Mutual Funds

Fund Name Symbol MorningStar Category Inception Date
Alternative
Market Neutral Income CMNIX Relative Value Arbitrage 5/10/00
Hedged Equity CIHEX Options Trading 12/31/14
Phineus Long/Short CPLIX Long-Short Equity 5/1/02
Convertible
Convertible CICVX Convertibles 6/25/97
Global Convertible CXGCX Convertibles 12/31/14
U.S. Equity
Timpani Small Cap Growth CTSIX Small Growth 3/23/11
Timpani SMID Growth CTIGX Mid-Cap Growth 7/31/19
Growth CGRIX Large Growth 9/18/97
Growth and Income CGIIX Allocation--70% to 85% Equity 9/18/97
Dividend Growth CIDVX Large Blend 8/5/13
Select CVAIX Large Blend 3/1/02
Global Equity
International Growth CIGIX Foreign Large Growth 3/16/05
Evolving World Growth CNWIX Diversified Emerging Mkts 8/15/08
Global Equity CIGEX World Large-Stock Growth 3/1/07
Global Opportunities CGCIX World Allocation 9/18/97
Fixed Income
Total Return Bond CTRIX Intermediate Core-Plus Bond 6/27/07
High Income Opportunities CIHYX High Yield Bond 3/1/02
Short-Term Bond CSTIX Short-Term Bond 9/19/18
Fund Name Symbol
Data - As of 10/15/21
Returns* - As of 9/30/21
NAV $ Change % Change YTD 1 Year 3 Year 5 Year 10 Year Since Incep. Gross Expense Ratio
Alternative
Market Neutral Income
Market Neutral Income Class A CVSIX $14.60 $0.02 0.14% 3.94% 5.11% 4.23% 4.35% 4.41% 6.07% 1.23%
Market Neutral Income Class C CVSCX $14.77 $0.02 0.14% 3.30% 4.28% 3.43% 3.56% 3.63% 3.64% 1.98%
Market Neutral Income Class I CMNIX $14.42 $0.02 0.14% 4.19% 5.35% 4.49% 4.60% 4.67% 4.57% 0.98%
Market Neutral Income Class R6 CVSOX $14.43 $0.02 0.14% 4.22% 5.50% N/A N/A N/A 6.20% 0.90%
Hedged Equity
Hedged Equity Class A CAHEX $14.49 $0.06 0.42% 9.79% 13.11% 7.84% 8.20% N/A 6.60% 1.22%
Hedged Equity Class C CCHEX $14.22 $0.06 0.42% 9.13% 12.27% 7.07% 7.44% N/A 5.83% 1.97%
Hedged Equity Class I CIHEX $14.48 $0.06 0.42% 9.92% 13.40% 8.12% 8.50% N/A 6.88% 0.97%
Phineus Long/Short
Phineus Long/Short Class A CPLSX $16.14 $0.10 0.62% 15.62% 39.07% 9.89% 9.41% 8.97% 10.58% 2.94%
Phineus Long/Short Class C CPCLX $15.49 $0.09 0.58% 15.00% 38.10% 9.10% 8.59% 8.17% 9.77% 3.67%
Phineus Long/Short Class I CPLIX $16.32 $0.09 0.55% 15.83% 39.47% 10.17% 9.67% 9.25% 10.86% 2.67%
Convertible
Convertible
Convertible Class A CCVIX $27.01 $0.08 0.30% 6.25% 22.47% 19.20% 16.14% 11.39% 9.86% 1.14%
Convertible Class C CCVCX $26.49 $0.07 0.26% 5.62% 21.53% 18.32% 15.27% 10.55% 8.68% 1.89%
Convertible Class I CICVX $23.60 $0.06 0.25% 6.46% 22.72% 19.50% 16.43% 11.66% 9.15% 0.89%
Global Convertible
Global Convertible Class A CAGCX $14.85 $0.04 0.27% 3.02% 17.37% 14.63% 11.95% N/A 9.26% 1.35%
Global Convertible Class C CCGCX $14.47 $0.04 0.28% 2.41% 16.50% 13.79% 11.12% N/A 8.45% 2.10%
Global Convertible Class I CXGCX $14.87 $0.04 0.27% 3.21% 17.60% 14.91% 12.22% N/A 9.54% 1.10%
U.S. Equity
Timpani Small Cap Growth
Timpani Small Cap Growth Class A CTASX $39.65 $-0.17 -0.43% 12.39% 40.49% 18.01% 23.51% N/A 14.12% 1.40%
Timpani Small Cap Growth Class C CTCSX $40.77 $-0.18 -0.44% N/A N/A N/A N/A N/A -4.80% 2.16%
Timpani Small Cap Growth Class I CTSIX $40.90 $-0.17 -0.41% 12.64% 40.84% 18.34% 23.91% 19.58% 15.99% 1.16%
Timpani Small Cap Growth Class R6 CTSOX $40.98 $-0.17 -0.41% 12.71% 40.97% N/A N/A N/A 31.62% 1.09%
Timpani SMID Growth
Timpani SMID Growth Class A CTAGX $16.98 $-0.02 -0.12% 11.49% 34.89% N/A N/A N/A 25.75% 2.45%
Timpani SMID Growth Class I CTIGX $17.08 $-0.02 -0.12% 11.71% 35.27% N/A N/A N/A 26.10% 2.25%
Timpani SMID Growth Class R6 CTOGX $17.08 $-0.01 -0.06% 11.71% 35.27% N/A N/A N/A 26.10% 2.25%
Growth
