All

Prices as of Oct 16, 2019 and performance as of Oct 15, 2019, unless otherwise indicated.
Fund NameSymbolNAVNav ChangeYTD ReturnStandardized Performance
Calvert Income Fund (I)CINCX17.110.0213.12more info
Calvert Long-Term Income Fund (I)CLDIX18.320.0419.07more info
Calvert Moderate Allocation Fund (I)CLAIX19.57-0.0215.05more info
Calvert Absolute Return Bond Fund (I)CUBIX15.050.015.90more info
Calvert Ultra-Short Duration Income Fund (I)CULIX9.980.002.95more info
Calvert US Mid-Cap Core Responsible Index Fund (I)CMJIX26.99-0.1221.35more info
Calvert Emerging Markets Equity Fund (I)CVMIX16.54-0.0112.58more info
Calvert Mid-Cap Fund (I)CCPIX40.99-0.0922.88more info
Calvert Conservative Allocation Fund (I)CFAIX17.580.0012.11more info
Calvert Green Bond Fund (I)CGBIX15.840.018.03more info
Calvert Bond Fund (I)CBDIX16.650.018.08more info
Calvert International Opportunities Fund (I)COIIX16.07-0.0113.24more info
Calvert Short Duration Income Fund (I)CDSIX16.240.015.71more info
Calvert US Large-Cap Core Responsible Index Fund (I)CISIX25.56-0.0822.21more info
Calvert International Responsible Index Fund (I)CDHIX23.530.0316.80more info
Calvert Floating-Rate Advantage Fund (I)CFOIX9.650.016.49more info
Calvert US Large-Cap Growth Responsible Index Fund (I)CGJIX30.14-0.1424.30more info
Calvert Balanced Fund (I)CBAIX34.98-0.0418.49more info
Calvert US Large-Cap Value Responsible Index Fund (I)CFJIX23.46-0.0419.11more info
Calvert Small-Cap Fund (I)CSVIX27.340.0121.09more info
Calvert Growth Allocation Fund (I)CAGIX20.60-0.0317.95more info
Calvert High Yield Bond Fund (I)CYBIX26.770.0110.66more info
Calvert Equity Fund (I)CEYIX62.80-0.0929.83more info
Calvert Global Energy Solutions Fund (I)CAEIX7.27-0.0120.73more info
Calvert Global Water Fund (I)CFWIX21.060.0819.20more info
Calvert Emerging Markets Advancement Fund (I)CEFIXmore info
Calvert Responsible Municipal Income Fund (I)CTTIX16.43-0.017.16more info
Calvert International Equity Fund (I)CWVIX19.750.0320.10more info

Year to Date (YTD) returns are historical and are calculated by determining the percentage change in net asset value (NAV) with all distributions reinvested. The Fund's past performance is no guarantee of future results. Investment return and principal value of Fund shares will fluctuate so that shares, when redeemed, may be worth more or less than their original cost. Performance is for the stated time period only; due to market volatility, the Fund's current performance may be lower or higher than the quoted return. Not annualized if less than 1 year.