Mutual Funds

Alternative Funds

Fund Name Symbol Morningstar Category
Data - As of 11/11/25
Inception Date Fact Sheet
NAV $ Change % Change YTD
Market Neutral Income Fund
Market Neutral Income Fund Class A CVSIX Relative Value Arbitrage $15.97 $0.00 0.00% 6.17% 9/4/90 Download Fact Sheet
Market Neutral Income Fund Class C CVSCX Relative Value Arbitrage $16.03 $0.00 0.00% 5.43% 2/16/00 Download Fact Sheet
Market Neutral Income Fund Class I CMNIX Relative Value Arbitrage $15.76 $0.00 0.00% 6.39% 5/10/00 Download Fact Sheet
Market Neutral Income Fund Class R6 CVSOX Relative Value Arbitrage $15.76 $0.00 0.00% 6.46% 6/23/20 Download Fact Sheet
Hedged Equity Fund
Hedged Equity Fund Class A CAHEX Equity Hedged $19.16 $0.03 0.16% 10.96% 12/31/14 Download Fact Sheet
Hedged Equity Fund Class C CCHEX Equity Hedged $18.43 $0.03 0.16% 10.23% 12/31/14 Download Fact Sheet
Hedged Equity Fund Class I CIHEX Equity Hedged $19.20 $0.03 0.16% 11.16% 12/31/14 Download Fact Sheet
Phineus Long/Short Fund
Phineus Long/Short Fund Class A CPLSX Long-Short Equity $17.24 $0.06 0.35% 8.09% 5/1/02 Download Fact Sheet
Phineus Long/Short Fund Class C CPCLX Long-Short Equity $16.23 $0.06 0.37% 7.41% 5/1/02 Download Fact Sheet
Phineus Long/Short Fund Class I CPLIX Long-Short Equity $17.54 $0.06 0.34% 8.27% 5/1/02 Download Fact Sheet
Merger Arbitrage Fund
Merger Arbitrage Fund Class A CMRAX Event Driven $10.72 $0.03 0.28% 8.72% 9/29/23 Download Fact Sheet
Merger Arbitrage Fund Class C CMRCX Event Driven $10.64 $0.03 0.28% 8.02% 9/29/23 Download Fact Sheet
Merger Arbitrage Fund Class I CMRGX Event Driven $10.74 $0.03 0.28% 8.92% 9/29/23 Download Fact Sheet

Convertible Funds

Fund Name Symbol Morningstar Category
Data - As of 11/11/25
Inception Date Fact Sheet
NAV $ Change % Change YTD
Convertible Fund
Convertible Fund Class A CCVIX Convertibles $26.09 $-0.19 -0.72% 21.34% 6/21/85 Download Fact Sheet
Convertible Fund Class C CCVCX Convertibles $25.19 $-0.18 -0.71% 20.58% 7/5/96 Download Fact Sheet
Convertible Fund Class I CICVX Convertibles $22.18 $-0.15 -0.67% 21.66% 6/25/97 Download Fact Sheet
Global Convertible Fund
Global Convertible Fund Class A CAGCX Convertibles $14.53 $-0.03 -0.21% 19.58% 12/31/14 Download Fact Sheet
Global Convertible Fund Class C CCGCX Convertibles $13.73 $-0.03 -0.22% 18.87% 12/31/14 Download Fact Sheet
Global Convertible Fund Class I CXGCX Convertibles $14.63 $-0.04 -0.27% 19.83% 12/31/14 Download Fact Sheet

