Fund returns as of the current month end* (unless otherwise noted)

Carillon ClariVest Capital Appreciation Fund    (Click here for quarterly factsheet)

Details Sales
Charge
YTD*
as of
1
Year
3
Year
5
Year
10
Year
Since
Inception
Inception
Date
Expense
Ratio
Share Class: A
Symbol: HRCPX
CUSIP: 14214L106
Excluded Gross Expense Ratio
1.15%
Net Expense Ratio
(after waivers)
1.00%
Included
Share Class: C**
Symbol: HRCCX
CUSIP: 14214L205
Excluded Gross Expense Ratio
1.89%
Net Expense Ratio
(after waivers)
1.75%
Included
Share Class: I1
Symbol: HRCIX
CUSIP: 14214L304
N/A Gross Expense Ratio
0.89%
Net Expense Ratio
(after waivers)
0.70%
Share Class: Y2
Symbol: HRCYX
CUSIP: 14214L700
N/A Gross Expense Ratio
1.62%
Net Expense Ratio
(after waivers)
1.00%
Share Class: R33
Symbol: HRCLX
CUSIP: 14214L403
N/A Gross Expense Ratio
1.56%
Net Expense Ratio
(after waivers)
1.25%
Share Class: R53
Symbol: HRCMX
CUSIP: 14214L502
N/A Gross Expense Ratio
0.90%
Net Expense Ratio
(after waivers)
0.70%
Share Class: R63
Symbol: HRCUX
CUSIP: 14214L601
N/A Gross Expense Ratio
0.79%
Net Expense Ratio
(after waivers)
0.60%

Carillon Eagle Growth & Income Fund    (Click here for quarterly factsheet)

Details Sales
Charge
YTD*
as of
1
Year
3
Year
5
Year
10
Year
Since
Inception
Inception
Date
Expense
Ratio
Share Class: A
Symbol: HRCVX
CUSIP: 14214L809
Excluded 0.97%
Included
Share Class: C**
Symbol: HIGCX
CUSIP: 14214L882
Excluded 1.73%
Included
Share Class: I1
Symbol: HIGJX
CUSIP: 14214L874
N/A 0.70%
Share Class: Y2
Symbol: HIGYX
CUSIP: 14214L833
N/A 1.08%
Share Class: R33
Symbol: HIGRX
CUSIP: 14214L866
N/A 1.27%
Share Class: R53
Symbol: HIGSX
CUSIP: 14214L858
N/A 0.72%
Share Class: R63
Symbol: HIGUX
CUSIP: 14214L841
N/A 0.62%

Carillon ClariVest International Stock Fund    (Click here for quarterly factsheet)

Details Sales
Charge
YTD*
as of
1
Year
3
Year
5
Year
10
Year
Since
Inception
Inception
Date
Expense
Ratio
Share Class: A
Symbol: EISAX
CUSIP: 14214L825
Excluded Gross Expense Ratio
4.91%
Net Expense Ratio
(after waivers)
1.46%
Included
Share Class: C**
Symbol: EISDX
CUSIP: 14214L817
Excluded Gross Expense Ratio
5.74%
Net Expense Ratio
(after waivers)
2.20%
Included
Share Class: I1
Symbol: EISIX
CUSIP: 14214L791
N/A Gross Expense Ratio
4.63%
Net Expense Ratio
(after waivers)
1.15%
Share Class: Y2
Symbol: EISYX
CUSIP: 14214L759
N/A Gross Expense Ratio
5.73%
Net Expense Ratio
(after waivers)
1.46%
Share Class: R33
Symbol: EISRX
CUSIP: 14214L783
N/A Gross Expense Ratio
5.26%
Net Expense Ratio
(after waivers)
1.70%
Share Class: R53
Symbol: EISSX
CUSIP: 14214L775
N/A Gross Expense Ratio
6.64%
Net Expense Ratio
(after waivers)
1.16%
Share Class: R63
Symbol: EISVX
CUSIP: 14214L767
N/A Gross Expense Ratio
4.66%
Net Expense Ratio
(after waivers)
1.05%

Carillon Scout International Fund    (Click here for quarterly factsheet)

