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Calvert Moderate Allocation Fund (CMAAX)

Daily Performance (as of 9/3/2010)
Price $14.43
Price Change $0.10 (0.69%)
YTD Return (4.75% Sales Charge) -3.19%
YTD Return (No Charge) 1.64%
Fund Facts (as of 9/3/2010)
NASDAQ Symbol CMAAX (A Shares)
Calvert Fund Number 963 (A Shares)
CUSIP Number 131618738 (A Shares)
Assets Under Management $109.97 Million

Overview

Fund Management

Calvert Asset Management Company, Inc.

Top 10 Equity Holdings

Top 10 Equity Holdings

The top 10 companies in which the portfolio invests, measured by a percentage of total investments.

Issues in Portfolio: 12
Click here for all Fund Holdings

Investment Objectives

The Fund seeks long-term capital appreciation and growth of income, with current income a secondary objective, consistent with the preservation of capital. Investment in mutual funds involves risk, including the possible loss of principal invested. The Fund is subject to asset allocation risk, which is the chance that selection of, and allocation of assets to, the underlying funds will cause the Fund to underperform. The Fund shares the principal risks of each underlying fund in which it invests and pays a proportionate share of the operating expenses of those funds as well as the direct expenses of investing in the Fund. Asset allocation does not ensure a profit or protect against a loss.

Investment Strategy

The Fund is a "fund of funds." The Fund seeks to achieve its investment objective by investing in a portfolio of underlying Calvert fixed-income, equity and money market funds ("Calvert Funds") that meets the Fund's investment and social criteria. The Fund invests in underlying Calvert Funds in accordance with a stable target asset allocation determined by the investment advisor. The Fund typically invests 50% to 80% of its net assets in underlying Calvert Funds that invest primarily in equity securities; 20% to 50% of its net assets in CSIF Bond Portfolio (which invests primarily in fixed-income securities); and 0% to 10% in CSIF Money Market Portfolio.


Important Disclosure

Holdings are subject to change.



Performance

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Benchmark Index

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Lipper Category Index

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Average Annual Returns (%) for period ending 8/31/2010
Share Class YTD QTD 1 yr 3 yrs 5 yrs 10 yrs Since Inception Inception
A Shares (4.75% Sales Charge) -6.08 -2.98 -0.05 -6.13 -0.69 n/a 0.32 4/29/2005
A Shares (No Charge) -1.39 1.89 4.91 -4.60 0.28 n/a 1.24 4/29/2005
Average Annual Returns (%) for period ending 6/30/2010
Share Class YTD QTD 1 yr 3 yrs 5 yrs 10 yrs Since Inception Inception
A Shares (4.75% Sales Charge) -7.82 -11.20 6.77 -7.03 -0.59 n/a -0.03 4/29/2005
A Shares (No Charge) -3.22 -6.74 12.11 -5.51 0.38 n/a 0.92 4/29/2005
Fund Expenses (from Prospectus)
(Performance data quoted above already reflects deduction for Fund operating expenses)
Expense Ratio
(if no waiver reimbursement in effect)
Net Expense Ratio
(if waiver reimbursement in effect)
Gross Expense Ratio
(if waiver reimbursement in effect)
n/a 1.55% 1.58%

Hypothetical Growth of $10,000

Yearly Percentage Return


Pricing & Distribution

Most Recent Distributions

A Shares: Without Sales Charge
Date Type Rate Record Date Ex Date Reinvest Date Reinvest Price
6/25/2010 Dividend 0.00699 6/23/2010 6/24/2010 6/24/2010 14.07
3/26/2010 Dividend 0.00644 3/24/2010 3/25/2010 3/25/2010 14.66
12/24/2009 Dividend 0.12277 12/22/2009 12/23/2009 12/23/2009 14.24
9/25/2009 Dividend 0.00830 9/23/2009 9/24/2009 9/24/2009 13.85
6/26/2009 Dividend 0.00791 6/24/2009 6/25/2009 6/25/2009 12.37
3/27/2009 Dividend 0.02871 3/25/2009 3/26/2009 3/26/2009 11.22
12/24/2008 Dividend 0.17650 12/22/2008 12/23/2008 12/23/2008 11.39
12/4/2008 Long Term Gain 0.38397 12/2/2008 12/3/2008 12/3/2008 11.43
12/4/2008 Short Term Gain 0.00097 12/2/2008 12/3/2008 12/3/2008 11.43
9/26/2008 Dividend 0.03662 9/24/2008 9/25/2008 9/25/2008 15.33
6/27/2008 Dividend 0.04444 6/25/2008 6/26/2008 6/26/2008 16.35
3/28/2008 Dividend 0.04851 3/26/2008 3/27/2008 3/27/2008 16.45
12/28/2007 Dividend 0.23781 12/26/2007 12/27/2007 12/27/2007 17.58
12/7/2007 Long Term Gain 0.30275 12/5/2007 12/6/2007 12/6/2007 18.11
9/28/2007 Dividend 0.04589 9/26/2007 9/27/2007 9/27/2007 18.33
6/29/2007 Dividend 0.03816 6/27/2007 6/28/2007 6/28/2007 18.01
3/30/2007 Dividend 0.03949 3/28/2007 3/29/2007 3/29/2007 17.47
12/28/2006 Dividend 0.19521 12/26/2006 12/27/2006 12/27/2006 17.38
12/8/2006 Long Term Gain 0.07021 12/6/2006 12/7/2006 12/7/2006 17.50
12/8/2006 Short Term Gain 0.02644 12/6/2006 12/7/2006 12/7/2006 17.50
9/28/2006 Dividend 0.03191 9/26/2006 9/27/2006 9/27/2006 16.84
6/29/2006 Dividend 0.02396 6/27/2006 6/28/2006 6/28/2006 15.92
3/30/2006 Dividend 0.01641 3/28/2006 3/29/2006 3/29/2006 16.64
12/29/2005 Dividend 0.10064 12/27/2005 12/28/2005 12/28/2005 16.14
12/9/2005 Short Term Gain 0.00196 12/7/2005 12/8/2005 12/8/2005 16.16
9/29/2005 Dividend 0.00448 9/27/2005 9/28/2005 9/28/2005 15.77
6/24/2005 Dividend 0.00815 6/22/2005 6/23/2005 6/23/2005 15.45

