0001145549-23-059801.txt : 20230929 0001145549-23-059801.hdr.sgml : 20230929 20230929091528 ACCESSION NUMBER: 0001145549-23-059801 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20230731 FILED AS OF DATE: 20230929 DATE AS OF CHANGE: 20230929 PERIOD START: 20231031 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: 231292316 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 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Calamos Global Dynamic Income Fund
SCHEDULE OF INVESTMENTS JULY 31, 2023 (UNAUDITED)

 

PRINCIPAL

  AMOUNT  

           VALUE
 

CORPORATE BONDS (15.0%)

 
  

Airlines (0.3%)

  
  43,333     

Air Canada Pass Through Trust
Series 2015-2, Class B*

5.000%, 06/15/25

   $ 43,014  
  209,048     

Alaska Airlines Pass Through Trust
Series 2020-1, Class A*

4.800%, 02/15/29

     202,421  
  114,237     

Alaska Airlines Pass Through Trust
Series 2020-1, Class B*

8.000%, 02/15/27

     115,279  
  233,870     

American Airlines Pass Through Trust
Series 2021-1, Class B

3.950%, 01/11/32

     206,360  
  154,917     

American Airlines, Inc. /
AAdvantage Loyalty IP, Ltd.*

5.500%, 04/20/26

     152,762  
  225,920     

British Airways Pass Through Trust
Series 2021-1, Class B*

3.900%, 03/15/33

     202,761  
  218,789     

JetBlue Pass Through Trust Series
2020-1, Class B

7.750%, 05/15/30

     220,583  
  276,000     

Spirit Loyalty Cayman, Ltd. / Spirit
IP Cayman, Ltd.*

8.000%, 09/20/25

     279,338  
     

 

 

 

         1,422,518  
     

 

 

 

  

Communication Services (1.4%)

  
  250,000     

Altice France, SA*

5.500%, 10/15/29

     177,780  
  260,000     

APi Group DE, Inc.*

4.750%, 10/15/29

     231,717  
  210,000     

Arrow Bidco, LLC*

9.500%, 03/15/24

     210,573  
  225,000     

Ashtead Capital, Inc.*

2.450%, 08/12/31

     178,281  
  

Audacy Capital Corp.*

  
  273,000     

6.750%, 03/31/29

     5,965  
  100,000     

6.500%, 05/01/27

     2,405  
  166,000     

Cincinnati Bell Telephone Company, LLC

6.300%, 12/01/28

     136,374  
  330,000     

Consolidated Communications, Inc.*

6.500%, 10/01/28

     257,951  
  

CSC Holdings, LLC*

  
  400,000     

4.625%, 12/01/30

     202,208  
  335,000     

5.375%, 02/01/28

     280,016  
  300,000     

5.750%, 01/15/30

     155,733  
  200,000     

5.500%, 04/15/27

     171,748  
  200,000     

4.500%, 11/15/31

     143,692  
  

Diamond Sports Group, LLC / Diamond Sports Finance Company*@

  
  180,000     

6.625%, 08/15/27

     5,319  
  151,000     

5.375%, 08/15/26

     4,814  
  302,000     

Directv Financing, LLC / Directv Financing Co-Obligor, Inc.*

5.875%, 08/15/27

     272,884  
  153,000     

Embarq Corp.

7.995%, 06/01/36

     86,982  

PRINCIPAL

  AMOUNT  

           VALUE
  225,000     

Frontier California, Inc.

6.750%, 05/15/27

   $ 207,891  
  

Frontier Communications Holdings, LLC*

  
  140,000     

5.000%, 05/01/28

     118,772  
  54,000     

8.750%, 05/15/30

     52,093  
  242,000     

Frontier Florida, LLC@

6.860%, 02/01/28

     227,122  
  330,000     

Frontier North, Inc.@

6.730%, 02/15/28

     298,336  
  

Go Daddy Operating Company, LLC /
GD Finance Company, Inc.*

  
  195,000     

3.500%, 03/01/29

     168,076  
  69,000     

5.250%, 12/01/27

     66,380  
  

iHeartCommunications, Inc.

  
  80,000     

8.375%, 05/01/27

     54,800  
  80,000     

5.250%, 08/15/27*

     63,122  
  

Intelsat Jackson Holdings, SA@&

  
  170,000     

9.750%, 07/15/25*

      
  130,000     

5.500%, 08/01/23

      
  265,000     

LCPR Senior Secured Financing DAC*

6.750%, 10/15/27

     248,991  
  167,354     

Ligado Networks, LLC*

15.500%, 11/01/23

15.500% PIK rate

     58,150  
  

Lumen Technologies, Inc.

  
  160,000     

7.600%, 09/15/39

     58,814  
  100,000     

4.000%, 02/15/27*

     65,800  
  109,000     

Match Group Holdings II, LLC*

3.625%, 10/01/31

     89,944  
  147,000     

Paramount Global‡

6.375%, 03/30/62

5 year CMT + 4.00%

     121,437  
  73,000     

Qwest Corp.

7.250%, 09/15/25

     71,296  
  

Scripps Escrow II, Inc.*

  
  111,000     

3.875%, 01/15/29

     92,359  
  56,000     

5.375%, 01/15/31

     42,675  
  210,000     

Scripps Escrow, Inc.*

5.875%, 07/15/27

     175,730  
  

Sirius XM Radio, Inc.*

  
  217,000     

4.000%, 07/15/28

     189,042  
  110,000     

3.125%, 09/01/26

     99,228  
  54,000     

3.875%, 09/01/31

     42,332  
  202,000     

Spanish Broadcasting System, Inc.*

9.750%, 03/01/26

     140,073  
  190,000     

Stagwell Global, LLC*

5.625%, 08/15/29

     161,905  
  243,000     

TEGNA, Inc.

4.625%, 03/15/28

     219,079  
  215,000     

Telecom Italia Capital, SA

6.000%, 09/30/34

     174,088  
  219,000     

Telesat Canada / Telesat, LLC*

4.875%, 06/01/27

     131,523  
  85,000     

Time Warner Cable, LLC

7.300%, 07/01/38

     86,770  
  355,000     

United States Cellular Corp.^

6.700%, 12/15/33

     307,295  
  80,000     

Univision Communications, Inc.*

8.000%, 08/15/28

     80,682  
     

 

 

 

         6,438,247  
     

 

 

 

 

 

See accompanying Notes to Schedule of Investments
1


Calamos Global Dynamic Income Fund
SCHEDULE OF INVESTMENTS JULY 31, 2023 (UNAUDITED)

 

PRINCIPAL

  AMOUNT  

           VALUE
  

Consumer Discretionary (3.2%)

  
  265,000     

Abercrombie & Fitch Management Company*^

8.750%, 07/15/25

   $ 269,277  
  260,000     

Adient Global Holdings Company*

8.250%, 04/15/31

     267,366  
  175,000     

American Axle & Manufacturing, Inc.

6.875%, 07/01/28

     166,716  
  

Ashton Woods USA, LLC / Ashton Woods Finance Company*

  
  190,000     

4.625%, 08/01/29

     164,734  
  139,000     

6.625%, 01/15/28

     134,120  
  267,000     

At Home Group, Inc.*

4.875%, 07/15/28

     155,271  
  

Bath & Body Works, Inc.

  
  292,000     

6.694%, 01/15/27

      293,416  
  270,000     

6.875%, 11/01/35

     250,757  
  136,000     

Caesars Entertainment, Inc.*^

4.625%, 10/15/29

     119,843  
  112,000     

Caesars Entertainment, Inc.*^

8.125%, 07/01/27

     115,117  
  

Carnival Corp.*

  
  112,000     

10.500%, 02/01/26

     118,096  
  108,000     

7.625%, 03/01/26

     106,687  
  105,000     

4.000%, 08/01/28

     93,454  
  260,000     

Carriage Services, Inc.*

4.250%, 05/15/29

     225,664  
  165,000     

Carvana Company*

4.875%, 09/01/29

     102,486  
  

CCO Holdings, LLC / CCO Holdings Capital Corp.*

  
  470,000     

5.125%, 05/01/27

     441,391  
  250,000     

6.375%, 09/01/29

     239,228  
  245,000     

4.750%, 03/01/30

     212,432  
  215,000     

4.250%, 02/01/31

     176,760  
  125,000     

5.000%, 02/01/28

     115,695  
  125,000     

4.500%, 08/15/30

     105,865  
  108,000     

4.750%, 02/01/32

     89,549  
  108,000     

CDI Escrow Issuer, Inc.*

5.750%, 04/01/30

     100,446  
  207,000     

Cedar Fair, LP^

5.250%, 07/15/29

     186,074  
  105,000     

Churchill Downs, Inc.*

6.750%, 05/01/31

     102,762  
  

Dana, Inc.

  
  175,000     

4.250%, 09/01/30

     150,329  
  164,000     

4.500%, 02/15/32^

     137,781  
  

DISH DBS Corp.

  
  275,000     

5.250%, 12/01/26*

     225,822  
  209,000     

7.750%, 07/01/26

     135,507  
  133,000     

7.375%, 07/01/28

     75,000  
  110,000     

5.125%, 06/01/29

     55,672  
  220,000     

DISH Network Corp.*

11.750%, 11/15/27

     221,566  
  200,000     

Empire Resorts, Inc.*

7.750%, 11/01/26

     162,382  
  238,000     

Everi Holdings, Inc.*

5.000%, 07/15/29

     211,301  
  220,000     

Ford Motor Company^

6.100%, 08/19/32

     213,019  
  

Ford Motor Credit Company, LLC

  
  410,000     

7.350%, 11/04/27

     421,800  
  350,000     

4.000%, 11/13/30

     302,033  
  300,000     

5.113%, 05/03/29

     280,212  
  275,000     

7.200%, 06/10/30

     282,876  

PRINCIPAL

  AMOUNT  

           VALUE
  200,000     

7.350%, 03/06/30

   $ 207,262  
  

Gap, Inc.*

  
  82,000     

3.875%, 10/01/31

     58,710  
  11,000     

3.625%, 10/01/29

     8,206  
  

goeasy, Ltd.*

  
  350,000     

5.375%, 12/01/24

     341,639  
  208,000     

4.375%, 05/01/26

     190,657  
  93,000     

Group 1 Automotive, Inc.*

4.000%, 08/15/28

     82,319  
  226,000     

Guitar Center, Inc.*&^

8.500%, 01/15/26

     208,200  
  345,000     

International Game Technology, PLC*

6.250%, 01/15/27

     345,593  
  130,000     

Kohl’s Corp.

5.550%, 07/17/45

     84,728  
  210,000     

LCM Investments Holdings II, LLC*

8.250%, 08/01/31

     213,492  
  220,000     

Liberty Interactive, LLC

8.250%, 02/01/30

     82,500  
  

Life Time, Inc.*

  
  204,000     

8.000%, 04/15/26

     204,373  
  110,000     

5.750%, 01/15/26

     108,000  
  80,000     

Lindblad Expeditions Holdings, Inc.*

9.000%, 05/15/28

     82,670  
  139,000     

Lindblad Expeditions, LLC*

6.750%, 02/15/27

     134,738  
  140,000     

M/I Homes, Inc.

3.950%, 02/15/30

     122,339  
  

Macy’s Retail Holdings, LLC

  
  366,000     

6.700%, 07/15/34*

     304,805  
  110,000     

4.300%, 02/15/43

     69,238  
  260,000     

Mclaren Finance, PLC*

7.500%, 08/01/26

     232,271  
  287,000     

Midwest Gaming Borrower, LLC / Midwest Gaming Finance Corp.*

4.875%, 05/01/29

      255,548  
  153,000     

Mohegan Tribal Gaming Authority*

8.000%, 02/01/26

     140,298  
  

Newell Brands, Inc.^

  
  55,000     

6.375%, 09/15/27

     54,110  
  27,000     

6.625%, 09/15/29

     27,064  
  

Nordstrom, Inc.