Details Sales
Charge
YTD*
as of
1
Year
3
Year
5
Year
10
Year
Since
Inception
Inception
Date
Expense
Ratio
Share Class: A
Symbol: CSIGX
CUSIP: 14214L197
Excluded Gross Expense Ratio
1.36%
Net Expense Ratio
(after waivers)
1.25%
Included
Share Class: C**
Symbol: CSIHX
CUSIP: 14214L189
Excluded Gross Expense Ratio
2.15%
Net Expense Ratio
(after waivers)
2.00%
Included
Share Class: I1
Symbol: UMBWX
CUSIP: 14214L171
N/A Gross Expense Ratio
1.04%
Net Expense Ratio
(after waivers)
0.95%
Share Class: Y2
Symbol: CSIZX
CUSIP: 14214L130
N/A Gross Expense Ratio
2.09%
Net Expense Ratio
(after waivers)
1.25%
Share Class: R33
Symbol: CSIQX
CUSIP: 14214L163
N/A Gross Expense Ratio
2.11%
Net Expense Ratio
(after waivers)
1.50%
Share Class: R53
Symbol: CSIUX
CUSIP: 14214L155
N/A Gross Expense Ratio
1.59%
Net Expense Ratio
(after waivers)
0.95%
Share Class: R63
Symbol: CSIWX
CUSIP: 14214L148
N/A Gross Expense Ratio
0.94%
Net Expense Ratio
(after waivers)
0.85%

Carillon Reams Core Bond Fund    (Click here for quarterly factsheet)

Details Sales
Charge
YTD*
as of
1
Year
3
Year
5
Year
10
Year
Since
Inception
Inception
Date
Expense
Ratio
Share Class: A
Symbol: CRCBX
CUSIP: 14214L270
Excluded Gross Expense Ratio
1.03%
Net Expense Ratio
(after waivers)
0.80%
Included
Share Class: C**
Symbol: CRCDX
CUSIP: 14214L262
Excluded Gross Expense Ratio
1.72%
Net Expense Ratio
(after waivers)
1.55%
Included
Share Class: I1
Symbol: SCCIX
CUSIP: 14214L254
N/A Gross Expense Ratio
0.76%
Net Expense Ratio
(after waivers)
0.40%
Share Class: Y2
Symbol: SCCYX
CUSIP: 14214L213
N/A Gross Expense Ratio
0.98%
Net Expense Ratio
(after waivers)
0.80%
Share Class: R33
Symbol: CRCQX
CUSIP: 14214L247
N/A Gross Expense Ratio
1.59%
Net Expense Ratio
(after waivers)
1.05%
Share Class: R53
Symbol: CRCSX
CUSIP: 14214L239
N/A Gross Expense Ratio
1.25%
Net Expense Ratio
(after waivers)
0.50%
Share Class: R63
Symbol: CRCUX
CUSIP: 14214L221
N/A Gross Expense Ratio
0.72%
Net Expense Ratio
(after waivers)
0.40%

Carillon Reams Core Plus Bond Fund    (Click here for quarterly factsheet)

Details Sales
Charge
YTD*
as of
1
Year
3
Year
5
Year
10
Year
Since
Inception
Inception
Date
Expense
Ratio
Share Class: A
Symbol: SCPDX
CUSIP: 14214M666
Excluded Gross Expense Ratio
0.90%
Net Expense Ratio
(after waivers)
0.80%
Included
Share Class: C**
Symbol: SCPEX
CUSIP: 14214M658
Excluded Gross Expense Ratio
1.66%
Net Expense Ratio
(after waivers)
1.55%
Included
Share Class: I1
Symbol: SCPZX
CUSIP: 14214M641
N/A Gross Expense Ratio
0.65%
Net Expense Ratio
(after waivers)
0.40%
Share Class: Y2
Symbol: SCPYX
CUSIP: 14214M591
N/A Gross Expense Ratio
0.93%
Net Expense Ratio
(after waivers)
0.80%
Share Class: R33
Symbol: SCPUX
CUSIP: 14214M633
N/A Gross Expense Ratio
1.55%
Net Expense Ratio
(after waivers)
1.05%
Share Class: R53
Symbol: SCPVX
CUSIP: 14214M625
N/A Gross Expense Ratio
1.08%
Net Expense Ratio
(after waivers)
0.50%
Share Class: R63
Symbol: SCPWX
CUSIP: 14214M617
N/A Gross Expense Ratio
0.93%
Net Expense Ratio
(after waivers)
0.40%

Carillon Reams Unconstrained Bond Fund    (Click here for quarterly factsheet)