Growth Class A CVGRX $44.09 $0.30 0.69% 18.49% 30.54% 18.58% 18.43% 14.89% 13.54% 1.35%
Growth Class C CVGCX $20.39 $0.14 0.69% 17.79% 29.61% 17.70% 17.56% 14.04% 12.40% 2.11%
Growth Class I CGRIX $64.31 $0.44 0.69% 18.72% 30.87% 18.87% 18.73% 15.18% 12.15% 1.10%
Growth and Income
Growth and Income Class A CVTRX $47.04 $0.35 0.75% 15.61% 25.85% 14.84% 14.49% 11.58% 11.42% 1.08%
Growth and Income Class C CVTCX $47.41 $0.35 0.74% 14.93% 24.89% 13.99% 13.65% 10.74% 10.13% 1.84%
Growth and Income Class I CGIIX $44.93 $0.35 0.79% 15.87% 26.16% 15.14% 14.78% 11.86% 10.32% 0.83%
Growth and Income Class R6 CGIOX $44.94 $0.34 0.76% 15.93% 26.25% N/A N/A N/A 26.59% 0.75%
Dividend Growth
Dividend Growth Class A CADVX $16.69 $0.15 0.91% 19.81% 29.18% 15.36% 16.13% N/A 11.37% 2.16%
Dividend Growth Class C CCDVX $16.08 $0.15 0.94% 19.20% 28.18% 14.47% 15.26% N/A 10.54% 2.92%
Dividend Growth Class I CIDVX $16.71 $0.15 0.91% 20.04% 29.48% 15.61% 16.42% N/A 11.65% 1.89%
Select
Select Class A CVAAX $20.00 $0.18 0.91% 20.34% 30.68% 13.74% 14.35% 12.32% 7.06% 1.64%
Select Class C CVACX $17.12 $0.15 0.88% 19.64% 29.72% 12.92% 13.50% 11.48% 6.26% 2.40%
Select Class I CVAIX $20.66 $0.18 0.88% 20.61% 30.98% 14.01% 14.62% 12.59% 7.49% 1.39%
Global Equity
International Growth
International Growth Class A CIGRX $28.67 $0.30 1.06% 9.30% 26.81% 17.00% 14.79% 10.18% 8.93% 1.52%
International Growth Class C CIGCX $24.80 $0.25 1.02% 8.63% 25.85% 16.13% 13.93% 9.36% 8.11% 2.27%
International Growth Class I CIGIX $29.74 $0.30 1.02% 9.46% 27.12% 17.28% 15.07% 10.45% 9.20% 1.28%
International Growth Class R6 CIGOX $30.02 $0.31 1.04% 9.56% 27.19% 17.38% N/A N/A 17.98% 1.17%
Evolving World Growth
Evolving World Growth Class A CNWGX $22.70 $0.31 1.38% 0.62% 17.67% 17.93% 12.74% 7.43% 6.83% 1.64%
Evolving World Growth Class C CNWDX $20.97 $0.28 1.35% 0.05% 16.80% 17.01% 11.89% 6.63% 6.03% 2.39%
Evolving World Growth Class I CNWIX $22.96 $0.31 1.37% 0.83% 17.97% 18.22% 13.02% 7.70% 7.10% 1.39%
Global Equity
Global Equity Class A CAGEX $17.99 $0.14 0.78% 15.54% 30.20% 19.12% 17.59% 13.40% 10.12% 1.65%
Global Equity Class C CCGEX $15.11 $0.12 0.80% 14.82% 29.21% 18.24% 16.72% 12.56% 9.30% 2.40%
Global Equity Class I CIGEX $18.78 $0.16 0.86% 15.85% 30.52% 19.43% 17.90% 13.68% 10.41% 1.40%
Global Equity Class R6 CGEOX $18.79 $0.16 0.86% 15.84% 30.59% N/A N/A N/A 35.06% 1.34%
Global Opportunities
Global Opportunities Class A CVLOX $12.40 $0.12 0.98% 13.14% 23.82% 14.48% 12.40% 9.08% 8.68% 1.53%
Global Opportunities Class C CVLCX $10.65 $0.09 0.85% 12.46% 22.96% 13.64% 11.58% 8.26% 7.99% 2.28%
Global Opportunities Class I CGCIX $12.85 $0.12 0.94% 13.32% 24.17% 14.81% 12.71% 9.35% 8.25% 1.28%
Fixed Income
Total Return Bond
Total Return Bond Class A CTRAX $10.62 $-0.02 -0.19% -1.31% -0.34% 4.84% 2.63% 2.94% 4.01% 1.04%
Total Return Bond Class C CTRCX $10.61 $-0.03 -0.28% -1.98% -1.08% 4.06% 1.89% 2.17% 3.24% 1.78%
Total Return Bond Class I CTRIX $10.62 $-0.02 -0.19% -1.12% 0.00% 5.14% 2.92% 3.20% 4.28% 0.78%
High Income Opportunities
High Income Opportunities Class A CHYDX $8.61 $0.01 0.12% 5.74% 13.15% 5.74% 5.55% 5.55% 5.98% 1.37%
High Income Opportunities Class C CCHYX $9.16 $0.00 0.00% 5.01% 12.36% 5.01% 4.75% 4.76% 5.71% 2.11%
High Income Opportunities Class I CIHYX $8.61 $0.00 0.00% 5.94% 13.43% 6.04% 5.81% 5.81% 6.44% 1.12%
Short-Term Bond
Short-Term Bond Class A CSTBX $9.93 $-0.01 -0.10% 0.17% 1.44% 3.14% N/A N/A 3.12% 0.68%
Short-Term Bond Class I CSTIX $9.92 $-0.01 -0.10% 0.27% 1.59% 3.36% N/A N/A 3.34% 0.42%

