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

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 1.23%
Included
Share Class: C**
Symbol: CSSJX
CUSIP: 14214M815
Excluded 1.97%
Included
Share Class: I1
Symbol: UMBHX
CUSIP: 14214M799
N/A 0.92%
Share Class: Y2
Symbol: CSSWX
CUSIP: 14214M757
N/A Gross Expense Ratio
1.59%
Net Expense Ratio
(after waivers)
1.25%
Share Class: R33
Symbol: CSSQX
CUSIP: 14214M781
N/A Gross Expense Ratio
1.67%
Net Expense Ratio
(after waivers)
1.50%
Share Class: R53
Symbol: CSSSX
CUSIP: 14214M773
N/A Gross Expense Ratio
1.32%
Net Expense Ratio
(after waivers)
0.95%
Share Class: R63
Symbol: CSSVX
CUSIP: 14214M765
N/A Gross Expense Ratio
0.86%
Net Expense Ratio
(after waivers)
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 10 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. Net performance reflects a front-end sales charge of 4.75% for class A shares. 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 fundís investment adviser, Carillon Tower Advisers, Inc. has contractually agreed to waive or reimburse certain fees and expenses through Feb. 29, 2020. 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. Current performance may be higher or lower than the performance data quoted.

Risk considerations: Due to the limited focus, the Fund is more susceptible to market volatility because smaller companies may not have the management experience, financial resources, product diversification and competitive strengths of larger companies. Additionally, smaller company stocks tend to be sold less often and in smaller amounts than larger company stocks.

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.

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.

Please call 1.800.421.4184 for more information.

(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.