Details Sales
Charge
YTD*
as of
1
Year
3
Year
5
Year
10
Year
Since
Inception
Inception
Date
Expense
Ratio
Share Class: A
Symbol: SUBDX
CUSIP: 14214M740
Excluded Gross Expense Ratio
1.09%
Net Expense Ratio
(after waivers)
0.80%
Included
Share Class: C**
Symbol: SUBEX
CUSIP: 14214M732
Excluded Gross Expense Ratio
1.88%
Net Expense Ratio
(after waivers)
1.55%
Included
Share Class: I1
Symbol: SUBFX
CUSIP: 14214M724
N/A Gross Expense Ratio
0.85%
Net Expense Ratio
(after waivers)
0.50%
Share Class: Y2
Symbol: SUBYX
CUSIP: 14214M674
N/A Gross Expense Ratio
1.15%
Net Expense Ratio
(after waivers)
0.80%
Share Class: R33
Symbol: SUBRX
CUSIP: 14214M716
N/A Gross Expense Ratio
1.81%
Net Expense Ratio
(after waivers)
1.05%
Share Class: R53
Symbol: SUBSX
CUSIP: 14214M690
N/A Gross Expense Ratio
1.30%
Net Expense Ratio
(after waivers)
0.50%
Share Class: R63
Symbol: SUBTX
CUSIP: 14214M682
N/A Gross Expense Ratio
0.76%
Net Expense Ratio
(after waivers)
0.40%

Carillon Eagle Mid Cap Growth Fund    (Click here for quarterly factsheet)

Details Sales
Charge
YTD*
as of
1
Year
3
Year
5
Year
10
Year
Since
Inception
Inception
Date
Expense
Ratio
Share Class: A
Symbol: HAGAX
CUSIP: 14214L668
Excluded 1.04%
Included
Share Class: C**
Symbol: HAGCX
CUSIP: 14214L650
Excluded 1.74%
Included
Share Class: I1
Symbol: HAGIX
CUSIP: 14214L643
N/A 0.72%
Share Class: Y2
Symbol: HRAYX
CUSIP: 14214L593
N/A 1.05%
Share Class: R33
Symbol: HAREX
CUSIP: 14214L635
N/A 1.31%
Share Class: R53
Symbol: HARSX
CUSIP: 14214L627
N/A 0.73%
Share Class: R63
Symbol: HRAUX
CUSIP: 14214L619
N/A 0.64%

Carillon Scout Mid Cap Fund    (Click here for quarterly factsheet)

Details Sales
Charge
YTD*
as of
1
Year
3
Year
5
Year
10
Year
Since
Inception
Inception
Date
Expense
Ratio
Share Class: A
Symbol: CSMEX
CUSIP: 14214M807
Excluded 1.22%
Included
Share Class: C**
Symbol: CSMFX
CUSIP: 14214M880
Excluded 2.00%
Included
Share Class: I1
Symbol: UMBMX
CUSIP: 14214M872
N/A 0.97%
Share Class: Y2
Symbol: CSMZX
CUSIP: 14214M831
N/A 1.28%
Share Class: R33
Symbol: CSMRX
CUSIP: 14214M864
N/A 1.54%
Share Class: R53
Symbol: CSMSX
CUSIP: 14214M856
N/A 0.97%
Share Class: R63
Symbol: CSMUX
CUSIP: 14214M849
N/A 0.88%

Carillon Eagle Small Cap Growth Fund    (Click here for quarterly factsheet)

Details Sales
Charge
YTD*
as of
1
Year
3
Year
5
Year
10
Year
Since
Inception
Inception
Date
Expense
Ratio
Share Class: A
Symbol: HRSCX
CUSIP: 14214L510
Excluded 1.08%
Included
Share Class: C**
Symbol: HSCCX
CUSIP: 14214L494
Excluded 1.77%
Included
Share Class: I1
Symbol: HSIIX
CUSIP: 14214L486
N/A 0.78%
Share Class: Y2
Symbol: HSRYX
CUSIP: 14214L445
N/A Gross Expense Ratio
1.52%
Net Expense Ratio
(after waivers)
1.25%
Share Class: R33
Symbol: HSRRX
CUSIP: 14214L478
N/A 1.31%
Share Class: R53
Symbol: HSRSX
CUSIP: 14214L460
N/A 0.76%
Share Class: R63
Symbol: HSRUX
CUSIP: 14214L452
N/A 0.66%