US Equity Funds

Fund Name Symbol Morningstar Category
Data - As of 11/11/25
Inception Date Fact Sheet
NAV $ Change % Change YTD
Timpani Small Cap Growth Fund
Timpani Small Cap Growth Fund Class A CTASX Small Growth $45.18 $-0.24 -0.53% 24.74% 1/6/14 Download Fact Sheet
Timpani Small Cap Growth Fund Class C CTCSX Small Growth $45.33 $-0.24 -0.53% 23.92% 6/25/21 Download Fact Sheet
Timpani Small Cap Growth Fund Class I CTSIX Small Growth $47.02 $-0.24 -0.51% 25.02% 3/23/11 Download Fact Sheet
Timpani Small Cap Growth Fund Class R6 CTSOX Small Growth $47.29 $-0.25 -0.53% 25.11% 6/3/19 Download Fact Sheet
Timpani SMID Growth Fund
Timpani SMID Growth Fund Class A CTAGX Small Growth $17.69 $-0.20 -1.12% 19.45% 7/31/19 Download Fact Sheet
Timpani SMID Growth Fund Class I CTIGX Small Growth $17.98 $-0.19 -1.05% 19.71% 7/31/19 Download Fact Sheet
Timpani SMID Growth Fund Class R6 CTOGX Small Growth $17.99 $-0.20 -1.10% 19.77% 7/31/19 Download Fact Sheet
Growth Fund
Growth Fund Class A CVGRX Large Growth $51.96 $-0.09 -0.17% 17.19% 9/4/90 Download Fact Sheet
Growth Fund Class C CVGCX Large Growth $16.28 $-0.03 -0.18% 16.45% 9/3/96 Download Fact Sheet
Growth Fund Class I CGRIX Large Growth $82.74 $-0.15 -0.18% 17.45% 9/18/97 Download Fact Sheet
Growth and Income Fund
Growth and Income Fund Class A CVTRX Moderately Aggressive Allocation $57.21 $0.02 0.03% 17.77% 9/22/88 Download Fact Sheet
Growth and Income Fund Class C CVTCX Moderately Aggressive Allocation $57.03 $0.01 0.02% 17.01% 8/5/96 Download Fact Sheet
Growth and Income Fund Class I CGIIX Moderately Aggressive Allocation $54.17 $0.02 0.04% 18.02% 9/18/97 Download Fact Sheet
Growth and Income Fund Class R6 CGIOX Moderately Aggressive Allocation $54.21 $0.02 0.04% 18.10% 6/23/20 Download Fact Sheet
Select Fund
Select Fund Class A CVAAX Large Blend $24.42 $0.08 0.33% 14.97% 1/2/02 Download Fact Sheet
Select Fund Class C CVACX Large Blend $19.37 $0.06 0.31% 14.21% 1/2/02 Download Fact Sheet
Select Fund Class I CVAIX Large Blend $25.63 $0.07 0.27% 15.19% 3/1/02 Download Fact Sheet

Global Equity Funds

Fund Name Symbol Morningstar Category
Data - As of 11/11/25
Inception Date Fact Sheet
NAV $ Change % Change YTD
International Growth Fund
International Growth Fund Class A CIGRX Foreign Large Growth $25.09 $-0.04 -0.16% 24.15% 3/16/05 Download Fact Sheet
International Growth Fund Class C CIGCX Foreign Large Growth $20.24 $-0.04 -0.20% 23.34% 3/16/05 Download Fact Sheet
International Growth Fund Class I CIGIX Foreign Large Growth $26.38 $-0.05 -0.19% 24.38% 3/16/05 Download Fact Sheet
International Growth Fund Class R6 CIGOX Foreign Large Growth $26.73 $-0.05 -0.19% 24.44% 9/17/18 Download Fact Sheet
Evolving World Growth Fund
Evolving World Growth Fund Class A CNWGX Diversified Emerging Mkts $22.92 $-0.10 -0.43% 20.38% 8/15/08 Download Fact Sheet
Evolving World Growth Fund Class C CNWDX Diversified Emerging Mkts $20.81 $-0.09 -0.43% 19.60% 8/15/08 Download Fact Sheet
Evolving World Growth Fund Class I CNWIX Diversified Emerging Mkts $23.23 $-0.10 -0.43% 20.61% 8/15/08 Download Fact Sheet
Global Equity Fund
Global Equity Fund Class A CAGEX Global Large-Stock Growth $19.74 $-0.11 -0.55% 19.64% 3/1/07 Download Fact Sheet
Global Equity Fund Class C CCGEX Global Large-Stock Growth $15.15 $-0.08 -0.53% 18.82% 3/1/07 Download Fact Sheet
Global Equity Fund Class I CIGEX Global Large-Stock Growth $21.01 $-0.12 -0.57% 19.85% 3/1/07 Download Fact Sheet
Global Equity Fund Class R6 CGEOX Global Large-Stock Growth $21.04 $-0.12 -0.57% 19.89% 6/23/20 Download Fact Sheet
Global Opportunities Fund
Global Opportunities Fund Class A CVLOX Global Moderate Allocation $14.15 $-0.05 -0.35% 17.04% 9/9/96 Download Fact Sheet
Global Opportunities Fund Class C CVLCX Global Moderate Allocation $11.61 $-0.04 -0.34% 16.22% 9/24/96 Download Fact Sheet
Global Opportunities Fund Class I CGCIX Global Moderate Allocation $14.81 $-0.05 -0.34% 17.28% 9/18/97 Download Fact Sheet
International Small Cap Growth Fund
International Small Cap Growth Fund Class A CAISX Foreign Small/Mid Growth $11.56 $-0.08 -0.69% 17.00% 3/31/22 Download Fact Sheet
International Small Cap Growth Fund Class C CCISX Foreign Small/Mid Growth $11.25 $-0.08 -0.71% 16.22% 3/31/22 Download Fact Sheet
International Small Cap Growth Fund Class I CSGIX Foreign Small/Mid Growth $11.65 $-0.08 -0.68% 17.32% 3/31/22 Download Fact Sheet
International Small Cap Growth Fund Class R6 CISOX Foreign Small/Mid Growth $11.66 $-0.08 -0.68% 17.42% 3/31/22 Download Fact Sheet

