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TIAA-CREF Social Choice Equity Fund

TISCX

84.1%

Excluded by weight

94

Excluded companies

116

Total holdings

63.7%

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

94 companies · 84.1% by weight
NVDA9.27%

NVIDIA Corp

See why excluded →
MSFT7.33%

Microsoft Corp

See why excluded →
JPM2.20%

JPMorgan Chase & Co

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LLY2.01%

Eli Lilly & Co

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AMD1.82%

Advanced Micro Devices Inc

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V1.74%

Visa Inc

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NFLX1.50%

Netflix Inc

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MA1.50%

Mastercard Inc

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CAT1.39%

Caterpillar Inc

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HD1.33%

Home Depot Inc/The

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IBM1.32%

International Business Machines Corp

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PG1.26%

Procter & Gamble Co/The

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CSCO1.25%

Cisco Systems Inc

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INTC1.18%

Intel Corp

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AMAT1.18%

Applied Materials Inc

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GS1.16%

Goldman Sachs Group Inc/The

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AXP1.13%

American Express Co

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ANET1.12%

Arista Networks Inc

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MS1.11%

Morgan Stanley

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CRM1.10%

Salesforce Inc

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C1.07%

Citigroup Inc

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GEV1.01%

GE Vernova Inc

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TJX1.01%

TJX Cos Inc/The

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PEP1.00%

PepsiCo Inc

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NOW0.99%

ServiceNow Inc

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WDC0.98%

Western Digital Corp

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INTU0.95%

Intuit Inc

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AMGN0.95%

Amgen Inc

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BKNG0.95%

Booking Holdings Inc

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SPGI0.92%

S&P Global Inc

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MCD0.91%

McDonald's Corp

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NEM0.89%

Newmont Corp

See why excluded →
PLD0.86%

Prologis Inc

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CDNS0.85%

Cadence Design Systems Inc

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KO0.85%

Coca-Cola Co/The

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ADBE0.83%

Adobe Inc

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TTWO0.83%

Take-Two Interactive Software Inc

See why excluded →
ADSK0.82%

Autodesk Inc

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MCO0.82%

Moody's Corp

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TXN0.82%

Texas Instruments Inc

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BKR0.81%

Baker Hughes Co

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ECL0.80%

Ecolab Inc

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EA0.79%

Electronic Arts Inc

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HCA0.78%

HCA Healthcare Inc

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VRTX0.77%

Vertex Pharmaceuticals Inc

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WDAY0.73%

Workday Inc

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PGR0.72%

Progressive Corp/The

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PYPL0.70%

PayPal Holdings Inc

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VZ0.69%

Verizon Communications Inc

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EBAY0.68%

eBay Inc

See why excluded →
DE0.68%

Deere & Co

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SNPS0.68%

Synopsys Inc

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AMP0.66%

Ameriprise Financial Inc

See why excluded →
BK0.63%

Bank of New York Mellon Corp/The

See why excluded →
ZTS0.62%

Zoetis Inc

See why excluded →
IDXX0.61%

IDEXX Laboratories Inc

See why excluded →
GILD0.61%

Gilead Sciences Inc

See why excluded →
SBUX0.60%

Starbucks Corp

See why excluded →
HPE0.60%

Hewlett Packard Enterprise Co

See why excluded →
OKE0.60%

ONEOK Inc

See why excluded →
KEYS0.59%

Keysight Technologies Inc

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CBRE0.58%

CBRE Group Inc

See why excluded →
EXC0.55%

Exelon Corp

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CMCSA0.55%

Comcast Corp

See why excluded →
IR0.52%

Ingersoll Rand Inc

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FSLR0.52%

First Solar Inc

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PH0.51%

Parker-Hannifin Corp

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HPQ0.49%

HP Inc

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LYV0.44%

Live Nation Entertainment Inc

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SYF0.44%

Synchrony Financial

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EW0.43%

Edwards Lifesciences Corp

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DASH0.41%

DoorDash Inc

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CARR0.37%

Carrier Global Corp

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LOW0.35%

Lowe's Cos Inc

See why excluded →
IT0.35%

Gartner Inc

See why excluded →
CSX0.32%

CSX Corp

See why excluded →
ODFL0.31%

Old Dominion Freight Line Inc

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EXPE0.30%

Expedia Group Inc

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MCK0.30%

McKesson Corp

See why excluded →
IRM0.27%

Iron Mountain Inc

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TTD0.26%

Trade Desk Inc/The

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IP0.25%

International Paper Co

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NWSA0.19%

News Corp

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BMY0.18%

Bristol-Myers Squibb Co

See why excluded →
NDAQ0.17%

Nasdaq Inc

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DECK0.12%

Deckers Outdoor Corp

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PTC0.12%

PTC Inc

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A0.09%

Agilent Technologies Inc

See why excluded →
EIX0.07%

Edison International

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POOL0.06%

Pool Corp

See why excluded →
ES0.04%

Eversource Energy

See why excluded →
HIG0.03%

Hartford Insurance Group Inc/The

See why excluded →
UNP0.01%

Union Pacific Corp

See why excluded →
BALL0.01%

Ball Corp

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About this screening

TIAA-CREF Social Choice Equity 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.