Carillon Scout Small Cap Fund    (Click here for quarterly factsheet)

Details Sales
Charge
YTD*
as of
1
Year
3
Year
5
Year
10
Year
Since
Inception
Inception
Date
Expense
Ratio
Share Class: A
Symbol: CSSAX
CUSIP: 14214M823
Excluded 1.19%
Included
Share Class: C**
Symbol: CSSJX
CUSIP: 14214M815
Excluded 1.95%
Included
Share Class: I1
Symbol: UMBHX
CUSIP: 14214M799
N/A 0.95%
Share Class: Y2
Symbol: CSSWX
CUSIP: 14214M757
N/A 1.25%
Share Class: R33
Symbol: CSSQX
CUSIP: 14214M781
N/A Gross Expense Ratio
1.66%
Net Expense Ratio
(after waivers)
1.50%
Share Class: R53
Symbol: CSSSX
CUSIP: 14214M773
N/A Gross Expense Ratio
1.05%
Net Expense Ratio
(after waivers)
0.95%
Share Class: R63
Symbol: CSSVX
CUSIP: 14214M765
N/A 0.85%

*Year-to-date returns are usually updated by 6:30pm, Eastern Time, the current business day.

**The Carillon Family of Funds will convert class C share accounts that are more than 8 years old to class A shares on the third of each month. Shareholders may continue to purchase shares in either class, but will be required to pay a sales charge on new purchases of Class A shares.

Performance data quoted represents past performance which does not guarantee future results. The investment return and principal value will fluctuate so that shares, when redeemed, may be worth more or less than their original cost. Performance shown which includes sales charges reflect a front-end sales charge of 4.75% for class A shares for all funds except the Carillon Reams Core Bond Fund, the Carillon Reams Core Plus Bond Fund and the Carillon Reams Unconstrained Bond Fund which reflects a front-end sales charge of 3.75%. A 1% contingent deferred sales charge for class C shares is charged on redemptions made within 12 months of purchase, but not at one year. The investment adviser, Carillon Tower Advisers, Inc., has contractually agreed to waive or reimburse certain fees and expenses through February 28, 2022 for the following funds; the Carillon ClariVest Capital Appreciation Fund, the Carillon ClariVest International Stock Fund, the Carillon Scout International Fund, the Carillon Eagle Small Cap Growth Fund, the Carillon Scout Small Cap Fund, the Carillon Reams Core Bond Fund, the Carillon Reams Core Plus Bond Fund and the Carillon Reams Unconstrained Bond Fund. Carillon Tower Advisers may recoup previously waived expenses that it assumes within the following two fiscal years. Performance data quoted reflects reinvested dividends and capital gains. Returns less than one year are not annualized. Refer to the individual fund pages for the funds' standardized average annual total returns as of the most recent calendar quarter end. Current performance may be higher or lower than the performance data quoted.

Risk considerations: As with all investing, there is the risk that an unexpected change in the market or within the company itself may have an adverse effect on the price of the securities held. The biggest risk of investing is that returns can fluctuate and investors can lose money.

Growth companies are expected to increase their earnings at a certain rate. When these expectations are not met, investors may punish the stocks excessively, even if earnings showed an absolute increase. Growth company stocks also typically lack the dividend yield that can cushion stock prices in market downturns. The companies engaged in the technology industry are subject to fierce competition and their products and services may be subject to rapid obsolescence. The values of these companies tend to fluctuate sharply.

Investments in mid-cap and small-cap companies generally involve greater risks than investing in larger capitalization companies. Mid-cap companies often have narrower commercial markets, more limited managerial and financial resources, and more volatile trading than larger, more established companies.

Mid-cap and small-cap stocks may temporarily fall out of favor or perform poorly relative to other types of investments. While stocks of mid-cap companies may be slightly less volatile than those of small-cap companies, they still involve substantial risk.

Investing in mid-cap stocks may involve greater risks than investing in larger, more established companies. These companies often have narrow markets and more limited managerial and financial resources. The companies engaged in the technology industry are subject to fierce competition and their products and services may be subject to rapid obsolescence. The values of these companies tend to fluctuate sharply.

