CNWGX

Calamos Evolving World Growth Mutual Fund

Fund Stats

  • NAV

    $22.49

    $0.11 (0.49%)

    As of 12/11/25

  • YTD Return

    18.70%

    As of 12/11/25

  • Total Net Assets

    $416.7 Million

    As of 9/30/25

  • Inception Date

    8/15/08

Calamos Evolving World Growth Mutual Fund Overview

The fund offers an active, risk-managed strategy to access growth opportunities in emerging markets. The fund invests in emerging market-domiciled and developed market-domiciled companies with significant revenue exposures attributable to emerging markets.

Key Features

  • Conducts research across the capital structure and utilizes Calamos' experience in convertible securities to dynamically manage the risk profile.
  • Identifies durable secular themes that provide a tailwind for sustainable growth and a franchise premium.
  • Emphasizes countries enacting structural reforms and improving economic freedoms, which we believe enhances growth prospects and mitigates risk.

Portfolio Fit

With its focus on risk management, the fund can serve as a long-term emerging market allocation.

Chart of the Week

Check out the Calamos Global Investment Team’s “Chart of the Week,” offering valuable perspective on the benefits of global diversification.

Latest Fund Insights

Stay informed with our most recent quarterly commentary. Our portfolio managers share their latest market perspectives, fund positioning, and outlook.

View Current Commentary

Performance

Calendar Year Total Returns

As of 9/30/25
Date Calamos Evolving World Growth Fund (NAV) Calamos Evolving World Growth Fund Load-Adjusted MSCI Emerging Markets Index
YTD 2025 20.22 14.51 28.22
2024 14.63 9.17 8.05
2023 6.38 1.33 10.27
2022 -24.59 -28.16 -19.74
2021 -6.98 -11.42 -2.22
2020 53.93 46.58 18.69
2019 20.45 14.76 18.90
2018 -17.97 -21.86 -14.25
2017 36.55 30.03 37.75
2016 -4.69 -9.19 11.60

