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Impax Large Cap Fund

PXLIX

74.6%

Excluded by weight

29

Excluded companies

37

Total holdings

69.2%

Active share vs S&P 500

Highly active

Why active share matters

Active share measures what fraction of this fund's portfolio is genuinely different from the S&P 500. A fund with 0% active share is identical to the index. 100% means no overlap.

Index funds and near-index funds should have very low active share — that's the point. A plain S&P 500 index fund will show ~0%. A fund that tracks the index but removes a handful of companies might show 3–8%. Low active share is expected for index strategies; what matters is whether a fund claiming to be actively managed is actually doing anything different.

The number that matters isn't excluded % alone — it's excluded % paired with active share. A fund can exclude hundreds of companies and still be 97% the same as the S&P 500, because the excluded companies represented a tiny share of the index by market weight.

A fund with high exclusions but low active share is excluding companies that barely affect its returns. It's still tracking the index. The ethical stance is real; the portfolio impact is not. A fund with high exclusions and high active share is genuinely different — the exclusions actually move the portfolio.

Holdings as of end-of-period filing dated December 30, 2025. Source: SEC N-PORT filing / fund provider disclosure.

Filter by harm category

Screened out

29 companies · 74.6% by weight
NVDA11.38%

NVIDIA Corp.

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MSFT9.44%

Microsoft Corp.

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AMZN4.44%

Amazon.com, Inc.

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MA3.23%

Mastercard, Inc.

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JPM3.21%

JPMorgan Chase & Co.

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AAPL3.16%

Apple, Inc.

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GOOGL3.12%

Alphabet, Inc.

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A2.74%

Agilent Technologies, Inc.

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EBAY2.45%

eBay, Inc.

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NFLX2.44%

Netflix, Inc.

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NOW2.39%

ServiceNow, Inc.

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PANW2.17%

Palo Alto Networks, Inc.

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UBER2.07%

Uber Technologies, Inc.

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ORCL1.79%

Oracle Corp.

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CFG1.78%

Citizens Financial Group, Inc.

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BSX1.74%

Boston Scientific Corp.

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PGR1.62%

Progressive Corp. (The)

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CL1.61%

Colgate-Palmolive Co.

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ULTA1.53%

Ulta Beauty, Inc.

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CME1.52%

CME Group, Inc.

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SNPS1.51%

Synopsys, Inc.

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GILD1.45%

Gilead Sciences, Inc.

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MKC1.41%

McCormick & Co., Inc.

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UNP1.39%

Union Pacific Corp.

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URI1.35%

United Rentals, Inc.

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DIS1.17%

Walt Disney Co. (The)

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VTR1.16%

Ventas, Inc.

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LLY1.11%

Eli Lilly & Co.

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PLD0.26%

Prologis, Inc.

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About this screening

Impax Large Cap Fund applies its own values-based screening methodology. We analyze it because that shared practice — using an ethical framework to exclude companies for non-financial reasons — makes the comparison meaningful. This fund's methodology differs from ours. The purpose of this page is to make those differences tangible and help investors know what they own.