Performance data quoted represents past performance, which is no guarantee of future results. Current performance may be lower or higher than the performance quoted. Please refer to Important Risk Information. The principal value and return of an investment will fluctuate so that your shares, when redeemed, may be worth more or less than their original cost. Performance reflected at NAV does not include the Fund's maximum front-end sales load of 2.25% for Class A shares for the following funds: Convertible Fund, Global Convertible Fund, Market Neutral Income Fund, High Income Opportunities Fund, Short-Term Bond Fund, and Total Return Bond Fund. Performance reflected at NAV does not include the Fund's maximum front-end sales load for Class A shares of all other listed funds which is 4.75%. Had it been included, the Fund's return would have been lower.

*1-year, 3-year, 5-year, 10-year and since inception returns are as of the most recent month-end. Average annual total return measures net investment income and capital gain or loss from portfolio investments as an annualized average. All performance shown assumes reinvestment of dividends and capital gains distributions. Performance shown reflects an expense reimbursement that improved results. Load-adjusted returns are adjusted for the maximum front-end sales load of 2.25% for Class A shares for the following funds: Convertible Fund, Global Convertible Fund, Market Neutral Income Fund, High Income Opportunities Fund, Short-Term Bond Fund, and Total Return Bond Fund. The maximum front-end sales load for Class A shares of all other listed funds is 4.75%. There is a 1% contingent deferred sales charge for C shares on certain redemptions within the first year of purchase. Class C shares have been adjusted for the contingent deferred sales charge (CDSC). There are no contingent deferred sales charges or distribution or service fees with respect to Class I shares. The minimum initial investment required to purchase each Fund's Class I shares is $1 million. Class I shares are offered primarily for direct investment by investors through certain tax-exempt retirement plans (including 401(k) plans, 457 plans, employer-sponsored 403(b) plans, profit sharing and money purchase pension plans, defined benefit plans and non qualified deferred compensation plans) and by institutional clients, provided such plans or clients have assets of at least $1 million. Class I shares may also be offered to certain other entities or programs, including, but not limited to, investment companies, under certain circumstances.

