Exhibit l.7 CALAMOS INVESTMENT TRUST SUBSCRIPTION AGREEMENT 1. The undersigned agrees to purchase from Calamos Investment Trust (the "Trust") the number of shares (the "Shares") of the Fund's Calamos Blue Chip Fund (the "Fund"), without par value, set...Subscription Agreement • November 28th, 2003 • Calamos Investment Trust/Il
Contract Type FiledNovember 28th, 2003 Company
WITNESSETH:Distribution Agreement • November 28th, 2003 • Calamos Investment Trust/Il • Illinois
Contract Type FiledNovember 28th, 2003 Company Jurisdiction
AMENDMENT NO. 2 TO THE SECOND AMENDED AND RESTATED AGREEMENT AND DECLARATION OF TRUSTCalamos Investment Trust/Il • November 28th, 2003
Company FiledNovember 28th, 2003
CALAMOS INVESTMENT TRUST AMENDMENT NO. 1 TO THE SECOND AMENDED AND RESTATED AGREEMENT AND DECLARATION OF TRUSTCalamos Investment Trust/Il • November 28th, 2003
Company FiledNovember 28th, 2003
Exhibit (d)(5) CALAMOS INVESTMENT TRUST ORGANIZATIONAL EXPENSES AGREEMENT CALAMOS INVESTMENT TRUST, a Massachusetts business trust (the "Trust"), and CALAMOS ASSET MANAGEMENT, INC., an Illinois corporation ("CAM"), in consideration for the engagement...Calamos Investment Trust/Il • November 28th, 2003
Company FiledNovember 28th, 2003
AMENDMENT NO. 3 TO THE SECOND AMENDED AND RESTATED AGREEMENT AND DECLARATION OF TRUSTCalamos Investment Trust/Il • November 28th, 2003
Company FiledNovember 28th, 2003
September 24, 2003Calamos Investment Trust/Il • November 28th, 2003
Company FiledNovember 28th, 2003Pursuant to paragraph 1(b) of the Management Agreement between Calamos Investment Trust and Calamos Asset Management, Inc. dated August 1, 2000, we hereby notify you that the board of trustees of Calamos Investment Trust has established an additional Sub-Trust, designated Calamos Blue Chip Fund, and has appointed you as Manager to act as manager and investment adviser to that Sub-Trust on the terms and conditions set forth in the Agreement, except that the advisory fee schedule applicable to the Sub-Trust designated Calamos Blue Chip Fund shall be 1/12 of 1.00% of monthly average net assets.