Top Holdings

Top 10 Equity Holdings

Top 10 Equity Holdings

The top 10 companies in which the portfolio invests, measured by a percentage of total investments.

Issues in Portfolio: 12
Click here for all Fund Holdings


Important Disclosure

Holdings are subject to change.



Fees & Minimums

Annual Operating Expenses (deducted from Fund assets)

Description Expense
Management fees 0.150%
Distribution and service (12b-1) fees 0.250%
Other expenses 0.430%
Indirect underlying fund expenses 0.750%
Total annual Fund operating expenses 1.580%

Less fee waiver and/or expense reimbursement 0.030%
Net expenses 1.550%

Shareholder Fees (fees paid directly from your account)

Description Fee
Maximum sales charge (load) imposed on purchases
(as a percentage of offering price)
4.75%
Maximum deferred sales charge (load)
(as a percentage of purchase or redemption
proceeds, whichever is lower)
none
Short term trading fee
(unless otherwise noted the redemption fee applies to redemptions, including exchanges within 30 days of purchase (seven days for Class I and R shares)
2.00%

Fund Expense Ratios

Description Expense
Expense Ratio
(if no waiver/reimbursement
in effect)
n/a
Net Expense Ratio
(if waiver/reimbursement
in effect)
1.55%
Gross Expense Ratio
(if waiver/reimbursement
in effect)
1.58%

Investment Minimums

Description Minimum
Minimum Initial Investment (ClassA) $2,000
Minimum Initial Investment for IRA (ClassA) $1,000
Minimum Subsequent Investment (ClassA) $250

Important Disclosure

Calvert has agreed contractually to limit direct net annual operating expenses for Calvert Conservative Allocation Fund, Calvert Moderate Allocation Fund and Calvert Aggressive Allocation Fund through January 31, 2011. This expense limitation does not limit the acquired fund fees and expenses incurred by a shareholder. Direct net operating expenses for each Fund will not exceed 0.44% for Class A Shares of Calvert Conservative Allocation Fund; 0.80% for Class A Shares of Calvert Moderate Allocation Fund; and 0.43% for Class A Shares of Calvert Aggressive Allocation Fund. Direct ordinary operating expenses will not exceed 2.00% for Class C Shares of each Fund.  Only the Board of Trustees of the applicable Fund may terminate the Fund's expense cap for the contractual period. Under the terms of the contractual expense limitation, operating expenses do not include interest expense, brokerage commissions, extraordinary expenses and taxes. As a shareholder in underlying Calvert Funds, Calvert Conservative Allocation Fund, Calvert Moderate Allocation Fund and Calvert Aggressive Allocation Fund each will indirectly bear its pro rata share of operating expenses incurred by the underlying Calvert Funds.


Each of Calvert Conservative Allocation Fund, Calvert Moderate Allocation Fund and Calvert Aggressive Allocation Fund pay no investment advisory fee. Management fees include the administrative fee paid by the Fund to Calvert Administrative Services Company, an affiliate of the Advisor.



Contact the Sales Team

Our sales team is available at 800.368.2750.

MorningStar Style Box™

MorningStar Style

A style box is a graphical representation of a mutual fund's characteristics. Together, the vertical and horizontal axes can be used to classify a mutual fund into one of nine categories.

Large Growth

CMAAX is categorized as: Large Growth

Risk/Return Assessment

Risk/Return Assessment

Demonstrates where the Fund falls on a risk/return spectrum, relative to other Calvert Funds. Funds with more conservative objectives and strategies would fall on the left side of the spectrum, while funds with more aggressive objectives and strategies would appear on the right.

Compared against all Calvert funds