Growth of 10K

As of 9/30/25
Date Calamos Evolving World Growth Fund MSCI Emerging Markets Index
8/15/2008 12:00:00 AM 10000 10000
8/31/2008 12:00:00 AM 9960 10000
9/30/2008 12:00:00 AM 8720 8251
10/31/2008 12:00:00 AM 7330 5994.1
11/30/2008 12:00:00 AM 6850 5543.29
12/31/2008 12:00:00 AM 7152.7 5977.16
1/31/2009 12:00:00 AM 6739.07 5593.61
2/28/2009 12:00:00 AM 6476.77 5278.97
3/31/2009 12:00:00 AM 7132.52 6038.35
4/30/2009 12:00:00 AM 7939.59 7044.09
5/31/2009 12:00:00 AM 8978.7 8251.8
6/30/2009 12:00:00 AM 8847.55 8142.3
7/31/2009 12:00:00 AM 9684.89 9063.68
8/31/2009 12:00:00 AM 9725.25 9033.68
9/30/2009 12:00:00 AM 10502.06 9855.11
10/31/2009 12:00:00 AM 10391.08 9868.22
11/30/2009 12:00:00 AM 10956.03 10292.65
12/31/2009 12:00:00 AM 11152.55 10700.45
1/31/2010 12:00:00 AM 10512.65 10105.4
2/28/2010 12:00:00 AM 10878.31 10143.09
3/31/2010 12:00:00 AM 11376.01 10962.75
4/30/2010 12:00:00 AM 11497.89 11098.03
5/31/2010 12:00:00 AM 10929.09 10126.62
6/30/2010 12:00:00 AM 10898.62 10054.01
7/31/2010 12:00:00 AM 11457.27 10898.35
8/31/2010 12:00:00 AM 11284.59 10690.41
9/30/2010 12:00:00 AM 12320.62 11879.93
10/31/2010 12:00:00 AM 12615.18 12225.88
11/30/2010 12:00:00 AM 12635.49 11903.6
12/31/2010 12:00:00 AM 13404.1 12754.47
1/31/2011 12:00:00 AM 13342.99 12410.87
2/28/2011 12:00:00 AM 13648.56 12296.93
3/31/2011 12:00:00 AM 13994.86 13021.84
4/30/2011 12:00:00 AM 14799.52 13428.64
5/31/2011 12:00:00 AM 14361.54 13081.78
6/30/2011 12:00:00 AM 14015.23 12886.08
7/31/2011 12:00:00 AM 13923.56 12837.62
8/31/2011 12:00:00 AM 13251.32 11695.08
9/30/2011 12:00:00 AM 11621.64 9991.92
10/31/2011 12:00:00 AM 12701.31 11316.45
11/30/2011 12:00:00 AM 12630.01 10562.89
12/31/2011 12:00:00 AM 12253.14 10436.56
1/31/2012 12:00:00 AM 12955.94 11622.36
2/29/2012 12:00:00 AM 13485.59 12320.74
3/31/2012 12:00:00 AM 13444.85 11912.13
4/30/2012 12:00:00 AM 13251.32 11773.08
5/31/2012 12:00:00 AM 12242.96 10458.9
6/30/2012 12:00:00 AM 12517.97 10867.47
7/31/2012 12:00:00 AM 12538.34 11087.29
8/31/2012 12:00:00 AM 12792.98 11055.25
9/30/2012 12:00:00 AM 13230.95 11724.52
10/31/2012 12:00:00 AM 13067.98 11654.61
11/30/2012 12:00:00 AM 13241.14 11803.44
12/31/2012 12:00:00 AM 13302.25 12381.99
1/31/2013 12:00:00 AM 13516.15 12554.64
2/28/2013 12:00:00 AM 13465.22 12398.71
3/31/2013 12:00:00 AM 13444.85 12187.84
4/30/2013 12:00:00 AM 13516.15 12284.48
5/31/2013 12:00:00 AM 13414.29 11975.09
6/30/2013 12:00:00 AM 12803.16 11218.44
7/31/2013 12:00:00 AM 13292.06 11341.72
8/31/2013 12:00:00 AM 13098.54 11151.18
9/30/2013 12:00:00 AM 13801.34 11879.9
10/31/2013 12:00:00 AM 14229.13 12458.81
11/30/2013 12:00:00 AM 14198.57 12277.66
12/31/2013 12:00:00 AM 14356.69 12101.11
1/31/2014 12:00:00 AM 13668.14 11318.05
2/28/2014 12:00:00 AM 14500.56 11695.39
3/31/2014 12:00:00 AM 14366.97 12057.01
4/30/2014 12:00:00 AM 14387.52 12101.86
5/31/2014 12:00:00 AM 14716.38 12527
6/30/2014 12:00:00 AM 15086.34 12865.48
7/31/2014 12:00:00 AM 14808.87 13124.85
8/31/2014 12:00:00 AM 14952.74 13425.8
9/30/2014 12:00:00 AM 14027.83 12433.5
10/31/2014 12:00:00 AM 14110.05 12581.58
11/30/2014 12:00:00 AM 14099.77 12449.23
12/31/2014 12:00:00 AM 13530.27 11881.42
1/31/2015 12:00:00 AM 13635.64 11953.66
2/28/2015 12:00:00 AM 13941.23 12325.17
3/31/2015 12:00:00 AM 13941.23 12152.38
4/30/2015 12:00:00 AM 14626.17 13090.17
5/31/2015 12:00:00 AM 14331.12 12568.53
6/30/2015 12:00:00 AM 14025.53 12251.68
7/31/2015 12:00:00 AM 13330.05 11409.99
8/31/2015 12:00:00 AM 12307.91 10381.95
9/30/2015 12:00:00 AM 12023.39 10073.29
10/31/2015 12:00:00 AM 12761.02 10792.53
11/30/2015 12:00:00 AM 12687.26 10372.27
12/31/2015 12:00:00 AM 12360.16 10146.98
1/31/2016 12:00:00 AM 11611.38 9489.25
2/29/2016 12:00:00 AM 11358.27 9474.73
3/31/2016 12:00:00 AM 12275.79 10730.89
4/30/2016 12:00:00 AM 12328.52 10791.31
5/31/2016 12:00:00 AM 12265.24 10390.95
6/30/2016 12:00:00 AM 12423.44 10816.46
7/31/2016 12:00:00 AM 12824.19 11367.02
8/31/2016 12:00:00 AM 12908.56 11653.24
9/30/2016 12:00:00 AM 13066.75 11806.6
10/31/2016 12:00:00 AM 12771.46 11835.76
11/30/2016 12:00:00 AM 11927.76 11291.67
12/31/2016 12:00:00 AM 11780.12 11324.42
1/31/2017 12:00:00 AM 12433.98 11944.65
