0001145549-22-017509.txt : 20220325 0001145549-22-017509.hdr.sgml : 20220325 20220325154002 ACCESSION NUMBER: 0001145549-22-017509 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20220131 FILED AS OF DATE: 20220325 PERIOD START: 20221031 FILER: COMPANY DATA: COMPANY CONFORMED NAME: Calamos Global Dynamic Income Fund CENTRAL INDEX KEY: 0001396277 IRS NUMBER: 208819776 STATE OF INCORPORATION: DE FISCAL YEAR END: 1031 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-22047 FILM NUMBER: 22771155 BUSINESS ADDRESS: STREET 1: 2020 CALAMOS COURT STREET 2: C/O CALAMOS ADVISORS LLC CITY: NAPERVILLE STATE: IL ZIP: 60563 BUSINESS PHONE: 6302451046 MAIL ADDRESS: STREET 1: 2020 CALAMOS COURT STREET 2: C/O CALAMOS ADVISORS LLC CITY: NAPERVILLE STATE: IL ZIP: 60563 FORMER COMPANY: FORMER CONFORMED NAME: Calamos Global Diversified Income & Opportunities Fund DATE OF NAME CHANGE: 20070411 NPORT-P 1 primary_doc.xml NPORT-P false 0001396277 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57037.5000000000 0.0103963637 Long CORP BE N 1 N N N General Electric Co 3C7474T6CDKPR9K6YT90 GENERAL ELECTRIC CO 369604301 30312.0000000000 NS USD 2863877.7600000000 0.5220059592 Long EC CORP US N 1 N N N Airbus SE MINO79WLOO247M1IL051 AIRBUS SE N0280G100 31300.0000000000 NS 3996797.7700000000 0.7285060426 Long EC CORP FR N 2 N N N Gulfport Energy Corp 254900DJRGZBUZ3F5038 GULFPORT ENERGY CORP 402635502 106.3350000000 NS USD 6959.6300000000 0.0012685487 Long EC CORP US N 1 N N N Gulfport Energy Corp 254900DJRGZBUZ3F5038 GULFPORT ENERGY OP CORP 402635601 5.0000000000 NS USD 22750.0000000000 0.0041466978 Long DBT CORP US N 1 2026-05-17 Fixed 10.000 N N Y N N N CRH PLC 549300MIDJNNTH068E74 CRH PLC 418224002 111000.0000000000 NS 5571132.9200000000 1.0154639364 Long EC CORP IE N 2 N N N Interparfums SA 969500SARWF33OPQED48 INTERPARFUMS SA N/A 1690.0000000000 NS 128410.5300000000 0.0234056994 Long EC CORP FR N 2 N N N Lectra 9695000KWQEBUDT6IO19 LECTRA 450866009 2325.0000000000 NS 99820.3200000000 0.0181944923 Long EC CORP FR N 2 N N N Infosys Ltd 335800TYLGG93MM7PR89 INFOSYS LTD-SP ADR 456788108 89751.0000000000 NS USD 2115431.0700000000 0.3855847621 Long CORP IN N 1 N N N Itau Unibanco Holding SA 5493002W2IVG62O3ZJ94 ITAU UNIBANCO H-SPON PRF ADR 465562106 411125.0000000000 NS USD 1940510.0000000000 0.3537014736 Long CORP BR N 1 N N N RWE AG 529900GB7KCA94ACC940 RWE AG D6629K109 29000.0000000000 NS 1223285.6900000000 0.2229712556 Long EC CORP DE N 2 N N N Schneider Electric SE 969500A1YF1XUYYXS284 SCHNEIDER ELECTRIC SE 483410007 48500.0000000000 NS 8215672.6800000000 1.4974906253 Long EC CORP FR N 2 N N N Duerr AG 5299003APZ54EDTSRO20 DUERR AG N/A 3270.0000000000 NS 144714.9500000000 0.0263775456 Long EC CORP DE N 2 N N N Interpump Group SpA 815600C79D0F31F4D395 INTERPUMP GROUP SPA N/A 2085.0000000000 NS 128756.2300000000 0.0234687109 Long EC CORP IT N 2 N N N Orange SA 969500MCOONR8990S771 ORANGE F6866T100 96000.0000000000 NS 1127755.4700000000 0.2055587302 Long EC CORP FR N 2 N N N Interroll Holding AG 529900MU4QAEI94TB543 INTERROLL HOLDING AG-REG N/A 29.0000000000 NS 122745.6900000000 0.0223731552 Long EC CORP CH N 2 N N N Eli Lilly & Co FRDRIPF3EKNDJ2CQJL29 ELI LILLY & CO 532457108 21760.0000000000 NS USD 5339686.4000000000 0.9732776167 Long EC CORP US N 1 N N N DO & CO AG 5299002NFQKOBT1E8569 DO & CO AG N/A 990.0000000000 NS 102049.2200000000 0.0186007593 Long EC CORP AT N 2 N N N Lululemon Athletica Inc 549300D9GZ4BMLDW5T40 LULULEMON ATHLETICA INC 550021109 11500.0000000000 NS USD 3838240.0000000000 0.6996053326 Long EC CORP CA N 1 N N N Magellan Midstream Partners LP MZF5TI8NFVZZNUSKDL39 MAGELLAN MIDSTREAM PARTNERS 559080106 2930.0000000000 NS USD 143189.1000000000 0.0260994252 Long DBT CORP US N 1 N N N Alten SA 969500Y7G9TY7Y24GN07 ALTEN SA N/A 470.0000000000 NS 76659.9000000000 0.0139729863 Long EC CORP FR N 2 N N N Evotec SE 529900F9KI6OYITO9B12 EVOTEC SE N/A 2710.0000000000 NS 109659.3200000000 0.0199878708 Long EC CORP DE N 2 N N N MercadoLibre Inc 549300DKPDN9M5S8GB14 MERCADOLIBRE INC 58733R102 510.0000000000 NS USD 577350.6000000000 0.1052350970 Long EC CORP AR N 1 N N N CTS Eventim AG & Co KGaA 529900FDHSN08UBJII80 CTS EVENTIM AG & CO KGAA N/A 2005.0000000000 NS 142530.0200000000 0.0259792931 Long EC CORP DE N 2 N N N Nokia Oyj 549300A0JPRWG1KI7U06 NOKIA OYJ X61873133 580000.0000000000 NS 3458901.8000000000 0.6304624370 Long EC CORP FI N 2 N N N Ayala Land Inc 254900EWT10TQ6DKTV34 AYALA LAND INC N/A 1270100.0000000000 NS 896813.1400000000 0.1634643105 Long EC CORP PH N 2 N N N Anhui Conch Cement Co Ltd 300300JVKW56SSAEQZ33 ANHUI CONCH CEMENT CO LTD-H N/A 101000.0000000000 NS 534242.1300000000 0.0973776114 Long EC CORP CN N 2 N N N Mondelez International Inc 549300DV9GIB88LZ5P30 MONDELEZ INTERNATIONAL INC-A 609207105 81100.0000000000 NS USD 5436133.0000000000 0.9908571729 Long EC CORP US N 1 N N N Reliance Industries Ltd 5493003UOETFYRONLG31 RELIANCE INDUSTRIES LTD Y72596102 58300.0000000000 NS 1876836.3900000000 0.3420955299 Long EC CORP IN N 2 N N N Titan Co Ltd 549300RO9VJWPK37FE54 TITAN CO LTD N/A 27000.0000000000 NS 859028.9500000000 0.1565772943 Long EC CORP IN N 2 N N N Oil & Natural Gas Corp Ltd 335800FPDZ9MRSNO7N41 OIL & NATURAL GAS CORP LTD N/A 405300.0000000000 NS 947162.0600000000 0.1726415305 Long EC CORP IN N 2 N N N Housing Development Finance Corp Ltd 335800OX2H9AP7NHLT64 HOUSING DEVELOPMENT FINANCE N/A 33150.0000000000 NS 1129756.4200000000 0.2059234482 Long EC CORP IN N 2 N N N Canon Inc 529900JH1GSC035SSP77 CANON INC 617232004 60000.0000000000 NS 1419043.5900000000 0.2586525237 Long EC CORP JP N 2 N N N Morgan Stanley IGJSJL3JD5P30I6NJZ34 MORGAN STANLEY 617446448 71835.0000000000 NS USD 7365960.9000000000 1.3426115941 Long EC CORP US N 1 N N N DBS Group Holdings Ltd 5493007FKT78NKPM5V55 DBS GROUP HOLDINGS LTD N/A 32100.0000000000 NS 843166.4500000000 0.1536859979 Long EC CORP SG N 2 N N N Rio Tinto Ltd 529900X2VMAQT2PE0V24 RIO TINTO LTD 622010007 10830.0000000000 NS 861046.3800000000 0.1569450162 Long EC CORP AU N 2 N N N United Tractors Tbk PT 529900N9ELYOWQV4FW14 UNITED TRACTORS TBK PT N/A 483500.0000000000 NS 781742.0400000000 0.1424900214 Long EC CORP ID N 2 N N N SCREEN Holdings Co Ltd 353800ND89FTQ9XQ0R07 SCREEN HOLDINGS CO LTD 625102009 1500.0000000000 NS 150533.8700000000 0.0274381743 Long EC CORP JP N 2 N N N Hong Kong Exchanges & Clearing Ltd 213800YTVSXYQN17BW16 HONG KONG EXCHANGES & CLEAR Y3506N139 9100.0000000000 NS 519388.8100000000 0.0946702606 Long EC CORP HK N 2 N N N Globe Telecom Inc 254900GPWI1816YIM923 GLOBE TELECOM INC N/A 12900.0000000000 NS 786851.0500000000 0.1434212531 Long EC CORP PH N 2 N N N Ebara Corp 353800UV8U3SOMCDTI49 EBARA CORP 630270007 1550.0000000000 NS 75968.0300000000 0.0138468774 Long EC CORP JP N 2 N N N MediaTek Inc 254900UEGBK1I4DM4E14 MEDIATEK INC N/A 45000.0000000000 NS 1787363.5500000000 0.3257870979 Long EC CORP TW N 2 N N N OZ Minerals Ltd 529900O2VBT5CL7EZT27 OZ MINERALS LTD N/A 8270.0000000000 NS 143460.6900000000 0.0261489286 Long EC CORP AU N 2 N N N James Hardie Industries PLC 635400NSGXKTVOO7JU45 JAMES HARDIE INDUSTRIES-CDI N/A 2225.0000000000 NS 74882.8800000000 0.0136490845 Long CORP IE N 2 N N N Cathay Financial Holding Co Ltd 5299009XR1QLFAMQ3X77 CATHAY FINANCIAL HOLDING CO N/A 625000.0000000000 NS 1449716.5500000000 0.2642433587 Long EC CORP TW N 2 N N N IGO Ltd 2549005DZO8VGXM5QN07 IGO LTD N/A 15180.0000000000 NS 128438.1200000000 0.0234107283 Long EC CORP AU N 2 N N N SK Hynix Inc 988400XAIK6XISWQV045 SK HYNIX INC N/A 13040.0000000000 NS 1349741.0700000000 0.2460205850 Long EC CORP KR N 2 N N N International Container Terminal Services Inc 254900FU1MWK0I0Q4J61 INTL CONTAINER TERM SVCS INC 645581000 243700.0000000000 NS 958639.0700000000 0.1747334730 Long EC CORP PH N 2 N N N Keyence Corp 529900M7PQBS7A89DZ11 KEYENCE CORP 649099009 14900.0000000000 NS 7642543.8500000000 1.3930250406 Long EC CORP JP N 2 N N N Kureha Corp N/A KUREHA CORP 649790003 1220.0000000000 NS 91080.1200000000 0.0166013948 Long EC CORP JP N 2 N N N NextEra Energy Inc N/A NEXTERA ENERGY INC (NXEGU) 65339F739 4936.0000000000 NS USD 253661.0400000000 0.0462354142 Long EP CORP US N 1 2023-09-01 Fixed 6.219 N N N N N N NextEra Energy Inc N/A NEXTERA ENERGY INC 65339F796 69293.0000000000 NS USD 4030080.8800000000 0.7345726360 Long EP CORP US N 1 2022-09-01 Fixed 4.872 N N N N N N Marketech International Corp N/A MARKETECH INTERNATIONAL CORP N/A 130000.0000000000 NS 782889.1600000000 0.1426991098 Long EC CORP TW N 2 N N N NAVER Corp 988400ULUQYDB2HQYJ61 NAVER CORP N/A 2900.0000000000 NS 766007.6600000000 0.1396220778 Long EC CORP KR N 2 N N N MTN Group Ltd 2549009JD6Q6XHZS5E05 MTN GROUP LTD N/A 96600.0000000000 NS 1214834.1300000000 0.2214307692 Long EC CORP ZA N 2 N N N FirstRand Ltd 529900XYOP8CUZU7R671 FIRSTRAND LTD N/A 256900.0000000000 NS 1035589.6700000000 0.1887594459 Long EC CORP ZA N 2 N N N First Abu Dhabi Bank PJSC 2138002Y3WMK6RZS8H90 FIRST ABU DHABI BANK PJSC N/A 152600.0000000000 NS 830917.0900000000 0.1514532773 Long EC CORP AE N 1 N N N Freightways Ltd N/A FREIGHTWAYS LTD N/A 15330.0000000000 NS 122069.5300000000 0.0222499099 Long EC CORP NZ N 2 N N N Novo Nordisk A/S 549300DAQ1CVT6CXN342 NOVO-NORDISK A/S-SPONS ADR 670100205 81600.0000000000 NS USD 8149392.0000000000 1.4854094846 Long CORP DK N 1 N N N NuStar Energy LP 5493003BMLTUIEG2LG44 NUSTAR ENERGY LP 67058H201 4725.0000000000 NS USD 116282.2500000000 0.0211950483 Long EP CORP US N 1 2049-12-31 Variable 6.969 N N N N N N NuStar Energy LP 5493003BMLTUIEG2LG44 NUSTAR ENERGY LP 67058H300 11245.0000000000 NS USD 247165.1000000000 0.0450513834 Long EP CORP US N 1 2049-12-31 Variable 7.625 N N N N N N NuStar Logistics LP N62BF2PKP51FIIOIUN20 NUSTAR LOGISTICS LP 67059T204 11500.0000000000 NS USD 289915.0000000000 0.0528435116 Long EP CORP US N 1 2043-01-15 Variable 6.975 N N N N N N 2022-03-25 Calamos Global Dynamic Income Fund Stephen Atkins Stephen Atkins Treasurer XXXX NPORT-EX 2 glbldynincfd_partf01312022.htm PART F HTML

Calamos Global Dynamic Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2022 (UNAUDITED)

 

PRINCIPAL

AMOUNT

      

 

    

 

