
Lowe's Cos Inc0.78%$8.96M
Danaher Corp0.77%$8.84M
S&P Global Inc0.76%$8.75M
Eaton Corp PLC0.75%$8.64M
Progressive Corp/The0.74%$8.60M
Morgan Stanley0.74%$8.58M
Automatic Data Processing Inc0.74%$8.51M
Citigroup Inc0.73%$8.47M
Gilead Sciences Inc0.72%$8.33M
Applied Materials Inc0.72%$8.32M
TJX Cos Inc/The0.72%$8.31M
Starbucks Corp0.71%$8.23M
Deere & Co0.70%$8.10M
Marsh & McLennan Cos Inc0.69%$7.96M
Illinois Tool Works Inc0.67%$7.75M
Equinix Inc0.66%$7.59M
PNC Financial Services Group Inc/The0.66%$7.57M
American Tower Corp0.65%$7.52M
United Parcel Service Inc0.65%$7.48M
Prologis Inc0.64%$7.43M
Welltower Inc0.64%$7.42M
Zoetis Inc0.64%$7.34M
PayPal Holdings Inc0.63%$7.32M
ONEOK Inc0.63%$7.29M
Marvell Technology Inc0.63%$7.27M
Cadence Design Systems Inc0.62%$7.19M
DoorDash Inc0.62%$7.17M
Autodesk Inc0.62%$7.13M
Moody's Corp0.62%$7.12M
Fidelity National Information Services Inc0.61%$7.05M
Cigna Group/The0.61%$7.05M
3M Co0.61%$7.04M
United Rentals Inc0.61%$7.03M
Lam Research Corp0.61%$7.03M
Ecolab Inc0.60%$6.93M
CSX Corp0.60%$6.91M
Emerson Electric Co0.59%$6.87M
Synopsys Inc0.59%$6.82M
Prudential Financial Inc0.59%$6.81M
Targa Resources Corp0.59%$6.77M
Quanta Services Inc0.59%$6.77M
Carrier Global Corp0.58%$6.76M
Target Corp0.58%$6.73M
Travelers Cos Inc/The0.58%$6.73M
Baker Hughes Co0.58%$6.70M
HCA Healthcare Inc0.58%$6.66M
Electronic Arts Inc0.57%$6.58M
Elevance Health Inc0.56%$6.44M
Copart Inc0.55%$6.34M
Consolidated Edison Inc0.55%$6.30M
Workday Inc0.54%$6.26M
HP Inc0.54%$6.23M
McKesson Corp0.54%$6.23M
Old Dominion Freight Line Inc0.54%$6.21M
Axon Enterprise Inc0.54%$6.19M
Federal Home Loan Bank Discount Notes0.53%$6.18M
Regeneron Pharmaceuticals Inc0.53%$6.16M
Yum! Brands Inc0.53%$6.08M
Hewlett Packard Enterprise Co0.52%$5.97M
Truist Financial Corp0.51%$5.90M
Newmont Corp0.51%$5.89M
Take-Two Interactive Software Inc0.51%$5.86M
ANSYS Inc0.50%$5.81M
Keysight Technologies Inc0.50%$5.77M
Intel Corp0.49%$5.68M
Fortive Corp0.48%$5.59M
General Mills Inc0.48%$5.57M
HubSpot Inc0.47%$5.40M
CBRE Group Inc0.47%$5.37M
Charter Communications Inc0.46%$5.35M
First Solar Inc0.46%$5.27M
Nutanix Inc0.45%$5.21M
Edwards Lifesciences Corp0.43%$5.01M
IDEXX Laboratories Inc0.43%$4.99M
AutoZone Inc0.43%$4.91M
WW Grainger Inc0.41%$4.71M
PulteGroup Inc0.41%$4.69M
Ball Corp0.39%$4.48M
Lululemon Athletica Inc0.38%$4.41M
CME E-Mini Standard & Poor's 500 Index Future0.37%$4.30M
Keurig Dr Pepper Inc0.36%$4.20M
Union Pacific Corp0.36%$4.18M
Discover Financial Services0.36%$4.16M
Bank of New York Mellon Corp/The0.36%$4.14M
Trimble Inc0.32%$3.66M
US Foods Holding Corp0.30%$3.43M
Onto Innovation Inc0.29%$3.36M
Colgate-Palmolive Co0.29%$3.30M
Expeditors International of Washington Inc0.28%$3.29M
Trane Technologies PLC0.28%$3.26M
eBay Inc0.28%$3.26M
Curtiss-Wright Corp0.28%$3.23M
Sprouts Farmers Market Inc0.28%$3.18M
Steel Dynamics Inc0.27%$3.12M