2/28/2017 12:00:00 AM 12644.91 12311.23
3/31/2017 12:00:00 AM 13056.21 12625.05
4/30/2017 12:00:00 AM 13425.33 12904.06
5/31/2017 12:00:00 AM 13688.98 13288.22
6/30/2017 12:00:00 AM 13857.72 13431.06
7/31/2017 12:00:00 AM 14775.24 14242.43
8/31/2017 12:00:00 AM 15239.27 14565.45
9/30/2017 12:00:00 AM 15270.91 14510.83
10/31/2017 12:00:00 AM 15640.03 15020.45
11/30/2017 12:00:00 AM 15745.49 15051.39
12/31/2017 12:00:00 AM 16085.87 15599.57
1/31/2018 12:00:00 AM 17267.26 16900.88
2/28/2018 12:00:00 AM 16581.63 16123.78
3/31/2018 12:00:00 AM 16549.98 15828.07
4/30/2018 12:00:00 AM 16064.77 15760.96
5/31/2018 12:00:00 AM 15590.11 15206.33
6/30/2018 12:00:00 AM 14999.41 14584.7
7/31/2018 12:00:00 AM 15041.6 14917.96
8/31/2018 12:00:00 AM 14598.58 14518.9
9/30/2018 12:00:00 AM 14514.2 14446.6
10/31/2018 12:00:00 AM 13227.33 13189.74
11/30/2018 12:00:00 AM 13607.06 13734.22
12/31/2018 12:00:00 AM 13195.69 13377.13
1/31/2019 12:00:00 AM 14197.76 14549.36
2/28/2019 12:00:00 AM 14334.88 14583.41
3/31/2019 12:00:00 AM 14609.13 14708.68
4/30/2019 12:00:00 AM 14872.84 15021.09
5/31/2019 12:00:00 AM 14113.37 13935.82
6/30/2019 12:00:00 AM 15031.06 14816.84
7/31/2019 12:00:00 AM 14862.29 14647.93
8/31/2019 12:00:00 AM 14481.82 13937.94
9/30/2019 12:00:00 AM 14397.83 14208.62
10/31/2019 12:00:00 AM 14893.12 14809.22
11/30/2019 12:00:00 AM 14978.01 14789.82
12/31/2019 12:00:00 AM 15893.17 15902.9
1/31/2020 12:00:00 AM 15541.93 15162.14
2/29/2020 12:00:00 AM 15201.56 14363.4
3/31/2020 12:00:00 AM 13267.92 12154.74
4/30/2020 12:00:00 AM 14829.55 13270.18
5/31/2020 12:00:00 AM 15668.9 13374.88
6/30/2020 12:00:00 AM 17326.67 14365.02
7/31/2020 12:00:00 AM 19515.03 15661.61
8/31/2020 12:00:00 AM 20481.02 16011.65
9/30/2020 12:00:00 AM 20227.06 15758.51
10/31/2020 12:00:00 AM 20821.74 16085.65
11/30/2020 12:00:00 AM 22458.33 17574.38
12/31/2020 12:00:00 AM 24463.86 18874.71
1/31/2021 12:00:00 AM 25471.77 19458.31
2/28/2021 12:00:00 AM 25634.79 19608.14
3/31/2021 12:00:00 AM 24388.94 19316.84
4/30/2021 12:00:00 AM 24888.91 19800.39
5/31/2021 12:00:00 AM 25214.95 20264.15
6/30/2021 12:00:00 AM 25399.02 20305.92
7/31/2021 12:00:00 AM 23903.02 18951.26
8/31/2021 12:00:00 AM 24856.75 19453.27
9/30/2021 12:00:00 AM 23805.31 18687.02
10/31/2021 12:00:00 AM 24131.44 18874.08
11/30/2021 12:00:00 AM 22809.04 18106.49
12/31/2021 12:00:00 AM 22761.14 18454.97
1/31/2022 12:00:00 AM 22271.78 18107.03
2/28/2022 12:00:00 AM 21563.54 17567.98
3/31/2022 12:00:00 AM 21324.18 17177.29
4/30/2022 12:00:00 AM 19844.28 16224.38
5/31/2022 12:00:00 AM 19560.51 16299.87
6/30/2022 12:00:00 AM 18232.35 15230.17
7/31/2022 12:00:00 AM 17730.96 15205.51
8/31/2022 12:00:00 AM 17686.63 15274.69
9/30/2022 12:00:00 AM 16261.09 13491.6
10/31/2022 12:00:00 AM 15792.77 13074.49
11/30/2022 12:00:00 AM 17708.43 15015.68
12/31/2022 12:00:00 AM 17163.01 14812.75
1/31/2023 12:00:00 AM 18762.6 15983.79
2/28/2023 12:00:00 AM 17347.9 14948.56
3/31/2023 12:00:00 AM 18005.39 15407.75
4/30/2023 12:00:00 AM 17391.41 15236.07
5/31/2023 12:00:00 AM 16833.15 14984.56
6/30/2023 12:00:00 AM 17545.19 15567.74
7/31/2023 12:00:00 AM 18554.04 16547.47
8/31/2023 12:00:00 AM 17765.49 15532.91
9/30/2023 12:00:00 AM 16998.02 15132.94
10/31/2023 12:00:00 AM 16296 14546.63
11/30/2023 12:00:00 AM 17710.49 15713.23
12/31/2023 12:00:00 AM 18257.74 16333.29
1/31/2024 12:00:00 AM 18082.47 15576.39
2/29/2024 12:00:00 AM 19104.13 16320.14
3/31/2024 12:00:00 AM 19455.65 16731.58
4/30/2024 12:00:00 AM 19377.83 16810.02
5/31/2024 12:00:00 AM 20400.98 16909.89
6/30/2024 12:00:00 AM 21741.32 17587.61
7/31/2024 12:00:00 AM 21047.77 17652.23
8/31/2024 12:00:00 AM 20795.2 17943.14
9/30/2024 12:00:00 AM 22015.88 19148.85
10/31/2024 12:00:00 AM 21553.55 18320.99
11/30/2024 12:00:00 AM 21135.41 17664.41
12/31/2024 12:00:00 AM 20926.17 17648.21
1/31/2025 12:00:00 AM 20706.45 17967.19
2/28/2025 12:00:00 AM 20650.54 18057.54
3/31/2025 12:00:00 AM 20485.34 18178.71
4/30/2025 12:00:00 AM 20684.05 18423.08
5/31/2025 12:00:00 AM 21606.56 19216.47
6/30/2025 12:00:00 AM 23211.93 20396.11
7/31/2025 12:00:00 AM 23288.53 20807.21
8/31/2025 12:00:00 AM 23882.39 21112.36
9/30/2025 12:00:00 AM 25157.71 22628.77