  VALUE  
  CORPORATE BONDS (14.6%)  
    Airlines (0.4%)  
  369,418      

Air Canada Pass Through Trust

Series 2015-1, Class B*µ

3.875%, 09/15/24

  $ 371,538  
  60,833      

Air Canada Pass Through Trust

Series 2015-2, Class B*

5.000%, 06/15/25

    61,890  
  239,619      

Alaska Airlines Pass Through

Trust Series 2020-1, Class A*

4.800%, 02/15/29

    261,328  
  168,097      

Alaska Airlines Pass Through

Trust Series 2020-1, Class B*µ

8.000%, 02/15/27

    187,018  
  97,000      

American Airlines Pass Through

Trust Series 2021-1, Class B

3.950%, 01/11/32

    94,838  
   

American Airlines, Inc. /

AAdvantage Loyalty IP, Ltd.*

 
  169,000      

5.500%, 04/20/26

    173,117  
  56,000      

5.750%, 04/20/29

    57,425  
  250,000      

British Airways Pass Through

Trust Series 2021-1, Class B*

3.900%, 03/15/33

    248,237  
  193,463      

JetBlue Pass Through Trust

Series 2020-1, Class B

7.750%, 05/15/30

    223,570  
  81,000      

Spirit Loyalty Cayman, Ltd. / Spirit

IP Cayman, Ltd.*

8.000%, 09/20/25

    87,857  
  79,538      

UAL Pass Through Trust Series

2007-1

6.636%, 01/02/24

    80,865  
  191,212      

United Airlines Pass Through

Trust Series 2014-2, Class B

4.625%, 03/03/24

    192,908  
  117,818      

United Airlines Pass Through

Trust Series 2019-2, Class B

3.500%, 11/01/29

    114,410  
     

 

 

 
              2,155,001  
     

 

 

 
    Communication Services (1.5%)  
  250,000      

Altice France SA*

5.500%, 10/15/29

    237,100  
  110,000      

APi Escrow Corp.*

4.750%, 10/15/29

    107,883  
  335,000      

Arrow Bidco, LLC*

9.500%, 03/15/24

    340,417  
  169,000      

Beasley Mezzanine Holdings,

LLC*

8.625%, 02/01/26

    167,910  
  82,000      

Cincinnati Bell Telephone

Company, LLC

6.300%, 12/01/28

    84,602  
  330,000      

Consolidated Communications,

Inc.*

6.500%, 10/01/28

    340,837  
   

CSC Holdings, LLC*

 
  410,000      

5.500%, 04/15/27

    419,528  
  400,000      

4.625%, 12/01/30

    356,448  
  335,000      

5.375%, 02/01/28

    336,507  
  300,000      

5.750%, 01/15/30

    283,089  
  200,000      

4.500%, 11/15/31

    186,550  

PRINCIPAL

AMOUNT

      

 

    

 

  VALUE  
  230,000      

Cumulus Media New Holdings,

Inc.*^

6.750%, 07/01/26

  $ 237,236  
   

Diamond Sports Group, LLC /

Diamond Sports Finance

Company*

 
  180,000      

6.625%, 08/15/27

    47,588  
  151,000      

5.375%, 08/15/26

    70,102  
  242,000      

DIRECTV Holdings, LLC /

DIRECTV Financing Company,

Inc.*

5.875%, 08/15/27

    243,002  
  422,000      

Embarq Corp.

7.995%, 06/01/36

    434,981  
   

Entercom Media Corp.*^

 
  155,000      

6.500%, 05/01/27

    147,439  
  113,000      

6.750%, 03/31/29

    106,338  
  96,000      

Frontier California, Inc.

6.750%, 05/15/27

    99,627  
  242,000      

Frontier Florida, LLC

6.860%, 02/01/28

    251,982  
  330,000      

Frontier North, Inc.

6.730%, 02/15/28

    342,068  
  230,000      

Gannett Holdings, LLC*

6.000%, 11/01/26

    234,559  
   

Go Daddy Operating Company,

LLC / GD Finance Company, Inc.*

 
  195,000      

3.500%, 03/01/29

    182,040  
  69,000      

5.250%, 12/01/27

    71,040  
  80,000      

Hughes Satellite Systems Corp.

5.250%, 08/01/26

    85,255  
   

Intelsat Jackson Holdings, SA@

 
  170,000      

9.750%, 07/15/25*

    75,494  
  130,000      

5.500%, 08/01/23

    57,305  
  360,000      

LCPR Senior Secured Financing

DAC*

6.750%, 10/15/27

    374,623  
  132,915      

Ligado Networks, LLC*

15.500%, 11/01/23

15.500% PIK rate

    99,343  
   

Lumen Technologies, Inc.

 
  310,000      

4.000%, 02/15/27*

           298,518  
  13,000      

7.600%, 09/15/39

    13,042  
  109,000      

Match Group Holdings II, LLC*

3.625%, 10/01/31

    100,077  
  190,000      

Midas OpCo Holdings, LLC*

5.625%, 08/15/29

    187,150  
  200,000      

Netflix, Inc.*^

4.875%, 06/15/30

    223,934  
   

Scripps Escrow II, Inc.*

 
  111,000      

3.875%, 01/15/29

    106,064  
  56,000      

5.375%, 01/15/31

    55,457  
  420,000      

Scripps Escrow, Inc.*

5.875%, 07/15/27

    431,201  
   

Sirius XM Radio, Inc.*

 
  165,000      

4.000%, 07/15/28

    159,727  
  110,000      

3.125%, 09/01/26

    105,896  
  54,000      

3.875%, 09/01/31

    49,993  
  170,000      

Spanish Broadcasting System,

Inc.*

9.750%, 03/01/26

    175,928  
  215,000      

Telecom Italia Capital, SA

6.000%, 09/30/34

    211,726  
 

 

See accompanying Notes to Schedule of Investments

 

1


Calamos Global Dynamic Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2022 (UNAUDITED)

 

PRINCIPAL

AMOUNT

      

 

    

 

  VALUE  
  305,000      

United States Cellular Corp.

6.700%, 12/15/33

  $ 339,627  
     

 

 

 
              8,479,233  
     

 

 

 
    Consumer Discretionary (2.4%)

 

  230,000      

American Axle & Manufacturing,

Inc.^

6.875%, 07/01/28

    241,983  
  110,000      

Asbury Automotive Group, Inc.*

4.625%, 11/15/29

    108,556  
   

Ashton Woods USA, LLC / Ashton

Woods Finance Company*

 
  204,000      

6.625%, 01/15/28

    214,775  
  136,000      

4.625%, 08/01/29

    134,466  
  54,000      

4.625%, 04/01/30

    53,343  
  53,000      

At Home Group, Inc.*

4.875%, 07/15/28

    50,816  
  67,000      

Avis Budget Car Rental, LLC /

Avis Budget Finance, Inc.*^

5.375%, 03/01/29

    67,284  
   

Bath & Body Works, Inc.

 
  292,000      

6.694%, 01/15/27^

    329,315  
  165,000      

6.875%, 11/01/35

    189,943  
   

Caesars Entertainment, Inc.*

 
  136,000      

4.625%, 10/15/29

    130,472  
  112,000      

8.125%, 07/01/27

    120,617  
  112,000      

6.250%, 07/01/25

    116,171  
   

Carnival Corp.*

 
  112,000      

10.500%, 02/01/26

    126,000  
  56,000      

7.625%, 03/01/26

    57,204  
  260,000      

Carriage Services, Inc.*

4.250%, 05/15/29

    253,809  
  165,000      

Carvana Company*

5.625%, 10/01/25

    157,399  
   

CCO Holdings, LLC / CCO

Holdings Capital Corp.*

 
  470,000      

5.125%, 05/01/27

    481,947  
  245,000      

4.750%, 03/01/30

    243,574  
  125,000      

5.000%, 02/01/28^

    126,648  
  125,000      

4.500%, 08/15/30

    122,014  
  110,000      

4.250%, 02/01/31

    105,148  
  108,000      

4.750%, 02/01/32

    106,313  
  80,000      

4.250%, 01/15/34

    74,244  
  207,000      

Cedar Fair, LP^

5.250%, 07/15/29

    207,710  
   

Century Communities, Inc.

 
  275,000      

6.750%, 06/01/27

    286,836  
  55,000      

3.875%, 08/15/29*

    52,691  
   

Dana, Inc.

 
  109,000      

4.500%, 02/15/32

    104,223  
  59,000      

4.250%, 09/01/30

    57,454  
   

DISH DBS Corp.

 
  209,000      

7.750%, 07/01/26

    215,571  
  165,000      

5.250%, 12/01/26*

    160,228  
  133,000      

7.375%, 07/01/28^

    128,882  
  200,000      

Empire Resorts, Inc.*

7.750%, 11/01/26

    202,920  
  238,000      

Everi Holdings, Inc.*

5.000%, 07/15/29

    237,086  
   

Ford Motor Credit Company, LLC

 
  350,000      

4.063%, 11/01/24

    357,144  
  350,000      

4.000%, 11/13/30

    352,114  
  315,000      

4.134%, 08/04/25

    322,806  
   

Gap, Inc.*

 
  82,000      

3.875%, 10/01/31^

    76,249  
  11,000      

3.625%, 10/01/29

    10,240  

PRINCIPAL

AMOUNT

      

 

    

 

  VALUE  
   

goeasy, Ltd.*

 
  380,000      

5.375%, 12/01/24

  $ 389,135  
  208,000      

4.375%, 05/01/26^

    207,359  
  112,000      

Goodyear Tire & Rubber

Company*

5.000%, 07/15/29

    112,166  
  106,000      

Group 1 Automotive, Inc.*

4.000%, 08/15/28

    101,654  
  273,000      

Guitar Center, Inc.*&

8.500%, 01/15/26

    290,789  
  345,000      

International Game Technology,

PLC*

6.250%, 01/15/27

           375,840  
   

Liberty Interactive, LLC

 
  220,000      

8.250%, 02/01/30^

    228,870  
  110,000      

8.500%, 07/15/29

    114,436  
   

Life Time, Inc.*

 
  169,000      

8.000%, 04/15/26^

    172,897  
  110,000      

5.750%, 01/15/26

    110,653  
  139,000      

Lindblad Expeditions, LLC*

6.750%, 02/15/27

    140,729  
   

M/I Homes, Inc.

 
  205,000      

4.950%, 02/01/28

    207,856  
  140,000      

3.950%, 02/15/30

    136,527  
  230,000      

Macy’s Retail Holdings, LLC*

6.700%, 07/15/34

    259,619  
   

Mattel, Inc.*

 
  135,000      

5.875%, 12/15/27

    143,564  
  28,000      

3.750%, 04/01/29

    28,022  
  260,000      

Mclaren Finance, PLC*

7.500%, 08/01/26

    266,760  
  287,000      

Midwest Gaming Borrower, LLC /

Midwest Gaming Finance Corp.*

4.875%, 05/01/29

    280,640  
  244,000      

Mohegan Gaming &

Entertainment*

8.000%, 02/01/26

    248,429  
  252,000      

Newell Brands, Inc.

4.700%, 04/01/26

    264,401  
  110,000      

Nordstrom, Inc.^ 5.000%, 01/15/44

    98,174  
  108,000      

Papa John’s International, Inc.*^

3.875%, 09/15/29

    102,831  
  250,000      

Penn National Gaming, Inc.*^

4.125%, 07/01/29

    235,190  
  305,000      

Premier Entertainment Sub, LLC /

Premier Entertainment Finance

Corp.*

5. 625%, 09/01/29

    286,904  
  553,000      

Rite Aid Corp.*

8.000%, 11/15/26

    543,488  
  320,000      

Simmons Foods, Inc. / Simmons

Prepared Foods, Inc. / Simmons

Pet Food, Inc. / Simmons Feed*

4.625%, 03/01/29

    308,390  
  135,000      

Sonic Automotive, Inc.*

4.625%, 11/15/29

    131,886  
  235,000      

Speedway Motorsports, LLC /

Speedway Funding II, Inc.*

4.875%, 11/01/27

    237,618  
     
  207,000      

Taylor Morrison Communities,

Inc.*

5.750%, 01/15/28

    221,639  
  54,000      

Thor Industries, Inc.*^

4.000%, 10/15/29

    51,689  
  55,000      

Viking Cruises, Ltd.*

13.000%, 05/15/25

    61,640  
 

 

See accompanying Notes to Schedule of Investments

 

2


Calamos Global Dynamic Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2022 (UNAUDITED)

 

PRINCIPAL

AMOUNT

      

 

    

 

  VALUE  
  260,000      

Vista Outdoor, Inc.*

4.500%, 03/15/29

  $ 252,387  
  295,000      

VOC Escrow, Ltd.*

5.000%, 02/15/28

    285,607  
  55,000      

Williams Scotsman International,

Inc.*

4.625%, 08/15/28

    55,660  
     

 

 

 
        13,337,644  
     

 

 

 
    Consumer Staples (0.8%)  
  251,000      

Central Garden & Pet Company*

4.125%, 04/30/31

    240,265  
  300,000      

Edgewell Personal Care

Company*

4.125%, 04/01/29

    294,714  
  307,000      

Energizer Holdings, Inc.*

4.375%, 03/31/29

    290,677  
  225,000      

Fresh Market, Inc.*^

9.750%, 05/01/23

    230,564  
  260,000      

JBS USA LUX, SA / JBS USA

Finance, Inc.*

6.750%, 02/15/28

    278,814  
   

JBS USA LUX, SA / JBS USA

Food Company / JBS USA

Finance, Inc.*

 
  320,000      

5.500%, 01/15/30

    340,778  
  109,000      

6.500%, 04/15/29^

    118,648  
   

Kraft Heinz Foods Company

 
  335,000      

4.375%, 06/01/46

    351,713  
  56,000      

3.875%, 05/15/27

    58,210  
  174,000      

New Albertsons, LP

7.750%, 06/15/26

    196,763  
  217,000      

Performance Food Group, Inc.*

4.250%, 08/01/29

    204,147  
  250,000      

Petsmart, Inc. / PetSmart Finance

Corp.*

4.750%, 02/15/28

    250,187  
  280,000      

Pilgrim’s Pride Corp.*

5.875%, 09/30/27

    292,597  
   

Post Holdings, Inc.*

 
  310,000      

5.750%, 03/01/27

    318,677  
  160,000      

4.625%, 04/15/30^

    154,331  
  54,000      

5.500%, 12/15/29

    55,572  
  209,000      

Prestige Brands, Inc.*

3.750%, 04/01/31

    190,244  
  245,000      

United Natural Foods, Inc.*^

6.750%, 10/15/28

    260,168  
  235,000      

Vector Group, Ltd.*

5.750%, 02/01/29

    217,885  
     

 

 

 
        4,344,954  
     

 

 

 
    Energy (1.4%)  
   

Antero Resources Corp.*

 
  68,000      

7.625%, 02/01/29

    74,142  
  56,000      

5.375%, 03/01/30

    57,887  
   

Apache Corp.

 
  223,000      

5.100%, 09/01/40

    233,996  
  112,000      

4.625%, 11/15/25

    117,127  
   

Buckeye Partners, LP

 
  205,000      

3.950%, 12/01/26

    204,949  
  135,000      

5.850%, 11/15/43

    125,046  
  70,000      

ChampionX Corp.

6.375%, 05/01/26

    72,657  
   

Cheniere Energy Partners, LP

 
  109,000      

3.250%, 01/31/32*

    102,623  
  55,000      

4.000%, 03/01/31^

    54,998  

PRINCIPAL

AMOUNT

      

 

    

 

  VALUE  
  112,000      

Cheniere Energy, Inc.

