CAIQ

Calamos Nasdaq® Autocallable Income ETF

Fund Stats

  • NAV

    $24.99

    $0.43 (1.75%)

    As of 2/6/26

  • Market Price

    $25.08

    As of 2/6/26

  • YTD Return

    2.04%

    As of 2/6/26

  • Total Net Assets

    $91.8 Million

    As of 2/6/26

  • Inception Date

    11/20/25

Calamos Nasdaq Autocallable Income ETF Overview

Calamos Nasdaq Autocallable Income ETF seeks to generate high monthly income while providing reduced downside risk through exposure to a portfolio of autocallables.

Key Features

  • Seeks High, Stable Monthly Income Potential. Coupons typically higher than bonds, tied to equity market performance.
  • Tax-Advantaged Income. Seeks favorable tax treatment on distributions vs. ordinary income.
  • Model-Portfolio Ready. Single ticker solution, liquid, and operationally efficient.
  • Laddered Exposure. 52+ autocallables seek consistent income and reduced timing risk.

Portfolio Fit

Equity Alternative. Replace part of your equity allocation to maintain equity like total return potential while potentially enhancing current income through monthly distributions.

Yield Enhancement & Diversification. Add potentially high levels of monthly income with differentiated risk factors-tied to equity performance rather than credit risk or duration.

Tax Efficient ETF Wrapper. May be ideal for taxable accounts with 1099 reporting.

From Complexity to Accessibility: Democratizing Autocallable Yield Notes Through ETF Innovation

Autocallable Dashboard

Current Analysis of MerQube Nasdaq-100 Vol Advantage Autocallable Index

Data as of 2/6/2026

17.74%

Weighted Average Coupon

100%

Autocallables Paying Coupons

53

Live Autocallables

95.91%

Weighted Avg. MTM Discount

0%

Autocallables Near Maturity with Principal at Risk

Portfolio

A list of all fund holdings is made available daily through the link below.

View All Holdings

Holdings and weightings are subject to change daily. Holdings are provided for informational purposes only and should not be deemed as a recommendation to buy or sell the securities mentioned.

Holdings

As of 2/5/26
Holding %
Box Spread Flex Options Position - SPY Long Put 56.2%
United States Treasury Bill 40.4%
Box Spread Flex Options Position - SPY Long Call 4.1%
TRS RECEIVE MQAUTOQL: MerQube NASDAQ-100 VOL ADVANTAGE AUTOCALL IDX PAY US SOFR Rate +10bps - JPM 0.0%
TRS RECEIVE MQAUTOQL: MerQube NASDAQ-100 VOL ADVANTAGE AUTOCALL IDX PAY US SOFR Rate +10bps - JPM -2.4%

Yield

Name %
Distribution Rate
(As of 12/31/25)
18.11%
30-day SEC yield
(As of 12/31/25)
0.76%
Unsubsidized 30-day SEC yield
(As of 12/31/25)
0.76%

Distributions

Schedule

Name Frequency
Distributions MONTHLY
Capital Gains ANNUAL

Distribution Detail

Declaration Date Ex Date Record Date Payable Date Distribution
12/22/2025 12/23/2025 12/23/2025 12/30/2025 $0.39352
01/30/2026 02/02/2026 02/02/2026 02/09/2026 $0.37498
02/27/2026 03/02/2026 03/02/2026 03/09/2026
03/31/2026 04/01/2026 04/01/2026 04/08/2026
04/30/2026 05/01/2026 05/01/2026 05/08/2026
05/29/2026 06/01/2026 06/01/2026 06/08/2026
06/30/2026 07/01/2026 07/01/2026 07/09/2026
07/31/2026 08/03/2026 08/03/2026 08/10/2026
08/31/2026 09/01/2026 09/01/2026 09/09/2026
09/30/2026 10/01/2026 10/01/2026 10/08/2026
10/30/2026 11/02/2026 11/02/2026 11/09/2026
11/30/2026 12/01/2026 12/01/2026 12/08/2026
12/22/2026 12/23/2026 12/23/2026 12/30/2026

2025 Capital Gains
Capital gains for Calamos Exchange-Traded Funds were declared December 23, 2025. View the report.

Pricing

Fund Details

As of 2/6/26
Detail Value
Ticker CAIQ
NAV $24.99
Market Price $25.08
Premium/Discount 0.36%
Exchange NASDAQ
Inception Date 11/20/25