Sustainable Equities Fund

Fund Name Symbol Morningstar Category
Data - As of 11/11/25
Inception Date Fact Sheet
NAV $ Change % Change YTD
Calamos Antetokounmpo Sustainable Equities Fund
Calamos Antetokounmpo Sustainable Equities Fund Class A SROAX Large Blend $14.13 $0.06 0.43% 12.68% 2/3/23 Download Fact Sheet
Calamos Antetokounmpo Sustainable Equities Fund Class C SROCX Large Blend $13.90 $0.06 0.43% 12.01% 2/3/23 Download Fact Sheet
Calamos Antetokounmpo Sustainable Equities Fund Class I SROIX Large Blend $14.17 $0.06 0.43% 12.91% 2/3/23 Download Fact Sheet
Calamos Antetokounmpo Sustainable Equities Fund Class R6 SRORX Large Blend $14.17 $0.05 0.35% 12.91% 2/3/23 Download Fact Sheet

Fixed Income Funds

Fund Name Symbol Morningstar Category
Data - As of 11/11/25
Inception Date Fact Sheet
NAV $ Change % Change YTD
Total Return Bond Fund
Total Return Bond Fund Class A CTRAX Intermediate Core-Plus Bond $9.14 $0.01 0.11% 6.62% 6/27/07 Download Fact Sheet
Total Return Bond Fund Class C CTRCX Intermediate Core-Plus Bond $9.13 $0.00 0.00% 5.94% 6/27/07 Download Fact Sheet
Total Return Bond Fund Class I CTRIX Intermediate Core-Plus Bond $9.14 $0.00 0.00% 6.84% 6/27/07 Download Fact Sheet
High Income Opportunities Fund
High Income Opportunities Fund Class A CHYDX High Yield Bond $7.82 $0.00 0.00% 5.88% 8/2/99 Download Fact Sheet
High Income Opportunities Fund Class C CCHYX High Yield Bond $8.46 $0.00 0.00% 5.12% 12/21/00 Download Fact Sheet
High Income Opportunities Fund Class I CIHYX High Yield Bond $7.82 $0.00 0.00% 5.96% 3/1/02 Download Fact Sheet
Short-Term Bond Fund
Short-Term Bond Fund Class A CSTBX Short-Term Bond $9.63 $0.00 0.00% 5.12% 9/19/18 Download Fact Sheet
Short-Term Bond Fund Class I CSTIX Short-Term Bond $9.62 $0.00 0.00% 5.34% 9/19/18 Download Fact Sheet