4.625%, 10/15/28

  $ 113,789  
  112,000      

Chesapeake Energy Corp.*

6.750%, 04/15/29

    119,850  
  410,000      

DCP Midstream Operating, LP*‡

5.850%, 05/21/43

3 mo. USD LIBOR + 3.85%

    392,247  
  3,142      

Diamond Foreign Asset Company

/ Diamond Finance, LLC

9.000%, 04/22/27

13.000% PIK rate

    3,157  
  114,000      

DT Midstream, Inc.*

4.125%, 06/15/29

    112,769  
   

Energy Transfer, LP‡

 
  320,000      

3.334%, 11/01/66

3 mo. USD LIBOR + 3.02%

    257,648  
  162,000      

6.500%, 02/01/34^

5 year CMT + 5.69%

    165,773  
   

EnLink Midstream Partners, LP

 
  330,000      

6.000%, 02/01/34‡

3 mo. USD LIBOR + 4.11%

    250,496  
  224,000      

4.850%, 07/15/26

    230,382  
   

EQT Corp.

 
  145,000      

7.500%, 02/01/30

    172,738  
  90,000      

6.625%, 02/01/25

    97,110  
  65,000      

5.000%, 01/15/29

    68,955  
  293,000      

Genesis Energy, LP / Genesis

Energy Finance Corp.

6.250%, 05/15/26

    283,000  
  50,000      

Gulfport Energy Operating Corp.*

8.000%, 05/17/26

    53,795  
   

Gulfport Energy Operating Corp.

 
  215,000      

6.375%, 05/15/25&

     
  65,708      

8.000%, 05/17/26^

    70,695  
  109,000      

Howard Midstream Energy

Partners, LLC*

6.750%, 01/15/27

    112,044  
   

Laredo Petroleum, Inc.^

 
  229,000      

10.125%, 01/15/28

    242,280  
  57,000      

7.750%, 07/31/29*

    55,122  
  245,000      

Magnolia Oil & Gas Operating,

LLC / Magnolia Oil & Gas Finance

Corp.*^

6.000%, 08/01/26

    250,988  
   

Moss Creek Resources Holdings,

Inc.*

 
  135,000      

10.500%, 05/15/27^

    132,430  
  135,000      

7.500%, 01/15/26

    123,683  
  113,000      

Murphy Oil Corp.^

6.375%, 07/15/28

    117,049  
   

New Fortress Energy, Inc.*

 
  221,000      

6.750%, 09/15/25

    209,508  
  113,000      

6.500%, 09/30/26

    106,058  
  56,000      

Oasis Midstream Partners, LP /

OMP Finance Corp.*

8.000%, 04/01/29

    59,869  
   

Occidental Petroleum Corp.

 
  800,000      

4.300%, 08/15/39

    758,336  
  114,000      

5.875%, 09/01/25^

    121,945  
  200,000      

Par Petroleum, LLC / Par

Petroleum Finance Corp.*

7.750%, 12/15/25

    203,286  
  205,000      

Parkland Corp.*

5.875%, 07/15/27

    211,445  
  270,000      

Plains All American Pipeline, LP‡

6.125%, 02/01/34

3 mo. USD LIBOR + 4.11%

    228,496  
 

 

See accompanying Notes to Schedule of Investments

 

3


Calamos Global Dynamic Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2022 (UNAUDITED)

 

PRINCIPAL

AMOUNT

      

 

    

 

  VALUE  
  250,000      

Rockcliff Energy II, LLC*

5.500%, 10/15/29

  $ 252,112  
  54,000      

Southwestern Energy Company

4.750%, 02/01/32

    54,010  
  54,000      

Sunoco, LP / Sunoco Finance

Corp.*

4.500%, 04/30/30

    53,375  
   

Venture Global Calcasieu Pass,

LLC*

 
  55,000      

4.125%, 08/15/31

    55,472  
  55,000      

3.875%, 08/15/29

    55,021  
  135,000      

Viper Energy Partners, LP*

5.375%, 11/01/27

    139,321  
  220,000      

W&T Offshore, Inc.*

9.750%, 11/01/23

    214,790  
  196,000      

Weatherford International, Ltd.*

6.500%, 09/15/28

    203,262  
     

 

 

 
        7,395,731  
     

 

 

 
    Financials (2.5%)  
   

Acrisure, LLC / Acrisure Finance,

Inc.*

 
  333,000      

6.000%, 08/01/29

    316,503  
  292,000      

7.000%, 11/15/25^

    291,620  
  223,000      

Aethon United BR, LP / Aethon

United Finance Corp.*

8.250%, 02/15/26

    235,519  
  363,000      

AG Issuer, LLC*

6.250%, 03/01/28

    375,955  
   

Alliant Holdings Intermediate, LLC

/ Alliant Holdings Co-Issuer*

 
  400,000      

6.750%, 10/15/27

    396,260  
  55,000      

5.875%, 11/01/29

    54,322  
  55,000      

4.250%, 10/15/27

    53,711  
   

Ally Financial, Inc.

 
  295,000      

4.700%, 02/01/34

7 year CMT + 3.48%‡

    294,620  
  175,000      

8.000%, 11/01/31

    237,360  
  250,000      

American Finance Trust, Inc. /

American Finance Operating

Partner, LP*

4.500%, 09/30/28

    242,732  
  439,000      

AmWINS Group, Inc.*

4.875%, 06/30/29

    431,168  
  470,000      

AssuredPartners, Inc.*

7.000%, 08/15/25

    469,741  
  248,000      

Aviation Capital Group, LLC*

3.500%, 11/01/27

    248,779  
  434,000      

BroadStreet Partners, Inc.*

5.875%, 04/15/29

    414,205  
   

Brookfield Property REIT, Inc. /

BPR Cumulus, LLC / BPR

Nimbus, LLC / GGSI Sellco LLC*

 
  430,000      

4.500%, 04/01/27

    407,481  
  264,000      

5.750%, 05/15/26

    264,808  
   

Credit Acceptance Corp.^

 
  237,000      

5.125%, 12/31/24*

    240,015  
  230,000      

6.625%, 03/15/26

    237,365  
  70,000      

Cushman & Wakefield US

Borrower, LLC*

6.750%, 05/15/28

    73,984  
  235,000      

Enact Holdings, Inc.*

6.500%, 08/15/25

    249,391  

PRINCIPAL

AMOUNT

      

 

    

 

  VALUE  
  321,000      

Global Net Lease, Inc. / Global

Net Lease Operating Partnership,

LP*

3.750%, 12/15/27

  $ 309,190  
  417,000      

Greystar Real Estate Partners,

LLC*

5.750%, 12/01/25

    424,402  
   

HUB International, Ltd.*

 
  485,000      

7.000%, 05/01/26

    496,936  
  109,000      

5.625%, 12/01/29

    108,136  
   

Icahn Enterprises, LP / Icahn

Enterprises Finance Corp.

 
  235,000      

5.250%, 05/15/27

    237,021  
  164,000      

4.375%, 02/01/29

    156,121  
  500,000      

ILFC E-Capital Trust II*‡

3.620%, 12/21/65

3 mo. USD LIBOR + 1.80%

    433,515  
  465,000      

Iron Mountain, Inc.*

5.250%, 03/15/28

    472,575  
  600,000      

Jefferies Finance, LLC / JFIN Co-

Issuer Corp.*

5.000%, 08/15/28

    594,042  
   

Ladder Capital Finance Holdings

LLLP / Ladder Capital Finance

Corp.*

 
  447,000      

5.250%, 10/01/25

    449,731  
  109,000      

4.750%, 06/15/29

    106,808  
  311,000      

LD Holdings Group, LLC*

6.125%, 04/01/28

    277,468  
   

Level 3 Financing, Inc.

 
  260,000      

5.375%, 05/01/25

    264,129  
  235,000      

4.250%, 07/01/28*

    224,611  
  108,000      

3.875%, 11/15/29*

    106,367  
  162,000      

LPL Holdings, Inc.*

4.000%, 03/15/29

    157,934  
  487,000      

MetLife, Inc.

6.400%, 12/15/66

    580,582  
   

Navient Corp.

 
  493,000      

5.000%, 03/15/27

    479,235  
  195,000      

4.875%, 03/15/28^

    186,771  
   

OneMain Finance Corp.

 
  150,000      

3.875%, 09/15/28

    140,208  
  88,000      

7.125%, 03/15/26

    96,900  
  110,000      

Park Intermediate Holdings, LLC /

PK Domestic Property, LLC / PK

Finance Co-Issuer*

5.875%, 10/01/28

    112,570  
  245,000      

PHH Mortgage Corp.*

7.875%, 03/15/26

    252,073  
  260,000      

RHP Hotel Properties, LP / RHP

Finance Corp.*

4.500%, 02/15/29

    251,862  
   

RLJ Lodging Trust, LP*

 
  162,000      

3.750%, 07/01/26

    157,699  
  111,000      

4.000%, 09/15/29

    104,692  
   

Rocket Mortgage, LLC / Rocket

Mortgage Co-Issuer, Inc.*

 
  100,000      

3.875%, 03/01/31

    93,917  
  100,000      

3.625%, 03/01/29

    93,754  
  50,000      

2.875%, 10/15/26

    47,684  
  227,000      

StoneX Group, Inc.*

8.625%, 06/15/25

    241,033  
   

United Wholesale Mortgage, LLC*

 
  258,000      

5.500%, 04/15/29

    236,423  
  105,000      

5.750%, 06/15/27

    99,513  
 

 

See accompanying Notes to Schedule of Investments

 

4


Calamos Global Dynamic Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2022 (UNAUDITED)

 

PRINCIPAL
AMOUNT
      

 

    

 

  VALUE  
  110,000      

Uniti Group, LP / Uniti Group

Finance, Inc. / CSL Capital, LLC*

6.500%, 02/15/29

  $ 104,191  
   

XHR, LP*

 
  237,000      

6.375%, 08/15/25

    245,203  
  108,000      

4.875%, 06/01/29

    106,096  
     

 

 

 
            13,984,931  
     

 

 

 
    Health Care (1.4%)  
  112,000      

Acadia Healthcare Company, Inc.*

5.000%, 04/15/29

    110,904  
   

Bausch Health Americas, Inc.*

 
  500,000      

8.500%, 01/31/27

    506,005  
  110,000      

9.250%, 04/01/26

    113,648  
   

Bausch Health Companies, Inc.*

 
  315,000      

5.250%, 02/15/31^

    251,638  
  245,000      

5.000%, 01/30/28

    206,858  
  96,000      

5.000%, 02/15/29

    77,367  
  81,000      

6.125%, 02/01/27

    81,327  
  55,000      

7.250%, 05/30/29

    49,410  
  111,000      

Centene Corp.

3.000%, 10/15/30

    107,809  
  113,000      

Charles River Laboratories

International, Inc.*

3.750%, 03/15/29

    109,129  
  27,000      

CHS/Community Health Systems,

Inc.*

5.250%, 05/15/30

    26,898  
   

CHS/Community Health Systems,

Inc.*

 
  435,000      

6.125%, 04/01/30^

    415,603  
  230,000      

8.000%, 03/15/26

    240,085  
  127,000      

6.875%, 04/15/29

    126,088  
   

DaVita, Inc.*

 
  335,000      

4.625%, 06/01/30

    326,481  
  258,000      

3.750%, 02/15/31

    237,270  
  162,000      

Embecta Corp.*

5.000%, 02/15/30

    162,318  
   

Encompass Health Corp.

 
  110,000      

4.750%, 02/01/30

    109,456  
  110,000      

4.500%, 02/01/28

    109,564  
  300,000      

HCA, Inc.

7.500%, 11/06/33

    414,459  
  200,000      

Jazz Securities DAC*

4.375%, 01/15/29

    198,112  
  480,000      

Mallinckrodt International Finance,

SA / Mallinckrodt CB, LLC*

5.625%, 10/15/23

    256,920  
   

Mozart Debt Merger Sub, Inc.*

 
  270,000      

3.875%, 04/01/29

    260,407  
  267,000      

5.250%, 10/01/29

    259,839  
   

Organon & Company / Organon

Foreign Debt Co-Issuer, BV*

 
  400,000      

5.125%, 04/30/31

    400,112  
  200,000      

4.125%, 04/30/28

    197,924  
  305,000      

Team Health Holdings, Inc.*^

6.375%, 02/01/25

    274,997  
   

Tenet Healthcare Corp.

 
  430,000      

6.250%, 02/01/27*

    441,051  
  345,000      

4.875%, 01/01/26*

    346,849  
  295,000      

6.875%, 11/15/31

    321,562  
  81,000      

4.375%, 01/15/30*

    78,222  
   

Teva Pharmaceutical Finance

Netherlands III, BV

 
  495,000      

6.000%, 04/15/24

    505,345  
  200,000      

4.750%, 05/09/27

    194,172  
PRINCIPAL
AMOUNT
      

 

    

 

  VALUE  
  150,000      

3.150%, 10/01/26

  $ 137,964  
     

 

 

 
              7,655,793  
     

 

 

 
    Industrials (2.4%)  
  225,000      

Abercrombie & Fitch Management

Company*

8.750%, 07/15/25

    239,629  
  260,000      

ACCO Brands Corp.*^

4.250%, 03/15/29

    248,708  
   

Albertsons Companies, Inc. /

Safeway, Inc. / New Albertsons,

LP / Albertsons, LLC*

 
  307,000      

4.875%, 02/15/30

    313,103  
  185,000      

4.625%, 01/15/27

    189,512  
  111,000      

3.500%, 03/15/29^

    105,090  
   

Allison Transmission, Inc.*

 
  190,000      

4.750%, 10/01/27

    192,905  
  55,000      

3.750%, 01/30/31

    51,217  
  55,000      

American Airlines Group, Inc.*^

3.750%, 03/01/25

    51,094  
  127,000      

Arcosa, Inc.*

4.375%, 04/15/29

    124,460  
  475,000      

ARD Finance, SA*

6.500%, 06/30/27

7.250% PIK rate

    481,835  
  109,000      

At Home Group, Inc.*

7.125%, 07/15/29

    102,266  
  137,000      

Avolon Holdings Funding, Ltd.*µ

5.250%, 05/15/24

    145,324  
  234,000      

Beacon Roofing Supply, Inc.*

4.125%, 05/15/29

    223,762  
  226,000      

BWX Technologies, Inc.*

4.125%, 04/15/29

    224,032  
  54,000      

Catalent Pharma Solutions, Inc.*^

3.500%, 04/01/30

    50,657  
   

Delta Air Lines, Inc.

