Hope Brown joined Calvert in 2014 as Vice President and Chief Compliance Officer, Calvert Funds. Ms. Brown is responsible for all aspects of the Funds' compliance program including the development and administration of the Funds’ policies and procedures, and the oversight of the Funds’ primary service providers. She has worked in the financial industry since 1995, and has experience in mutual fund, investment adviser and broker-dealer compliance as well as risk management and vendor management and oversight.

Prior to joining Calvert, Ms. Brown was associated with Wilmington Trust Investment Advisors, Inc. where she served as Vice President, Chief Compliance Officer for the Wilmington Funds. Prior to that, she spent five years as an Assistant Vice President, Risk Management and Compliance Lead Manager, at T. Rowe Price Associates, Inc. Ms. Brown is a member of the Investment Company Institute Chief Compliance Officer and Investment Advisers Committees, and the National Society of Compliance Professionals. She also currently serves on the Board of Directors of Associated Black Charities.

Ms. Brown graduated cum laude with a BA in English from the University of Maryland, College Park.