Skip to main content
IE000VKXOHZ8

Growth and Income Fund A USD ACC

  • Total Net Assets
    $301.9 Million
    As of 31/3/26
  • MorningStar Rating
    5 stars
    Overall rating as of 31/3/26
  • Inception Date
    7/6/22

Overview

The UCITS fund invests primarily in US equities, convertibles, fixed-income securities and options, endeavoring to balance risk/reward while providing growth and income.The fund is actively managed and is suitable for long-term investors.The fund uses the S&P 500 Index and ICE BofA All US Convert Ex Mand Index as comparative benchmarks but not to constrain the fund's portfolio or as a target for performance.

Key Features

  • Leverages more than four decades of experience combining equities convertibles, fixed income securities and options to provide equity-like participation while maintaining a lower risk posture throughout the market cycle.
  • Research-driven approach identifies opportunities by combining top-down analysis with a research focus on key growth characteristics.

Portfolio Fit

The fund can provide a long-term core equity allocation, which exhibits potentially lower volatility and delivers attractive income.

Performance

Annualized Total Returns

As of 31/3/26
TimeFrame Calamos Growth and Income Fund (NAV) S&P 500 Index ICE BofA All US Convert Ex Mand Index
1 Year 17.15 17.80 25.76
3 Year 14.07 18.32 14.35
Since Inception (07/06/22) 9.74 14.47 10.82

Calendar Year Total Returns

As of 31/3/26
Date Calamos Growth and Income Fund (NAV) S&P 500 Index ICE BofA All US Convert Ex Mand Index
YTD 2026 -4.10 -4.33 4.41
2025 15.88 17.88 18.45
2024 18.98 25.02 10.73
2023 18.55 26.29 13.77

Important Fund Information

Performance data quoted represents past performance, and may not be a reliable guide to future results. Performance data quoted does not include the Fund's maximum 5% front-end sales charge. Had it been included, the Fund's returns would have been lower. Performance shown reflects the management fee. All performance shown assumes reinvestment of dividends and capital gains distributions. Returns for periods less than 12 months are not annualised.

S&P 500 Index is generally considered representative of the US stock market.

ICE BofA All US Convertible Ex Mandatory- Represents the US convertible market excluding mandatory convertibles. Source ICE Data Indices, LLC, used with permission. ICE permits use of the ICE BofA indices and related data on an 'as is' basis, makes no warranties regarding same, does not guarantee the suitability, quality, accuracy, timeliness, and/or completeness of the ICE BofA Indices or data included in, related to, or derived therefrom, assumes no liability in connection with the use of the foregoing and does not sponsor, endorse or recommend Calamos Advisors LLC or any of its products or services.

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

Portfolio

Sector Weightings

As of 31/3/26
Sector % of Assets S&P 500 Index
Information Technology 30.2% 32.9%
Industrials 10.8% 9.0%
Financials 10.3% 12.6%
Consumer Discretionary 9.3% 9.9%
Communication Services 8.9% 10.3%
Health Care 8.3% 9.5%
Energy 4.5% 4.0%
Consumer Staples 3.7% 5.3%
Utilities 3.3% 2.5%
Materials 2.8% 2.1%
Real Estate 1.8% 2.0%
Other 1.6% 0.0%

Asset Allocation

As of 31/3/26
Asset Allocation %
Common Stock 74.35
Convertibles 19.3582
Cash and Receivables/Payables 4.7442
US Government Securities 1.4755
Options 0.0722

Top 10 Holdings

As of 31/3/26
Company Industry %
NVIDIA Corp. Semiconductors 6.3%
Apple, Inc. Technology Hardware, Storage & Peripherals 5.9%
Alphabet, Inc. - Class A Interactive Media & Services 4.8%
Microsoft Corp. Systems Software 4.3%
Amazon.com, Inc. Broadline Retail 3.7%
Broadcom, Inc. Semiconductors 2.5%
Meta Platforms, Inc. - Class A Interactive Media & Services 2.0%
JPMorgan Chase & Company Diversified Banks 1.7%
Tesla, Inc. Automobile Manufacturers 1.6%
Exxon Mobil Corp. Integrated Oil & Gas 1.6%

Fund Facts

As of 31/3/26
Name Fund S&P 500 Index
Net Assets $301.9 M N/A
Number of Holdings 151 503
Debt/Capital 42.5% 39.5%
ROIC 25.2% 26.0%
Duration 1.4 years N/A
Median Conversion Premium 23.2% N/A
Median Investment Premium 25.8% N/A

Market Capitalization

As of 31/3/26
Market CAP Range % of Assets
<=$0.10bil 0.0%
>$0.10bil<=$5bil 0.0%
>$5bil<=$30bil 1.5%
>$30bil<=$200bil 22.1%
>$200bil 76.5%

Credit Quality of Bonds

As of 31/3/26
Class %
AAA 7.1%
AA 0.0%
A 4.0%
BBB 16.6%
BB 2.0%
B 1.1%
CCC and below 0.0%
Unrated Securities 69.2%

Maturity Schedule

As of 31/3/26
Range %
< 1 Year 6.2%
1 to 5 Years 12.5%
5 to 10 Years 3.1%
10 to 20 Years 0.0%
20 to 30 Years 0.0%
> 30 Years 0.0%
Equities and Other 78.2%

Distributions

Total Capital Gains

A distribution has not been paid since the Fund's inception.