Alternative Funds

Fund Name Symbol
Returns* - As of 10/31/25
1 Year 3 Year 5 Year 10 Year Since Incep. Gross Expense Ratio
Market Neutral Income Fund
Market Neutral Income Fund Class A CVSIX 7.29% 7.89% 4.89% 4.37% 5.90% 1.22%
Market Neutral Income Fund Class C CVSCX 6.47% 7.07% 4.09% 3.59% 3.67% 1.97%
Market Neutral Income Fund Class I CMNIX 7.60% 8.18% 5.15% 4.63% 4.62% 0.97%
Market Neutral Income Fund Class R6 CVSOX 7.70% 8.24% 5.22% N/A 5.24% 0.89%
Hedged Equity Fund
Hedged Equity Fund Class A CAHEX 13.03% 14.06% 9.62% 7.70% 7.15% 1.15%
Hedged Equity Fund Class C CCHEX 12.20% 13.21% 8.82% 6.92% 6.38% 1.90%
Hedged Equity Fund Class I CIHEX 13.36% 14.37% 9.92% 7.99% 7.44% 0.90%
Phineus Long/Short Fund
Phineus Long/Short Fund Class A CPLSX 8.81% 8.77% 10.96% 6.01% 9.53% 2.44%
Phineus Long/Short Fund Class C CPCLX 8.08% 7.98% 10.15% 5.22% 8.73% 3.19%
Phineus Long/Short Fund Class I CPLIX 9.09% 9.05% 11.25% 6.28% 9.81% 2.19%
Merger Arbitrage Fund
Merger Arbitrage Fund Class A CMRAX 11.31% N/A N/A N/A 5.25% 12.56%
Merger Arbitrage Fund Class C CMRCX 10.58% N/A N/A N/A 4.49% 13.31%
Merger Arbitrage Fund Class I CMRGX 11.50% N/A N/A N/A 5.50% 12.31%

Convertible Funds

Fund Name Symbol
Returns* - As of 10/31/25
1 Year 3 Year 5 Year 10 Year Since Incep. Gross Expense Ratio
Convertible Fund
Convertible Fund Class A CCVIX 24.06% 13.81% 7.80% 9.95% 9.26% 1.13%
Convertible Fund Class C CCVCX 23.13% 12.96% 7.00% 9.13% 7.92% 1.88%
Convertible Fund Class I CICVX 24.33% 14.08% 8.06% 10.23% 8.45% 0.88%
Global Convertible Fund
Global Convertible Fund Class A CAGCX 21.17% 15.03% 6.01% 7.60% 6.99% 1.35%
Global Convertible Fund Class C CCGCX 20.32% 14.18% 5.21% 6.79% 6.20% 2.10%
Global Convertible Fund Class I CXGCX 21.50% 15.33% 6.26% 7.87% 7.27% 1.10%

US Equity Funds

Fund Name Symbol
Returns* - As of 10/31/25
1 Year 3 Year 5 Year 10 Year Since Incep. Gross Expense Ratio
Timpani Small Cap Growth Fund
Timpani Small Cap Growth Fund Class A CTASX 34.34% 20.75% 10.53% 12.64% 10.69% 1.35%
Timpani Small Cap Growth Fund Class C CTCSX 33.32% 19.85% N/A N/A 2.31% 2.10%
Timpani Small Cap Growth Fund Class I CTSIX 34.69% 21.06% 10.81% 12.98% 12.73% 1.10%
Timpani Small Cap Growth Fund Class R6 CTSOX 34.85% 21.20% 10.93% N/A 13.88% 1.00%
Timpani SMID Growth Fund
Timpani SMID Growth Fund Class A CTAGX 29.33% 21.49% 10.66% N/A 12.16% 1.81%
Timpani SMID Growth Fund Class I CTIGX 29.61% 21.82% 10.95% N/A 12.45% 1.56%
Timpani SMID Growth Fund Class R6 CTOGX 29.70% 21.88% 10.98% N/A 12.48% 1.53%
Growth Fund
Growth Fund Class A CVGRX 26.16% 27.37% 15.93% 13.44% 13.30% 1.29%
Growth Fund Class C CVGCX 25.19% 26.42% 15.06% 12.60% 12.15% 2.04%
Growth Fund Class I CGRIX 26.46% 27.70% 16.23% 13.72% 12.09% 1.04%
Growth and Income Fund
Growth and Income Fund Class A CVTRX 21.98% 19.11% 14.24% 11.91% 11.34% 1.05%
Growth and Income Fund Class C CVTCX 21.05% 18.23% 13.39% 11.07% 10.09% 1.80%
Growth and Income Fund Class I CGIIX 22.27% 19.41% 14.52% 12.18% 10.41% 0.80%
Growth and Income Fund Class R6 CGIOX 22.37% 19.50% 14.61% N/A 14.54% 0.73%
Select Fund
Select Fund Class A CVAAX 19.95% 21.16% 16.48% 12.32% 7.91% 1.54%
Select Fund Class C CVACX 19.10% 20.27% 15.64% 11.49% 7.11% 2.29%
Select Fund Class I CVAIX 20.25% 21.46% 16.78% 12.60% 8.32% 1.29%

