RISK MEASURES (3-Year)As of 3/31/2013
  FUND BENCHMARK
STANDARD DEVIATION 17.95% 19.28%
ALPHA -1.18% 0.00%
BETA 0.92 1.00
EXCESS RETURN -1.62% 0.00%
R-SQUARED 97.47% 100.00%
TRACKING ERROR 3.25% 0.00%
INFORMATION RATIO -0.50 0.00
SHARPE RATIO 0.23 0.30
MARKET CAPITALIZATIONAs of 3/31/2013 ($ Millions)
  FUND BENCHMARK
Weighted Average 40,509.1 44,015.8
Median 13,325.6 835.8
Weighted Median 21,744.9 21,913.6
TOP HOLDINGSAs of 3/31/2013
Holding % of Net Assets
TOYOTA MOTOR CORP 2.32%
NOVARTIS AG REG 2.12%
ROCHE HOLDING AG GENUSSCHEIN 2.11%
AIR LIQUIDE SA 1.80%
ADIDAS AG 1.75%
AIA GROUP LTD 1.61%
RECKITT BENCKISER GROUP PLC 1.44%
CHECK POINT SOFTWARE TECH 1.42%
NOVO NORDISK A/S B 1.35%
NIELSEN HOLDINGS NV 1.34%
Total 17.26%
ASSET ALLOCATION% of assets as of 3/31/2013
  Equity Fixed Income Cash
Calvert International Equity Fund 96.23% 1.85% 1.92%
VALUATIONKey Portfolio Statistics as of 3/31/2013
  1 YEAR P/E 3 YEAR EPS GROWTH RETURN ON
EQUITY
PRICE TO
CASH FLOW
PRICE TO
BOOK
Dividend
Yield
PROJECTED TRAILING PROJECTED TRAILING
Calvert International Equity Fund 14.7 16.4 12.3% 22.4% 18.8% 9.8 2.1 2.4
MSCI EAFE Investable Market Index 13.4 14.5 10.8% 28.8% 14.9% 7.4 1.5 3.2
PERFORMANCE Average Annual Returns (%) for Period Ended 3/31/2013
  QTR YTD 1 YEAR 3 YEARS 5 YEARS 10 YEARS SINCE
INCEPTION
INCEPTION
DATE
I Shares 4.81 4.81 10.37 4.24 -3.84 6.44 1.75 2/26/1999
MSCI EAFE Investable Market Index 5.61 5.61 12.01 5.87 -0.07 10.54 4.73  
Lipper International Multi-Cap Growth Funds Index 4.07 4.07 9.75 5.97 0.77 11.51 5.07  
PERFORMANCE ATTRIBUTIONRelative to the MSCI EAFE Investable Market Index for the quarter ending 3/31/2013
Performance Attribution Chart
TOP CONTRIBUTORS BY SECTORQuarter ended 3/31/2013
Sector Average Weight Return Contribution
Consumer Discretionary 23.51% 6.05% 1.38%
Health Care 9.46% 12.96% 1.18%
Financials 22.61% 5.00% 1.13%
Industrials 11.22% 5.58% 0.63%
Consumer Staples 8.44% 5.77% 0.47%
TOP CONTRIBUTORS BY HOLDINGQuarter ended 3/31/2013
Holding Average Weight Return Contribution
Novartis AG 2.25% 16.75% 0.35%
Kabel Deutschland Holding AG 0.97% 23.75% 0.28%
Reckitt Benckiser Group PLC 1.74% 16.23% 0.26%
adidas AG 1.72% 16.76% 0.26%
Roche Holding AG 1.45% 18.58% 0.25%
BOTTOM CONTRIBUTORS BY SECTORQuarter ended 3/31/2013
Sector Average Weight Return Contribution
Energy 4.01% -7.27% -0.30%
Materials 7.03% 1.05% 0.08%
Utilities 0.89% 11.08% 0.10%
Information Technology 8.89% 3.49% 0.32%
Telecomm Services 3.92% 12.17% 0.44%
BOTTOM CONTRIBUTORS BY HOLDINGQuarter ended 3/31/2013
Holding Average Weight Return Contribution
Fanuc Corp. 0.86% -17.46% -0.22%
Petrofac Ltd. 0.60% -19.74% -0.13%
Nikon Corp. 0.54% -20.29% -0.13%
Pearson PLC 1.40% -8.09% -0.13%
Natura Cosmeticos S.A. 0.83% -12.79% -0.12%
REGIONSas of3/31/2013
Region % of Portfolio Benchmark
Africa 1.22% n/a
Eastern Europe 1.24% 0.01%
Middle East 1.48% 0.60%
North America 12.90% 0.26%
Pacific Rim 23.98% 36.55%
South America 2.45% n/a
Western Europe 56.72% 62.59%
COUNTRIESas of 3/31/2013
Country % of Portfolio Benchmark
Argentina 0.56% n/a