Schedule

Name Frequency
Distributions QUARTERLY
Capital Gains ANNUAL

Fees & Expenses

Annual Expenses

Name A Shares
Gross Expense Ratio 2.00%
Management Fee 1.65%

Investment Information

Name A Shares
Minimum initial investment (£/€/$) $2500
Minimum subsequent investments (£/€/$) $50

Fund Information

Name A Shares
Inception Date 7/6/22
Bloomberg Ticker CGIFAUA ID
CUSIP number G39119105
ISIN number IE000VKXOHZ8

Literature

The fact sheet provides a snapshot of the investment team, the fund strategy, performance, composition, ratings and returns.

The fact sheet provides a snapshot of the investment team, the fund strategy, performance, composition, ratings and returns.

A discussion of the Growth and Income Fund's performance versus a benchmark, positioning, related market commentary, and outlook.

This prospectus sets forth concisely the information that you should know before investing. You should read the accompanying simplified prospectus, which contains important information, before deciding whether to invest in our securities.

The key Investor Information Document (KIID) aims to provide investors with a transparent and concise overview of funds in a standard format.

The annual report includes a comprehensive review of the fund’s activities and financial performance.

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

The content you have requested is restricted in some jurisdictions.

Please read the important legal information and then click "Accept" to continue.

The information is solely product-related and does not take into account any personal circumstances and does not qualify as general or personal investment recommendation or advice. In particular, the information does not constitute a specific legal offer for the purchase or sale of financial instruments.

Shares/units in the funds described on this web site are not available for sale in any jurisdiction in which such sale would be prohibited. This web site is not an invitation to subscribe for shares/units in the funds described herein and is by way of information only. It is intended solely for the use of the person who has accessed this information and may not be reproduced or distributed to any other person. Subscriptions will only be received and shares/units issued on the basis of the current Fund Prospectus.

Past performance is not indicative of future performance. The price of shares/units and the income from the funds can go down as well as up and may be affected by changes in rates of exchange. An investor may not get back the amount invested.

Every effort has been made to ensure the accuracy of the financial information herein but since it is based on unaudited figures, some changes may occur due to year-end audit adjustments.

By clicking "Accept" you are confirming that you are a resident of the aforementioned jurisdiction. This following information is not intended for US residents and does not constitute an offer of securities for sale in the United States.

This website not aimed at parties who are residents of any other country where the funds referred to herein are not registered or approved for marketing and/or sale or dissemination of information on the funds or services is not permitted.

The information contained within this site is not for distribution and under no circumstances is to be considered as an offer or solicitation to deal in investments in any jurisdiction in which such offer, solicitation or distribution would be unlawful, including but not limited to, the United States of America.

The distribution of information contained within this site may be restricted in certain countries by law or regulation and accordingly, parties who access it are required to inform themselves of and comply with any such restrictions that might apply. Parties interested in making any investment or accepting any service detailed within this site should inform themselves as to (i) the legal and regulatory requirements within their country of nationality, residence or domicile; (ii) the tax consequences which might be relevant to the acquisition, holding or disposal of any investment and; (iii) any other requirement or restriction which they may encounter.

Calamos Investments LLC does not provide and nothing contained in this website should be deemed to constitute the provision of financial, investment, tax or any other professional advice in any way.

No representation, warranty, or undertaking, express or limited, is given as to the accuracy or completeness of the information or opinions contained within this website by Calamos Investments LLC or any of its directors or employees and no liability is accepted by such persons for the accuracy or completeness of any such information or opinions. As such, no reliance may be placed for any purpose on the information and opinions contained within this site.

The value of investments can fluctuate and may be affected by movements in exchange rates. Investors may not get back the full amount invested. Past performance is not a guide to the future. The information provided on this website is not intended for distribution to, or use by, any person or entity in any jurisdiction or country where such distribution, publication or use would be contrary to local law or regulation or in which Calamos Investments LLC does not hold any necessary registration or license. Individuals or legal entities in respect of whom such prohibitions apply, whether on the grounds of their nationality, their place of residence or on other grounds, must not access or use this website.

By using this website, you confirm that you accept these terms as binding. We reserve the right to change the terms of this Disclaimer without notice, and by accessing or using the website, you agree to abide by such changes.