30 Day Median Bid/Ask

As of 2/5/26
30 Day Median Bid/Ask
0.15%

Premium / Discount

As of 2/6/26
Date Value
11/20/2025 0.04
11/21/2025 0.04
11/24/2025 -0.08
11/25/2025 0.47
11/26/2025 0.19
11/28/2025 0.08
12/01/2025 0.08
12/02/2025 -0.04
12/03/2025 0.11
12/04/2025 0.12
12/05/2025 0.15
12/08/2025 0
12/09/2025 0.11
12/10/2025 0.15
12/11/2025 0.15
12/12/2025 0.39
12/15/2025 0.04
12/16/2025 0.12
12/17/2025 0.39
12/18/2025 -0.23
12/19/2025 0.31
12/22/2025 0.04
12/23/2025 0.16
12/24/2025 0.27
12/26/2025 0.19
12/29/2025 0.08
12/30/2025 0.39
12/31/2025 0.71
01/02/2026 0.35
01/05/2026 -0.04
01/06/2026 0.19
01/07/2026 0.15
01/08/2026 0.39
01/09/2026 0.83
01/12/2026 0.31
01/13/2026 0.04
01/14/2026 -0.12
01/15/2026 0.27
01/16/2026 0.31
01/20/2026 1.16
01/21/2026 -0.47
01/22/2026 0.19
01/23/2026 0.35
01/26/2026 0.15
01/27/2026 0.42
01/28/2026 0.23
01/29/2026 0
01/30/2026 0.31
02/02/2026 0.31
02/03/2026 -0.16
02/04/2026 0.44
02/05/2026 0.53
02/06/2026 0.36

Premium and Discount

As of 2/5/26
Calendar Year 2025 Q1 2026 Q2 2026 Q3 2026 Q4 2026
Days Traded at Premium 24 19 -- -- --
Days Traded at Discount 4 5 -- -- --

The above chart presents information about the difference between the daily market price for shares of the ETF and the ETF's net asset value. The market price displayed is the official closing price reported by the exchange​. The vertical axis of the chart shows the premium or discount expressed in basis points (bps). If the fund's market price exceeds its NAV, it is trading at a premium and is expressed by a positive value. If the fund's market price is below the NAV, the ETF is trading at a discount and is represented by a negative value. This value is recorded daily over the time period displayed along the horizontal axis.

Fees & Expenses

Fees & Expenses

Expense %
Total 0.74%

Fund Information

Name Fund
Inception Date 11/20/25
Ticker Symbol CAIQ
CUSIP number 12811T530

Literature

About the Fund

Calamos Nasdaq Autocallable Income ETF Fact Sheet

The Calamos Nasdaq Autocallable Income ETF fact sheet provides a snapshot of the investment team and product strategy.

From Complexity to Accessibility: Democratizing Autocallable Yield Notes Through ETF Innovation

Calamos Investments is bringing one of the most in-demand forms of income to the ETF market. Autocallable yield notes (or “autocallables”) have captured significant investor interest for their ability to deliver high stable income that is tied to equity market performance, rather than traditional fixed income factors like credit or duration.

Prospectus and Reports

Summary Prospectus

This summary contains important information about the investment objective, fees and expenses, principal investment strategies, principal risks and performance.

Statutory Prospectus

You should read the accompanying prospectus and any accompanying prospectus supplement, which contain important information, before deciding whether to invest in our securities.

SAI

The statement of additional information is a supplementary document to the fund’s prospectus and contains additional information about the fund and includes further disclosure regarding its operations.

Calamos Financial Services LLC, Distributor

Check the background of the firm and its investment professionals on FINRA's BrokerCheck.

Before investing, carefully consider the fund's investment objectives, risks, charges and expenses. Please see the prospectus and summary prospectus containing this and other information which can be obtained by calling 1-866-363-9219. Read it carefully before investing.

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Calamos Investments LLC, referred to herein as Calamos Investments®, is a financial services company offering such services through its subsidiaries: Calamos Advisors LLC, Calamos Wealth Management LLC, Calamos Financial Services LLC and Calamos Antetokounmpo Asset Management LLC.

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