 
  57,000      

7.375%, 01/15/26^

    64,945  
  57,000      

3.800%, 04/19/23

    57,699  
   

Delta Air Lines, Inc. / SkyMiles IP, Ltd.*

 
  56,000      

4.750%, 10/20/28

    59,847  
  28,000      

4.500%, 10/20/25µ

    29,054  
  108,000      

Dun & Bradstreet Corp.*

5.000%, 12/15/29

    107,810  
  163,000      

Eco Material Technologies, Inc.*

7.875%, 01/31/27

    165,562  
  223,000      

Endure Digital, Inc.*^

6.000%, 02/15/29

    198,731  
  140,000      

EnerSys*

4.375%, 12/15/27

    142,492  
  260,000      

Fly Leasing, Ltd.*

7.000%, 10/15/24

    250,684  
  112,000      

GFL Environmental, Inc.*

3.750%, 08/01/25

    112,110  
   

Golden Nugget, Inc.*

 
  165,000      

6.750%, 10/15/24

    165,071  
  115,000      

8.750%, 10/01/25^

    117,608  
  124,000      

Graham Packaging Company,

Inc.*

7.125%, 08/15/28

    126,171  
  140,000      

Granite US Holdings Corp.*^

11.000%, 10/01/27

    151,535  
   

Graphic Packaging International,

LLC*

 
  175,000      

4.750%, 07/15/27

    184,426  
  102,000      

3.500%, 03/01/29

    97,648  
 

 

See accompanying Notes to Schedule of Investments

 

5


Calamos Global Dynamic Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2022 (UNAUDITED)

 

PRINCIPAL
AMOUNT
      

 

    

 

  VALUE  
  236,000      

Great Lakes Dredge & Dock

Corp.*

5.250%, 06/01/29

  $ 241,367  
  516,000      

H&E Equipment Services, Inc.*

3.875%, 12/15/28

    487,935  
  269,000      

Hawaiian Brand Intellectual

Property, Ltd. / HawaiianMiles

Loyalty, Ltd.*

5.750%, 01/20/26

    275,227  
  340,000      

Herc Holdings, Inc.*

5.500%, 07/15/27

    349,976  
  200,000      

Howmet Aerospace, Inc.

5.125%, 10/01/24

    209,362  
  255,000      

IEA Energy Services, LLC*

6.625%, 08/15/29

    249,489  
  280,000      

JELD-WEN, Inc.*

4.625%, 12/15/25

    279,059  
  102,000      

KeHE Distributors, LLC / KeHE

Finance Corp.*

8.625%, 10/15/26

    108,721  
  251,000      

Ken Garff Automotive, LLC*

4.875%, 09/15/28

    243,254  
  110,000      

MasTec, Inc.*

4.500%, 08/15/28

    111,936  
  248,000      

Meritor, Inc.*

4.500%, 12/15/28

    241,860  
  170,000      

Moog, Inc.*

4.250%, 12/15/27

    170,729  
  300,000      

Nationstar Mortgage Holdings,

Inc.*

5.500%, 08/15/28

    294,237  
  272,000      

Novelis Corp.*

4.750%, 01/30/30

             272,316  
  80,000      

OI European Group, BV*

4.750%, 02/15/30

    78,381  
  255,000      

Pactiv Evergreen Group Issuer,

Inc. / Pactiv Evergreen Group

Issuer, LLC / Reynolds Gro*

4.000%, 10/15/27

    241,827  
  260,000      

Park-Ohio Industries, Inc.^

6.625%, 04/15/27

    235,537  
  242,000      

Patrick Industries, Inc.*

4.750%, 05/01/29

    231,800  
  275,000      

Peninsula Pacific Entertainment,

LLC / Peninsula Pacific

Entertainment Finance In*

8.500%, 11/15/27

    295,185  
  109,000      

PGT Innovations, Inc.*

4.375%, 10/01/29

    105,188  
  51,000      

Picasso Finance Sub, Inc.*

6.125%, 06/15/25

    52,941  
  163,000      

QVC, Inc.

4.375%, 09/01/28

    150,346  
  185,000      

Scientific Games International,

Inc.*

5.000%, 10/15/25

    189,292  
  210,000      

Sensata Technologies, Inc.*

3.750%, 02/15/31

    197,671  
   

Sinclair Television Group, Inc.*

 
  167,000      

4.125%, 12/01/30

    153,964  
  100,000      

5.500%, 03/01/30

    92,910  
   

Standard Industries, Inc.*

 
  225,000      

5.000%, 02/15/27

    226,660  
  56,000      

4.375%, 07/15/30^

    53,649  
  455,000      

Station Casinos, LLC*

4.500%, 02/15/28

    443,234  
PRINCIPAL
AMOUNT
      

 

    

 

  VALUE  
  176,000      

Stericycle, Inc.*

3.875%, 01/15/29

  $ 168,191  
  166,000      

STL Holding Company, LLC*

7.500%, 02/15/26

    174,951  
  200,000      

TransDigm UK Holdings, PLC

6.875%, 05/15/26

    207,524  
   

TransDigm, Inc.

 
  205,000      

7.500%, 03/15/27

    212,917  
  200,000      

6.250%, 03/15/26*

    206,902  
  114,000      

Tronox, Inc.*

4.625%, 03/15/29

    110,345  
   

United Rentals North America,

Inc.

 
  110,000      

3.750%, 01/15/32

    106,322  
  56,000      

3.875%, 02/15/31

    54,593  
  217,000      

Vertiv Group Corp.*

4.125%, 11/15/28

    211,974  
  228,000      

Wabash National Corp.*

4.500%, 10/15/28

    221,288  
  195,000      

Waste Pro USA, Inc.*

5.500%, 02/15/26

    189,852  
   

WESCO Distribution, Inc.*

 
  136,000      

7.125%, 06/15/25^

    142,489  
  67,000      

7.250%, 06/15/28

    71,918  
     

 

 

 
            13,138,306  
     

 

 

 
    Information Technology (0.7%)  
  109,000      

Booz Allen Hamilton, Inc.*

4.000%, 07/01/29

    107,833  
  140,000      

CDK Global, Inc.*

5.250%, 05/15/29

    145,716  
  200,000      

CommScope Technologies, LLC*

6.000%, 06/15/25

    195,000  
  200,000      

CommScope, Inc.*

4.750%, 09/01/29

    191,748  
  210,000      

Dell International, LLC / EMC

Corp.µ

6.020%, 06/15/26

    238,379  
  138,000      

Fair Isaac Corp.*

4.000%, 06/15/28

    137,725  
  108,000      

II-VI, Inc.*

5.000%, 12/15/29

    107,881  
  245,000      

KBR, Inc.*

4.750%, 09/30/28

    244,929  
   

MPH Acquisition Holdings, LLC*

 
  245,000      

5.750%, 11/01/28^

    220,809  
  110,000      

5.500%, 09/01/28

    105,778  
  113,000      

NCR Corp.*

5.125%, 04/15/29

    112,880  
  353,000      

Nielsen Finance, LLC / Nielsen

Finance Company*

4.500%, 07/15/29

    329,529  
  167,000      

ON Semiconductor Corp.*

3.875%, 09/01/28

    165,953  
   

Open Text Corp.*

 
  204,000      

3.875%, 02/15/28

    200,687  
  81,000      

3.875%, 12/01/29

    77,826  
  81,000      

Open Text Holdings, Inc.*

4.125%, 12/01/31

    78,409  
  113,000      

Playtika Holding Corp.*

4.250%, 03/15/29

    108,094  
  260,000      

TTM Technologies, Inc.*

4.000%, 03/01/29

    248,355  
   

Twilio, Inc.

 
  150,000      

3.625%, 03/15/29

    144,259  
  57,000      

3.875%, 03/15/31^

    54,596  
 

 

See accompanying Notes to Schedule of Investments

 

6


Calamos Global Dynamic Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2022 (UNAUDITED)

 

PRINCIPAL
AMOUNT
      

 

    

 

  VALUE  
  275,000      

Viavi Solutions, Inc.*

3.750%, 10/01/29

  $ 264,652  
  260,000      

ZoomInfo Technologies, LLC /

ZoomInfo Finance Corp.*

3.875%, 02/01/29

    244,925  
     

 

 

 
              3,725,963  
     

 

 

 
    Materials (0.7%)  
  140,000      

Allegheny Technologies, Inc.^

5.875%, 12/01/27

    142,895  
  130,000      

ArcelorMittal, SA

7.000%, 10/15/39

    169,285  
  165,000      

Chemours Company*

4.625%, 11/15/29

    157,428  
  355,000      

Clearwater Paper Corp.*

4.750%, 08/15/28

    356,988  
   

Commercial Metals Company

 
  108,000      

4.125%, 01/15/30

    107,214  
  54,000      

4.375%, 03/15/32

    53,780  
  250,000      

Constellium, SE*^

3.750%, 04/15/29

    236,728  
  200,000      

First Quantum Minerals, Ltd.*^

7.250%, 04/01/23

    201,256  
  125,000      

Freeport-McMoRan, Inc.

5.450%, 03/15/43

    147,169  
  167,000      

HB Fuller Company

4.250%, 10/15/28

    166,193  
  226,000      

Intertape Polymer Group, Inc.*

4.375%, 06/15/29

    224,850  
  215,000      

JW Aluminum Continuous Cast

Company*

10.250%, 06/01/26

    226,272  
   

Kaiser Aluminum Corp.*^

 
  135,000      

4.625%, 03/01/28

    130,468  
  28,000      

4.500%, 06/01/31

    26,431  
  108,000      

LSF11 A5 HoldCo, LLC*

6.625%, 10/15/29

    106,072  
  239,000      

Mercer International, Inc.

5.125%, 02/01/29

    236,961  
  215,000      

OCI, NV*

4.625%, 10/15/25

    220,971  
  112,000      

Owens-Brockway Glass

Container, Inc.*

6.625%, 05/13/27

    117,619  
  200,000      

Silgan Holdings, Inc.

4.125%, 02/01/28

    201,012  
  113,000      

Trinseo Materials Operating SCA /

Trinseo Materials Finance, Inc.*

5.125%, 04/01/29

    114,242  
  201,000      

Univar Solutions USA, Inc.*

5.125%, 12/01/27

    205,247  
  111,000      

Valvoline, Inc.*

3.625%, 06/15/31

    101,968  
     

 

 

 
        3,651,049  
     

 

 

 
    Real Estate (0.2%)  
  174,000      

EPR Properties

3.750%, 08/15/29

    170,396  
   

Forestar Group, Inc.*

 
  187,000      

5.000%, 03/01/28

    189,891  
  110,000      

3.850%, 05/15/26

    108,613  
  166,000      

iStar, Inc.

5.500%, 02/15/26

    169,352  
  193,000      

MIWD Holdco II LLC*

5.500%, 02/01/30

    191,431  
PRINCIPAL
AMOUNT
      

 

    

 

  VALUE  
   

Service Properties Trust

 
  345,000      

4.350%, 10/01/24

  $ 330,037  
  105,000      

5.250%, 02/15/26

    100,901  
     

 

 

 
              1,260,621  
     

 

 

 
    Special Purpose Acquisition Companies (0.1%)

 

   

Fertitta Entertainment Company*

 
  220,000      

6.750%, 01/15/30

    213,813  
  107,000      

4.625%, 01/15/29

    104,305  
     

 

 

 
        318,118  
     

 

 

 
    Utilities (0.1%)  
  53,000      

NRG Energy, Inc.

6.625%, 01/15/27

    54,800  
  79,000      

PPL Capital Funding, Inc.^‡

2.885%, 03/30/67

3 mo. USD LIBOR + 2.67%

    73,303  
  70,000      

Talen Energy Supply, LLC*^

7.250%, 05/15/27

    62,899  
  260,000      

TerraForm Power Operating, LLC*

5.000%, 01/31/28

    264,306  
   

Vistra Corp.*‡

 
  110,000      

8.000%, 02/01/66

5 year CMT + 6.93%

    114,393  
  105,000      

7.000%, 02/01/66

5 year CMT + 5.74

    104,851  
     

 

 

 
        674,552  
     

 

 

 
   

TOTAL CORPORATE BONDS

(Cost $80,570,168)

    80,121,896  
     

 

 

 
     

 

 

 
  CONVERTIBLE BONDS (32.0%)  
    Airlines (0.0%)  
  176,000      

Southwest Airlines Company~

1.250%, 05/01/25

    239,680  
     

 

 

 
    Communication Services (4.2%)  
  200,000    

EUR

 

America Movil, BV

0.000%, 03/02/24

    236,610  
  325,000      

Bharti Airtel, Ltd.*

1.500%, 02/17/25

    439,936  
  223,000      

Bilibili, Inc.*^

0.500%, 12/01/26

    172,738  
  100,000    

EUR

 

Cellnex Telecom, SA

1.500%, 01/16/26

    158,385  
  20,000,000    

JPY

 

CyberAgent, Inc.

0.000%, 02/19/25

    192,237  
   

iQIYI, Inc.

 
  185,000      

2.000%, 04/01/25^

    141,951  
  179,000      

4.000%, 12/15/26

    123,569  
  400,000      

Kakao Corp.

0.000%, 04/28/23

    419,572  
   

Liberty Media Corp.µ

 
  4,210,000      

0.500%, 12/01/50*

    5,662,745  
  145,000      

1.375%, 10/15/23

    200,322  
  153,000      

Liberty Media Corp. / Liberty

Formula Oneµ

1.000%, 01/30/23

    252,340  
   

Live Nation Entertainment, Inc.µ

 
  2,250,000      

2.000%, 02/15/25

    2,828,858  
  1,810,000      

2.500%, 03/15/23

    3,026,917  
   

Sea, Ltd.

 
  3,395,000      

0.250%, 09/15/26

    2,861,985  
  2,307,000      

2.375%, 12/01/25

    4,256,392  
 

 

See accompanying Notes to Schedule of Investments

 

7


Calamos Global Dynamic Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2022 (UNAUDITED)

 

PRINCIPAL
AMOUNT
      

 

    

 

  VALUE  
   

Snap, Inc.

 
  828,000      

0.000%, 05/01/27*^

  $       710,581  
  77,000      

0.750%, 08/01/26µ

    125,371  
   

Twitter, Inc.

 
  407,000      

0.000%, 03/15/26*µ

    363,459  
  290,000      

0.250%, 06/15/24^

    302,467  
  200,000      

Xiaomi Best Time International,

Ltd.

0.000%, 12/17/27

    185,844  
  165,000      

Zynga, Inc.µ

0.250%, 06/01/24

    200,414  
     

 

 

 
        22,862,693  
     

 

 

 
    Consumer Discretionary (12.7%)  
  2,930,000      

Airbnb, Inc.*

0.000%, 03/15/26

    2,785,580  
  2,869,000      

Booking Holdings, Inc.^

0.750%, 05/01/25

    4,283,790  
  100,000    

EUR

 

Delivery Hero, SE

0.250%, 01/23/24

    110,667  
  495,000      

DISH Network Corp.

2.375%, 03/15/24

    475,462  
  410,000      

DraftKings, Inc.*^

0.000%, 03/15/28

    311,912  
  200,000    

CHF

 

Dufry One, BV

0.750%, 03/30/26

    208,471  
  161,000      

Etsy, Inc.

0.125%, 09/01/27

    179,055  
  80,000      

Fiverr International, Ltd.

0.000%, 11/01/25

    68,586  
  200,000    

AUD

 

Flight Centre Travel Group, Ltd.

1.625%, 11/01/28

    124,762  
  18,360,000      

Ford Motor Company*~

0.000%, 03/15/26

    24,922,415  
  200,000    

EUR

 

Global Fashion Group, SA

1.250%, 03/15/28

    169,935  
  100,000    

EUR

 

HelloFresh, SE

0.750%, 05/13/25

    154,315  
  937,000      

Liberty Broadband Corp.*µ

2.750%, 09/30/50

    945,761  
  214,000      

Lucid Group, Inc.*

1.250%, 12/15/26

    177,676  
  296,000      

MakeMyTrip, Ltd.*

0.000%, 02/15/28

    297,536  
  6,265,000      

Marriott Vacations Worldwide

Corp.*µ

0.000%, 01/15/26

    6,984,473  
  3,800,000      

Meituan

0.000%, 04/27/28

    3,513,138  
  40,000,000    

JPY

 

Mercari, Inc.