Annualized Total Returns

As of 9/30/25 As of 11/30/25
TimeFrame Calamos Evolving World Growth Fund (NAV) Calamos Evolving World Growth Fund Load-Adjusted MSCI Emerging Markets Index
1 Year 14.28 8.84 18.17
3 Year 15.66 13.79 18.81
5 Year 4.46 3.45 7.51
10 Year 7.66 7.14 8.43
Since Inception (08/15/08) 5.53 5.23 4.72
TimeFrame Calamos Evolving World Growth Fund (NAV) Calamos Evolving World Growth Fund Load-Adjusted MSCI Emerging Markets Index
1 Year 15.65 10.15 30.29
3 Year 11.35 9.56 15.30
5 Year 1.71 0.73 5.54
10 Year 6.78 6.26 8.30
Since Inception (08/15/08) 5.30 5.01 4.77

Important Fund Information

10k Performance is for the Fund's Class A shares at net asset value and does not include the Fund's maximum front-end sales charge of 4.75%. Had it been included, the Fund's return would have been lower. Results are before taxes on fund distributions and assume reinvestment of dividends and capital gains. Index data shown is from 8/31/08, since comparative index data is available only for full monthly periods. Source: Calamos Investments

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 4.75%. Had it been included, the Fund's return would have been lower.

The MSCI Emerging Markets Index is a free float-adjusted market capitalization index that is designed to measure equity market performance of emerging markets. The index is calculated on a total return basis, which includes reinvestment of gross dividends before deduction of withholding taxes.

Unmanaged index returns, unlike fund returns, do not reflect fees, expenses or sales charges. Investors cannot invest directly in an index.

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.