  
  110,000     

5.000%, 01/15/44

     75,067  
  105,000     

4.250%, 08/01/31

     82,962  
  250,000     

Penn Entertainment, Inc.*^

4.125%, 07/01/29

     206,798  
  250,000     

PetSmart, Inc. / PetSmart Finance Corp.*

4.750%, 02/15/28

     229,700  
  305,000     

Premier Entertainment Sub, LLC / Premier Entertainment Finance Corp.*

5.625%, 09/01/29

     233,435  
  633,000     

Rite Aid Corp.*

8.000%, 11/15/26

     317,177  
  105,000     

Royal Caribbean Cruises, Ltd.*

7.250%, 01/15/30

     106,537  
  320,000     

Simmons Foods, Inc. / Simmons Prepared Foods, Inc. / Simmons Pet Food, Inc. / Simmons Feed*

4.625%, 03/01/29

     266,973  
  425,000     

Six Flags Entertainment Corp.*

7.250%, 05/15/31

     407,027  
 

 

See accompanying Notes to Schedule of Investments
2


Calamos Global Dynamic Income Fund
SCHEDULE OF INVESTMENTS JULY 31, 2023 (UNAUDITED)

 

PRINCIPAL

  AMOUNT  

           VALUE
  241,000     

Sonic Automotive, Inc.*

4.625%, 11/15/29

   $ 206,744  
  131,000     

Speedway Motorsports, LLC /
Speedway Funding II, Inc.*

4.875%, 11/01/27

     122,727  
  455,000     

Station Casinos, LLC*

4.500%, 02/15/28

     413,277  
  128,000     

Taylor Morrison Communities, Inc.*

5.750%, 01/15/28

     125,045  
  55,000     

Viking Cruises, Ltd.*

9.125%, 07/15/31

     56,548  
  260,000     

Vista Outdoor, Inc.*

4.500%, 03/15/29

     221,382  
  105,000     

Windsor Holdings III, LLC*

8.500%, 06/15/30

     105,668  
  210,000     

ZF North America Capital, Inc.*

7.125%, 04/14/30

     216,283  
     

 

 

 

         14,180,616  
     

 

 

 

  

Consumer Staples (0.6%)

  
  224,000     

1375209 B.C., Ltd.*

9.000%, 01/30/28

     224,912  
  251,000     

Central Garden & Pet Company*

4.125%, 04/30/31

     210,413  
  245,000     

Edgewell Personal Care Company*

4.125%, 04/01/29

     214,542  
  

Energizer Holdings, Inc.*

  
  307,000     

4.375%, 03/31/29

     267,173  
  54,000     

6.500%, 12/31/27

     52,782  
  

JBS USA LUX, SA / JBS USA
Food Company / JBS USA Finance, Inc.*

  
  320,000     

5.500%, 01/15/30

     309,795  
  135,000     

5.125%, 02/01/28

     131,328  
  80,000     

5.750%, 04/01/33

     76,849  
  174,000     

New Albertsons, LP

7.750%, 06/15/26

     180,282  
  217,000     

Performance Food Group, Inc.*

4.250%, 08/01/29

     192,774  
  

Pilgrim’s Pride Corp.

  
  165,000     

4.250%, 04/15/31

     142,606  
  140,000     

5.875%, 09/30/27*

     138,400  
  110,000     

Post Holdings, Inc.*

5.750%, 03/01/27

     107,909  
  209,000     

Prestige Brands, Inc.*

3.750%, 04/01/31

     176,206  
  140,000     

United Natural Foods, Inc.*

6.750%, 10/15/28

     116,845  
  342,000     

Vector Group, Ltd.*

5.750%, 02/01/29

     298,323  
     

 

 

 

        2,841,139  
     

 

 

 

  

Energy (1.8%)

  
  211,000     

Antero Resources Corp.*

5.375%, 03/01/30

     196,846  
  223,000     

Apache Corp.

5.100%, 09/01/40

     189,606  
  

Buckeye Partners, LP

  
  140,000     

3.950%, 12/01/26

     129,087  
  135,000     

5.850%, 11/15/43

     104,543  
  305,000     

Callon Petroleum Company*^

7.500%, 06/15/30

     296,555  
  112,000     

Cheniere Energy, Inc.

4.625%, 10/15/28

     105,526  

PRINCIPAL

  AMOUNT  

           VALUE
  167,000     

Chesapeake Energy Corp.*

6.750%, 04/15/29

   $ 166,407  
  60,000     

Civitas Resources, Inc.*

8.750%, 07/01/31

     62,134  
  

Continental Resources, Inc.*

  
  165,000     

2.875%, 04/01/32

     128,415  
  100,000     

5.750%, 01/15/31

     96,910  
  169,000     

DT Midstream, Inc.*

4.125%, 06/15/29

      150,037  
  

Earthstone Energy Holdings, LLC*

  
  207,000     

8.000%, 04/15/27

     206,147  
  80,000     

9.875%, 07/15/31

     82,773  
  120,000     

Enbridge, Inc.‡

7.375%, 01/15/83

5 year CMT + 3.71%

     119,033  
  

Energy Transfer, LP‡

  
  320,000     

8.651%, 11/01/66

3 mo. USD SOFR + 3.28%

     256,742  
  162,000     

6.500%, 11/15/26

5 year CMT + 5.69%

     147,864  
  

EnLink Midstream Partners, LP

  
  240,000     

9.618%, 08/31/23‡

3 mo. LIBOR + 4.11%

     207,691  
  224,000     

4.850%, 07/15/26

     217,878  
  132,000     

Enlink Midstream, LLC*

6.500%, 09/01/30

     133,150  
  250,000     

EQM Midstream Partners, LP*

7.500%, 06/01/27

     254,367  
  

Genesis Energy, LP / Genesis Energy Finance Corp.

  
  173,000     

6.250%, 05/15/26^

     166,137  
  53,000     

8.875%, 04/15/30

     52,937  
  

Gulfport Energy Corp.

  
  215,000     

6.375%, 05/15/25@&

      
  205,000     

8.000%, 05/17/26*

     207,794  
  65,708     

8.000%, 05/17/26

     66,604  
  305,000     

Hilcorp Energy I, LP / Hilcorp Finance Company*

6.000%, 04/15/30

     282,107  
  163,000     

Howard Midstream Energy Partners, LLC*

6.750%, 01/15/27

     158,115  
  217,000     

Magnolia Oil & Gas Operating, LLC /
Magnolia Oil & Gas Finance Corp.*

6.000%, 08/01/26

     212,808  
  

Moss Creek Resources Holdings, Inc.*

  
  135,000     

10.500%, 05/15/27

     131,996  
  90,000     

7.500%, 01/15/26

     84,342  
  160,000     

Nabors Industries, Inc.*

7.375%, 05/15/27

     156,675  
  160,000     

Nabors Industries, Ltd.*

7.500%, 01/15/28

     147,469  
  

New Fortress Energy, Inc.*

  
  221,000     

6.750%, 09/15/25

     210,595  
  113,000     

6.500%, 09/30/26

     103,805  
  230,000     

Parkland Corp.*

5.875%, 07/15/27

     223,859  
  213,000     

Patterson-UTI Energy, Inc.

5.150%, 11/15/29

     197,647  
  270,000     

Plains All American Pipeline, LP‡

9.431%, 08/31/23

3 mo. LIBOR + 4.11%

     245,298  
  200,000     

Rockcliff Energy II, LLC*

5.500%, 10/15/29

     183,978  
 

 

See accompanying Notes to Schedule of Investments
3


Calamos Global Dynamic Income Fund
SCHEDULE OF INVESTMENTS JULY 31, 2023 (UNAUDITED)

 

PRINCIPAL

  AMOUNT  

           VALUE
  

Southwestern Energy Company

  
  109,000     

4.750%, 02/01/32

   $ 97,203  
  105,000     

5.375%, 02/01/29

     99,329  
  54,000     

Sunoco, LP / Sunoco Finance Corp.

4.500%, 04/30/30

     48,079  
  262,000     

Transocean, Inc.*

8.750%, 02/15/30

     272,087  
  

Venture Global Calcasieu Pass, LLC*

  
  130,000     

6.250%, 01/15/30

     127,240  
  55,000     

4.125%, 08/15/31

     46,732  
  55,000     

3.875%, 08/15/29

     47,731  
  

Venture Global LNG, Inc.*

  
  265,000     

8.375%, 06/01/31

     269,139  
  155,000     

8.125%, 06/01/28

     157,621  
  

Vital Energy, Inc.

  
  108,000     

9.500%, 01/15/25^

     107,922  
  100,000     

7.750%, 07/31/29*

     85,906  
  190,000     

VOC Escrow, Ltd.*

5.000%, 02/15/28

     176,761  
  210,000     

Weatherford International, Ltd.*

8.625%, 04/30/30

     215,386  
     

 

 

 

         7,835,013  
     

 

 

 

  

Financials (2.6%)

  
  292,000     

Acrisure, LLC / Acrisure Finance, Inc.*

7.000%, 11/15/25

     282,764  
  323,000     

Aethon United BR, LP / Aethon
United Finance Corp.*

8.250%, 02/15/26

     322,386  
  363,000     

AG Issuer, LLC*

6.250%, 03/01/28

     351,202  
  370,000     

Alliant Holdings Intermediate, LLC /
Alliant Holdings Co-Issuer*

6.750%, 10/15/27

     352,392  
  

Ally Financial, Inc.

  
  245,000     

4.700%, 05/15/26‡

5 year CMT + 3.87%

     186,933  
  100,000     

4.700%, 05/15/28‡

7 year CMT + 3.48%

     70,595  
  90,000     

8.000%, 11/01/31

     95,585  
  439,000     

AmWINS Group, Inc.*

4.875%, 06/30/29

     402,862  
  248,000     

Aviation Capital Group, LLC*

3.500%, 11/01/27

     223,694  
  90,000     

Avolon Holdings Funding, Ltd.*

5.500%, 01/15/26

     87,501  
  434,000     

BroadStreet Partners, Inc.*

5.875%, 04/15/29

     387,896  
  

Brookfield Property REIT, Inc. / BPR Cumulus, LLC / BPR Nimbus, LLC / GGSI Sellco, LLC*

  
  200,000     

4.500%, 04/01/27

     173,166  
  134,000     

5.750%, 05/15/26

     125,850  
  200,000     

Burford Capital Global Financial, LLC*

6.875%, 04/15/30

     183,108  
  184,000     

Castlelake Aviation Finance DAC*^

5.000%, 04/15/27

     169,966  
  

Credit Acceptance Corp.

  
  237,000     

5.125%, 12/31/24*

     232,426  
  230,000     

6.625%, 03/15/26^

     225,687  

PRINCIPAL

  AMOUNT  

           VALUE
  283,000     

Enact Holdings, Inc.*

6.500%, 08/15/25

   $ 280,300  
  321,000     

Global Net Lease, Inc. / Global Net Lease Operating Partnership, LP*

3.750%, 12/15/27

      256,550  
  317,000     

Greystar Real Estate Partners, LLC*

5.750%, 12/01/25

     312,920  
  

HUB International, Ltd.*

  
  324,000     

5.625%, 12/01/29

     290,032  
  225,000     

7.000%, 05/01/26

     224,773  
  164,000     

Icahn Enterprises, LP / Icahn Enterprises Finance Corp.

4.375%, 02/01/29

     133,176  
  275,000     

ILFC E-Capital Trust II*‡

7.314%, 12/21/65

3 mo. LIBOR + 1.80%

     199,375  
  

Iron Mountain, Inc.*

  
  435,000     

5.250%, 03/15/28

     409,370  
  53,000     

7.000%, 02/15/29

     53,251  
  600,000     

Jefferies Finance, LLC / JFIN Co-Issuer Corp.*

5.000%, 08/15/28

     512,862  
  

Ladder Capital Finance Holdings, LLLP / Ladder Capital Finance Corp.*

  
  387,000     

5.250%, 10/01/25

     371,094  
  109,000     

4.750%, 06/15/29

     91,956  
  311,000     

LD Holdings Group, LLC*

6.125%, 04/01/28

     204,489  
  

Level 3 Financing, Inc.*

  
  283,000     

3.400%, 03/01/27

     250,059  
  235,000     

4.250%, 07/01/28

     166,690  
  105,000     

4.625%, 09/15/27

     79,945  
  162,000     

LPL Holdings, Inc.*

4.000%, 03/15/29

     145,354  
  487,000     

MetLife, Inc.

6.400%, 12/15/66

     490,433  
  300,000     

Nationstar Mortgage Holdings, Inc.*

5.500%, 08/15/28

     272,322  
  

Navient Corp.

  
  228,000     

5.000%, 03/15/27

     206,620  
  115,000     

4.875%, 03/15/28

     100,591  
  250,000     

Necessity Retail REIT, Inc. / American Finance Operating Partner, LP*

4.500%, 09/30/28

     196,232  
  

OneMain Finance Corp.

  
  150,000     

3.875%, 09/15/28

     123,716  
  145,000     

9.000%, 01/15/29

     147,466  
  108,000     

7.125%, 03/15/26^

     107,050  
  110,000     

Park Intermediate Holdings, LLC / PK Domestic Property, LLC / PK Finance Co-Issuer*

5.875%, 10/01/28

     102,031  
  341,000     

PHH Mortgage Corp.*

7.875%, 03/15/26

     309,181  
  55,000     

PNC Financial Services Group, Inc.‡

6.000%, 05/15/27

5 year CMT + 3.00%

     51,039  
  260,000     

RHP Hotel Properties, LP / RHP
Finance Corp.*

4.500%, 02/15/29

     231,925  
 

 

See accompanying Notes to Schedule of Investments
4


Calamos Global Dynamic Income Fund
SCHEDULE OF INVESTMENTS JULY 31, 2023 (UNAUDITED)

 

PRINCIPAL

  AMOUNT  

           VALUE
  

Rocket Mortgage, LLC / Rocket
Mortgage Co-Issuer, Inc.*

  
  100,000     

3.875%, 03/01/31

   $ 82,491  
  100,000     

3.625%, 03/01/29

     85,256  
  50,000     

2.875%, 10/15/26

     44,643  
  227,000     

StoneX Group, Inc.*

8.625%, 06/15/25

     230,151  
  

United Wholesale Mortgage, LLC*

  
  258,000     

5.500%, 04/15/29

     227,094  
  105,000     

5.750%, 06/15/27

     98,323  
  

Uniti Group, LP / Uniti Group
Finance, Inc. / CSL Capital, LLC*

  
  110,000     

6.500%, 02/15/29

     76,701  
  105,000     

10.500%, 02/15/28

     104,449  
  250,000     

VZ Secured Financing, BV*

5.000%, 01/15/32

     203,465  
  237,000     

XHR, LP*

6.375%, 08/15/25

     233,921  
     

 

 

 

         11,581,309  
     

 

 

 

  

Health Care (1.1%)

  
  

Bausch Health Companies, Inc.*

  
  398,000     

11.000%, 09/30/28

     295,197  
  81,000     

6.125%, 02/01/27

     53,501  
  78,000     

14.000%, 10/15/30

     49,788  
  

CHS/Community Health Systems, Inc.*

  
  435,000     

6.125%, 04/01/30

     274,911  
  230,000     

8.000%, 03/15/26

     226,210  
  127,000     

6.875%, 04/15/29

     84,612  
  27,000     

5.250%, 05/15/30

     21,620  
  

DaVita, Inc.*

  
  433,000     

4.625%, 06/01/30

     370,059  
  258,000     

3.750%, 02/15/31

     206,477  
  

Embecta Corp.*

  
  162,000     

5.000%, 02/15/30

     133,814  
  52,000     

6.750%, 02/15/30

     45,910  
  

Encompass Health Corp.