International investing presents specific risks, such as currency fluctuations, differences in financial accounting standards, and potential political and economic instability. These risks are further accentuated in emerging market countries, where risks can also include possible economic dependency on revenues from particular commodities or on international aid or development assistance, currency transfer restrictions, and liquidity risks related to lower trading volumes.

Because the Carillon Scout Small Cap, Carillon Scout International and Carillon Eagle Growth & Income Funds normally will hold a focused portfolio of stocks of fewer companies than many other diversified funds, the increase or decrease of the value of a single stock may have a greater impact on the fundís net asset value and total return.

There are risks associated with dividend investing, including that dividend-issuing companies may choose not to pay a dividend, may not have the ability to pay, or the dividend may be less than what is anticipated. Dividend-issuing companies are subject to interest rate risk and high dividends can sometimes signal that a company is in distress.

Real Estate Investment Trusts (REITS) may be affected by economic conditions including credit risk, interest rate risk and other factors that affect property values, rents or occupancies of real estate.

The return of principal in a fund that can also invest in fixed income securities is not guaranteed. Fixed income investments have interest rate, inflation, issuer, maturity and credit risks. Mortgage- and Asset-Backed Securities are subject to prepayment risk and the risk of default on the underlying mortgages or other assets.

Foreign investments present additional risks due to currency fluctuations, economic and political factors, government regulations, differences in accounting standards and other factors. Investments in emerging markets involve even greater risks. Groups of stocks, such as value and growth, go in and out of favor, which may cause certain funds to underperform other equity funds.

Derivatives such as credit default swap agreements and futures contracts may involve greater risks than if the Fund invested in the referenced obligation directly. Derivatives are subject to risks such as market risk, liquidity risk, interest rate risk, credit risk and management risk. Derivative investments could lose more than the principal amount invested. The Fund may use derivatives for hedging purposes or as part of its investment strategy. The use of leverage and derivatives investments could accelerate losses to the fund. These losses could exceed the amount originally invested.

Funds may, at times, experience higher-than-average portfolio turnover, which may generate significant taxable gains and increased trading expenses, which, in turn, may lower the Fundís return.

The Carillon Reams Unconstrained Bond Fund employs an unconstrained investment approach which creates considerable exposure to certain types of securities that present significant volatility in the Fundís performance, particularly over short periods of time. The Fund may, at times, experience higher-than-average portfolio turnover, which may generate significant taxable gains and increased trading expenses, which, in turn, may lower the Fundís return.

Short-sale risk includes the potential loss of more money than the actual cost of the investment, and the risk that the third party to the short sale may fail to honor its contract terms, causing a loss to the fund.

Investments in small-cap companies generally involve greater risks than investing in larger capitalization companies. Small-cap companies often have narrower commercial markets and more limited managerial and financial resources than larger, more established companies. As a result, their performance can be more volatile and they face greater risk of business failure, which could increase the volatility of a fundís portfolio. Additionally, small-cap companies may have less market liquidity than larger companies.

The Carillon ClariVest Capital Appreciation Fund and the Carillon ClariVest International Stock Fund include quantitative risk. Quantitative risk involves the dependence on proprietary quantitative tools for security selection which may not be predictive of a securityís value.

Initial Public Offerings (ďIPOsĒ) include the risk that the market value of IPOs will fluctuate considerably due to the absence of a prior market, among other factors.

(1) Class I shares are available for qualified institutions and individual investors purchasing shares for their own account with a minimum initial investment of $10,000. Qualified institutions include corporations, banks, insurance companies, endowments, foundations and trusts.

(2) Class Y shares have no initial sales charge or deferred sales charge but are subject to ongoing Rule 12b-1 fees of up to 0.25% of their average daily net assets. They are available to individual investors with a minimum purchase amount is $1,000 for regular accounts, $100 for retirement accounts and $100 through a periodic investment program, with a minimum subsequent investment plan of $50 per month.

(3) Class R-3, R-5 or R-6 shares are available for purchase through eligible employer sponsored retirement plans (including 401(k) plans, 403(b) plans, 457 plans and profit-sharing plans) in which the employer, plan sponsor or other administrator ("Plan Administrator") has entered into an agreement with the Distributor.

Minimal initial investment in the funds is $1,000. The minimum for Retirement Accounts is $500. When establishing an automatic investment plan, the initial investment and minimum subsequent investment is $50 per month — please see the prospectus for details.

Please call 1.800.421.4184 for more information.