0.000%, 07/14/28

    340,250  
  447,000      

NCL Corp. Ltd- Class C*µ

1.125%, 02/15/27

    421,561  
  100,000    

GBP

 

Ocado Group, PLC

0.750%, 01/18/27

    120,202  
  144,000      

Peloton Interactive, Inc.*^

0.000%, 02/15/26

    123,886  
  339,000      

Pinduoduo, Inc.

0.000%, 12/01/25

    307,754  
  473,000      

Royal Caribbean Cruises, Ltd.µ

4.250%, 06/15/23

    605,199  
  204,000      

Shake Shack, Inc.*µ

0.000%, 03/01/28

    167,419  
  100,000    

EUR

 

Shop Apotheke Europe, NV

0.000%, 01/21/28

    101,519  
PRINCIPAL
AMOUNT
      

 

    

 

  VALUE  
  162,000      

Stride, Inc.µ

1.125%, 09/01/27

  $       163,272  
  17,000      

Tesla, Inc.µ

2.000%, 05/15/24

    257,953  
  5,710,000      

Trip.com Group, Ltd.

1.500%, 07/01/27

    6,743,396  
  11,690,000      

Vail Resorts, Inc.µ^

0.000%, 01/01/26

    11,719,809  
  314,000      

Vroom, Inc.*µ

0.750%, 07/01/26

    175,127  
  318,000      

Wayfair, Inc.µ

0.625%, 10/01/25

    278,641  
  1,900,000    

GBP

 

WH Smith,

PLC 1.625%, 05/07/26

    2,528,453  
  200,000    

EUR

 

Zalando, SE

0.050%, 08/06/25

    241,926  
     

 

 

 
        70,009,901  
     

 

 

 
    Consumer Staples (0.9%)  
  600,000      

Carrefour, SAµ

0.000%, 03/27/24

    636,990  
  20,000,000    

JPY

 

Nippn Corp.

0.000%, 06/20/25

    176,781  
  4,975,000    

CAD

 

Premium Brands Holdings Corp.
4.200%, 09/30/27

    4,149,193  
  179,000      

Turning Point Brands, Inc.µ

2.500%, 07/15/24

    182,777  
     

 

 

 
        5,145,741  
     

 

 

 
    Energy (1.1%)  
  273,000      

Pioneer Natural Resources

Companyµ

0.250%, 05/15/25

    565,418  
   

SunEdison, Inc.

 
  2,261,000      

0.250%, 01/15/49*

    35,927  
  275,000      

2.000%, 10/01/49

    4,370  
  5,200,000      

TotalEnergies, SEµ

0.500%, 12/02/22

    5,526,872  
     

 

 

 
        6,132,587  
     

 

 

 
    Financials (4.4%)  
   

Citigroup Global Markets Funding

Luxembourg SCA

 
  67,000,000    

HKD

 

0.000%, 05/28/24

    8,863,587  
  35,000,000    

HKD

 

0.000%, 07/25/24

    5,213,382  
  192,000      

Coinbase Global, Inc.*^

0.500%, 06/01/26

    179,929  
  600,000    

EUR

 

Corestate Capital Holding, SA

1.375%, 11/28/22

    601,830  
  100,000    

GBP

 

Cornwall Jersey, Ltd.

0.750%, 04/16/26

    116,125  
  150,000      

GSK Finance No 3, PLC*^

0.000%, 06/22/23

    146,585  
   

JPMorgan Chase Bank NAµ

 
  3,400,000      

0.000%, 08/07/22

    3,899,970  
  730,000      

0.125%, 01/01/23*

    726,474  
  200,000    

EUR

 

LEG Immobilien, SE

0.875%, 09/01/25

    265,878  
  200,000    

EUR

 

Oliver Capital Sarl

0.000%, 12/29/23

    257,852  
  3,770,000      

Realogy Group, LLC / Realogy

Co-Issuer Corp.*µ

0.250%, 06/15/26

    3,631,679  
  20,000,000    

JPY

 

SBI Holdings, Inc.

0.000%, 09/13/23

    182,499  
 

 

See accompanying Notes to Schedule of Investments

 

8


Calamos Global Dynamic Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2022 (UNAUDITED)

 

PRINCIPAL
AMOUNT
      

 

    

 

  VALUE  
  210,000      

Starwood Property Trust, Inc.µ

4.375%, 04/01/23

  $ 220,088  
     

 

 

 
            24,305,878  
     

 

 

 
    Health Care (0.6%)  
  135,000      

Coherus Biosciences, Inc.

1.500%, 04/15/26

    131,572  
  214,000      

CryoPort, Inc.*

0.750%, 12/01/26

    173,601  
  142,000      

Dexcom, Inc.^

0.250%, 11/15/25

    151,425  
  100,000    

EUR

 

GN Store Nord AS

0.000%, 05/21/24

    123,461  
  205,000      

Haemonetics Corp.*^

0.000%, 03/01/26

    170,378  
  206,000      

Halozyme Therapeutics, Inc.*

0.250%, 03/01/27

    176,999  
  73,000      

Innoviva, Inc.µ

2.500%, 08/15/25

    85,685  
  167,000      

Integra LifeSciences Holdings

Corp.

0.500%, 08/15/25

    178,862  
  156,000      

Jazz Investments I, Ltd.µ

2.000%, 06/15/26

    183,175  
  30,000,000    

JPY

 

Menicon Company, Ltd.

0.000%, 01/29/25

    266,303  
  181,000      

NeoGenomics, Inc.µ

0.250%, 01/15/28

    133,907  
  143,000      

Novocure, Ltd.µ

0.000%, 11/01/25

    125,916  
  165,000      

NuVasive, Inc.µ

0.375%, 03/15/25

    157,550  
  376,000      

Oak Street Health, Inc.*µ^

0.000%, 03/15/26

    286,279  
  145,000      

Omnicell, Inc.µ

0.250%, 09/15/25

    233,508  
   

Pacira BioSciences, Inc.µ

 
  135,000      

0.750%, 08/01/25

    153,298  
  26,000      

2.375%, 04/01/22

    27,079  
  171,000      

Tabula Rasa HealthCare, Inc.µ

1.750%, 02/15/26

    136,381  
  155,000      

Tandem Diabetes Care, Inc.*µ

1.500%, 05/01/25

    197,089  
     

 

 

 
        3,092,468  
     

 

 

 
    Industrials (2.0%)  
  250,000      

Air Canada

4.000%, 07/01/25

    351,907  
  500,000,000    

JPY

 

DMG Mori Company, Ltd.

0.000%, 07/16/24

    4,493,483  
  2,700,000    

EUR

 

Duerr, AG

0.750%, 01/15/26

    4,003,643  
  835,000      

JetBlue Airways Corp.*^

0.500%, 04/01/26

    794,528  
  196,000      

John Bean Technologies Corp.*µ

0.250%, 05/15/26

    201,143  
  161,000      

Middleby Corp.µ

1.000%, 09/01/25

    242,775  
  393,000      

Sunrun, Inc.*^

0.000%, 02/01/26

    295,057  
  355,000      

Uber Technologies, Inc.µ

0.000%, 12/15/25

    331,886  
     

 

 

 
        10,714,422  
     

 

 

 
PRINCIPAL
AMOUNT
      

 

    

 

  VALUE  
    Information Technology (3.6%)  
  223,000      

Affirm Holdings, Inc.*

0.000%, 11/15/26

  $ 174,471  
  190,000      

Akamai Technologies, Inc.

0.125%, 05/01/25

    244,579  
   

Bill.com Holdings, Inc.

 
  208,000      

0.000%, 04/01/27*^

    187,849  
  94,000      

0.000%, 12/01/25

    132,081  
  334,000      

Block, Inc.^

0.250%, 11/01/27

    310,380  
  210,000      

Cloudflare, Inc.*

0.000%, 08/15/26

    194,559  
  213,000      

Confluent, Inc.*

0.000%, 01/15/27

    209,255  
  430,000      

Coupa Software, Inc.^

0.375%, 06/15/26

    383,818  
  162,000      

CyberArk Software, Ltd.µ

0.000%, 11/15/24

    180,904  
  146,000      

Datadog, Inc.µ

0.125%, 06/15/25

    249,720  
  447,000      

DigitalOcean Holdings, Inc.*

0.000%, 12/01/26

    361,560  
  207,000      

Dropbox, Inc.*

0.000%, 03/01/28

    203,417  
  504,000    

CAD

 

Dye & Durham, Ltd.*

3.750%, 03/01/26

    370,719  
  411,000      

Fastly, Inc.*

0.000%, 03/15/26

    323,478  
  142,000      

Five9, Inc.

0.500%, 06/01/25

    166,157  
  2,400,000      

Globalwafers Company, Ltd.

0.000%, 06/01/26

          2,511,912  
  175,000      

LivePerson, Inc.µ

0.000%, 12/15/26

    139,073  
  324,000      

Lumentum Holdings, Inc.^

0.500%, 12/15/26

    391,975  
  451,000      

Microchip Technology, Inc.^

0.125%, 11/15/24

    532,974  
  418,000      

MicroStrategy, Inc.*µ

0.000%, 02/15/27

    272,737  
  186,000      

New Relic, Inc.µ^

0.500%, 05/01/23

    218,613  
  200,000    

EUR

 

Nexi S.p.A

1.750%, 04/24/27

    242,930  
  162,000      

Nice, Ltd.^

0.000%, 09/15/25

    178,556  
  241,000      

Okta, Inc.µ

0.125%, 09/01/25

    301,869  
  2,789,000      

ON Semiconductor Corp.*µ

0.000%, 05/01/27

    3,712,996  
   

Palo Alto Networks, Inc.µ

 
  190,000      

0.750%, 07/01/23

    372,451  
  148,000      

0.375%, 06/01/25

    263,332  
  173,000      

Pegasystems, Inc.^

0.750%, 03/01/25

    175,867  
  296,000      

Repay Holdings Corp.*µ

0.000%, 02/01/26

    255,569  
  320,000      

RingCentral, Inc.^

0.000%, 03/15/26

    275,920  
  20,000,000    

JPY

 

SCREEN Holdings Company, Ltd.

0.000%, 06/11/25

    198,811  
   

Shift4 Payments, Inc.*

 
  170,000      

0.500%, 08/01/27^

    144,265  
  139,000      

0.000%, 12/15/25µ

    139,739  
  2,233,000      

Shopify, Inc.^

0.125%, 11/01/25

    2,389,868  
 

 

See accompanying Notes to Schedule of Investments

 

9


Calamos Global Dynamic Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2022 (UNAUDITED)

 

PRINCIPAL
AMOUNT
      

 

    

 

  VALUE  
  145,000      

Silicon Laboratories, Inc.µ

0.625%, 06/15/25

  $ 213,552  
  148,300    

EUR

 

SOITEC

0.000%, 10/01/25

    352,077  
  190,000      

Splunk, Inc.µ

1.125%, 09/15/25

    212,240  
  200,000      

Tyler Technologies, Inc.*µ

0.250%, 03/15/26

    227,640  
  223,000      

Unity Software, Inc.*µ

0.000%, 11/15/26

    187,318  
  196,000      

Vnet Group, Inc.^

02/01/26

    166,963  
  200,000      

Win Semiconductors Corp.

0.000%, 01/14/26

    203,418  
  318,000      

Wix.com, Ltd.

0.000%, 08/15/25

    276,899  
  228,000      

Workday, Inc.µ

0.250%, 10/01/22

    393,979  
  170,000      

Workiva, Inc.µ

1.125%, 08/15/26

    276,626  
  265,000      

Xero Investments, Ltd.

0.000%, 12/02/25

    238,301  
  308,000      

Zendesk, Inc.µ

0.625%, 06/15/25

    355,414  
  145,000      

Zscaler, Inc.µ

0.125%, 07/01/25

    261,889  
     

 

 

 
        19,778,720  
     

 

 

 
    Materials (2.1%)  
  214,000      

Amyris, Inc.*

1.500%, 11/15/26

    162,818  
  2,565,000      

Ivanhoe Mines, Ltd.*µ

2.500%, 04/15/26

    3,501,122  
  3,932,000      

Lithium Americas Corp.*µ

1.750%, 01/15/27

    3,484,696  
  3,220,000      

MP Materials Corp.*µ

0.250%, 04/01/26

    3,769,911  
  400,000    

EUR

 

POSCO

0.000%, 09/01/26

    453,685  
     

 

 

 
        11,372,232  
     

 

 

 
    Real Estate (0.4%)  
  200,000    

EUR

 

ANLLIAN Capital, Ltd.

0.000%, 02/05/25

    282,964  
  310,000      

ESR Cayman, Ltd.

1.500%, 09/30/25

    319,579  
  330,000      

Redfin Corp.µ

0.000%, 10/15/25

    267,425  
  20,000,000    

JPY

 

Relo Group, Inc.

0.000%, 12/17/27

    171,255  
  1,400,000      

Vingroup, JSC

3.000%, 04/20/26

    1,399,510  
     

 

 

 
        2,440,733  
     

 

 

 
   

TOTAL CONVERTIBLE BONDS

(Cost $173,491,364)

    176,095,055  
     

 

 

 
     

 

 

 
  U.S. GOVERNMENT AND AGENCY SECURITY (0.1%)  
  342,000      

U.S. Treasury Note^

1.750%, 07/15/22

(Cost $344,501)

    344,051  
     

 

 

 
     

 

 

 
PRINCIPAL
AMOUNT
      

 

    

 

  VALUE  
  BANK LOANS (1.8%) ¡  
    Airlines (0.1%)  
  190,000      

AAdvantage Loyalty IP, Ltd.‡

5.500%, 04/20/28

3 mo. LIBOR + 4.75%

  $ 197,495  
  282,863      

United Airlines, Inc.‡

4.500%, 04/21/28

3 mo. LIBOR + 3.75%

    283,647  
     

 

 

 
        481,142  
     

 

 

 
    Communication Services (0.4%)  
  342,125      

Clear Channel Outdoor Holdings,

Inc.‡

3.799%, 08/21/26

3 mo. LIBOR + 3.50%

    337,913  
  516,050      

DIRECTV Financing, LLC‡

5.750%, 08/02/27

3 mo. LIBOR + 5.00%

    517,423  
  284,810      

Frontier Communications Corp.‡

4.500%, 05/01/28

3 mo. LIBOR + 3.75%

    284,810  
  235,081      

iHeartCommunications, Inc.‡

3.105%, 05/01/26

1 mo. LIBOR + 3.00%

    234,199  
  631,800      

Intelsat Jackson Holdings, SA

8.625%, 01/02/24

    631,999  
  110,000      

Intelsat Jackson Holdings, SA!

0.000%, 01/02/24

    110,035  
  1,419      

Intelsat Jackson Holdings, SA‡

8.750%, 01/02/24

3 mo. PRIME + 5.50%

    1,419  
  125,000      

Nexstar Broadcasting, Inc.‡

2.602%, 09/18/26

1 mo. LIBOR + 2.50%

    124,766  
     

 

 

 
        2,242,564  
     

 

 

 
    Consumer Discretionary (0.3%)  
  72,430      

Life Time Fitness, Inc.‡

5.750%, 12/16/24

3 mo. LIBOR + 4.75%

    73,245  
  392,038      

Petco Health and Wellness

Company, Inc.‡

4.000%, 03/03/28

3 mo. LIBOR + 3.25%

    392,192  
  388,326      

PetSmart, Inc.‡

4.500%, 02/11/28

6 mo. LIBOR + 3.75%

    388,266  
  251,413      

Rent-A-Center, Inc.‡

3.750%, 02/17/28

1 mo. LIBOR + 3.25%

    251,413  
  166,024      

TKC Holdings, Inc.‡

6.500%, 05/15/28

3 mo. LIBOR + 5.50%

    166,440  
  89,207      

TKC Holdings, Inc.!