  
  110,000     

4.750%, 02/01/30

     100,262  
  110,000     

4.500%, 02/01/28

     102,334  
  300,000     

HCA, Inc.

7.500%, 11/06/33

     331,266  
  200,000     

Jazz Securities DAC*

4.375%, 01/15/29

     178,160  
  119,819     

Mallinckrodt International Finance,
SA / Mallinckrodt CB, LLC*

10.000%, 06/15/29

     19,924  
  

Medline Borrower, LP*

  
  270,000     

3.875%, 04/01/29

     236,803  
  267,000     

5.250%, 10/01/29

     237,299  
  400,000     

Organon & Company / Organon
Foreign Debt Co-Issuer, BV*

5.125%, 04/30/31

     339,516  
  305,000     

Team Health Holdings, Inc.*

6.375%, 02/01/25

     158,121  
  

Tenet Healthcare Corp.

  
  430,000     

6.250%, 02/01/27

     422,342  
  295,000     

6.875%, 11/15/31

     295,702  
  

Teva Pharmaceutical Finance
Netherlands III, BV

  
  270,000     

5.125%, 05/09/29^

     248,295  
  200,000     

4.750%, 05/09/27

     186,414  
  100,000     

3.150%, 10/01/26

     90,539  
     

 

 

 

        4,709,076  
     

 

 

 

PRINCIPAL

  AMOUNT  

           VALUE
  

Industrials (2.3%)

  
  260,000     

ACCO Brands Corp.*^

4.250%, 03/15/29

   $  223,522  
  235,000     

AerCap Holdings, NV‡

5.875%, 10/10/79

5 year CMT + 4.54%

     227,832  
  200,000     

Air Lease Corp.‡

4.125%, 12/15/26

5 year CMT + 3.15%

     145,272  
  

Albertsons Companies, Inc. /
Safeway, Inc. / New Albertsons,
LP / Albertsons, LLC*

  
  365,000     

4.625%, 01/15/27

     346,531  
  216,000     

3.500%, 03/15/29

     188,125  
  155,000     

5.875%, 02/15/28

     151,757  
  250,000     

Allegiant Travel Company*

7.250%, 08/15/27

     247,562  
  55,000     

American Airlines Group, Inc.*^

3.750%, 03/01/25

     52,545  
  127,000     

Arcosa, Inc.*

4.375%, 04/15/29

     115,139  
  475,000     

ARD Finance, SA*

6.500%, 06/30/27

7.250% PIK rate

     386,878  
  178,000     

Beacon Roofing Supply, Inc.*

4.125%, 05/15/29

     157,514  
  226,000     

BWX Technologies, Inc.*

4.125%, 04/15/29

     205,276  
  105,000     

Cascades, Inc. / Cascades USA, Inc.*

5.125%, 01/15/26

     101,303  
  57,000     

Delta Air Lines, Inc.

7.375%, 01/15/26

     59,228  
  56,000     

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

4.750%, 10/20/28

     54,264  
  282,000     

Deluxe Corp.*

8.000%, 06/01/29

     237,004  
  163,000     

Eco Material Technologies, Inc.*

7.875%, 01/31/27

     157,416  
  53,000     

Emerald Debt Merger Sub, LLC*

6.625%, 12/15/30

     52,773  
  140,000     

EnerSys*

4.375%, 12/15/27

     130,082  
  135,000     

Graham Packaging Company, Inc.*

7.125%, 08/15/28

     118,866  
  

Graphic Packaging International, LLC*

  
  102,000     

3.500%, 03/01/29

     89,282  
  85,000     

4.750%, 07/15/27

     81,967  
  236,000     

Great Lakes Dredge & Dock Corp.*^

5.250%, 06/01/29

     200,999  
  516,000     

H&E Equipment Services, Inc.*

3.875%, 12/15/28

     453,549  
  324,000     

Hawaiian Brand Intellectual
Property, Ltd. / HawaiianMiles
Loyalty, Ltd.*

5.750%, 01/20/26

     306,199  
  270,000     

Herc Holdings, Inc.*

5.500%, 07/15/27

     259,659  
  255,000     

IEA Energy Services, LLC*

6.625%, 08/15/29

     249,584  
  280,000     

JELD-WEN, Inc.*^

4.625%, 12/15/25

     275,716  
 

 

See accompanying Notes to Schedule of Investments
5


Calamos Global Dynamic Income Fund
SCHEDULE OF INVESTMENTS JULY 31, 2023 (UNAUDITED)

 

PRINCIPAL

  AMOUNT  

          VALUE
  360,000      

Ken Garff Automotive, LLC*

4.875%, 09/15/28

   $ 317,380  
  210,000    

Knife River Holding Company*

7.750%, 05/01/31

     215,095  
  110,000    

MasTec, Inc.*

4.500%, 08/15/28

     102,342  
  170,000    

Moog, Inc.*

4.250%, 12/15/27

     157,701  
  275,000    

Newfold Digital Holdings Group, Inc*

6.000%, 02/15/29

     203,181  
  232,000    

Novelis Corp.*

4.750%, 01/30/30

     208,807  
  80,000    

OI European Group, BV*

4.750%, 02/15/30

     72,606  
  255,000    

Pactiv Evergreen Group Issuer, Inc. / Pactiv Evergreen Group Issuer, LLC*

4.000%, 10/15/27

     229,979  
  327,000    

Patrick Industries, Inc.*

4.750%, 05/01/29

     284,588  
  110,000    

QVC, Inc.

5.450%, 08/15/34

     55,760  
 

Sealed Air Corp.*

  
  163,000    

6.125%, 02/01/28

     162,844  
  54,000    

5.000%, 04/15/29

     50,475  
  210,000    

Sensata Technologies, Inc.*

3.750%, 02/15/31

     177,702  
 

Sinclair Television Group, Inc.*

  
  167,000    

4.125%, 12/01/30

     108,911  
  100,000    

5.500%, 03/01/30

     52,763  
  225,000    

Standard Industries, Inc.*

5.000%, 02/15/27

     215,788  
  176,000    

Stericycle, Inc.*

3.875%, 01/15/29

     155,667  
  166,000    

STL Holding Company, LLC*

7.500%, 02/15/26

     154,727  
  200,000    

TransDigm UK Holdings, PLC

6.875%, 05/15/26

     199,264  
 

TransDigm, Inc.

  
  209,000    

6.250%, 03/15/26*

     208,258  
  205,000    

7.500%, 03/15/27

     204,965  
  155,000    

6.750%, 08/15/28*

     155,956  
  162,000    

Tronox, Inc.*

4.625%, 03/15/29

     134,436  
  92,353    

United Airlines Pass Through Trust Series 2019-2, Class B

3.500%, 11/01/29

     83,242  
  217,000    

Vertiv Group Corp.*

4.125%, 11/15/28

     195,031  
  228,000    

Wabash National Corp.*

4.500%, 10/15/28

     192,471  
  170,000    

Waste Pro USA, Inc.*

5.500%, 02/15/26

     161,082  
  67,000    

WESCO Distribution, Inc.*

7.250%, 06/15/28

     68,489  
 

Williams Scotsman International, Inc.*

  
  235,000    

6.125%, 06/15/25

     234,288  
  55,000    

4.625%, 08/15/28

     50,816  
    

 

 

 

        10,090,458  
    

 

 

 

 

Information Technology (0.7%)

  
  109,000    

Booz Allen Hamilton, Inc.*

4.000%, 07/01/29

     98,631  

PRINCIPAL

  AMOUNT  

          VALUE
  126,000    

Coherent Corp.*^

5.000%, 12/15/29

   $ 113,565  
  200,000    

CommScope Technologies, LLC*^

6.000%, 06/15/25

     181,714  
  200,000    

CommScope, Inc.*

4.750%, 09/01/29

     154,124  
  110,000    

Dell International, LLC / EMC Corp.

6.020%, 06/15/26

     111,553  
  108,000    

Dun & Bradstreet Corp.*^

5.000%, 12/15/29

     95,809  
  138,000    

Fair Isaac Corp.*

4.000%, 06/15/28

     126,843  
  245,000      

KBR, Inc.*

4.750%, 09/30/28

     224,506  
 

MPH Acquisition Holdings, LLC*

  
  245,000    

5.750%, 11/01/28^

     187,834  
  110,000    

5.500%, 09/01/28

     96,023  
  113,000    

NCR Corp.*

5.125%, 04/15/29

     101,242  
  167,000    

ON Semiconductor Corp.*

3.875%, 09/01/28

     151,457  
 

Open Text Corp.*

  
  204,000    

3.875%, 02/15/28

     181,907  
  110,000    

6.900%, 12/01/27

     112,556  
  81,000    

3.875%, 12/01/29

     68,575  
  81,000    

Open Text Holdings, Inc.*

4.125%, 12/01/31

     67,330  
  113,000    

Playtika Holding Corp.*

4.250%, 03/15/29

     99,836  
  315,000    

TTM Technologies, Inc.*

4.000%, 03/01/29

     268,799  
 

Twilio, Inc.

  
  150,000    

3.625%, 03/15/29

     129,075  
  57,000    

3.875%, 03/15/31^

     48,298  
  240,000    

Viavi Solutions, Inc.*

3.750%, 10/01/29

     206,959  
  260,000    

ZoomInfo Technologies, LLC / ZoomInfo Finance Corp.*^

3.875%, 02/01/29

     223,855  
    

 

 

 

        3,050,491  
    

 

 

 

 

Materials (0.6%)

  
  130,000    

ArcelorMittal, SA^

7.000%, 10/15/39

     134,879  
  85,000    

ATI, Inc.

5.875%, 12/01/27

     83,051  
  55,000    

Carpenter Technology Corp.

7.625%, 03/15/30

     56,205  
  165,000    

Chemours Company*

4.625%, 11/15/29

     139,847  
  355,000    

Clearwater Paper Corp.*

4.750%, 08/15/28

     314,704  
  157,000    

Cleveland-Cliffs, Inc.*

6.750%, 04/15/30

     153,127  
 

Commercial Metals Company

  
  108,000    

4.125%, 01/15/30

     97,211  
  54,000    

4.375%, 03/15/32

     47,201  
  250,000    

Constellium, SE*

3.750%, 04/15/29

     217,673  
  167,000    

HB Fuller Company

4.250%, 10/15/28

     150,004  
  215,000    

JW Aluminum Continuous Cast Company*

10.250%, 06/01/26

     213,112  
 

 

See accompanying Notes to Schedule of Investments
6


Calamos Global Dynamic Income Fund
SCHEDULE OF INVESTMENTS JULY 31, 2023 (UNAUDITED)

 

PRINCIPAL

  AMOUNT  

          VALUE
 

Kaiser Aluminum Corp.*

  
  245,000      

4.625%, 03/01/28

   $ 220,319  
  28,000    

4.500%, 06/01/31

     22,979  
  58,000    

LSF11 A5 HoldCo, LLC*

6.625%, 10/15/29

     48,762  
  284,000    

Mercer International, Inc.

5.125%, 02/01/29

     233,150  
  200,000    

OCI, NV*

6.700%, 03/16/33

     198,060  
 

Owens-Brockway Glass Container, Inc.*

  
  175,000    

6.625%, 05/13/27

     174,561  
  160,000    

7.250%, 05/15/31

     162,821  
  200,000    

Silgan Holdings, Inc.