Performance Food Group Co0.26%$3.05M
Eversource Energy0.26%$3.04M
DR Horton Inc0.26%$2.99M
Agilent Technologies Inc0.25%$2.87M
TechnipFMC PLC0.25%$2.83M
Lamb Weston Holdings Inc0.24%$2.77M
BJ's Wholesale Club Holdings Inc0.24%$2.76M
Wingstop Inc0.22%$2.51M
Royal Gold Inc0.20%$2.35M
Ciena Corp0.19%$2.24M
Fastenal Co0.19%$2.24M
IQVIA Holdings Inc0.19%$2.20M
Modine Manufacturing Co0.18%$2.13M
Cirrus Logic Inc0.18%$2.07M
O'Reilly Automotive Inc0.18%$2.06M
Penumbra Inc0.18%$2.04M
Essential Utilities Inc0.17%$1.97M
Biogen Inc0.17%$1.96M
Ingersoll Rand Inc0.17%$1.94M
WEX Inc0.16%$1.81M
State Street Corp0.15%$1.78M
Rockwell Automation Inc0.15%$1.75M
Primerica Inc0.15%$1.69M
Bristol-Myers Squibb Co0.15%$1.69M
ATI Inc0.14%$1.65M
Regions Financial Corp0.13%$1.55M
Bunge Global SA0.13%$1.51M
SPS Commerce Inc0.13%$1.47M
Badger Meter Inc0.12%$1.43M
Vontier Corp0.12%$1.42M
Rivian Automotive Inc0.12%$1.38M
Weatherford International PLC0.12%$1.37M
Littelfuse Inc0.12%$1.35M
ChampionX Corp0.12%$1.34M
Ameriprise Financial Inc0.12%$1.34M
Moog Inc0.11%$1.32M
Veralto Corp0.11%$1.31M
Graphic Packaging Holding Co0.11%$1.25M
Rambus Inc0.11%$1.25M
Avnet Inc0.10%$1.21M
Insight Enterprises Inc0.10%$1.20M
Solventum Corp0.10%$1.18M
Verisk Analytics Inc0.10%$1.18M
Brinker International Inc0.09%$1.10M
Kroger Co/The0.09%$1.07M
Exelon Corp0.09%$1.06M
West Pharmaceutical Services Inc0.09%$1.05M
Plexus Corp0.08%$962.16K
Elastic NV0.08%$950.00K
Cactus Inc0.08%$944.96K
DXC Technology Co0.08%$940.99K
InterDigital Inc0.08%$941.45K
State Str Navigator Secs L Tr0.08%$931.77K
Altair Engineering Inc0.08%$883.08K
Biohaven Ltd0.08%$881.50K
McCormick & Co Inc/MD0.08%$880.67K
Itron Inc0.07%$849.49K
ZoomInfo Technologies Inc0.07%$815.52K
NOV Inc0.07%$815.53K
PPG Industries Inc0.07%$811.43K
Arcellx Inc0.07%$785.73K
Owens Corning0.06%$693.02K
Archrock Inc0.06%$677.12K
International Flavors & Fragrances Inc0.06%$635.16K
Shake Shack Inc0.05%$612.85K
Mirion Technologies Inc0.05%$602.03K
Oceaneering International Inc0.05%$596.48K
CommVault Systems Inc0.05%$575.72K
ePlus Inc0.05%$575.06K
Tarsus Pharmaceuticals Inc0.05%$570.09K
TransUnion0.05%$563.03K
Veeco Instruments Inc0.05%$559.17K
Yelp Inc0.05%$552.90K
Teradata Corp0.05%$551.39K
Benchmark Electronics Inc0.05%$540.21K
Roku Inc0.05%$533.79K
Hologic Inc0.04%$512.80K
Novanta Inc0.04%$488.25K
Liberty Media Corp-Liberty Formula One0.04%$473.85K
LeMaitre Vascular Inc0.04%$464.49K
UFP Technologies Inc0.04%$460.31K
PAR Technology Corp0.04%$446.50K
Immunovant Inc0.04%$425.97K
Rogers Corp0.04%$422.38K
Vital Farms Inc0.03%$393.69K
Insulet Corp0.03%$381.79K
World Kinect Corp0.03%$380.19K
Knowles Corp0.03%$374.13K
CTS Corp0.03%$372.96K
Castle Biosciences Inc0.03%$312.41K
Expro Group Holdings NV0.03%$302.43K
Harmonic Inc0.03%$297.05K
Energy Recovery Inc0.03%$293.23K
Delek US Holdings Inc0.02%$272.20K