The funds' gross expense ratios as of the prospectus dated 2/28/2025 are as follows: A Shares 1.65%, C Shares 2.40% and I Shares 1.40%.

Class I shares are offered primarily for direct investment by investors through certain tax-exempt retirement plans and by institutional clients, provided such plans or clients have assets of at least $1 million. For eligibility requirements and other available share classes see the prospectus and other Fund documents at www.calamos.com.

Portfolio

Sector Weightings

As of 9/30/25
Sector % of Assets MSCI Emerging Markets Index
Information Technology 31.3% 25.5%
Consumer Discretionary 18.4% 13.6%
Financials 14.3% 22.2%
Industrials 12.7% 6.6%
Communication Services 11.0% 10.5%
Consumer Staples 4.1% 4.0%
Materials 4.1% 6.5%
Health Care 1.5% 3.4%
Energy 1.0% 3.9%
Real Estate 0.7% 1.4%
Utilities 0.0% 2.3%
Other 0.0% 0.0%

Asset Allocation

As of 9/30/25
Asset Allocation %
Common Stock 80.5688
Convertibles 16.3021
Options 2.1899
Cash and Receivables/Payables 0.9392

Top 10 Holdings

As of 9/30/25
Company Security Type Industry %
Taiwan Semiconductor Mfg Stocks Semiconductors 12.0%
Goldman Sachs Finance Intl., Ltd. Convertible Bonds Interactive Media & Services 4.5%
Samsung Electronics Company, Ltd. Stocks Technology Hardware, Storage & Peripherals 3.0%
Hanwha Aerospace Company, Ltd. Stocks Aerospace & Defense 2.4%
KCC Corp. Convertible Bonds Construction Machinery & Heavy Trucks 2.0%
Sea, Ltd. (ADR) Stocks Broadline Retail 2.0%
Amber Enterprises India, Ltd. Stocks Household Appliances 2.0%
Hong Kong Exchs & Clearing, Ltd. Stocks Financial Exchanges & Data 2.0%
MercadoLibre, Inc. Stocks Broadline Retail 1.9%
SK HYNIX, Inc. Convertible Bonds Semiconductors 1.9%
Total 33.7%

Fund Facts

As of 9/30/25
Name Fund MSCI Emerging Markets Index
Net Assets $416.7 M N/A
Number of Holdings 102 1,189
Debt/Capital 21.6% 23.7%
ROIC 26.7% 21.9%
Duration 0.8 years N/A
Median Conversion Premium 10.3% N/A
Median Investment Premium 42.0% N/A
Portfolio Turnover (12 months) 146.5% N/A
Price/Book 3.3x 2.0x
Price/Earnings 21.3x 15.6x
Price/Sales 2.9x 1.2x
PEG Ratio 1.4x 1.6x

Market Capitalization

As of 9/30/25
Market CAP Range % of Assets
<=$0.10bil 0.0%
>$0.10bil<=$5bil 6.3%
>$5bil<=$30bil 42.7%
>$30bil<=$200bil 27.6%
>$200bil 23.4%

Top Currency Exposures

As of 9/30/25
Currency %
United States Dollar (USD) 27.6%
Taiwan Dollar (TWD) 18.8%
Hong Kong Dollar (HKD) 16.4%
South Korean WON (KRW) 12.2%
Indian Rupee (INR) 7.2%
China Renminbi (Yuan) (CNY) 6.6%
Saudi Arabian Riyal (SAR) 2.4%
Canadian Dollar (CAD) 1.8%
Euro (EUR) 1.6%
Mexican Peso (MXN) 1.3%

Credit Quality of Bonds

As of 9/30/25
Class %
AAA 0.0%
AA 0.0%
A 8.3%
BBB 21.7%
BB 0.0%
B 0.0%
CCC and below 0.0%
Unrated Securities 70.1%

Maturity Schedule

As of 9/30/25
Range %
< 1 Year 2.6%
1 to 5 Years 14.6%
5 to 10 Years 0.0%
10 to 20 Years 0.0%
20 to 30 Years 0.0%
> 30 Years 0.0%
Equities and Other 82.8%

Bond Duration

As of 9/30/25
Name Duration
Weighted Avg. Duration 0.8 years
Weighted Avg. Maturity 1.9 years

Distributions

Total Capital Gains

Schedule: ANNUAL
Year Capital Gains
2008 0.0000
2009 0.0000
2010 0.0000
2011 0.0000
2012 0.0000
2013 0.1145
2014 0.2975
2015 0.0000
2016 0.0000
2017 0.0000
2018 0.0000
2019 0.0000
2020 0.4504
2021 0.0000
2022 0.0000
2023 0.0000
2024 0.0000

Schedule

Name Frequency
Distributions ANNUAL
Capital Gains ANNUAL

Calamos Mutual Funds Estimated 2025 Capital Gains
Preliminary capital gains distribution estimates for Calamos Mutual Funds were posted November 3, 2025. To view the report, click here.