4.125%, 02/01/28

     183,308  
  113,000    

Trinseo Materials Operating SCA / Trinseo Materials Finance, Inc.*

5.125%, 04/01/29

     66,516  
    

 

 

 

        2,917,490  
    

 

 

 

  Other (0.0%)   
 

Gen Digital, Inc.*

  
  100,000    

7.125%, 09/30/30^

     100,876  
  100,000    

6.750%, 09/30/27

     100,441  
    

 

 

 

       201,317  
    

 

 

 

 

Real Estate (0.2%)

  
  174,000    

EPR Properties

3.750%, 08/15/29

     143,275  
 

Forestar Group, Inc.*

  
  187,000    

5.000%, 03/01/28

     174,207  
  110,000    

3.850%, 05/15/26

     102,515  
  248,000    

MIWD Holdco II, LLC / MIWD Finance Corp.*

5.500%, 02/01/30

     211,075  
  105,000    

Service Properties Trust

5.250%, 02/15/26

     95,963  
    

 

 

 

       727,035  
    

 

 

 

 

Special Purpose Acquisition Companies (0.1%)

 

 

Fertitta Entertainment, LLC / Fertitta Entertainment Finance Company, Inc.*

  
  220,000    

6.750%, 01/15/30

     189,226  
  107,000    

4.625%, 01/15/29

     93,884  
    

 

 

 

       283,110  
    

 

 

 

 

Utilities (0.1%)

  
  79,000    

PPL Capital Funding, Inc.‡

8.203%, 03/30/67

3 mo. LIBOR + 2.67%

     71,604  
  260,000    

TerraForm Power Operating, LLC*

5.000%, 01/31/28

     241,998  
 

Vistra Corp.*‡

  
  105,000    

7.000%, 12/15/26

5 year CMT + 5.74%

     94,666  
  50,000    

8.000%, 10/15/26

5 year CMT + 6.93%

     47,663  
    

 

 

 

       455,931  
    

 

 

 

 

TOTAL CORPORATE BONDS

(Cost $69,608,485)

     66,733,750  
    

 

 

 

PRINCIPAL

  AMOUNT  

          VALUE
 

CONVERTIBLE BONDS (32.5%)

 
 

Communication Services (2.6%)

  
  200,000 EUR   

America Movil, BV
0.000%, 03/02/24

   $ 235,144  
  325,000    

Bharti Airtel, Ltd.*
1.500%, 02/17/25

     476,820  
  159,000    

Cable One, Inc.µ
0.000%, 03/15/26

     130,930  
  20,000,000 JPY   

CyberAgent, Inc.µ
0.000%, 02/19/25

     140,324  
  3,576,000    

Liberty Media Corp.*
2.250%, 08/15/27

     3,775,541  
 

Sea, Ltd.

  
  5,311,000    

2.375%, 12/01/25

     5,703,855  
  604,000    

0.250%, 09/15/26

     486,727  
  538,000    

Snap, Inc.µ
0.125%, 03/01/28

     388,974  
  200,000    

Xiaomi Best Time International, Ltd.
0.000%, 12/17/27

     169,962  
  157,000    

Zillow Group, Inc.
1.375%, 09/01/26

     207,717  
    

 

 

 

        11,715,994  
    

 

 

 

 

Consumer Discretionary (7.5%)

  
  203,000    

Airbnb, Inc.µ
0.000%, 03/15/26

     182,702  
  145,000    

Booking Holdings, Inc.

0.750%, 05/01/25

     234,356  
  353,000    

Burlington Stores, Inc.
2.250%, 04/15/25

     382,532  
 

DISH Network Corp.

  
  430,000    

2.375%, 03/15/24µ

     396,421  
  397,000    

0.000%, 12/15/25

     242,448  
  2,335,000    

DraftKings Holdings, Inc.µ
0.000%, 03/15/28

     1,804,278  
 

Etsy, Inc.

  
  229,000    

0.125%, 10/01/26

     303,153  
  161,000    

0.125%, 09/01/27µ

     141,781  
  251,000    

Farfetch, Ltd.µ
3.750%, 05/01/27

     203,185  
 

Flight Centre Travel Group, Ltd.

  
  2,600,000 AUD   

2.500%, 11/17/27

     2,205,327  
  200,000 AUD   

1.625%, 11/01/28

     135,240  
  11,210,000    

Ford Motor Company~

0.000%, 03/15/26

     11,476,686  
  100,000 EUR   

HelloFresh, SEµ
0.750%, 05/13/25

     101,842  
  2,740,000    

IMAX Corp.µ
0.500%, 04/01/26

     2,572,339  
  161,000    

Liberty Broadband Corp.*µ
3.125%, 03/31/53

     164,542  
  214,000    

Lucid Group, Inc.*
1.250%, 12/15/26

     143,511  
  296,000    

MakeMyTrip, Ltd.
0.000%, 02/15/28

     291,326  
  920,000    

Marriott Vacations Worldwide Corp.
0.000%, 01/15/26

     871,930  
  400,000    

Meituan0.
000%, 04/27/28

     333,032  
  40,000,00 0JPY   

Mercari, Inc.
0.000%, 07/14/28

     209,378  
 

Ocado Group, PLC

  
  100,000 GBP   

0.875%, 12/09/25

     113,661  
 

 

See accompanying Notes to Schedule of Investments
7


Calamos Global Dynamic Income Fund
SCHEDULE OF INVESTMENTS JULY 31, 2023 (UNAUDITED)

 

PRINCIPAL

  AMOUNT  

          VALUE
  100,000 GBP   

0.750%, 01/18/27µ

   $ 98,134  
  339,000    

PDD Holdings, Inc.

0.000%, 12/01/25

     331,579  
  158,000    

Rivian Automotive, Inc.*

4.625%, 03/15/29

     254,382  
  194,000    

Royal Caribbean Cruises, Ltd.*

6.000%, 08/15/25

     445,663  
  100,000 EUR   

Shop Apotheke Europe, NVµ

0.000%, 01/21/28

     94,867  
  162,000    

Stride, Inc.

1.125%, 09/01/27

     158,084  
  17,000    

Tesla, Inc.

2.000%, 05/15/24

     220,408  
  314,000    

Vroom, Inc.

0.750%, 07/01/26

     162,508  
 

Wayfair, Inc.

  
  318,000    

0.625%, 10/01/25µ

     273,270  
  302,000    

3.500%, 11/15/28*

     563,505  
  168,000    

1.000%, 08/15/26µ

     146,074  
  1,900,000 GBP   

WH Smith, PLC

1.625%, 05/07/26

     2,145,638  
  4,573,000    

Wynn Macau, Ltd.*

4.500%, 03/07/29

     5,065,283  
  5,000,000 HKD   

Zhongsheng Group Holdings, Ltd.

0.000%, 05/21/25

     676,519  
    

 

 

 

        33,145,584  
    

 

 

 

 

Consumer Staples (1.5%)

  
  2,500,000 EUR   

Fomento Economico Mexicano SAB de CV

2.625%, 02/24/26

     2,747,762  
  20,000,000 JPY   

Nippn Corp.

0.000%, 06/20/25

     144,478  
  4,975,000 CAD   

Premium Brands Holdings Corp.

4.200%, 09/30/27

     3,562,917  
    

 

 

 

       6,455,157  
    

 

 

 

 

Energy (0.5%)

  
  1,650,000    

Nabors Industries, Inc.*µ

1.750%, 06/15/29

     1,440,912  
  306,000    

Northern Oil And Gas, Inc.*

3.625%, 04/15/29

     373,764  
  170,000    

Pioneer Natural Resources Company

0.250%, 05/15/25

     407,641  
 

SunEdison, Inc.@

  
  2,261,000    

0.250%, 01/15/49*

     22,610  
  275,000    

2.000%, 10/01/49

     2,750  
    

 

 

 

       2,247,677  
    

 

 

 

 

Financials (2.4%)

  
  41,000,000 HKD   

Citigroup Global Markets Funding Luxembourg SCAµ

0.000%, 07/25/24

     4,961,700  
  192,000    

Coinbase Global, Inc.µ

0.500%, 06/01/26

     146,826  
  300,000 EUR   

Corestate Capital Holding, SA

1.375%, 07/31/23

     50,550  
  100,000 GBP   

Cornwall Jersey, Ltd.

0.750%, 04/16/26

     85,821  
  100,000 EUR   

JPMorgan Chase Bank NA

0.000%, 02/18/24

     116,952  
  200,000 EUR   

JPMorgan Chase Financial Company, LLC (Voya Financial, Inc.)§

0.000%, 01/14/25

     228,601  

PRINCIPAL

  AMOUNT  

          VALUE
  200,000 EUR   

LEG Immobilien, SE

0.875%, 09/01/25

   $ 201,288  
  314,000    

Morgan Stanley Finance, LLC

1.000%, 11/23/27

     352,088  
  200,000 EUR   

Oliver Capital Sarl

0.000%, 12/29/23

     223,350  
  610,000,000 JPY   

SBI Holdings, Inc.

0.000%, 09/13/23

     4,295,534  
    

 

 

 

        10,662,710  
    

 

 

 

  Health Care (2.1%)   
  164,000    

Alnylam Pharmaceuticals, Inc.*µ

1.000%, 09/15/27

     160,136  
  1,768,000    

BioMarin Pharmaceutical, Inc.µ

0.599%, 08/01/24

     1,728,185  
  135,000    

Coherus Biosciences, Inc.

1.500%, 04/15/26

     85,501  
  172,000    

CONMED Corp.

2.250%, 06/15/27

     180,736  
 

Dexcom, Inc.

  
  2,220,000    

0.250%, 11/15/25

     2,337,505  
  156,000    

0.375%, 05/15/28*

     157,799  
  100,000 EUR   

GN Store Nord ASµ

0.000%, 05/21/24

     105,152  
  205,000    

Haemonetics Corp.µ

0.000%, 03/01/26

     177,532  
 

Halozyme Therapeutics, Inc.

  
  206,000    

0.250%, 03/01/27µ

     180,357  
  170,000    

1.000%, 08/15/28*

     170,445  
  73,000    

Innoviva, Inc.

2.500%, 08/15/25

     73,746  
  158,000    

Insmed, Inc.

0.750%, 06/01/28

     136,935  
  162,000    

Integer Holdings Corp.*

2.125%, 02/15/28

     198,468  
  167,000    

Integra LifeSciences Holdings Corp.µ

0.500%, 08/15/25

     156,439  
  163,000    

Ionis Pharmaceuticals, Inc.

0.000%, 04/01/26

     153,923  
  156,000    

Jazz Investments I, Ltd.

2.000%, 06/15/26

     162,126  
  101,000    

Lantheus Holdings, Inc.*

2.625%, 12/15/27

     134,160  
  30,000,000 JPY   

Menicon Company, Ltd.

0.000%, 01/29/25

     212,489  
  181,000    

NeoGenomics, Inc.µ

0.250%, 01/15/28

     134,139  
  165,000    

NuVasive, Inc.µ

0.375%, 03/15/25

     150,678  
  145,000    

Omnicell, Inc.µ

0.250%, 09/15/25

     139,328  
  135,000    

Pacira BioSciences, Inc.µ

0.750%, 08/01/25

     124,683  
  163,000    

Sarepta Therapeutics, Inc.*µ

1.250%, 09/15/27

     173,664  
  155,000    

Tandem Diabetes Care, Inc.*µ

1.500%, 05/01/25

     144,576  
  1,491,000    

TransMedics Group, Inc.*

1.500%, 06/01/28

     1,818,677  
    

 

 

 

       9,197,379  
    

 

 

 

  Industrials (2.9%)   
  1,744,000    

Axon Enterprise, Inc.*

0.500%, 12/15/27

     1,801,831  
 

 

See accompanying Notes to Schedule of Investments
8


Calamos Global Dynamic Income Fund
SCHEDULE OF INVESTMENTS JULY 31, 2023 (UNAUDITED)

 

PRINCIPAL

  AMOUNT  

          VALUE
  100,000 EUR   

Duerr, AG

0.750%, 01/15/26

   $ 113,363  
  196,000    

John Bean Technologies Corp.

0.250%, 05/15/26

     187,938  
  200,000    

L&F Company Ltd.

2.500%, 04/26/30

     178,770  
  161,000    

Middleby Corp.

1.000%, 09/01/25

     203,034  
  1,999,000    

Parsons Corp.

0.250%, 08/15/25

     2,340,729  
  2,700,000 EUR   

Prysmian S.p.A

0.000%, 02/02/26

     3,081,341  
  2,200,000 EUR   

Rheinmetall AG

1.875%, 02/07/28

     2,555,061  
  159,600 EUR   

Schneider Electric, SE

0.000%, 06/15/26

     322,340  
  176,000    

Southwest Airlines Company~

1.250%, 05/01/25

     194,248  
  1,400,000 EUR   

SPIE, SA

2.000%, 01/17/28

     1,579,014  
  393,000    

Sunrun, Inc.µ

0.000%, 02/01/26

     293,013  
    

 

 

 

       12,850,682  
    

 

 

 

  Information Technology (7.9%)   
  223,000    

Affirm Holdings, Inc.µ

0.000%, 11/15/26

     165,508  
  190,000    

Akamai Technologies, Inc.

0.125%, 05/01/25

     207,776  
  1,500,000 EUR   

Amadeus IT Group, SA

1.500%, 04/09/25

     2,060,128  
 

BILL Holdings, Inc.µ

  
  208,000    

0.000%, 04/01/27

     171,746  
  94,000    

0.000%, 12/01/25

     101,108  
  3,175,000    

Block, Inc.µ

0.125%, 03/01/25

     3,150,044  
  210,000    

Cloudflare, Inc.µ

0.000%, 08/15/26

     180,619  
  213,000    

Confluent, Inc.µ

0.000%, 01/15/27

     177,966  
  2,251,000    

CyberArk Software, Ltd.

0.000%, 11/15/24

     2,644,542  
  2,677,000    

Datadog, Inc.

