0001145549-24-017897.txt : 20240327 0001145549-24-017897.hdr.sgml : 20240327 20240327101832 ACCESSION NUMBER: 0001145549-24-017897 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20240131 FILED AS OF DATE: 20240327 DATE AS OF CHANGE: 20240327 PERIOD START: 20241031 FILER: COMPANY DATA: COMPANY CONFORMED NAME: Calamos Global Dynamic Income Fund CENTRAL INDEX KEY: 0001396277 ORGANIZATION NAME: 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: 24786599 BUSINESS ADDRESS: STREET 1: 2020 CALAMOS COURT STREET 2: C/O CALAMOS ADVISORS LLC CITY: NAPERVILLE STATE: IL ZIP: 60563 BUSINESS PHONE: 6302451046 MAIL ADDRESS: STREET 1: 2020 CALAMOS COURT STREET 2: C/O CALAMOS ADVISORS LLC CITY: NAPERVILLE STATE: IL ZIP: 60563 FORMER COMPANY: FORMER CONFORMED NAME: Calamos Global Diversified Income & Opportunities Fund DATE OF NAME CHANGE: 20070411 NPORT-P 1 primary_doc.xml NPORT-P false 0001396277 XXXXXXXX Calamos Global Dynamic Income Fund 811-22047 0001396277 CZEVBUHZTXPJGPSFDE25 2020 Calamos Court Naperville 60563 6302457200 Calamos Global Dynamic Income Fund CZEVBUHZTXPJGPSFDE25 2024-10-31 2024-01-31 N 648561143.990000000000 216948516.370000000000 431612627.620000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 130550000.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 70000000.000000000000 12137703.460000000000 HKD GBP JPY CAD AUD EUR USD N GOODYEAR TIRE & RUBBER 5493002BI0S2ZQUY3437 GOODYEAR TIRE + RUBBER COMPANY GUAR 07/31 5.25 382550BR1 110000.0000000000 PA USD 100221.0000000000 0.0232201269 Long DBT CORP US N 2 2031-07-15 Fixed 5.2500 N N N N N US TREASURY N/B 254900HROIFWPRGM1V77 US TREASURY N/B 03/24 2.25 91282CEG2 310000.0000000000 PA USD 308462.1100000000 0.0714673506 Long DBT UST US N 2 2024-03-31 Fixed 2.2500 N N N N N FORD MOTOR COMPANY 20S05OYHG0MQM4VUIC57 FORD MOTOR COMPANY SR UNSECURED 08/32 6.1 345370DB3 220000.0000000000 PA USD 220143.0000000000 0.0510047635 Long DBT CORP US N 2 2032-08-19 Fixed 6.1000 N N N N N ADIENT GLOBAL HOLDINGS 213800VA38VCKE6M8790 ADIENT GLOBAL HOLDINGS COMPANY GUAR 144A 04/31 8.25 00687YAC9 260000.0000000000 PA USD 274851.2000000000 0.0636800646 Long DBT CORP JE Y 2 2031-04-15 Fixed 8.2500 N N N N N CUSHMAN & WAKEFIELD US N/A CUSHMAN + WAKEFIELD US SR SECURED 144A 09/31 8.875 23166MAC7 210000.0000000000 PA USD 220567.2000000000 0.0511030461 Long DBT CORP US Y 2 2031-09-01 Fixed 8.8750 N N N N N NEXTERA ENERGY INC N/A NEXTERA ENERGY INC PREFERRED STOCK 09/25 6.926 N/A 35211.0000000000 NS USD 1310201.3100000000 0.3035595407 Long EP CORP US N 1 N N COCA-COLA CO/THE UWJKFUJFZ02DKWI3RY53 COCA COLA CO/THE COMMON STOCK USD.25 191216100 35550.0000000000 NS USD 2114869.5000000000 0.4899924990 Long EC CORP US N 1 N N SOL SPA 81560096A9AEBBBD4B25 SOL SPA COMMON STOCK EUR.52 