0.000%, 05/15/28

    89,430  
  363,825      

WW International, Inc.‡

4.000%, 04/13/28

1 mo. LIBOR + 3.500%

    352,819  
     

 

 

 
        1,713,805  
     

 

 

 
    Consumer Staples (0.0%)  
  83,387      

United Natural Foods, Inc.‡

3.355%, 10/22/25

1 mo. LIBOR + 3.25%

    83,504  
     

 

 

 
 

 

See accompanying Notes to Schedule of Investments

 

10


Calamos Global Dynamic Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2022 (UNAUDITED)

 

PRINCIPAL
AMOUNT
      

 

    

 

  VALUE  
    Financials (0.1%)  
  298,500      

Jazz Financing Lux Sarl‡

3.605%, 05/05/28

1 mo. LIBOR + 3.50%

  $ 298,986  
     

 

 

 
    Health Care (0.3%)  
  695,698      

Amneal Pharmaceuticals, LLC‡

3.625%, 05/04/25

1 mo. LIBOR + 3.50%

    690,623  
  166,972      

Icon Luxembourg Sarl‡

2.750%, 07/03/28

3 mo. LIBOR + 2.25%

    166,826  
  41,601      

Icon Luxembourg Sarl‡

2.750%, 07/03/28

3 mo. LIBOR + 2.25%

    41,565  
  300,603      

Mallinckrodt International Finance,

SA‡

6.000%, 09/24/24

3 mo. LIBOR + 5.25%

    282,067  
  235,294      

Padagis, LLC‡

5.250%, 07/06/28

3 mo. LIBOR + 4.75%

    235,221  
  600,179      

Team Health Holdings, Inc.‡

3.750%, 02/06/24

1 mo. LIBOR + 2.75%

    581,123  
     

 

 

 
        1,997,425  
     

 

 

 
    Industrials (0.3%)  
  109,450      

ACProducts, Inc.‡

4.750%, 05/17/28

6 mo. LIBOR + 4.25%

    109,030  
  140,000      

Air Canada‡

4.250%, 08/11/28

3 mo. LIBOR + 3.50%

    140,670  
  216,711      

BW Gas & Convenience Holdings,

LLC‡

4.000%, 03/31/28

1 mo. LIBOR + 3.50%

    216,982  
  280,034      

Dun & Bradstreet Corp.‡

3.358%, 02/06/26

1 mo. LIBOR + 3.25%

    279,285  
  229,794      

Granite Holdings US Acquisition

Company‡

4.224%, 09/30/26

3 mo. LIBOR + 4.00%

    229,794  
  189,807      

RegionalCare Hospital Partners

Holdings, Inc.‡

3.855%, 11/16/25

1 mo. LIBOR + 3.75%

    189,596  
  421,247      

Scientific Games International,

Inc.‡

2.855%, 08/14/24

1 mo. LIBOR + 2.75%

    420,484  
  68,080      

TransDigm, Inc.‡

2.355%, 12/09/25

1 mo. LIBOR + 2.25%

    67,471  
     

 

 

 
        1,653,312  
     

 

 

 
    Information Technology (0.2%)  
  310,000      

AP Core Holdings II, LLC‡

6.250%, 09/01/27

1 mo. LIBOR + 5.50%

    313,198  
  302,379      

Banff Merger Sub, Inc.‡

3.974%, 10/02/25

3 mo. LIBOR + 3.75%

    301,724  
PRINCIPAL
AMOUNT
      

 

    

 

  VALUE  
  328,300      

Camelot U.S. Acquisition 1

Company‡

3.105%, 10/30/26

1 mo. LIBOR + 3.00%

  $ 327,684  
  153,450      

Camelot U.S. Acquisition 1

Company‡

4.000%, 10/30/26

1 mo. LIBOR + 3.00%

    153,402  
  295,000      

VFH Parent LLC‡

3.500%, 01/13/29

3 mo. SOFR + 3.00%

    295,000  
     

 

 

 
        1,391,008  
     

 

 

 
    Materials (0.1%)  
  196,500      

Innophos, Inc.‡

3.855%, 02/05/27

1 mo. LIBOR + 3.75%

    196,459  
  110,000      

LSF11 A5 HoldCo, LLC‡

4.250%, 10/15/28

3 mo. SOFR + 3.75%

    110,206  
     

 

 

 
        306,665  
     

 

 

 
    Special Purpose Acquisition Company (0.0%)

 

  55,000      

Fertitta Entertainment, LLC!

0.000%, 01/27/29

    55,241  
     

 

 

 
    TOTAL BANK LOANS
(Cost $10,258,204)
    10,223,652  
     

 

 

 
     

 

 

 
NUMBER OF
SHARES
      

 

    

 

  VALUE  
  CONVERTIBLE PREFERRED STOCKS (5.5%)  
    Communication Services (0.0%)  
  155      

2020 Cash Mandatory

Exchangeable Trust*

5.250%, 06/01/23

    154,604  
     

 

 

 
    Consumer Discretionary (1.4%)  
  47,515      

Aptiv, PLC

5.500%, 06/15/23

    7,401,887  
     

 

 

 
    Energy (0.0%)  
  5      

Gulfport Energy Operating Corp.

10.000%, 03/03/22

15.000% PIK rate

    22,750  
     

 

 

 
    Financials (0.9%)  
  417      

Bank of America Corp.‡ ‡‡

7.250%

    587,136  
  44,418      

KKR & Company, Inc.µ^

6.000%, 09/15/23

    3,942,542  
  413      

Wells Fargo & Companyµ‡‡

7.500%

    588,157  
     

 

 

 
        5,117,835  
     

 

 

 
    Health Care (0.8%)  
  2,030      

Avantor, Inc.

6.250%, 05/15/22

    231,826  
  2,193      

Danaher Corp.µ

4.750%, 04/15/22

    4,180,406  
     

 

 

 
        4,412,232  
     

 

 

 
 

 

See accompanying Notes to Schedule of Investments

 

11


Calamos Global Dynamic Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2022 (UNAUDITED)

 

NUMBER OF
SHARES
      

 

    

 

  VALUE  
    Information Technology (1.0%)  
  2,971      

Broadcom, Inc.~

8.000%, 09/30/22

  $ 5,441,743  
     

 

 

 
    Utilities (1.4%)  
  27,395      

AES Corp.^

6.875%, 02/15/24

    2,494,315  
  3,391      

American Electric Power Company, Inc.

6.125%, 03/15/22

    171,754  
  11,850      

DTE Energy Company

6.250%, 11/01/22

    602,572  
   

NextEra Energy, Inc.µ

 
  69,293      

4.872%, 09/01/22

    4,030,081  
  4,936      

6.219%, 09/01/23

    253,661  
     

 

 

 
        7,552,383  
     

 

 

 
   

TOTAL CONVERTIBLE

PREFERRED STOCKS

(Cost $31,322,957)

    30,103,434  
     

 

 

 
     

 

 

 
  COMMON STOCKS (87.3%)  
    Communication Services (8.0%)  
  5,600      

Alphabet, Inc. - Class A^#

    15,153,992  
  4,575      

Altice USA, Inc. - Class Aµ#

    65,971  
  86,500      

America Movil, SAB de CV - Class

L^

    1,631,390  
  2,005    

EUR

 

CTS Eventim, AG & Company

KGaA#

    142,530  
  2,082      

Cumulus Media, Inc. - Class A#

    21,341  
  1      

Frontier Communications Parent,

Inc.#

    27  
  12,900    

PHP

 

Globe Telecom, Inc.

    786,851  
  17,000      

Meta Platforms, Inc. - Class A#

    5,325,420  
  118,100    

ZAR

 

MTN Group, Ltd.#

    1,485,216  
  2,900    

KRW

 

NAVER Corp.

    766,008  
  96,000    

EUR

 

Orange, SA

    1,127,755  
  11,155    

GBP

 

Rightmove, PLC

    98,314  
  132,070      

Tencent Holdings, Ltd.^

    8,259,658  
  48,700    

HKD

 

Tencent Holdings, Ltd.

    3,051,653  
  1,176,545    

GBP

 

Vodafone Group, PLC

    2,065,854  
  26,395      

Walt Disney Company~#

    3,773,693  
  8,815    

GBP

 

YouGov, PLC

    137,521  
     

 

 

 
        43,893,194  
     

 

 

 
     
    Consumer Discretionary (8.2%)  
  117,200    

HKD

 

Alibaba Group Holding, Ltd.#

    1,836,941  
  9,375      

Alibaba Group Holding, Ltd.#

    1,179,281  
  542,770    

MXN

 

Alsea, SAB de CV#

    1,114,063  
  4,465      

Amazon.com, Inc.^#

    13,356,914  
  53,100      

Arcos Dorados Holdings, Inc. -

Class A#

    343,026  
  2,200    

CAD

 

Aritzia, Inc.#

    102,060  
  5,720    

EUR

 

Brembo S.p.A^

    76,048  
  21,000    

CNY

 

BYD Company, Ltd. - Class A

    783,811  
  1,910    

EUR

 

CIE Automotive, SA^

    55,480  
  35,100    

CHF

 

Cie Financiere Richemont, SA

    5,101,216  
  174,100    

GBP

 

Compass Group, PLC

    3,956,879  
  10,220    

INR

 

Dixon Technologies India, Ltd.

    609,803  
  5,885    

AUD

 

IDP Education, Ltd.^

    123,010  
  348,600    

INR

 

Indian Hotels Company, Ltd.

    1,018,102  
  46,869    

HKD

 

JD.com, Inc. - Class A#

    1,776,400  
  140,000    

HKD

 

Li Ning Company, Ltd.

    1,366,120  
  53,700    

BRL

 

Lojas Renner, SA

    284,372  
NUMBER OF
SHARES
      

 

    

 

  VALUE  
  11,500      

Lululemon Athletica, Inc.#

  $ 3,838,240  
  760      

MercadoLibre, Inc.#

    860,366  
  1,170    

SEK

 

MIPS, AB

    116,326  
  3,800    

JPY

 

Nextage Company, Ltd.

    95,426  
  9,000    

EUR

 

Porsche Automobil Holding, SE

    842,840  
  481,500    

HKD

 

Samsonite International, SA*#

    1,006,351  
  4,430      

Tesla, Inc.#

    4,149,670  
  2,295    

SEK

 

Thule Group, AB*

    110,772  
  27,000    

INR

 

Titan Company, Ltd.

    859,029  
  3,890    

JPY

 

Toyota Boshoku Corp.

    68,952  
  8,470    

GBP

 

Watches of Switzerland Group,

PLC*#

    147,560  
     

 

 

 
        45,179,058  
     

 

 

 
    Consumer Staples (5.0%)  
  117,775      

Coca-Cola Company^

    7,185,453  
  12,900      

Costco Wholesale Corp.

    6,516,177  
  1,690    

EUR

 

Interparfums, SA

    128,411  
  184,300    

BRL

 

JBS, SA

    1,217,884  
  3,000    

JPY

 

Kobe Bussan Company, Ltd.

    93,388  
  1,700    

CNY

 

Kweichow Moutai Company, Ltd. -

Class A

    508,220  
  32,500    

HKD

 

L’Occitane International, SA

    128,170  
  81,100      

Mondelez International, Inc. -

Class A

    5,436,133  
  20,500    

CHF

 

Nestle, SA

    2,647,335  
  1,400    

DKK

 

Royal Unibrew, A/S

    160,951  
  116,250    

INR

 

Varun Beverages, Ltd.

    1,416,654  
  607,400    

MXN

 

Wal-Mart de Mexico, SAB de CV

    2,060,296  
     

 

 

 
        27,499,072  
     

 

 

 
    Energy (5.6%)  
  14,250    

CAD

 

ARC Resources, Ltd.^

    166,922  
  11,178      

Calfrac Well Services, Ltd.#

    47,898  
  111,900    

CAD

 

Canadian Natural Resources,

Ltd.^

    5,692,054  
  62,470    

CAD

 

CES Energy Solutions Corp.

    119,913  
  2,577      

Chaparral Energy, Inc. - Class

A&#

    121,119  
  650      

Chesapeake Energy Corp.^

    44,311  
  29,965      

Chevron Corp.~

    3,935,303  
  438      

Denbury, Inc.^#

    32,911  
  23,500      

Devon Energy Corp.~

    1,188,395  
  5,899      

Diamond Offshore Drilling, Inc.&#

    32,739  
  14,985      

Energy Transfer, LP

    143,406  
  9,035      

Enterprise Products Partners, LP

    213,587  
  1,826      

EP Energy Corp.&#

    163,199  
  59,900      

Exxon Mobil Corp.~

    4,550,004  
  106      

Gulfport Energy Corp.#

    6,960  
  2,930      

Magellan Midstream Partners, LP

    143,189  
  405,300    

INR

 

Oil & Natural Gas Corp, Ltd.

    947,162  
  2,278      

Ranger Oil Corp. - Class A^#

    70,641  
  58,300    

INR

 

Reliance Industries, Ltd.

    1,876,836  
  36,600    

ZAR

 

Sasol, Ltd.#

    823,954  
  241,614      

Schlumberger, NV~

    9,439,859  
  4,189      

Superior Energy Services, Inc.*&#

    182,221  
  483,500    

IDR

 

United Tractors, Tbk PT

    781,742  
  3,102      

Weatherford International, PLC#

    93,060  
  14,900    

CAD

 

Whitecap Resources, Inc.^

    105,143  
  2,500      

Williams Companies, Inc.^

    74,850  
     

 

 

 
        30,997,378  
     

 

 

 
    Financials (16.4%)  
  354,800    

HKD

 

AIA Group, Ltd.

    3,704,045  
  195,100      

Banco Bradesco, SA

    836,979  
  2,872,250    

IDR

 

Bank Central Asia, Tbk PT

    1,527,741  
 

 

See accompanying Notes to Schedule of Investments

 

12


Calamos Global Dynamic Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2022 (UNAUDITED)

 

NUMBER OF

SHARES

      

 

    

 

  VALUE  
  223,200      

Bank of America Corp.^~

  $ 10,298,448  
  20,650    

EUR

 

Bank of Ireland Group, PLC#

    139,178  
  4,310    

CAD

 

Canadian Western Bank^

    130,980  
  625,000    

TWD

 

Cathay Financial Holding

Company, Ltd.

    1,449,717  
  112,015    

TWD

 

Chailease Holding Company, Ltd.

    1,027,439  
  195,600    

HKD

 

China International Capital Corp.,

Ltd. - Class H*

    532,818  
  140,500    

HKD

 

China Merchants Bank Company,

Ltd. - Class H

    1,174,316  
  9,900    

EUR

 

Coface, SA#

    130,976  
  32,100    

SGD

 

DBS Group Holdings, Ltd.