0.125%, 06/15/25

     3,687,969  
  447,000    

DigitalOcean Holdings, Inc.µ

0.000%, 12/01/26

     356,746  
  207,000    

Dropbox, Inc.

0.000%, 03/01/28

     199,718  
  381,000 CAD   

Dye & Durham, Ltd.*µ

3.750%, 03/01/26

     226,811  
  411,000    

Fastly, Inc.µ

0.000%, 03/15/26

     344,418  
  357,000    

Five9, Inc.

0.500%, 06/01/25

     354,733  
  17,000,000 HKD   

Kingsoft Corp, Ltd.

0.625%, 04/29/25

     2,476,792  
  175,000    

LivePerson, Inc.µ

0.000%, 12/15/26

     128,200  
  324,000    

Lumentum Holdings, Inc.µ

0.500%, 12/15/26

     279,897  
  451,000    

Microchip Technology, Inc.^

0.125%, 11/15/24

     522,141  
  418,000    

MicroStrategy, Inc.µ

0.000%, 02/15/27

     301,608  
  447,000    

NCL Corp. Ltd.µ

1.125%, 02/15/27

     419,501  

PRINCIPAL

  AMOUNT  

          VALUE
  200,000 EUR   

Nexi S.p.Aµ

1.750%, 04/24/27

   $ 193,450  
  162,000    

Nice, Ltd.

0.000%, 09/15/25

     160,756  
  413,000    

Okta, Inc.µ

0.125%, 09/01/25

     376,260  
 

ON Semiconductor Corp.

  
  3,204,000    

0.500%, 03/01/29*

     3,925,445  
  202,000    

0.000%, 05/01/27

     416,704  
  148,000    

Palo Alto Networks, Inc.

0.375%, 06/01/25

     373,250  
  173,000    

Pegasystems, Inc.µ

0.750%, 03/01/25

     159,105  
  296,000    

Repay Holdings Corp.*µ

0.000%, 02/01/26

     244,644  
  320,000    

RingCentral, Inc.µ

0.000%, 03/15/26

     266,858  
  360,000,000 JPY   

Rohm Company, Ltd.

0.000%, 12/05/24

     2,811,626  
  40,000,000 JPY   

SCREEN Holdings Company, Ltd.

0.000%, 06/11/25

     370,708  
  139,000    

Shift4 Payments, Inc.

0.000%, 12/15/25

     151,201  
  3,200,000    

SK Hynix, Inc.

1.750%, 04/11/30

     4,207,360  
  148,300 EUR   

SOITEC

0.000%, 10/01/25

     329,448  
  190,000    

Splunk, Inc.

1.125%, 09/15/25

     190,380  
  200,000    

Tyler Technologies, Inc.

0.250%, 03/15/26

     201,032  
  1,973,000    

Unity Software, Inc.µ

0.000%, 11/15/26

     1,583,332  
  200,000    

Win Semiconductors Corp.

0.000%, 01/14/26

     170,274  
  318,000    

Wix.com, Ltd.

0.000%, 08/15/25

     283,208  
  170,000    

Workiva, Inc.

1.125%, 08/15/26

     244,603  
  265,000    

Xero Investments, Ltd.

0.000%, 12/02/25

     239,454  
  145,000    

Zscaler, Inc.

0.125%, 07/01/25

     178,437  
    

 

 

 

        35,235,506  
    

 

 

 

  Materials (3.1%)   
  214,000    

Amyris, Inc.

1.500%, 11/15/26

     39,051  
  6,400,000    

Glencore Funding, LLC

0.000%, 03/27/25

     6,881,728  
  950,000    

Ivanhoe Mines, Ltd.*

2.500%, 04/15/26

     1,448,959  
  2,700,000    

LG Chem, Ltd.

1.250%, 07/18/28

     2,851,821  
  2,154,000    

Lithium Americas Corp.µ

1.750%, 01/15/27

     1,662,672  
  20,000,000 JPY   

Nippon Steel Corp.

0.000%, 10/05/26

     186,587  
  400,000 EUR   

POSCO Holdings, Inc.

0.000%, 09/01/26

     638,493  
    

 

 

 

       13,709,311  
    

 

 

 

  Other (0.6%)   
  3,440,000 EUR   

Edenred

0.000%, 09/06/24

     2,400,538  
 

 

See accompanying Notes to Schedule of Investments
9


Calamos Global Dynamic Income Fund
SCHEDULE OF INVESTMENTS JULY 31, 2023 (UNAUDITED)

 

PRINCIPAL

  AMOUNT  

          VALUE
  110,000    

Multiplan Corp.*

6.000%, 10/15/27

   $ 75,050  
    

 

 

 

       2,475,588  
    

 

 

 

  Real Estate (0.9%)   
  2,900,000 EUR   

ANLLIAN Capital, Ltd.

0.000%, 02/05/25

     3,428,362  
  330,000    

Redfin Corp.µ

0.000%, 10/15/25

     272,854  
  200,000    

Vingroup, JSC

3.000%, 04/20/26

     173,870  
    

 

 

 

       3,875,086  
    

 

 

 

  Utilities (0.5%)   
  318,000    

American Water Capital Corp.*

3.625%, 06/15/26

     323,772  
  1,466,000    

CMS Energy Corp.*

3.375%, 05/01/28

     1,461,851  
  320,000    

PPL Capital Funding, Inc.*

2.875%, 03/15/28

     309,136  
  160,000    

Southern Company*

3.875%, 12/15/25

     160,696  
    

 

 

 

       2,255,455  
    

 

 

 

 

TOTAL CONVERTIBLE BONDS

(Cost $154,791,739)

      143,826,129  
    

 

 

 

 

BANK LOANS (13.1%) ¡

 
  Airlines (0.1%)   
  180,500    

American Airlines, Inc.‡

10.338%, 04/20/28

3 mo. SOFR + 4.75%

     187,193  
  176,000    

Mileage Plus Holdings, LLC‡

10.764%, 06/21/27

3 mo. LIBOR + 5.25%

     183,810  
    

 

 

 

       371,003  
    

 

 

 

  Communication Services (2.1%)   
  1,250,000    

APi Group DE, Inc.!

0.000%, 01/03/29

     1,254,244  
  1,840,000    

Charter Communications Operating LLC!

0.000%, 02/01/27

     1,829,429  
  336,000    

Clear Channel Outdoor Holdings, Inc.‡

8.851%, 08/21/26

3 mo. SOFR + 3.50%

     326,340  
  875    

Clear Channel Outdoor Holdings, Inc.‡

8.933%, 08/21/26

1 mo. SOFR + 3.50%

     850  
  159,083    

CMG Media Corp.‡

8.842%, 12/17/26

3 mo. SOFR + 3.50%

     144,879  
  293,948    

DIRECTV Financing, LLC‡

10.433%, 08/02/27

1 mo. SOFR + 5.00%

     292,571  
  320,000    

Entercom Media Corp.‡

8.131%, 11/18/24

3 mo SOFR + 2.50%

     176,229  
  1,250,000    

Go Daddy Operating Company, LLC!

0.000%, 11/09/29

     1,253,306  

PRINCIPAL

  AMOUNT  

          VALUE
  1,250,000      

Match Group, Inc.!

0.000%, 02/13/27

   $ 1,246,875  
  1,250,000    

Nexstar Broadcasting, Inc.‡

7.933%, 09/18/26

1 mo. SOFR + 2.50%

     1,251,463  
  73,805    

Nexstar Broadcasting, Inc.‡

7.933%, 09/18/26

1 mo. SOFR + 2.50%

     73,891  
  110,000    

Telesat Canada‡

8.183%, 12/07/26

1 mo. SOFR + 2.75%

     67,660  
  103,950    

Univision Communications, Inc.‡

9.492%, 06/24/29

3 mo. SOFR + 4.25%

     104,048  
  1,250,000    

Virgin Media Bristol, LLC!

0.000%, 01/31/28

     1,219,300  
    

 

 

 

        9,241,085  
    

 

 

 

  Consumer Discretionary (2.2%)   
  1,250,000    

Adient US LLC!

0.000%, 04/10/28

     1,253,256  
  1,250,000    

Aramark Services, Inc.!

0.000%, 06/22/30

     1,250,000  
  209,475    

Caesars Entertainment, Inc‡

8.555%, 02/06/30

1 mo. SOFR + 3.25%

     209,868  
  209,475    

Hanesbrands, Inc.‡

9.055%, 03/08/30

1 mo. SOFR + 3.75%

     209,672  
  1,500,000    

KFC Holding Company‡

7.094%, 03/15/28

1 mo. SOFR + 1.75%

     1,498,125  
  122,430    

Life Time Fitness, Inc.‡

10.050%, 01/15/26

3 mo. SOFR + 4.75%

     123,094  
  1,250,000    

Murphy USA, Inc.!

0.000%, 01/31/28

     1,256,250  
  1,250,000    

PENN Entertainment, Inc.‡

8.169%, 05/03/29

1 mo. SOFR + 2.75%

     1,250,000  
  107,019    

PENN Entertainment, Inc.‡

8.169%, 05/03/29

1 mo. SOFR + 2.75%

     107,019  
  374,146    

Petco Health and Wellness Company, Inc.‡

8.754%, 03/03/28

3 mo. SOFR + 3.25%

     373,409  
  382,065    

PetSmart, Inc.‡

9.169%, 02/11/28

1 mo. SOFR + 3.75%

     382,405  
  195,500    

SkyMiles IP, Ltd.‡

9.076%, 10/20/27

3 mo. SOFR + 3.75%

     203,531  
  1,250,000    

Station Casinos, LLC!

0.000%, 02/08/27

     1,247,356  
  139,912    

TKC Holdings, Inc.‡

10.933%, 05/15/28

1 mo. LIBOR + 5.50%

     131,853  
  55,000    

Windsor Holdings III, LLC!

0.000%, 06/21/30

     54,908  
  363,825    

WW International, Inc.‡

8.933%, 04/13/28

1 mo. SOFR + 3.50%

     274,839  
    

 

 

 

       9,825,585  
    

 

 

 

 

 

See accompanying Notes to Schedule of Investments
10


Calamos Global Dynamic Income Fund
SCHEDULE OF INVESTMENTS JULY 31, 2023 (UNAUDITED)

 

PRINCIPAL

  AMOUNT  

          VALUE
  Consumer Staples (0.0%)   
  110,000    

United Natural Foods, Inc.!

0.000%, 10/22/25

   $ 110,305  
    

 

 

 

  Energy (0.1%)   
  204,488    

Par Petroleum, LLC‡

9.614%, 02/28/30

3 mo. SOFR + 4.25%

     203,636  
    

 

 

 

  Financials (1.3%)   
  209,474    

Alliant Holdings Intermediate, LLC‡

8.722%, 11/05/27

1 mo. SOFR + 3.50%

     209,321  
  165,000      

Amynta Agency Borrower, Inc.‡

10.419%, 02/28/28

1 mo. SOFR + 5.00%

     162,952  
  213,379    

AssuredPartners, Inc.‡

8.819%, 02/12/27

1 mo. SOFR + 3.50%

     212,579  
  1,500,000    

Avolon TLB Borrower 1 (US), LLC‡

7.755%, 06/22/28

1 mo. SOFR + 2.50%

     1,502,182  
  165,000    

Avolon TLB Borrower 1 (US), LLC

7.755%, 06/22/28

1 mo. SOFR + 2.50%

     165,240  
  1,250,000    

Castlelake Aviation Ltd.!

0.000%, 10/22/26

     1,251,250  
  109,450    

Castlelake Aviation, Ltd.‡

8.004%, 10/22/27

3 mo. SOFR + 2.75%

     109,528  
  208,950    

Hub International, Ltd.‡

9.060%, 11/10/29

3 mo. SOFR + 4.00%

     209,624  
  1,250,000    

Jazz Financing Lux Sarl‡

8.933%, 05/05/28

1 mo. LIBOR + 3.50%

     1,250,087  
  264,968    

Jazz Financing Lux Sarl‡

8.933%, 05/05/28

1 mo. LIBOR + 3.50%

     264,987  
  292,050    

VFH Parent, LLC‡

8.405%, 01/13/29

1 mo. SOFR + 3.00%

     291,101  
    

 

 

 

        5,628,851  
    

 

 

 

  Health Care (2.6%)   
  374,747    

Amneal Pharmaceuticals, LLC‡

8.933%, 05/04/25

1 mo. SOFR + 3.50%

     357,415  
  1,077,652    

Avantor Funding, Inc.‡

7.669%, 11/08/27

1 mo. SOFR + 2.25%

     1,079,274  
  52,250    

Bausch Health Companies, Inc.‡

10.605%, 02/01/27

1 mo. SOFR + 5.25%

     42,797  
  1,500,000    

DaVita, Inc.!

0.000%, 08/12/26

     1,484,880  
  1,250,000    

Elanco Animal Health, Inc.!

0.000%, 08/01/27

     1,233,113  
  1,250,000    

Horizon Therapeutics USA, Inc.!

0.000%, 03/15/28

     1,249,738  
  1,000,700    

Icon Luxembourg Sarl‡

7.754%, 07/03/28

3 mo. SOFR + 2.25%

     1,002,801  

PRINCIPAL

  AMOUNT  

          VALUE
  126,908    

Icon Luxembourg Sarl‡

7.754%, 07/03/28

3 mo. SOFR + 2.25%

   $ 127,175  
  1,250,000    

IQVIA, Inc.!