N/A 1945.0000000000 NS 55978.1300000000 0.0129695302 Long EC CORP IT N 1 N N FREEPORT-MCMORAN INC 549300IRDTHJQ1PVET45 FREEPORT MCMORAN INC COMMON STOCK USD.1 35671D857 75095.0000000000 NS USD 2980520.5500000000 0.6905545295 Long EC CORP US N 1 N N SONIC AUTOMOTIVE INC 549300NTLRGJ2JCBZU03 SONIC AUTOMOTIVE INC COMPANY GUAR 144A 11/29 4.625 83545GBD3 241000.0000000000 PA USD 218300.2100000000 0.0505778089 Long DBT CORP US Y 2 2029-11-15 Fixed 4.6250 N N N N N GEN DIGITAL INC YF6ZV0M6AU4FY94MK914 GEN DIGITAL INC COMPANY GUAR 144A 09/30 7.125 668771AL2 100000.0000000000 PA USD 103773.0000000000 0.0240430871 Long DBT CORP US Y 2 2030-09-30 Fixed 7.1250 N N N N N AMAZON.COM INC ZXTILKJKG63JELOEG630 AMAZON.COM INC COMMON STOCK USD.01 N/A 89300.0000000000 NS USD 13859360.0000000000 3.2110645317 Long EC CORP US N 1 N N WALT DISNEY CO/THE 549300GZKULIZ0WOW665 WALT DISNEY CO/THE COMMON STOCK USD.01 254687106 26395.0000000000 NS USD 2535239.7500000000 0.5873877611 Long EC CORP US N 1 N N JELD-WEN INC 549300XWE6NM0N1HFW16 JELD WEN INC COMPANY GUAR 144A 12/27 4.875 475795AD2 110000.0000000000 PA USD 105056.6000000000 0.0243404834 Long DBT CORP US Y 2 2027-12-15 Fixed 4.8750 N N N N N CREDIT ACCEPTANC N/A CREDIT ACCEPTANC COMPANY GUAR 03/26 6.625 225310AM3 205000.0000000000 PA USD 205270.6000000000 0.0475589885 Long DBT CORP US N 2 2026-03-15 Fixed 6.6250 N N N N N FRONTIER COMMUNICATIONS PARENT INC N/A FRONTIER COMMUNICATIONS PARE COMMON STOCK USD.25 35909D109 1.0000000000 NS USD 24.6300000000 0.0000057065 Long EC CORP US N 1 N N UNITED NATURAL FOODS INC 549300GKGW6WPZ282D40 UNITED NATURAL FOODS INC COMPANY GUAR 144A 10/28 6.75 911163AA1 195000.0000000000 PA USD 164092.5000000000 0.0380184660 Long DBT CORP US Y 2 2028-10-15 Fixed 6.7500 N N N N N DUN & BRADSTREET CORP RI37BMPWE56BCJ747E14 DUN + BRADSTREET CORP COMPANY GUAR 144A 12/29 5 26483EAL4 108000.0000000000 PA USD 100515.6000000000 0.0232883826 Long DBT CORP US Y 2 2029-12-15 Fixed 5.0000 N N N N N ALTICE USA INC 54930064K3612MGCER95 ALTICE USA INC A COMMON STOCK USD.01 02156K103 4575.0000000000 NS USD 11163.0000000000 0.0025863469 Long EC CORP US N 1 N N TENCENT HOLDINGS LTD 254900N4SLUMW4XUYY11 TENCENT HOLDINGS LTD UNS ADR ADR HKD.00002 88032Q109 89070.0000000000 NS USD 3103198.8000000000 0.7189777596 Long EC CORP KY N 1 N N UNITY SOFTWARE INC N/A UNITY SOFTWARE INC COMMON STOCK USD.000005 91332U101 60065.0000000000 NS USD 1946106.0000000000 0.4508918126 Long EC CORP US N 1 N N PENN ENTERTAINMENT INC N/A PENN ENTERTAINMENT INC SR UNSECURED 144A 07/29 4.125 707569AV1 250000.0000000000 PA USD 215042.5000000000 0.0498230326 Long DBT CORP US Y 2 2029-07-01 Fixed 4.1250 N N N N N TRANSMEDICS GROUP INC N/A TRANSMEDICS GROUP INC SR UNSECURED 144A 06/28 1.5 N/A 156000.0000000000 