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Specialty Portfolios

ESG Core Equity Portfolio

Investment Strategy

The ESG Core Equity Portfolio invests entirely in a Parnassus Core Equity separately managed account. In general, Parnassus Investments will choose to invest in high-quality companies that it believes will generate attractive risk-adjusted returns over the long term while taking ESG factors into account as part of its research process. The key criteria the investment team looks for in its company-specific investment process are increasingly relevant products or services, durable competitive advantages, strong management teams and sustainable business practices. The portfolio invests principally in undervalued Equity Securities of large-cap companies. At least 65% of the portfolio's total assets will be invested in Equity Securities that pay dividends. The remaining 35% of the portfolio's total assets may be invested in non-dividend paying Equity Securities. Up to 20% of the portfolio's total assets can be invested in foreign Securities (typically through American Depository receipts).

Investment Portfolio Unit Value Daily Change YTD Return1 1 Month2 3 Month2 1 Year2 3 Year2 5 Year2 10 Year2 Since Inception2 Inception Date Expense Ratio
ESG Core Equity $72.36 0.52% 9.33% -0.18% 6.45% 12.05% 17.17% 13.15% 13.59% 13.54% Nov 2009 0.554%
Benchmark 2.02% 9.61% 15.83% 19.48% 14.68% 14.52% 14.27%

1. YTD Return as of 9/26/2025.
2. Total Returns as of 08/31/2025.

Average Annual Returns

Updated Monthly as of 08/31/2025

1 Year 3 Year 5 Year Since Inception Nov 2009
ESG Core Equity Portfolio 12.05% 17.17% 13.15% 13.54%

Benchmark

The ESG Core Equity Portfolio’s Benchmark is a blended composite benchmark reflecting the asset strategic benchmark index components for each underlying investment manager, and an adjustment reflecting the administrative fee for the Portfolio:

  • S&P 500

Portfolio Fees as of 8/31/2025

Fee Type Percent
Asset Management Fees 0.510%
Administrative Fee 0.044%
Expense Ratio (Asset Management + Administrative Fee) 0.554%

Historical Prices

Date Price
9/26/2025 $72.36
9/25/2025 $71.98
9/24/2025 $72.42
9/23/2025 $72.73
9/22/2025 $73.43

Investment Objective

The investment objective of the ESG Core Equity Portfolio is to achieve both capital appreciation and current income by investing primarily in a diversified portfolio of large-cap equity securities using financial, environmental, social, and governance (ESG) criteria.

Investment Risks

The ESG Core Equity Portfolio invests entirely in a Parnassus Core Equity separately managed account. Because it invests entirely in an actively managed strategy it is subject to manager risk. The portfolio is also subject to investment style risk. The portfolio's share price may change daily based on the value of its security holdings. Stock markets can be volatile, and stock values fluctuate in response to the asset levels of individual companies and in response to general domestic and international market and economic conditions. In addition to large-cap companies, the portfolio may invest in small- and/or mid-cap companies, which can be more volatile than large-cap firms. Security holdings in the portfolio can vary significantly from broad market indexes.

Responsible Investment Policy

Parnassus Investments conducts fundamental research to determine a company’s financial health and its business prospects, and also takes ESG factors into account in making investment decisions. By incorporating ESG factors into its fundamental investment process, Parnassus Investments often identifies risks and opportunities that the market may have ignored. Parnassus Investments looks for companies that respect the environment, treat their employees well, and have effective equal– employment–opportunity policies and good community relations. Companies also must have strong corporate governance policies and ethical business dealings. Parnassus Investments will not invest in companies that derive significant revenues from the manufacture of alcohol, tobacco, or weapons, companies that have direct gambling operations, and companies that generate electricity from nuclear power facilities. The spirit of these exclusionary screens is to avoid investment in companies with negative impacts that outweigh any potential benefits from their business activities.

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Notes:

  1. All investment return information is calculated by BNY Mellon Asset Servicing. Returns are presented net of management fees and Invest529 administrative fees. Returns for periods greater than one year are annualized.
  2. Past performance is no guarantee of future performance. Please refer to the Invest529 Program Description and consult with your financial advisor before making any investment decision.