    843,167  
  6,200    

EUR

 

FinecoBank Banca Fineco S.p.A

    104,236  
  152,600    

AED

 

First Abu Dhabi Bank, PJSC

    830,917  
  256,900    

ZAR

 

FirstRand, Ltd.

    1,035,590  
  130,800    

MXN

 

Grupo Financiero Banorte, SAB

de CV - Class O

    827,360  
  38,560    

KRW

 

Hana Financial Group, Inc.

    1,452,878  
  547,650    

INR

 

HDFC Bank, Ltd.

    11,005,313  
  9,100    

HKD

 

Hong Kong Exchanges &

Clearing, Ltd.

    519,389  
  33,150    

INR

 

Housing Development Finance

Corp., Ltd.

    1,129,756  
  156,900      

Huntington Bancshares, Inc.^

    2,362,914  
  116,930      

ICICI Bank, Ltd.^

    2,540,889  
  567,300    

EUR

 

ING Groep, NV

    8,389,857  
  411,125      

Itau Unibanco Holding, SA

    1,940,510  
  68,550      

JPMorgan Chase & Company^~

    10,186,530  
  309,000    

THB

 

Kasikornbank PCL

    1,411,094  
  71,835      

Morgan Stanley

    7,365,961  
  2,205    

EUR

 

NN Group, NV

    123,397  
  21,140    

GBP

 

Paragon Banking Group, PLC

    162,828  
  137,000    

HKD

 

Ping An Insurance Group

Company of China, Ltd. - Class H

    1,087,207  
  304,570      

UBS Group, AG^#

    5,686,322  
  182,625      

Wells Fargo & Company~

    9,825,225  
     

 

 

 
        89,783,977  
     

 

 

 
    Health Care (6.7%)  
  4,170    

GBP

 

Abcam, PLC#

    75,113  
  200,606      

Alcon, Inc.^

    15,402,529  
  1,420    

GBP

 

Dechra Pharmaceuticals, PLC

    79,760  
  21,760      

Eli Lilly & Company

    5,339,686  
  7,360    

GBP

 

Ergomed, PLC#

    112,465  
  2,710    

EUR

 

Evotec, SE#

    109,659  
  845      

Galapagos, NV#

    57,038  
  4,000    

CHF

 

Lonza Group, AG#

    2,757,767  
  20,900    

BRL

 

Notre Dame Intermedica

Participacoes, SA

    280,236  
  81,600      

Novo Nordisk, A/S

    8,149,392  
  7,700      

UnitedHealth Group, Inc.^

    3,638,789  
  75,000    

HKD

 

Wuxi Biologics Cayman, Inc.*#

    751,707  
     

 

 

 
        36,754,141  
     

 

 

 
    Industrials (7.6%)  
  2,520    

EUR

 

Aalberts, NV

    154,048  
  51,500    

EUR

 

Airbus, SE#

    6,576,201  
  37,029    

EUR

 

Alstom, SA

    1,200,470  
  200    

JPY

 

BayCurrent Consulting, Inc.

    75,904  
  18,600    

CNY

 

Contemporary Amperex

Technology Company, Ltd. -

Class A

    1,796,522  
  990    

EUR

 

DO & CO, AG#

    102,049  
  3,270    

EUR

 

Duerr, AG

    144,715  
  1,550    

JPY

 

Ebara Corp.

    75,968  
  5,170    

GBP

 

Electrocomponents, PLC

    78,278  
NUMBER OF
SHARES
      

 

    

 

  VALUE  
  15,330    

NZD

 

Freightways, Ltd.

  $ 122,070  
  30,312      

General Electric Company

    2,863,878  
  580    

EUR

 

IMCD, NV

    99,771  
  243,700    

PHP

 

International Container Terminal

Services, Inc.

    958,639  
  2,085    

EUR

 

Interpump Group S.p.A

    128,756  
  29    

CHF

 

Interroll Holding, AG

    122,746  
  31,500    

INR

 

Larsen & Toubro, Ltd.

    812,971  
  25,400    

BRL

 

Localiza Rent a Car, SA

    280,304  
  212,700    

CNY

 

NARI Technology Company, Ltd. -

Class A

    1,189,928  
  53,400      

Quanta Services, Inc.

    5,485,248  
  2,550    

EUR

 

Rexel, SA#

    56,838  
  147,600    

SEK

 

Sandvik, AB

    3,886,975  
  48,500    

EUR

 

Schneider Electric, SE

    8,215,673  
  3,200    

JPY

 

SMS Company, Ltd.

    87,976  
  2,780    

CAD

 

Stantec, Inc.

    147,469  
  4,600    

JPY

 

THK Company, Ltd.

    114,939  
  79,395    

INR

 

Voltas, Ltd.

    1,263,362  
  19,265    

GBP

 

Volution Group, PLC

    130,533  
  36,500      

Waste Management, Inc.

    5,491,060  
     

 

 

 
        41,663,291  
     

 

 

 
    Information Technology (22.5%)  
  18,300      

Accenture, PLC - Class Aµ

    6,470,514  
  1,295    

EUR

 

Adyen, NV*#

    2,635,192  
  470    

EUR

 

Alten, SA

    76,660  
  86,400      

Apple, Inc.^

    15,100,992  
  24,380      

ASML Holding, NVµ

    16,510,136  
  1,485    

EUR

 

BE Semiconductor Industries, NV

    124,515  
  60,000    

JPY

 

Canon, Inc.

    1,419,044  
  810      

Endava, PLC^#

    98,512  
  62,400    

CNY

 

GoerTek, Inc. - Class A

    470,592  
  89,751      

Infosys, Ltd.

    2,115,431  
  1,550    

EUR

 

Jenoptik, AG

    56,728  
  14,900    

JPY

 

Keyence Corp.

    7,642,544  
  2,810    

GBP

 

Keywords Studios, PLC

    95,235  
  2,325    

EUR

 

Lectra

    99,820  
  130,000    

TWD

 

Marketech International Corp.

    782,889  
  45,000    

TWD

 

MediaTek, Inc.

    1,787,364  
  60,450      

Microsoft Corp.~

    18,798,741  
  580,000    

EUR

 

Nokia Oyj#

    3,458,902  
  35,140      

NVIDIA Corp.~

    8,604,380  
  7,750    

GBP

 

Sage Group, PLC

    75,733  
  16,780    

KRW

 

Samsung Electronics Company,

Ltd.

    1,043,700  
  1,500    

JPY

 

SCREEN Holdings Company, Ltd.

    150,534  
  6,000      

TWD Silergy Corp.

    810,987  
  13,040    

KRW

 

SK Hynix, Inc.

    1,349,741  
  1,318,000    

TWD

 

Taiwan Semiconductor

Manufacturing Company, Ltd.

    30,474,778  
  22,825      

Taiwan Semiconductor

Manufacturing Company, Ltd.

(ADR)

    2,799,030  
  3,500    

JPY

 

TIS, Inc.

    92,052  
  100,300    

BRL

 

TOTVS, SA

    549,090  
  2,175    

AUD

 

WiseTech Global, Ltd.

    70,838  
  915      

WNS Holdings, Ltd.#

    77,006  
     

 

 

 
        123,841,680  
     

 

 

 
    Materials (5.7%)  
  4,250    

EUR

 

Acerinox, SA

    54,159  
  101,000    

HKD

 

Anhui Conch Cement Company,

Ltd. - Class H

    534,242  
  23,600    

INR

 

Asian Paints, Ltd.

    1,002,533  
  619,300      

Cemex, SAB de CV#

    3,790,116  
 

 

See accompanying Notes to Schedule of Investments

 

13


Calamos Global Dynamic Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2022 (UNAUDITED)

 

NUMBER OF
SHARES
      

 

    

 

  VALUE  
  111,000    

EUR

 

CRH, PLC

  $ 5,571,133  
  90,100    

CAD

 

First Quantum Minerals, Ltd.

    2,219,275  
  217,600      

Freeport-McMoRan, Inc. - Class

H

    8,099,072  
  15,180    

AUD

 

IGO, Ltd.

    128,438  
  2,225    

AUD

 

James Hardie Industries, PLC

    74,883  
  1,220    

JPY

 

Kureha Corp.

    91,080  
  649,500    

NOK

 

Norsk Hydro, ASA

    4,991,608  
  8,270    

AUD

 

OZ Minerals, Ltd.

    143,461  
  10,830    

AUD

 

Rio Tinto, Ltd.

    861,046  
  53,000    

GBP

 

Rio Tinto, PLC

    3,735,722  
     

 

 

 
        31,296,768  
     

 

 

 
    Real Estate (0.4%)  
  1,270,100    

PHP

 

Ayala Land, Inc.

    896,813  
  123,300    

INR

 

DLF, Ltd.

    654,617  
  24,750    

INR

 

Godrej Properties, Ltd.#

    573,170  
  4,600    

JPY

 

Katitas Company, Ltd.

    140,305  
  449    

EUR

 

VGP, NV

    127,231  
     

 

 

 
        2,392,136  
     

 

 

 
    Special Purpose Acquisition Companies (0.8%)

 

  93,075    

EUR

 

Shell, PLC

    2,375,128  
  82,300    

GBP

 

Shell, PLC

    2,114,181  
     

 

 

 
        4,489,309  
     

 

 

 
    Utilities (0.4%)  
  45,801    

EUR

 

Engie, SA

    697,217  
  29,000    

EUR

 

RWE, AG

    1,223,286  
     

 

 

 
        1,920,503  
     

 

 

 
   

TOTAL COMMON STOCKS

(Cost $532,229,868)

    479,710,507  
     

 

 

 
     

 

 

 
  PREFERRED STOCKS (0.2%)  
    Consumer Discretionary (0.1%)

 

  1,597      

Guitar Center, Inc.

    198,827  
     

 

 

 
    Energy (0.1%)  
  11,245      

NuStar Energy, LP‡

7.625%, 06/15/22

3 mo. USD LIBOR + 5.64%

    247,165  
  4,725      

NuStar Energy, LP‡

6.969%, 03/02/22

3 mo. USD LIBOR + 6.77%

    116,282  
  11,500      

NuStar Logistics, LP‡

6.975%, 01/15/43

3 mo. USD LIBOR + 6.73%

    289,915  
     

 

 

 
        653,362  
     

 

 

 
    Financials (0.0%)  
  4,368      

B Riley Financial, Inc.µ

5.250%, 08/31/28

    108,239  
     

 

 

 
   

TOTAL PREFERRED STOCKS

(Cost $998,052)

    960,428  
     

 

 

 
     

 

 

 
  WARRANTS (0.0%) #  
    Energy (0.0%)  
  884      

Chesapeake Energy Corp. 02/09/26, Strike $31.49

    34,741  
  796      

Chesapeake Energy Corp.

02/09/26, Strike $27.08

    33,759  
NUMBER OF
SHARES
      

 

    

 

  VALUE  
  491      

Chesapeake Energy Corp.

02/09/26, Strike $35.46

  $ 17,298  
  1,446      

Denbury, Inc.

09/18/25, Strike $32.59

    62,207  
  534      

Denbury, Inc.

09/18/23, Strike $35.41

    21,891  
  13,401      

Mcdermott International, Ltd.&

06/30/27, Strike $15.98

    1  
  12,061      

Mcdermott International, Ltd.&

06/30/27, Strike $12.33

    1  
     

 

 

 
   

TOTAL WARRANTS

(Cost $284,653)

    169,898  
     

 

 

 
     

 

 

 
NUMBER OF
CONTRACTS/
NOTIONAL
AMOUNT
      

 

    

 

  VALUE  
  PURCHASED OPTIONS (2.7%) #  
   

Communication Services (0.0%)

 

  75      

Netflix, Inc.

 
  3,203,550      

Call, 03/18/22, Strike $640.00

    2,362  
     

 

 

 
   

Consumer Discretionary (0.1%)

 

  240      

Lowe’s Companies, Inc.

 
  5,696,400      

Call, 03/18/22, Strike $230.00

    373,800  
  1,187      

Melco Resorts & Entertainment,

 
  1,253,472      

Ltd.

 
   

Call, 01/20/23, Strike $13.00

    201,790  
  465      

Trip.com Group, Ltd.

 
  1,237,365      

Call, 01/20/23, Strike $30.00

    181,350  
     

 

 

 
        756,940  
     

 

 

 
   

Energy (0.4%)

 
  560      

Pioneer Natural Resources

 
  12,257,840      

Company

 
   

Call, 01/20/23, Strike $200.00

    2,010,400  
  20    

EUR

 

TotalEnergies, SE

 
  101,237      

Call, 12/16/22, Strike 45.00

    16,178  
     

 

 

 
        2,026,578  
     

 

 

 
   

Industrials (0.0%)

 
  48    

EUR

 

Schneider Electric, SE

 
  723,750      

Call, 06/17/22, Strike 170.00

    14,587  
     

 

 

 
   

Information Technology (0.0%)

 

  410      

Micron Technology, Inc.

 
  3,373,070      

Call, 07/15/22, Strike $90.00

    259,325  
     

 

 

 
   

Materials (0.0%)

 
  690      

Vale, SA

 
  1,047,420      

Call, 03/18/22, Strike $16.00

    35,190  
     

 

 

 
   

Other (2.2%)

 
   

Invesco QQQ Trust Series

 
  1,190        
  43,202,950      

Put, 12/16/22, Strike $340.00

    3,055,325  
  1,075        
  39,027,875      

Put, 02/18/22, Strike $385.00

    2,553,662  
  790        
  28,680,950      

Call, 12/16/22, Strike $450.00

    372,880  
   

iShares MSCI Emerging Markets

 
  9,000        
  43,956,000      

Put, 11/18/22, Strike $47.00

    3,262,500  
 

 

See accompanying Notes to Schedule of Investments

 

14


Calamos Global Dynamic Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2022 (UNAUDITED)

 

NUMBER OF
CONTRACTS/
NOTIONAL
AMOUNT
    

 

   VALUE  
2,329     
11,374,836  

Put, 03/18/22, Strike $48.00

   $ 312,086  

1,211

 

iShares MSCI India ETF

  
5,554,857  

Put, 03/18/22, Strike $45.00

     136,238  
 

SPDR S&P 500 ETF Trust

  
675     
30,368,925  

Put, 12/16/22, Strike $400.00

     1,419,862  
675     
30,368,925  

Call, 12/16/22, Strike $535.00

     224,438  
3,469  

VanEck Russia ETF

  
8,315,193  

Call, 04/14/22, Strike $26.00

     468,315  
       

 

 

 
       11,805,306  
       

 

 

 
    

TOTAL PURCHASED OPTIONS

(Cost $14,685,393)

     14,900,288  
       

 

 

 
       

 

 

 

      TOTAL INVESTMENTS (144.2%)

      (Cost $844,185,160)

     792,629,209  
       

 

 

 
       

 

 

 
MANDATORY REDEEMABLE PREFERRED SHARES, AT LIQUIDATION VALUE (-12.7%)      (70,000,000
       

 

 

 
LIABILITIES, LESS OTHER ASSETS (-31.5%)      (173,252,208
       

 

 

 
NET ASSETS (100.0%)    $ 549,377,001  
       

 

 

 
       

 

 

 

NOTES TO SCHEDULE OF INVESTMENTS

*   Securities issued and sold pursuant to a Rule 144A transaction are exempted from the registration requirement of the Securities Act of 1933, as amended. These securities may only be sold to qualified institutional buyers (“QIBs”), such as the Fund. Any resale of these securities must generally be effected through a sale that is registered under the Act or otherwise exempted from such registration requirements.
µ   Security, or portion of security, is held in a segregated account as collateral for note payable aggregating a total value of $90,949,308.
^   Security, or portion of security, is on loan.
@   In default status and considered non-income producing.
&   Illiquid security.
  Variable rate security. The rate shown is the rate in effect at January 31, 2022.
~   Security, or portion of security, is segregated as collateral (or collateral for potential future transactions) for written options. The aggregate value of such securities is $52,470,714.
¡   Bank loans generally are subject to mandatory and/or optional prepayment. As a result, the actual remaining maturity of bank loans may be substantially less than the stated maturities shown.
!   This position represents an unsettled loan commitment at period end. Certain details associated with this purchase are not known prior to the settlement date, including coupon rate, which will be adjusted on settlement date.
‡‡   Perpetual maturity.
#   Non-income producing security.