Andersons Inc/The0.02%$243.84K
Vimeo Inc0.02%$242.31K
Intapp Inc0.02%$233.89K
Artivion Inc0.02%$233.73K
Xerox Holdings Corp0.02%$232.49K
Great Lakes Dredge & Dock Corp0.02%$227.49K
United Natural Foods Inc0.02%$223.37K
Coeur Mining Inc0.02%$221.78K
Xylem Inc/NY0.02%$216.52K
Koppers Holdings Inc0.02%$205.11K
Independent Bank Corp/MI0.02%$194.02K
NETGEAR Inc0.02%$187.00K
Proto Labs Inc0.01%$172.95K
ZipRecruiter Inc0.01%$169.25K
Cassava Sciences Inc0.01%$163.68K
Silicon Laboratories Inc0.01%$159.94K
Core Laboratories Inc0.01%$147.84K
Entrada Therapeutics Inc0.01%$147.42K
Innovex International Inc0.01%$144.81K
SI-BONE Inc0.01%$143.02K
Arcturus Therapeutics Holdings Inc0.01%$141.50K
Lumen Technologies Inc0.01%$141.63K
Clean Energy Fuels Corp0.01%$136.96K
Excelerate Energy Inc0.01%$135.54K
ProAssurance Corp0.01%$133.53K
Dolby Laboratories Inc0.01%$133.12K
Kimball Electronics Inc0.01%$129.58K
Revance Therapeutics Inc0.01%$125.52K
Phathom Pharmaceuticals Inc0.01%$125.81K
EMCOR Group Inc0.01%$120.88K
Sonos Inc0.01%$120.58K
Digimarc Corp0.01%$118.84K
Marcus Corp/The0.01%$111.24K
MediaAlpha Inc0.01%$108.72K
Consolidated Communications Holdings Inc0.01%$101.30K
Diamond Hill Investment Group Inc0.01%$100.51K
Theravance Biopharma Inc0.01%$97.31K
Sana Biotechnology Inc0.01%$94.86K
Orthofix Medical Inc0.01%$92.25K
Archer-Daniels-Midland Co0.01%$88.45K
Alector Inc0.01%$86.54K
Savara Inc0.01%$79.83K
Ribbon Communications Inc0.01%$76.65K
Ranpak Holdings Corp0.01%$71.14K
Methode Electronics Inc0.01%$71.49K
Clearwater Paper Corp0.01%$70.78K
Movado Group Inc0.01%$68.84K
Olympic Steel Inc0.01%$59.02K
Editas Medicine Inc0.01%$57.99K
America's Car-Mart Inc/TX0.00%$55.71K
Designer Brands Inc0.00%$53.31K
Treace Medical Concepts Inc0.00%$51.23K
Commercial Metals Co0.00%$49.39K
ICF International Inc0.00%$46.87K
Myers Industries Inc0.00%$46.64K
Lyell Immunopharma Inc0.00%$44.96K
OPENLANE Inc0.00%$43.62K
European Wax Center Inc0.00%$43.76K
Tango Therapeutics Inc0.00%$42.15K
Univest Financial Corp0.00%$40.21K
RadNet Inc0.00%$38.11K
Premier Financial Corp0.00%$37.66K
Amalgamated Financial Corp0.00%$36.65K
Iridium Communications Inc0.00%$37.45K
PriceSmart Inc0.00%$32.98K
ACCO Brands Corp0.00%$30.33K
MillerKnoll Inc0.00%$29.60K
Encompass Health Corp0.00%$29.34K
Federal Agricultural Mortgage Corp0.00%$23.64K
Wolfspeed Inc0.00%$16.84K
Camden National Corp0.00%$14.22K
Integer Holdings Corp0.00%$11.18K
Lumentum Holdings Inc0.00%$10.99K
Frontdoor Inc0.00%$6.36K
Acadia Healthcare Co Inc0.00%$5.38K
Innospec Inc0.00%$3.66K
LivaNova PLC0.00%$3.20K
CryoPort Inc0.00%$2.47K
First Commonwealth Financial Corp0.00%$1.96K
Hain Celestial Group Inc/The0.00%$760
Compass Minerals International Inc0.00%$997
AMN Healthcare Services Inc0.00%$1.63K
Hasbro Inc0.00%$328
LKQ Corp0.00%$405

TCCHX overview: performance, fees, allocation and SEC filings