2024 Capital Gains
Capital gains for Calamos Mutual Funds were declared on December 23, 2024. To view the report, click here.

Fees & Expenses

Annual Expenses

Name A Shares C Shares I Shares
Gross Expense Ratio 1.65% 2.40% 1.40%
Net Expense Ratio 1.30% 2.05% 1.05%

Investment Information

Name A Shares C Shares I Shares
Minimum initial investment $2500 $2500 $1 million
Minimum subsequent investments $50 $50 $0
IRA initial investments $500 $500 N/A

Fund Information

Name A Shares C Shares I Shares
Inception Date 8/15/08 8/15/08 8/15/08
Ticker Symbol CNWGX CNWDX CNWIX
CUSIP number 128119161 128119146 128119138

Sales & Distribution

Name A Shares C Shares I Shares
Sales Load Front-End Level-Load N/A
Maximum Sales Charge 4.75 1.00 N/A
US Bank Fund Number 1952 1954 1955
Dividends ANNUAL ANNUAL ANNUAL
Capital Gains ANNUAL ANNUAL ANNUAL

The Fund's investment advisor has contractually agreed to reimburse Fund expenses through March 1, 2026 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 1.30%, 2.05%, and 1.05% of average net assets, respectively. Calamos Advisors LLC ("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. This undertaking is binding on Calamos Advisors and any of its successors and assigns. This agreement is not terminable by either party.

Literature

About the Fund

Calamos Evolving World Growth Fund Fact Sheet

The Evolving World Growth Fund fact sheet provides a snap shot of the investment team, the fund strategy, performance, composition, ratings and returns.

Calamos Evolving World Growth Fund Quarterly Commentary

A quarterly update of the Calamos Evolving World Growth Fund’s performance, positioning, related market commentary and outlook.

Calamos Evolving World Growth Fund Three Pillars Flyer

Sweeping demographic changes create tailwinds for growth opportunities in emerging markets. Offering a tested team and attractive historical risk-return profile, CNWIX pursues this potential through flexible approach and dynamic risk allocation.

Prospectus and Reports

Summary Prospectus

This summary contains important information about the investment objective, fees and expenses, principal investment strategies, principal risks and performance.

Statutory Prospectus

You should read the accompanying prospectus and any accompanying prospectus supplement, which contain important information, before deciding whether to invest in our securities.

SAI

The statement of additional information is a supplementary document to the fund’s prospectus and contains additional information about the fund and includes further disclosure regarding its operations.

Annual Report

The annual report includes a letter from John P. Calamos, Sr. to shareholders outlining the fund's performance, as well as a comprehensive review of the fund’s activities and financial performance.

Semi Annual Report

The semi annual report provides a comprehensive review of the fund’s activities and financial performance over a six month period.

Calamos Financial Services LLC, Distributor

Check the background of the firm and its investment professionals on FINRA's BrokerCheck.

Before investing, carefully consider the fund's investment objectives, risks, charges and expenses. Please see the prospectus and summary prospectus containing this and other information which can be obtained by calling 1-866-363-9219. Read it carefully before investing.

©2025 Calamos Investments LLC. All Rights Reserved. Calamos®, Calamos Investments® and Investment strategies for your serious money® are registered trademarks of Calamos Investments LLC.

Calamos Investments LLC, referred to herein as Calamos Investments®, is a financial services company offering such services through its subsidiaries: Calamos Advisors LLC, Calamos Wealth Management LLC, Calamos Financial Services LLC and Calamos Antetokounmpo Asset Management LLC.

The personal data collected by Calamos on this website, or by any other means, is collected and stored in accordance with the General Data Protection Regulation (EU) 2016/679 ("GDPR").

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