The Fund's investment advisor has contractually agreed to reimburse Fund expenses through March 1, 2023, to the extent necessary so that Total Annual Fund Operating Expenses (excluding taxes, interest, short interest, short dividend expenses, brokerage commissions, acquired fund fees and expenses and extraordinary expenses, if any) of Class A, Class C and Class I are limited to 1.10%, 1.85% and 0.85% of average net assets respectively for the Calamos International Growth Fund; 1.30%, 2.05% and 1.05% of average net assets respectively for the Calamos Evolving World Growth Fund; 1.40%, 2.15% and 1.15% of average net assets respectively for the Calamos Global Equity Fund; 1.22%, 1.97%, and 0.97% of average net assets respectively for the Calamos Global Opportunities Fund; 1.35%, 2.10% and 1.10% of average net assets respectively for the Calamos Dividend Growth Fund; 1.15%, 1.90% and 0.90% of average net assets respectively for the Calamos Select Fund; 0.90%, 1.65% and 0.65% of average net assets respectively for the Calamos Total Return Bond Fund; and 1.00%, 1.75% and 0.75% of average net assets respectively for the Calamos High Income Opportunities Fund.

The Fund's investment advisor has contractually agreed to reimburse Fund expenses through March 1, 2023 to the extent necessary so that Total Annual Fund Operating Expenses of Class A shares and Class I shares are limited to 1.30% and 1.05% of average net assets respectively for the Calamos Timpani Small Cap Growth Fund; 1.35% and 1.10% of average net assets, respectively for the Calamos Timpani SMID Growth Fund; and 0.65% and 0.40% of average net assets, respectively for the Calamos Short-Term Bond Fund.

The Fund's investment advisor has contractually agreed to limit the Fund's annual ordinary operating expenses for Class R6 shares (as a percentage of average net assets) to 1.05% for the Calamos Timpani Small Cap Growth Fund; 1.10% for the Calamos Timpani SMID Growth Fund; 0.85% for the Calamos International Growth Fund; and 1.15% for the Calamos Global Equity Fund less the Fund's annual sub-transfer agency ratio (the aggregate sub-transfer agency fees of the Fund's other share classes divided by the aggregate average annual net assets of the Fund's other share classes).

Calamos Advisors may recapture previously waived expense amounts within the same fiscal year for any day where the respective Fund’s expense ratio falls below the contractual expense limit up to the expense limit for that day.

The funds' gross expense ratios as of the prospectus dated 3/1/2021 are as follows: Market Neutral Income A 1.23%, C 1.98%, I 0.98%, R6 0.90%; Hedged Equity A 1.22%, C 1.97% and I 0.97%; Phineus Long/Short A 2.94%, C 3.67% and I 2.67%; Convertible A 1.14%, C 1.89% and I 0.89%; Global Convertible A 1.35%, C 2.10% and I 1.10%; Timpani Small Cap Growth Fund A Shares 1.40%, I Shares 1.16% and R6 Shares 1.09%; Timpani SMID Growth Fund A Shares 2.45%, I Shares 2.25% and R6 Shares 2.25%;Growth A 1.35%, C 2.11% and I 1.10%; Growth and Income A 1.08% ,C 1.84%, I 0.83% and R6 0.75%; Dividend Growth A 2.16%, C 2.92% and I 1.89%; Select A 1.64%, C 2.40% and I 1.39%; International Growth A 1.52%, C 2.27%, I 1.28% and R6 1.17%; Evolving World Growth A 1.64%, C 2.39% and I 1.39%; Global Equity A 1.65%, C 2.40%, I 1.40% and R6 1.34%; Global Opportunities A 1.53%, C 2.28% and I 1.28%; Total Return Bond A 1.04%, C 1.78% and I 0.78%; High Income Opportunities A 1.37%, C 2.11% and I 1.12%; and Short-Term Bond A 0.68% and I 0.42%.

Interfund Lending
The Funds have adopted, effective April 23, 2020, an Interim InterFund Lending Program (the “InterFund Program”) in reliance upon the exemptive order issued by the Securities and Exchange Commission on March 23, 2020 (the “March 23, 2020 Order”). The InterFund Program will allow the Funds to borrow money from and lend money to each other for temporary or emergency purposes, such as to satisfy redemption requests or to cover unanticipated cash shortfalls. A description of the Funds’ policies and procedures in connection with the InterFund Program is available in the supplement to the statement of additional information dated April 30, 2020 and on the Funds’ website. www.calamos.com.

NOT FDIC INSURED | NO BANK GUARANTEE | MAY LOSE VALUE