Australia 1.59% 9.15%
Austria 0.02% 0.35%
Belgium 0.48% 1.22%
Bermuda n/a 0.08%
Brazil 1.90% n/a
British Virgin Islands n/a 0.01%
Canada 4.44% 0.00%
China 0.23% 0.04%
Cyprus n/a 0.00%
Denmark 1.48% 1.22%
Finland 0.05% 0.86%
France 8.74% 8.18%
Germany 8.46% 8.06%
Greece 0.01% 0.13%
Hong Kong 4.76% 3.13%
Indonesia 0.54% 0.01%
Ireland 0.71% 0.43%
Israel 1.48% 0.59%
Italy 1.02% 2.00%
Japan 14.45% 22.10%
Luxembourg n/a 0.30%
Mexico 0.52% 0.03%
Netherlands 2.51% 2.60%
New Zealand n/a 0.21%
Norway 2.01% 1.04%
Philippines 0.62% n/a
Portugal 0.04% 0.20%
Russia 1.24% 0.00%
Singapore 0.79% 1.91%
South Africa 1.22% n/a
Spain 0.49% 2.58%
Sweden 3.73% 3.28%
Switzerland 8.96% 8.35%
Taiwan 0.56% n/a
Thailand 0.46% n/a
United Arab Emirates (Uae) n/a 0.00%
United Kingdom 17.99% 21.79%
United States 7.95% 0.14%
10 BEST PERFORMERS FOR THE QUARTER as of 3/31/2013
Rank Company Industry Return
1 Sony Corp. ADS Consumer Discretionary 56.50%
2 Japan Exchange Group, Inc. Financials 55.11%
3 Sealed Air Corp. Materials 38.51%
4 Sumitomo Mitsui Trust Holdings Inc. ADS Financials 36.52%
5 Delhaize Group ADS Consumer Staples 34.62%
6 H. Lundbeck A/S ADS Health Care 28.33%
7 Bristol-Myers Squibb Co. Health Care 27.74%
8 ProSiebenSat.1 Media AG Consumer Discretionary 27.24%
9 Kubota Corp. ADS Industrials 26.04%
10 H.J. Heinz Co. Consumer Staples 25.68%
10 WORST PERFORMERS FOR THE QUARTER as of 3/31/2013
Rank Company Industry Return
1 PostNL N.V. Sponsored ADR Industrials -50.63%
2 National Bank of Greece S.A. ADS Financials -50.08%
3 TNT Express N.V. ADS Industrials -35.98%
4 Aviva PLC ADS Financials -24.43%
5 Li & Fung Ltd. ADS Consumer Discretionary -24.02%
6 Commerzbank AG ADS Financials -23.74%
7 Royal Bank of Scotland Group Plc Financials -22.38%
8 Nikon Corp. Consumer Discretionary -20.29%
9 Sharp Corp. ADS Consumer Discretionary -20.11%
10 Petrofac Ltd. Energy -19.74%

Investment in mutual funds involves risk, including possible loss of principal invested. You could lose money on your investment in the Fund or the Fund could underperform because of the following risks: the market prices of stocks held by the Fund may fall; individual investments of the Fund may not perform as expected; the Fund’s portfolio management practices may not achieve the desired result; and/or the Advisor’s allocation of Fund assets between the portions of the portfolio managed by the Advisor and each Subadvisor may cause the Fund to underperform. Investing in foreign securities involves additional risks relating to political, social, and economic developments abroad; differences between the regulations that apply to U.S. and foreign issuers and markets; the potential for foreign markets to be less liquid and more volatile than U.S. markets; and currency risk associated with securities that trade or are denominated in currencies other than the U.S. dollar. In addition, the risks of investing in emerging market securities are greater than those of investing in securities of developed foreign countries.

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