0.000%, 06/11/25

     1,252,062  
  292,031    

Mallinckrodt International Finance, SA‡

10.619%, 09/30/27

1 mo. SOFR + 5.25%

     221,898  
  1,250,000      

Organon & Company‡

8.257%, 06/02/28

1 mo. SOFR + 3.00%

     1,248,206  
  235,294    

Padagis, LLC‡

10.280%, 07/06/28

3 mo. SOFR + 4.75%

     227,844  
  1,250,000    

Perrigo Investments, LLC!

0.000%, 04/20/29

     1,245,313  
  249,300    

PRA Health Sciences, Inc.

7.754%, 07/03/28

3 mo. SOFR + 2.25%

     249,825  
  31,619    

PRA Health Sciences, Inc.‡

7.754%, 07/03/28

3 mo. SOFR + 2.25%

     31,685  
  636,015    

Team Health Holdings, Inc.‡

10.569%, 03/02/27

1 mo. SOFR + 5.25%

     439,756  
    

 

 

 

       11,493,782  
    

 

 

 

  Industrials (2.8%)   
  107,800    

ACProducts, Inc.‡

9.754%, 05/17/28

3 mo. LIBOR + 4.25%

     93,058  
  138,600    

Air Canada‡

8.839%, 08/11/28

3 mo. LIBOR + 3.50%

     138,847  
  1,250,000    

Beacon Roofing Supply, Inc.!

0.000%, 05/19/28

     1,251,369  
  1,500,000    

Berry Global, Inc.!

0.000%, 07/01/26

     1,500,645  
  987,937    

ChampionX Corp.‡

8.495%, 06/07/29

1 mo. SOFR + 3.25%

     992,259  
  535,000    

ChampionX Corp.‡

8.495%, 06/07/29

1 mo. SOFR + 3.25%

     537,341  
  1,250,000    

Emrld Borrower, LP‡

8.264%, 05/31/30

3 mo. SOFR + 3.00%

     1,252,350  
  134,297    

Emrld Borrower, LP‡

8.264%, 05/31/30

3 mo. SOFR + 3.00%

     134,549  
  1,250,000    

H.B. Fuller Company!

0.000%, 02/15/30

     1,255,344  
  1,250,000    

Jeld-Wen, Inc.!

0.000%, 07/28/28

     1,246,781  
  1,250,000    

Scientific Games International, Inc.‡

8.302%, 04/14/29

1 mo. SOFR + 3.00%

     1,249,900  
  198,000    

Scientific Games International, Inc.‡

8.302%, 04/14/29

1 mo. SOFR + 3.00%

     197,984  
  124,375    

Summit Materials, LLC‡

8.492%, 12/14/27

6 mo. SOFR + 3.00%

     125,230  
 

 

See accompanying Notes to Schedule of Investments
11


Calamos Global Dynamic Income Fund
SCHEDULE OF INVESTMENTS JULY 31, 2023 (UNAUDITED)

 

PRINCIPAL

  AMOUNT  

           VALUE
  1,250,000     

TransDigm, Inc.!

0.000%, 08/24/28

   $ 1,252,638  
  1,000,000     

United Airlines, Inc.‡

9.292%, 04/21/28

3 mo. LIBOR + 3.75%

     1,003,125  
  221,733     

United Airlines, Inc.‡

9.292%, 04/21/28

3 mo. LIBOR + 3.75%

     222,426  
     

 

 

 

         12,453,846  
     

 

 

 

   Information Technology (0.5%)   
  203,415     

Dun & Bradstreet Corp.‡

8.291%, 02/06/26

1 mo. SOFR + 3.00%

     203,447  
  751,400     

Open Text Corp.!

0.000%, 01/31/30

     753,515  
  751,400     

SS&C Technologies, Inc.!

0.000%, 03/22/29

     751,746  
  498,600     

SS&C Technologies, Inc.!

0.000%, 03/22/29

     498,829  
     

 

 

 

        2,207,537  
     

 

 

 

   Information Technology (0.4%)   
  207,917     

Banff Merger Sub, Inc.‡

9.183%, 10/02/25

1 mo. SOFR + 3.75%

     207,658  
  172,944     

Camelot U.S. Acquisition LLC‡

8.433%, 10/30/26

1 mo. SOFR + 3.00%

     172,999  
  49,750     

CDK Global, Inc.‡

9.492%, 07/06/29

3 mo. SOFR + 4.25%

     49,830  
  1,447,080     

II-VI, Inc.‡

8.183%, 07/02/29

1 mo. SOFR + 2.75%

     1,448,527  
     

 

 

 

        1,879,014  
     

 

 

 

   Materials (0.8%)   
  110,192     

American Axle and Manufacturing, Inc.‡

8.777%, 12/13/29

1 mo. SOFR + 3.50%

     110,238  
  47,407     

American Axle and Manufacturing, Inc.‡

8.436%, 12/13/29

1 mo. SOFR + 3.50%

     47,427  
  1,500,000     

Axalta Coating Systems U.S. Holdings, Inc.!

0.000%, 12/20/29

     1,505,858  
  1,070,000     

Chemours Company!

0.000%, 04/03/25

     1,069,556  
  215,000     

Ineos US Finance, LLC‡

8.805%, 02/18/30

1 mo. SOFR + 3.50%

     213,052  
  263,140     

Innophos, Inc.‡

8.683%, 02/05/27

1 mo. SOFR + 3.25%

     263,552  
  108,625     

LSF11 A5 HoldCo, LLC‡

8.933%, 10/15/28

1 mo. SOFR + 3.50%

     107,765  
  105,000     

LSF11 A5 Holdco, LLC‡

9.669%, 10/15/28

1 mo. SOFR + 4.25%

     104,803  
  114,707     

Trinseo Materials Operating SCA!

0.000%, 05/03/28

     91,471  

PRINCIPAL

  AMOUNT  

          VALUE
  204,229    

WR Grace & Company‡

9.313%, 09/22/28

3 mo. LIBOR + 3.75%

   $ 204,204  
    

 

 

 

       3,717,926  
    

 

 

 

  Special Purpose Acquisition Companies (0.2%)

 

  210,000    

AP Core Holdings II, LLC‡

10.933%, 09/01/27

1 mo. SOFR + 5.50%

     203,657  
  108,900    

Clydesdale Acquisition Holdings, Inc.‡

9.594%, 04/13/29

1 mo. SOFR + 4.18%

     108,054  
  54,313    

Fertitta Entertainment, LLC‡

9.319%, 01/27/29

1 mo. SOFR + 4.00%

     53,822  
  228,275    

Oscar AcquisitionCo, LLC‡

9.842%, 04/29/29

3 mo. SOFR + 4.50%

     225,661  
  198,500    

Patagonia Holdco, LLC‡

10.789%, 08/01/29

3 mo. SOFR + 5.75%

     171,538  
    

 

 

 

       762,732  
    

 

 

 

 

TOTAL BANK LOANS

(Cost $58,494,807)

     57,895,302  
    

 

 

 

NUMBER OF

  SHARES  

          VALUE
  CONVERTIBLE PREFERRED STOCKS (1.1%)  
  Energy (0.0%)   
  5    

Gulfport Energy Corp.

10.000%, 08/31/23

15.000% PIK rate

     36,875  
    

 

 

 

  Financials (0.3%)   
  417    

Bank of America Corp.~‡‡

7.250%, 01/01/00

     507,906  
  3,178    

KKR & Company, Inc.

6.000%, 09/15/23

     222,015  
  413    

Wells Fargo & Company - Class A~‡‡

7.500%, 01/01/00

     486,923  
    

 

 

 

       1,216,844  
    

 

 

 

  Utilities (0.8%)   
  1,995    

AES Corp.^

6.875%, 02/15/24

     170,752  
 

NextEra Energy, Inc.

  
  41,636    

6.219%, 09/01/23

     2,060,982  
  35,211    

6.926%, 09/01/25~

     1,610,199  
    

 

 

 

       3,841,933  
    

 

 

 

 

TOTAL CONVERTIBLE PREFERRED STOCKS

(Cost $5,431,652)

     5,095,652  
    

 

 

 

  COMMON STOCKS (77.9%)  
  Communication Services (4.9%)   
  58,500    

Alphabet, Inc. - Class A#

     7,764,120  
  4,575    

Altice USA, Inc. - Class Aµ#

     15,509  
  4,050    

Baidu, Inc. (ADR)#

     631,759  
  79,900  HKD   

Baidu, Inc. - Class Aµ#

     1,562,108  
 

 

See accompanying Notes to Schedule of Investments
12


Calamos Global Dynamic Income Fund
SCHEDULE OF INVESTMENTS JULY 31, 2023 (UNAUDITED)

 

NUMBER OF

  SHARES  

          VALUE
  1,735    

Cumulus Media, Inc. - Class Aµ#

   $ 11,000  
  1    

Frontier Communications Parent, Inc.^#

     18  
  96,000  EUR   

Orange, SAµ

     1,085,168  
  66,700  HKD   

Tencent Holdings, Ltd.µ

     3,065,607  
  89,070    

Tencent Holdings, Ltd. (ADR)~

     4,091,876  
  1,176,545  GBP   

Vodafone Group, PLCµ

     1,119,200  
  26,395    

Walt Disney Company~#

     2,346,252  
    

 

 

 

       21,692,617  
    

 

 

 

  Consumer Discretionary (10.6%)   
  124,700  HKD   

Alibaba Group Holding, Ltd.µ#

     1,593,588  
  8,175    

Alibaba Group Holding, Ltd. (ADR)^~#

     835,158  
  24,320  PLN   

Allegro.eu, SA*#

     214,417  
  165,500  MXN   

Alsea, SAB de CV#

     576,013  
  89,300    

Amazon.com, Inc.^µ#

     11,937,624  
  170,400  SAR   

Americana Restaurants International, PLC

     174,242  
  51,097    

Aptiv, PLCµ#

     5,594,610  
  3,219    

Arcos Dorados Holdings, Inc. - Class A

     36,375  
  3,900  BRL   

Arezzo Industria e Comercio, SA

     67,959  
  279,700  PHP   

Bloomberry Resorts Corp.#

     60,397  
  12,500  CNY   

BYD Company, Ltd. - Class A

     477,186  
  20,700  CNY   

China Tourism Group Duty Free Corp., Ltd. - Class A

     365,902  
  650    

Chipotle Mexican Grill, Inc. - Class Aµ#

     1,275,482  
  1,110  EUR   

CIE Automotive, SAµ

     34,788  
  17,600    

Coupang, Inc. - Class A#

     319,440  
  75,428  BRL   

Cyrela Brazil Realty, SA Empreendimentos e Participacoes

     379,951  
  9,855  INR   

Dixon Technologies India, Ltd.

     494,407  
  83,000    

DraftKings, Inc. - Class Aµ#

     2,637,740  
  161,219  HKD   

JD.com, Inc. - Class Aµ

     3,337,810  
  173,000  HKD   

Jiumaojiu International Holdings, Ltd.*^

     341,423  
  258,900  INR   

Kalyan Jewellers India, Ltd.

     551,316  
  8,700  KRW   

Kia Corp.

     564,624  
  123,000  HKD   

Li Ning Company, Ltd.µ

     749,861  
  4,845  EUR   

LVMH Moet Hennessy Louis Vuitton, SEµ

     4,499,879  
  32,200  INR   

Mahindra & Mahindra, Ltd.

     577,665  
  11,470  HKD   

Meituan - Class B*µ#

     218,964  
  1,295    

MercadoLibre, Inc.µ#

     1,603,275  
  1,700  JPY   

Nextage Company, Ltd.^

     44,652  
  42,480    

NIO, Inc.#

     649,944  
  46,160    

On Holding, AG - Class A^#

     1,661,760  
  43,600  HKD   

Prada, S.p.A~

     310,337  
  8,200  EUR   

Prosus, NV~#

     648,680  
  12,900  HKD   

Samsonite International, SA*~#

     38,444  
  236,800  HKD   

Sands China, Ltd.~#

     912,275  
  48,000  INR   

Tata Motors, Ltd.

     376,629  
  7,500    

Tesla, Inc.µ#

     2,005,725  
  2,525  INR   

TVS Motor Company, Ltd.

     42,333  
  8,870  AUD   

Webjet, Ltd.^#

     47,082  
  67,300  HKD   

Wynn Macau, Ltd.µ#

     70,383  
  10,100  HKD   

Yum China Holdings, Inc.µ

     621,961  
    

 

 

 

       46,950,301  
    

 

 

 

  Consumer Staples (4.1%)   
  77,500  GBP   

British American Tobacco, PLCµ

     2,606,178  
  35,550    

Coca-Cola Company^

     2,201,611  
  5,000    

Costco Wholesale Corp.µ

     2,803,350  
  4,480  PLN   

Dino Polska, SA*#

     498,893  

NUMBER OF

  SHARES  

          VALUE
  63,550  MXN   

Fomento Economico Mexicano, SAB de CV

   $ 720,018  
  110,000  INR   

ITC, Ltd.