FOREIGN CURRENCY ABBREVIATIONS

AED    UAE Dirham
AUD    Australian Dollar
BRL    Brazilian Real
CAD    Canadian Dollar
CHF    Swiss Franc
CNY    Chinese Yuan Renminbi
DKK    Danish Krone
EUR    European Monetary Unit
GBP    British Pound Sterling
HKD    Hong Kong Dollar
IDR    Indonesian Rupiah
INR    Indian Rupee
JPY    Japanese Yen
KRW    South Korean Won
MXN    Mexican Peso
NOK    Norwegian Krone
NZD    New Zealand Dollar
PHP    Philippine Peso
SEK    Swedish Krona
SGD    Singapore Dollar
THB    Thai Baht
TWD    New Taiwan Dollar
ZAR    South African Rand

Note: Value for securities denominated in foreign currencies is shown in U.S. dollars. The principal amount for such securities is shown in the respective foreign currency. The date on options represents the expiration date of the option contract. The option contract may be exercised at any date on or before the date shown.

 

 

See accompanying Notes to Schedule of Investments

 

15


Calamos Global Dynamic Income Fund

 

SCHEDULE OF INVESTMENTS JANUARY 31, 2022 (UNAUDITED)

 

CURRENCY EXPOSURE JANUARY 31, 2022

     Value  

% of Total

            Investments

US Dollar

    $ 554,929,479   70.0%

European Monetary Unit

      52,337,301   6.6%

New Taiwan Dollar

      36,333,174   4.6%

Hong Kong Dollar

      31,546,328   4.0%

Indian Rupee

      23,169,308   2.9%

Japanese Yen

      16,169,731   2.1%

British Pound Sterling

      15,830,756   2.0%

Canadian Dollar

      13,203,728   1.7%

Swiss Franc

      10,837,535   1.4%

Norwegian Krone

      4,991,608   0.6%

Chinese Yuan Renminbi

      4,749,073   0.6%

South Korean Won

      4,612,327   0.6%

Swedish Krona

      4,114,073   0.5%

Mexican Peso

      4,001,719   0.5%

South African Rand

      3,344,760   0.4%

Philippine Peso

      2,642,303   0.3%

Brazilian Real

      2,611,886   0.3%

Indonesian Rupiah

      2,309,483   0.3%

Australian Dollar

      1,526,438   0.2%

Thai Baht

      1,411,094   0.2%

Singapore Dollar

      843,167   0.1%

UAE Dirham

      830,917   0.1%

Danish Krone

      160,951   0.0%

New Zealand Dollar

      122,070   0.0%

Total Investments

    $     792,629,209   100.0%

Currency exposure may vary over time.

     

 

See accompanying Notes to Schedule of Investments

 

16


Note 1 – Organization and Significant Accounting Policies

Organization. Calamos Global Dynamic Income Fund (the “Fund”) was organized as a Delaware statutory trust on April 10, 2007 and is registered under the Investment Company Act of 1940 (the “1940 Act”) as a diversified, closed-end management investment company. The Fund commenced operations on June 27, 2007.

The Fund’s investment strategy is to generate a high level of current income with a secondary objective of capital appreciation. Under normal circumstances, the Fund will invest primarily in a globally diversified portfolio of convertible instruments, common and preferred stocks, and income-producing securities such as investment grade and below investment grade (high yield/high risk) debt securities. The Fund, under normal circumstances, will invest at least 40% of its managed assets in securities of foreign issuers in developed and emerging markets, including debt and equity securities of corporate issuers and debt securities of government issuers. “Managed assets” means the Fund’s total assets (including any assets attributable to any leverage that may be outstanding) minus total liabilities (other than debt representing financial leverage).

Significant Accounting Policies. The Schedule of Investments has been prepared in conformity with accounting principles generally accepted in the United States of America (U.S. GAAP). The Fund is considered an investment company under U.S. GAAP and follows the accounting and reporting guidance applicable to investment companies. The following summarizes the significant accounting policies of the Fund:

Fund Valuation. The valuation of the Fund’s investments is in accordance with policies and procedures adopted by and under the ultimate supervision of the board of trustees.

Fund securities that are traded on U.S. securities exchanges, except option securities, are valued at the official closing price, which is the last current reported sales price on its principal exchange at the time each Fund determines its net asset value (“NAV”). Securities traded in the over-the-counter market and quoted on The NASDAQ Stock Market are valued at the NASDAQ Official Closing Price, as determined by NASDAQ, or lacking a NASDAQ Official Closing Price, the last current reported sale price on NASDAQ at the time the Fund determines its NAV. When a last sale or closing price is not available, equity securities, other than option securities, that are traded on a U.S. securities exchange and other equity securities traded in the over-the-counter market are valued at the mean between the most recent bid and asked quotations on its principal exchange in accordance with guidelines adopted by the board of trustees. Each option security traded on a U.S. securities exchange is valued at the mid-point of the consolidated bid/ask quote for the option security, also in accordance with guidelines adopted by the board of trustees. Each over-the-counter option that is not traded through the Options Clearing Corporation is valued either by an independent pricing agent approved by the board of trustees or based on a quotation provided by the counterparty to such option under the ultimate supervision of the board of trustees.

Fixed income securities, bank loans, certain convertible preferred securities, and non-exchange traded derivatives are normally valued by independent pricing services or by dealers or brokers who make markets in such securities. Valuations of such fixed income securities, bank loans, certain convertible preferred securities, and non-exchange traded derivatives consider yield or price of equivalent securities of comparable quality, coupon rate, maturity, type of issue, trading characteristics and other market data and do not rely exclusively upon exchange or over-the-counter prices.

Trading on European and Far Eastern exchanges and over-the-counter markets is typically completed at various times before the close of business on each day on which the New York Stock Exchange (“NYSE”) is open. Each security trading on these exchanges or in over-the-counter markets may be valued utilizing a systematic fair valuation model provided by an independent pricing service approved by the board of trustees. The valuation of each security that meets certain criteria in relation to the valuation model is systematically adjusted to reflect the impact of movement in the U.S. market after the foreign markets close. Securities that do not meet the criteria, or that are principally traded in other foreign markets, are valued as of the last reported sale price at the time the Fund determines its NAV, or when reliable market prices or quotations are not readily available, at the mean between the most recent bid and asked quotations as of the close of the appropriate exchange or other designated time. Trading of foreign securities may not take place on every NYSE business day. In addition, trading may take place in various foreign markets on Saturdays or on other days when the NYSE is not open and on which the Fund’s NAV is not calculated.

If the pricing committee determines that the valuation of a security in accordance with the methods described above is not reflective of a fair value for such security, the security is valued at a fair value by the pricing committee, under the ultimate supervision of the board of trustees, following the guidelines and/or procedures adopted by the board of trustees.

The Fund also may use fair value pricing, pursuant to guidelines adopted by the board of trustees and under the ultimate supervision of the board of trustees, if trading in the security is halted or if the value of a security it holds is materially affected by events occurring before the Fund’s pricing time but after the close of the primary market or exchange on which the security is listed. Those procedures may utilize valuations furnished by pricing services approved by the board of trustees, which may be based on market transactions for comparable securities and various relationships between securities that are generally recognized by institutional traders, a computerized matrix system, or appraisals derived from information concerning the securities or similar securities received from recognized dealers in those securities.

When fair value pricing of securities is employed, the prices of securities used by a Fund to calculate its NAV may differ from market quotations or official closing prices. There can be no assurance that the Fund could purchase or sell a portfolio security at the price used to calculate the Fund’s net asset value (“NAV”).

Foreign Currency Translation. Values of investments and other assets and liabilities denominated in foreign currencies are translated into U.S. dollars using a rate quoted by a major bank or dealer in the particular currency market, as reported by a recognized quotation dissemination service.

Option Transactions. For hedging and investment purposes, the Fund may purchase or write (sell) put and call options. One of the risks associated with purchasing an option is that the Fund pays a premium whether or not the option is exercised. Additionally, the Fund bears the risk of loss of premium and change in value should the counterparty not perform under the contract. The Fund as writer of an option bears the market risk of an unfavorable change in the price of the security underlying the written option.

Note 2 – Investments

The cost basis of investments for federal income tax purposes at January 31, 2022 was as follows*:


Cost basis of investments

        $ 844,185,160

Gross unrealized appreciation

          33,103,271

Gross unrealized depreciation

          (84,659,222 )

Net unrealized appreciation (depreciation)

        $ (51,555,951 )

* Because tax adjustments are calculated annually, the above table does not reflect tax adjustments. For the previous fiscal year’s federal income tax information, please refer to the Notes to Financial Statements section in the Fund’s most recent semi-annual or annual report.

Note 3 – Short Sales

Securities sold short represent obligations to deliver the securities at a future date. The Fund may sell a security it does not own in anticipation of a decline in the value of that security before the delivery date. When a Fund sells a security short, it must borrow the security sold short and deliver it to the broker-dealer through which it made the short sale. Dividends paid on securities sold short are disclosed as an expense on the Statement of Operations. A gain, limited to the price at which a Fund sold the security short, or a loss, unlimited in size, will be realized upon the termination of a short sale.    

To secure its obligation to deliver to the broker-dealer the securities sold short, the Fund must segregate an amount of cash or liquid securities with its custodian equal to any excess of the current market value of the securities sold short over any cash or liquid securities deposited as collateral with the broker in connection with the short sale (not including the proceeds of the short sale). As a result of that requirement, the Fund will not gain any leverage merely by selling short, except to the extent that it earns interest or other income or gains on the segregated cash or liquid securities while also being subject to the possibility of gain or loss from the securities sold short.

  Note 4 – Mandatory Redeemable Preferred Shares

The Fund issued MRPS on August 24, 2021 and September 6, 2017. On August 24, 2021, 1,060,000 MRPS were issued with an aggregate liquidation preference of $26.5 million. Of the 1,060,000 MRPS that were issued, 860,000 MRPS with an aggregate liquidation preference of $21.5 million have a delayed funding date of May 4, 2022. On September 6, 2017, 2,600,000 MRPS were issued with an aggregate liquidation preference of $65.0 million. Offering costs incurred by the Fund in connection with the MRPS issuance are aggregated with the outstanding liability and are being amortized to Interest expense and amortization of offering costs on MRPS over the respective life of each series of MRPS and shown in the Statement of Operations.

The MRPS are divided into five series with different mandatory redemption dates and dividend rates. The table below summarizes the key terms of each series of the MRPS at January 31, 2022.

 

Series  

Term

Redemption Date  

  Dividend Rate     Shares (000’s)     Liquidation Preference Per Share     Aggregate Liquidation Preference  

  Series A

  9/06/22   3.70%   860   $25   $21,500,000

  Series B

  9/06/24   4.00%   860   $25   $21,500,000

  Series C

  9/06/27   4.24%   880   $25   $22,000,000

  Series D

  8/24/26   2.45%   200   $25   $5,000,000

  Series E*

  5/24/27   2.68%   860   $25   $21,500,000
                Total   $91,500,000

*Series E MRPS were issued on August 24, 2021, with a delayed funding date of May 24, 2022. Series E MRPS are not included on the Statement of Assets and Liabilities.

The MRPS are not listed on any exchange or automated quotation system. The MRPS are considered debt of the issuer; therefore, the liquidation preference, which approximates fair value of the MRPS, is recorded as a liability in the Statement of Assets and Liabilities net of deferred offering costs. The MRPS are categorized as Level 2 within the fair value hierarchy.

Previously, Series A, B, and C of the MRPS had been assigned a rating of “AA” by Fitch Ratings, Inc. (“Fitch”). As of December 17, 2020, Kroll Bond Rating Agency LLC (“Kroll”) replaced Fitch as the rating agency for the MRPS. Series A, B, and C of the MRPS have been assigned a rating of ‘AA-’ by Kroll. As of August 24, 2021, Series D and E of the MRPS have been assigned a rating of ‘AA-’ by Kroll. If the ratings of the MRPS are downgraded, the Fund’s dividend expense may increase, as described below.

Holders of MRPS are entitled to receive monthly cumulative cash dividends payable on the first business day of each month. The MRPS currently are rated “AA-” by Kroll. If on the first day of a monthly dividend period the MRPS of any class are rated lower than “A” by Kroll, the dividend rate for such period shall be increased by 0.5%, 2.0% or 4.0% according to an agreed upon schedule. The MRPS’ dividend rate is also subject to increase during periods when the Fund has not made timely payments to MRPS holders and/or the MRPS do not have a current credit rating, subject to various terms and conditions. Dividends accrued and paid to the shareholders of MRPS are included in “Interest expense and amortization of offering costs on Mandatory Redeemable Preferred Shares” within the Statement of Operations.

The MRPS rank junior to the Fund’s borrowings under the SSB Agreement and senior to the Fund’s outstanding common stock. The Fund may, at its option, subject to various terms and conditions, redeem the MRPS, in whole or in part, at the liquidation preference amount plus all accumulated but unpaid dividends, plus a make whole premium equal to the discounted value of the remaining scheduled payments. Each class of MRPS is subject to mandatory redemption on the term redemption date specified in the table above. Periodically, the Fund is subject to an overcollateralization test based on applicable rating agency criteria (the “OC Test”) and an asset coverage test with respect to its outstanding senior securities (the “AC Test”). The Fund may be required to redeem MRPS before their term redemption date if it does not comply with one or both tests. So long as any MRPS are outstanding, the Fund may not declare, pay or set aside for payment cash dividends or other distributions on shares of its common stock unless (1) the Fund has satisfied the OC Test on at least one testing date in the preceding 65 days, (2) immediately after such transaction, the Fund would comply with the AC Test, (3) full cumulative dividends on the MRPS due on or prior to the date of such transaction have been declared and paid and (4) the Fund has redeemed all MRPS required to have been redeemed on such date or has deposited funds sufficient for such redemption, subject to certain grace periods and exceptions.


Except as otherwise required pursuant to the Fund’s governing documents or applicable law, the holders of the MRPS have one vote per share and vote together with the holders of common stock of the Fund as a single class except on matters affecting only the holders of MRPS or the holders of common stock. Pursuant to the 1940 Act, holders of the MRPS have the right to elect at least two trustees of the Fund, voting separately as a class. Except during any time when the Fund has failed to make a dividend or redemption payment in respect of MRPS outstanding, the holders of MRPS have agreed to vote in accordance with the recommendation of the board of trustees on any matter submitted to them for their vote or to the vote of shareholders of the Fund generally.