Global Equity Funds

Fund Name Symbol
Returns* - As of 10/31/25
1 Year 3 Year 5 Year 10 Year Since Incep. Gross Expense Ratio
International Growth Fund
International Growth Fund Class A CIGRX 21.87% 20.13% 7.83% 8.67% 7.82% 1.40%
International Growth Fund Class C CIGCX 20.92% 19.24% 7.01% 7.86% 7.02% 2.15%
International Growth Fund Class I CIGIX 22.18% 20.44% 8.10% 8.95% 8.09% 1.15%
International Growth Fund Class R6 CIGOX 22.30% 20.56% 8.21% N/A 9.65% 1.06%
Evolving World Growth Fund
Evolving World Growth Fund Class A CNWGX 18.51% 17.39% 4.17% 7.19% 5.60% 1.65%
Evolving World Growth Fund Class C CNWDX 17.61% 16.48% 3.39% 6.38% 4.81% 2.40%
Evolving World Growth Fund Class I CNWIX 18.82% 17.68% 4.43% 7.46% 5.87% 1.40%
Global Equity Fund
Global Equity Fund Class A CAGEX 25.21% 25.96% 14.58% 13.08% 10.17% 1.42%
Global Equity Fund Class C CCGEX 24.27% 25.04% 13.72% 12.24% 9.35% 2.17%
Global Equity Fund Class I CIGEX 25.62% 26.29% 14.88% 13.37% 10.46% 1.17%
Global Equity Fund Class R6 CGEOX 25.65% 26.35% 14.93% N/A 16.03% 1.11%
Global Opportunities Fund
Global Opportunities Fund Class A CVLOX 19.71% 19.67% 11.94% 9.70% 8.63% 1.45%
Global Opportunities Fund Class C CVLCX 18.84% 18.76% 11.11% 8.89% 7.92% 2.20%
Global Opportunities Fund Class I CGCIX 20.00% 19.95% 12.23% 9.99% 8.30% 1.20%
International Small Cap Growth Fund
International Small Cap Growth Fund Class A CAISX 22.11% 16.90% N/A N/A 5.75% 4.96%
International Small Cap Growth Fund Class C CCISX 21.21% 15.98% N/A N/A 4.94% 5.71%
International Small Cap Growth Fund Class I CSGIX 22.50% 17.21% N/A N/A 6.03% 4.71%
International Small Cap Growth Fund Class R6 CISOX 22.60% 17.25% N/A N/A 6.05% 4.68%

Sustainable Equities Fund

Fund Name Symbol
Returns* - As of 10/31/25
1 Year 3 Year 5 Year 10 Year Since Incep. Gross Expense Ratio
Calamos Antetokounmpo Sustainable Equities Fund
Calamos Antetokounmpo Sustainable Equities Fund Class A SROAX 13.38% N/A N/A N/A 13.55% 10.24%
Calamos Antetokounmpo Sustainable Equities Fund Class C SROCX 12.48% N/A N/A N/A 12.70% 10.99%
Calamos Antetokounmpo Sustainable Equities Fund Class I SROIX 13.60% N/A N/A N/A 13.83% 9.99%
Calamos Antetokounmpo Sustainable Equities Fund Class R6 SRORX 13.63% N/A N/A N/A 13.85% 9.98%

Fixed Income Funds

Fund Name Symbol
Returns* - As of 10/31/25
1 Year 3 Year 5 Year 10 Year Since Incep. Gross Expense Ratio
Total Return Bond Fund
Total Return Bond Fund Class A CTRAX 6.05% 5.66% 0.03% 1.79% 3.10% 1.19%
Total Return Bond Fund Class C CTRCX 5.15% 4.84% -0.74% 1.02% 2.33% 1.94%
Total Return Bond Fund Class I CTRIX 6.31% 5.92% 0.26% 2.05% 3.36% 0.94%
High Income Opportunities Fund
High Income Opportunities Fund Class A CHYDX 6.65% 8.93% 5.44% 4.73% 5.60% 1.37%
High Income Opportunities Fund Class C CCHYX 5.96% 8.13% 4.67% 3.95% 5.23% 2.12%
High Income Opportunities Fund Class I CIHYX 7.04% 9.24% 5.73% 5.00% 5.99% 1.12%
Short-Term Bond Fund
Short-Term Bond Fund Class A CSTBX 5.59% 5.54% 2.41% N/A 2.84% 0.63%
Short-Term Bond Fund Class I CSTIX 5.85% 5.77% 2.64% N/A 3.08% 0.38%

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