     622,702  
  1,500  JPY   

Kobe Bussan Company, Ltd.^

     39,953  
  2,600  CNY   

Kweichow Moutai Company, Ltd. - Class A

     686,285  
  21,000     

Molson Coors Brewing Company - Class Bµ

     1,465,170  
  20,500  CHF   

Nestle, SAµ

     2,511,642  
  21,280  CNY   

Proya Cosmetics Company, Ltd. - Class A

     336,481  
  95,528  BRL   

Raia Drogasil, SA

     585,238  
  1,000  JPY   

Rohto Pharmaceutical Company, Ltd.~

     21,315  
  67,100  JPY   

Seven & i Holdings Company, Ltd.µ~

     2,783,649  
  106,000  HKD   

Smoore International Holdings, Ltd.*^

     119,342  
  141,490  IDR   

Sumber Alfaria Trijaya, Tbk PT

     25,335  
    

 

 

 

       18,027,162  
    

 

 

 

  Energy (5.2%)   
  3,495  CAD   

ARC Resources, Ltd.µ

     52,797  
  100,600  CAD   

Canadian Natural Resources, Ltd.µ

     6,117,707  
  2,577     

Chaparral Energy, Inc. - Class A&#

     109,522  
  650     

Chesapeake Energy Corp.^

     54,821  
  17,600     

Chevron Corp.µ~

     2,880,416  
  14,985     

Energy Transfer, LP

     199,151  
  9,035     

Enterprise Products Partners, LP

     239,518  
  1,826     

EP Energy Corp.&#

     12,782  
  42,400     

Helmerich & Payne, Inc.µ

     1,898,248  
  2,930     

Magellan Midstream Partners, LP

     194,171  
  136,900  THB   

PTT Exploration & Production, PCL

     639,668  
  36,300  INR   

Reliance Industries, Ltd.

     1,125,423  
  98,974     

Schlumberger, NVµ

     5,774,143  
  82,300  GBP   

Shell, PLC

     2,494,328  
  36,000  EUR   

Shell, PLC

     1,107,391  
  3,570     

TechnipFMC, PLCµ

     65,474  
    

 

 

 

       22,965,560  
    

 

 

 

  Financials (11.3%)   
  373,000  HKD   

AIA Group, Ltd.~

     3,731,766  
  11,000     

Aon, PLC - Class Aµ

     3,503,500  
  188,400  BRL   

B3, SA - Brasil Bolsa Balcao

     593,637  
  73,150  BRL   

Banco BTG Pactual, SA

     526,108  
  1,133,979  IDR   

Bank Central Asia, Tbk PT

     686,773  
  7,125,700  IDR   

Bank Mandiri Persero, Tbk PT

     2,708,801  
  189,000     

Bank of America Corp.µ~

     6,048,000  
  5,174  EUR   

Bank of Ireland Group, PLCµ

     54,590  
  351,227  PHP   

Bank of the Philippine Islands

     732,361  
  8,250     

Chubb, Ltd.µ

     1,686,382  
  5,800  JPY   

Concordia Financial Group, Ltd.

     26,479  
  111,948  AED  

First Abu Dhabi Bank, PJSC

     446,160  
  66,200  MXN   

Grupo Financiero Banorte, SAB de CV - Class O

     627,724  
  19,025  KRW   

Hana Financial Group, Inc.

     586,265  
  300,876  INR   

HDFC Bank, Ltd.

     6,036,023  
  36,700     

ICICI Bank, Ltd. (ADR)

     901,719  
  133,716     

Itau Unibanco Holding, SA (ADR)^

     803,633  
  36,300  INR   

Jio Financial Services, Ltd.

     115,434  
  12,575     

JPMorgan Chase & Companyµ~

     1,986,347  
  156,300  THB   

Kasikornbank PCL

     578,209  
  4,120,000  GBP   

Lloyds Banking Group, PLCµ

     2,380,319  
 

 

See accompanying Notes to Schedule of Investments
13


Calamos Global Dynamic Income Fund
SCHEDULE OF INVESTMENTS JULY 31, 2023 (UNAUDITED)

 

NUMBER OF

  SHARES  

          VALUE
  44,285    

Morgan Stanleyµ

   $ 4,054,735  
  80,200  EUR   

National Bank of Greece, SA#

     552,314  
  260,000  HKD   

Ping An Insurance Group Company of China, Ltd. - Class Hµ

     1,894,552  
  24,653  SAR   

Saudi National Bank

     253,330  
  16,375  AUD   

Steadfast Group, Ltd.µ

     64,243  
  14,550    

Visa, Inc. - Class Aµ~

     3,458,971  
  111,125    

Wells Fargo & Companyµ~

     5,129,530  
    

 

 

 

       50,167,905  
    

 

 

 

  Health Care (7.4%)   
  8,400  INR   

Apollo Hospitals Enterprise, Ltd.

     529,971  
  23,100  GBP   

AstraZeneca, PLCµ

     3,318,920  
  14,977    

Danaher Corp.µ

     3,820,034  
  5,143  KRW   

Dentium Company, Ltd.

     580,007  
  15,250    

Eli Lilly & Companyµ

     6,931,888  
  3,940  GBP   

Ergomed, PLC#

     54,728  
  10,104    

GE Healthcare, Inc.~#

     788,112  
  12,075  EUR   

Gerresheimer, AGµ

     1,430,209  
  4,860    

Humana, Inc.µ

     2,220,194  
  8,520  BRL   

Hypera, SA

     77,943  
  21,210    

Inmode, Ltd.µ#

     910,121  
  4,208    

Mallinckrodt, PLC^#

     6,817  
  52,900    

Novo Nordisk, A/S (ADR)~

     8,522,190  
  1,020  SEK   

Surgical Science Sweden, AB#

     23,735  
  5,900    

UnitedHealth Group, Inc.^µ

     2,987,583  
  113,500  HKD   

Wuxi Biologics Cayman, Inc.*~#

     654,985  
    

 

 

 

        32,857,437  
    

 

 

 

  Industrials (9.3%)   
  21,800  EUR   

Airbus, SEµ

     3,211,140  
  37,029  EUR   

Alstom, SA

     1,133,837  
  1,900  JPY   

BayCurrent Consulting, Inc.~

     61,360  
  33,100  CAD   

Canadian Pacific Kansas City, Ltd.^

     2,723,505  
  12,780  CNY   

Contemporary Amperex Technology Company, Ltd. - Class A

     426,097  
  26,100  INR   

Cummins India, Ltd.

     624,601  
  955  EUR   

DO & CO, AG

     129,047  
  850  JPY   

Ebara Corp.~

     40,169  
  30,312    

General Electric Companyµ

     3,462,843  
  1,400  JPY   

Harmonic Drive Systems, Inc.^

     38,559  
  16,220  INR   

Hindustan Aeronautics, Ltd.

     782,188  
  5,200  JPY   

INFRONEER Holdings, Inc.

     50,638  
  90,000  PHP   

International Container Terminal Services, Inc.

     355,680  
  925  EUR   

Interpump Group S.p.A^

     50,328  
  1,300  JPY   

Japan Airport Terminal Company, Ltd.~

     60,581  
  2,000  JPY   

Japan Elevator Service Holdings Company, Ltd.~

     24,735  
  239  GBP   

Judges Scientific, PLC

     29,016  
  51,500  JPY   

Komatsu, Ltd.~

     1,442,743  
  29,250  INR   

Larsen & Toubro, Ltd.

     954,622  
  339,660  GBP   

Melrose Industries, PLC

     2,311,577  
  8,770  SEK   

Munters Group, AB*

     111,312  
  35,300  CNY   

Ningbo Orient Wires & Cables Company, Ltd. - Class A

     229,828  
  35,000    

Quanta Services, Inc.µ

     7,056,700  
  1,194,000  GBP   

Rolls-Royce Holdings, PLCµ#

     2,831,138  
  152,270  BRL   

Rumo, SA

     748,349  
  219,700  CNY   

Sany Heavy Industry Company, Ltd. - Class A

     546,588  
  25,600  EUR   

Schneider Electric, SEµ

     4,566,324  

NUMBER OF

  SHARES  

          VALUE
  54,502  CNY   

Shanghai International Airport Company, Ltd. - Class A#

   $ 362,293  
  15,570  INR   

Siemens, Ltd.

     753,757  
  2,885  JPY   

Sojitz Corp.~

     68,496  
  1,295  CAD   

Stantec, Inc.µ

     87,698  
  2,600  JPY   

THK Company, Ltd.~

     52,125  
  25,700  EUR   

Vinci, SAµ

     3,018,398  
  18,250    

Waste Management, Inc.µ~

     2,989,167  
    

 

 

 

       41,335,439  
    

 

 

 

  Information Technology (22.1%)   
  18,300    

Accenture, PLC - Class Aµ

     5,789,205  
  45,945  TWD   

Accton Technology Corp.

     560,545  
  13,620  TWD   

Alchip Technologies, Ltd.

     866,925  
  226  EUR   

Alten, SAµ

     32,552  
  2,800  JPY   

Appier Group, Inc.#

     33,316  
  42,900    

Apple, Inc.µ~

     8,427,705  
  13,720    

ASML Holding, NVµ

     9,829,145  
  335  EUR   

BE Semiconductor Industries, NV~

     39,998  
  6,000    

Cadence Design Systems, Inc.µ#

     1,404,060  
  41,000  TWD   

E Ink Holdings, Inc.

     294,045  
  340  EUR   

Elmos Semiconductor SE

     30,283  
  1,740  EUR   

Exclusive Networks, SA#

     37,136  
  7,335  SEK   

Fortnox, AB

     45,021  
  47,200  CNY   

Foxconn Industrial Internet Company, Ltd. - Class A

     147,824  
  9,405  TWD   

Global Unichip Corp.

     491,924  
  945  KRW   

HPSP Company, Ltd.

     27,616  
  735  JPY   

Ibiden Company, Ltd.~

     44,673  
  14,500  CNY   

Iflytek Company, Ltd. - Class A

     127,657  
  28,901    

Infosys, Ltd. (ADR)^

     481,491  
  14,900  JPY   

Keyence Corp.~

     6,686,255  
  601  CAD   

Kinaxis, Inc.µ#

     81,605  
  270,000  HKD   

Kingdee International Software Group Company, Ltd.~#

     473,597  
  33,400  KRW   

Koh Young Technology, Inc.

     362,404  
  80,795  INR   

KPIT Technologies, Ltd.

     1,067,710  
  25,000  TWD   

MediaTek, Inc.

     550,123  
  33,400    

Microsoft Corp.µ

     11,219,728  
  540,000  EUR   

Nokia Oyj

     2,122,707  
  29,000    

NVIDIA Corp.µ~

     13,551,410  
  50,900    

Oracle Corp.µ

     5,967,007  
  4,050  GBP   

Sage Group, PLCµ

     48,716  
  29,340  KRW   

Samsung Electronics Company, Ltd.

     1,606,442  
  500  JPY   

SCREEN Holdings Company, Ltd.~

     54,025  
  7,400  JPY   

SHIFT, Inc.~#

     1,750,524  
  16,600  KRW   

SK Hynix, Inc.

     1,607,626  
  880,000  TWD   

Taiwan Semiconductor Manufacturing Company, Ltd.

     15,890,687  
  22,825    

Taiwan Semiconductor Manufacturing Company, Ltd. (ADR)~

     2,263,099  
  71,140  BRL   

TOTVS, SA

     444,855  
  60,065    

Unity Software, Inc.µ#

     2,753,380  
  93,700  CNY   

Venustech Group, Inc. - Class A

     384,027  
  7,700  CNY   

Zhongji Innolight Company, Ltd. - Class A

     138,127  
    

 

 

 

       97,735,175  
    

 

 

 

  Materials (1.9%)   
  10,006    

Cemex, SAB de CV (ADR)#

     76,246  
  1,180  CAD   

ERO Copper Corp.µ#

     28,367  
  219,750  AED   

Fertiglobe, PLC

     214,128  
 

 

See accompanying Notes to Schedule of Investments
14


Calamos Global Dynamic Income Fund
SCHEDULE OF INVESTMENTS JULY 31, 2023 (UNAUDITED)

 

NUMBER OF

  SHARES  

          VALUE
  75,095    

Freeport-McMoRan, Inc.^µ

   $ 3,352,992  
  521,200  NOK   

Norsk Hydro, ASA~

     3,413,557  
  16,900  ZAR   

Sasol, Ltd.

     235,959  
  1,745  EUR   

SOL S.p.A

     49,273  
  21,200    

Vale, SA (ADR)

     310,156  
  550,000  HKD   

Zijin Mining Group Company, Ltd.- Class H~

     949,918  
    

 

 

 

       8,630,596  
    

 

 

 

  Real Estate (0.6%)   
  935,500  PHP   

Ayala Land, Inc.

     467,147  
  447,615  MXN   

Corp. Inmobiliaria Vesta SAB de CV

     1,622,855  
  88,900  INR   

DLF, Ltd.

