Carillon Clarivest International Stock Fund’s Q1 2022 Investor Letter

Carillon Tower Advisers, an investment management firm, published its “Carillon Clarivest International Stock Fund” first quarter 2022 investor letter – a copy of which can be downloaded here. At the start of the quarter, as compared to its MSCI EAFE® (NET) Index benchmark, the Carillon ClariVest International Stock Fund (the “Fund”) was most overweight the healthcare and information technology sectors, and most underweight materials and consumer staples. By the end of the quarter, the portfolio remained most overweight in the information technology and healthcare sectors and was most underweight in financials and real estate. Try to spend some time taking a look at the fund’s top 5 holdings to be informed about their best picks for 2022.