     559,721  
  245  EUR   

VGP, NV

     26,157  
    

 

 

 

       2,675,880  
    

 

 

 

  Special Purpose Acquisition Company (0.0%)#

 

  2,835    

Intelsat Emergence, SA&#

     65,205  
    

 

 

 

  Utilities (0.5%)   
  45,801  EUR   

Engie,SA#

     750,841  
  29,000  EUR   

RWE, AGµ

     1,248,120  
    

 

 

 

       1,998,961  
    

 

 

 

 

TOTAL COMMON STOCKS

(Cost $425,571,605)

      345,102,238  
    

 

 

 

 

PREFERRED STOCKS (0.3%)

 
  Consumer Discretionary (0.1%)   
  1,597    

Guitar Center, Inc.&

     203,617  
    

 

 

 

  Energy (0.1%)   
  8,220    

NuStar Energy, LP‡^

11.151%, 08/30/23

3 mo. LIBOR + 5.64%

     199,582  
  3,725    

NuStar Energy, LP‡

12.274%, 08/30/23

3 mo. LIBOR + 6.77%

     95,211  
  8,335    

NuStar Logistics, LP‡

12.304%, 01/15/43

3 mo. LIBOR + 6.73%

     218,960  
    

 

 

 

       513,753  
    

 

 

 

  Industrials (0.1%)   
  206,950 BRL   

Randon, SA Implementos e Participacoes

     544,427  
    

 

 

 

 

TOTAL PREFERRED STOCKS

(Cost $1,227,872)

     1,261,797  
    

 

 

 

 

WARRANTS (0.0%) #

 
  Energy (0.0%)   
  13,401    

Mcdermott International, Ltd.&

06/30/27, Strike $15.98

     2  
  12,061    

Mcdermott International, Ltd.

06/30/27, Strike $12.33

     1  
    

 

 

 

 

TOTAL WARRANTS

(Cost $5,152)

     3  
    

 

 

 

PRINCIPAL

  AMOUNT  

          VALUE
 

U.S. GOVERNMENT AND AGENCY SECURITY (0.1%)

 
  Other (0.1%)   
  310,000    

United States Treasury Note^

2.250%, 03/31/24

(Cost $309,490)

   $  303,745  
    

 

 

 

 

ASSET BACKED SECURITY (0.0%)

 
  Other (0.0%)   
  170,000    

SVC ABS, LLC Series 2023-1A, Class C*~

6.700%, 02/20/53

(Cost $155,685)

     153,140  
    

 

 

 

NUMBER OF

CONTRACTS/

NOTIONAL

AMOUNT

          VALUE
 

PURCHASED OPTIONS (0.6%) #

 
  Communication Services (0.0%)   
 

105

1,637,895

 

 

 

Baidu, Inc.

Call, 12/15/23, Strike $160.00

     179,025  
    

 

 

 

  Consumer Discretionary (0.1%)   
 

2,250

2,542,500

 

 

 

Arcos Dorados Holdings, Inc.

Call, 11/17/23, Strike $12.50

     90,000  
 

390

1,669,200

 

 

 

Li Auto, Inc.

Call, 12/15/23, Strike $45.00

     211,575  
 

8

213,944

 

 

 

Tesla, Inc.

Put, 09/01/23, Strike $280.00

     16,060  
    

 

 

 

       317,635  
    

 

 

 

  Financials (0.1%)   
 

1,320

3,243,240

 

   

 

ICICI Bank, Ltd.

Call, 01/19/24, Strike $24.00

     247,500  
    

 

 

 

  Health Care (0.0%)   
 

520

2,231,320

 

 

 

Inmode, Ltd.

Call, 01/19/24, Strike $47.50

     158,600  
    

 

 

 

  Information Technology (0.0%)   
 

34

1,588,786

 

 

 

NVIDIA Corp.

Call, 11/17/23, Strike $500.00

     146,370  
    

 

 

 

  Materials (0.1%)   
 

3,350

2,552,700

 

 

 

Cemex, Sab De CV

Call, 01/19/24, Strike $8.00

     201,000  
    

 

 

 

  Other (0.3%)   
 

2,460

94,385,280

 

 

 

Invesco QQQ Trust Series 1

Put, 11/17/23, Strike $330.00

     707,250  
 

iShares MSCI EAFE ETF

  
 

4,000

29,784,000

 

 

 

Put, 12/15/23, Strike $60.00

     74,000  
 

1,100

7,432,700

 

 

 

Call, 01/19/24, Strike $71.00

     275,000  
 

20

9,177,920

 

 

 

S&P 500 Index

Put, 12/29/23, Strike $4,200.00

     103,300  
 

700

32,045,300

 

 

 

SPDR S&P 500 ETF Trust

Put, 12/15/23, Strike $360.00

     113,050  
 

 

See accompanying Notes to Schedule of Investments
15


Calamos Global Dynamic Income Fund
SCHEDULE OF INVESTMENTS JULY 31, 2023 (UNAUDITED)

 

NUMBER OF

CONTRACTS/

NOTIONAL

AMOUNT

          VALUE
 

96

595,843

EUR 

 

 

TotalEnergies, SE
Call, 12/15/23, Strike 55.05

   $ 34,022  
    

 

 

 

     1,306,622  
    

 

 

 

  TOTAL PURCHASED OPTIONS
(Cost $8,007,441)
     2,556,752  
    

 

 

 

 
  TOTAL INVESTMENTS (140.6%)
  (Cost $723,603,928)
     622,928,508  
    

 

 

 

 
MANDATORY REDEEMABLE PREFERRED
SHARES, AT LIQUIDATION VALUE (-15.8%)
     (70,000,000
    

 

 

 

  LIABILITIES, LESS OTHER ASSETS (-24.8%)      (109,976,500
    

 

 

 

 

NET ASSETS (100.0%)

   $  442,952,008  
    

 

 

 

 

WRITTEN OPTION (0.0%) #

 
 

Other (0.0%)

  
 

20

9,177,920

 

 

 

S&P 500 Index

Put, 12/29/23, Strike $3,500.00

(Premium $34,139)

     (30,700
    

 

 

 

 

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.
@    In default status and considered non-income producing.
&    Illiquid security.
   Variable rate security. The rate shown is the rate in effect at July 31, 2023.
^    Security, or portion of security, is on loan.
µ     Security, or portion of security, is held in a segregated account as collateral for note payable aggregating a total value of $233,114,286.
~    Security, or portion of security, is segregated as collateral (or collateral for potential future transactions) for written options and securities sold short. The aggregate value of such securities is $39,745,498.
§    Securities exchangeable or convertible into securities of one or more entities that are different than the issuer. Each entity is identified in the parenthetical.
¡    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

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

PHP

     Philippine Peso

PLN

     Polish Zloty

SAR

     Saudi Riyal

SEK

     Swedish Krona

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
16


Calamos Global Dynamic Income Fund
SCHEDULE OF INVESTMENTS JULY 31, 2023 (UNAUDITED)

 

CURRENCY EXPOSURE JULY 31, 2023

 

 
     Value       

% of Total

   Investments

 

 

 

 

US Dollar

   $ 425,425,730        68.3%  

European Monetary Unit

     46,700,228        7.5%  

Hong Kong Dollar

     28,761,932        4.6%  

Japanese Yen

     21,695,371        3.5%  

British Pound Sterling

     19,637,374        3.2%  

New Taiwan Dollar

     18,654,249        3.0%  

Indian Rupee

     15,214,502        2.4%  

Canadian Dollar

     12,881,407        2.1%  

South Korean Won

     5,334,984        0.9%  

Chinese Yuan Renminbi

     4,228,295        0.7%  

Brazilian Real

     3,968,467        0.6%  

Mexican Peso

     3,546,610        0.6%  

Indonesian Rupiah

     3,420,909        0.5%  

Norwegian Krone

     3,413,557        0.5%  

Swiss Franc

     2,511,642        0.4%  

Australian Dollar

     2,451,892        0.4%  

Philippine Peso

     1,615,585        0.3%  

Thai Baht

     1,217,877        0.2%  

Polish Zloty

     713,310        0.1%  

UAE Dirham

     660,288        0.1%  

Saudi Riyal

     427,572        0.1%  

South African Rand

     235,959        —%  

Swedish Krona

     180,068        —%  
  

 

 

 

Total Investments

   $   622,897,808        100.0%  

Currency exposure may vary over time.

 

See accompanying Notes to Schedule of Investments
17


Notes to Schedule of Investments (Unaudited)

Note 1 – Organization and Significant Accounting Policies

Organization. Calamos Global Dynamic Income Fund (the “Fund”, or “Trust”) 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) and 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 Trust’s Board of Trustees, including a majority of the Trustees who are not “interested persons” of the Trust, have designated Calamos Advisors LLC (“Calamos Advisors”, or the “Advisor”) to perform fair valuation determinations related to all Fund investments under the oversight of the Board. As “valuation designee” the Calamos Advisors has adopted procedures to guide the determination of the NAV on any day on which the Fund’s NAVs are determined. The valuation of the Fund’s investments is in accordance with these procedures.

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 the 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.

The Fund also may use fair value pricing, pursuant to guidelines adopted by Calamos Advisors, 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 Calamos Advisors, 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 the 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 July 31, 2023 was as follows*:

 

 Cost basis of investments

                            $723,569,789   
  

 

 

 

 Gross unrealized appreciation

     15,183,488   

 Gross unrealized depreciation

     (115,855,469)   
  

 

 

 

 Net unrealized appreciation (depreciation)

     $(100,671,981)   
  

 

 

 

* 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, a 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, a 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 has MRPS issued with an aggregate liquidation preference of $70,000,000, divided into four series with different mandatory redemption dates and dividend rates.

The table below summarizes the key terms of each series of the MRPS at July 31, 2023.

 

 Series    Term
Redemption Date
   Dividend Rate   Shares (000’s)    Liquidation Preference Per Share    Aggregate Liquidation Preference

 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    $70,000,000

On September 6, 2022, $21,500,000 of Series A MRPS were redeemed at $25.01 per share.

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.

During the period ended July 31, 2023, all MRPS were rated `AA-’ by Kroll Bond Rating Agency LLC (“KBRA”). 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 KBRA. If on the first day of a monthly dividend period the MRPS of any class are rated lower than “A” by KBRA, 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.

With regard to the Series B and C MRPS, so long as any MRPS are outstanding, the Fund will not declare, pay or set apart for payment any dividend or other distribution (other than non-cash distributions) with respect to Fund shares ranking junior to or on parity with the MRPS, unless (1) the Fund has satisfied the MRPS Overcollateralization Test (as defined below) on at least one “valuation date” in the preceding 65 calendar days, (2) immediately after such transaction the Fund would satisfy the MRPS Asset Coverage Test (as defined below), (3) full cumulative dividends on the MRPS due on or prior to the date of the transaction have been declared and paid to the holders of MRPS and (4) the Fund has redeemed the full number of MRPS required to be redeemed by any provision for mandatory redemption or deposited sufficient monies with the Fund’s paying agent for that purpose, subject to certain grace periods and exceptions. 

MRPS Asset Coverage Test: Asset coverage with respect to all outstanding senior securities and preferred shares, including the MRPS, determined in accordance with Section 18(h) of the 1940 Act, on the basis of values calculated as of a time within 48 hours (not including Sundays or holidays) next preceding the time of determination, must be greater than or equal to 225%.

MRPS Overcollateralization Test: So long as Fitch or any other NSRSO, such as KBRA, is then rating any class of the outstanding MRPS pursuant to the request of the Fund, satisfaction of only those overcollateralization ratios applicable to closed-end fund issuers with the same rating(s) as the Fund’s MRPS’ then-current rating(s) issued by Fitch or such other NSRSO, such as KBRA, by application of the applicable rating agency guidelines.


With regard to Series D and E MRPS, for so long as any MRPS are Outstanding, the Fund will not declare, pay or set apart for payment any dividend or other distribution (other than a dividend or distribution paid in shares of, or options, warrants or rights to subscribe for or purchase, Common Shares or other shares of beneficial interest, if any, ranking junior to the MRPS as to dividends or upon liquidation (collectively “non-cash distributions”) with respect to Common Shares or any other shares of the Series or Fund ranking junior to or on a parity with the MRPS as to dividends or upon liquidation, or call for redemption, redeem, purchase or otherwise acquire for consideration any Common Shares or any other such junior shares (except by conversion into or exchange for shares of the Fund ranking junior to the MRPS as to dividends and upon liquidation) or any such parity shares (except by conversion into or exchange for shares of the Fund ranking junior to or on a parity with the MRPS as to dividends and upon liquidation), unless (1) immediately after such transaction the Fund would satisfy the MRPS Asset Coverage Test, (2) full cumulative dividends on the MRPS due on or prior to the date of the transaction have been declared and paid to the Holders of MRPS, and (3) the Fund has redeemed the full number of MRPS required to be redeemed by any provision for mandatory redemption contained in Section 3(a) or deposited sufficient monies with the Paying Agent for that purpose (without regard to the provisions of the Special Proviso); provided that the Fund may make any distributions reasonably necessary for the Fund to continue to qualify as a “regulated investment company” under Subchapter M of the Internal Revenue Code and to avoid excise tax under Section 4982 of the Internal Revenue Code (“Tax Required Payments”). For the avoidance of doubt, any such Tax Required Payments would only be paid to holders of Common Shares after full cumulative dividends due on or prior to the date of the applicable distribution and any mandatory redemptions occurring on or prior to the date of the applicable distribution have been paid to the holders of MRPS.

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.