PA USD 186983.1600000000 0.0433219855 Long DBT CORP US Y 2 2028-06-01 Fixed 1.5000 N N N N Y TRANSMEDICS GROUP INC TRANSMEDICS GROUP INC USD XXXX N N 1375209 BC LTD N/A 1375209 BC LTD SR SECURED 144A 01/28 9 68251PAA5 224000.0000000000 PA USD 217591.3600000000 0.0504135760 Long DBT CORP CA Y 2 2028-01-30 Fixed 9.0000 N N N N N TEVA PHARMACEUTICALS NE 5493004T21MOAFINJP35 TEVA PHARMACEUTICALS NE COMPANY GUAR 05/29 5.125 88167AAQ4 270000.0000000000 PA USD 260612.1000000000 0.0603810184 Long DBT CORP NL N 2 2029-05-09 Fixed 5.1250 N N N N N AERCAP HOLDINGS NV 549300SZYINBBLJQU475 AERCAP HOLDINGS NV COMPANY GUAR 10/79 VAR 00774YAA7 235000.0000000000 PA USD 233460.7500000000 0.0540903428 Long DBT CORP NL N 2 2079-10-10 Variable 5.8750 N N N N N APPLE INC HWUPKR0MPOU8FGXBT394 APPLE INC COMMON STOCK USD.00001 N/A 42900.0000000000 NS USD 7910760.0000000000 1.8328379417 Long EC CORP US N 1 N N N BAIDU INC 254900AL64IANZYI1E02 BAIDU INC SPON ADR ADR USD.00005 N/A 4050.0000000000 NS USD 426505.5000000000 0.0988167335 Long EC CORP KY N 1 N N N BANK OF AMERICA CORP 9DJT3UXIJIZJI4WXO774 BANK OF AMERICA CORP COMMON STOCK USD.01 N/A 189000.0000000000 NS USD 6427890.0000000000 1.4892729241 Long EC CORP US N 1 N N N LLOYDS BANKING GROUP PLC 549300PPXHEU2JF0AM85 LLOYDS BANKING GROUP PLC COMMON STOCK GBP.1 N/A 4120000.0000000000 NS 2208547.9400000000 0.5116967852 Long EC CORP GB N 1 N N N ASTRAZENECA PLC PY6ZZQWO2IZFZC3IOL08 ASTRAZENECA PLC COMMON STOCK USD.25 N/A 23100.0000000000 NS 3062524.9900000000 0.7095540756 Long EC CORP GB N 1 N N N CANADIAN NATURAL RESOURCES LTD 549300T15RIMIKZC5Q38 CANADIAN NATURAL RESOURCES COMMON STOCK 136385101 74600.0000000000 NS 4774133.6600000000 1.1061153809 Long EC CORP CA N 1 N N N LEONARDO SPA 529900X4EEX1U9LN3U39 LEONARDO SPA COMMON STOCK EUR4.4 N/A 3980.0000000000 NS 69467.1600000000 0.0160947932 Long EC CORP IT N 1 N N N SEVEN & I HOLDINGS CO LTD 52990037G8JRM3TWGY86 SEVEN + I HOLDINGS CO LTD COMMON STOCK N/A 67100.0000000000 NS 2650102.2100000000 0.6140001567 Long EC CORP JP N 1 N N N HANA FINANCIAL GROUP INC N/A HANA FINANCIAL GROUP COMMON STOCK KRW5000.0 N/A 19025.0000000000 NS 680285.2400000000 0.1576147676 Long EC CORP KR N 1 N N N TOTVS SA N/A TOTVS SA COMMON STOCK N/A 48250.0000000000 NS 306967.5400000000 0.0711210749 Long EC CORP BR N 1 N N N CANADIAN PACIFIC KANSAS CITY LTD N/A CANADIAN PACIFIC KANSAS CITY COMMON STOCK 13646K108 28000.0000000000 NS 2253203.9100000000 0.5220430928 Long EC CORP CA N 1 N N N CHESAPEAKE ENERGY CORP X2MT1W32SPAZ9WSKLE78 CHESAPEAKE ENERGY CORP COMMON STOCK USD.01 165167735 305.0000000000 NS USD 23518.5500000000 0.0054489949 Long EC CORP US N 1 N N N NORSK HYDRO ASA 549300N1SDN71ZZ8BO45 NORSK HYDRO ASA COMMON STOCK NOK1.098 N/A 521200.0000000000 NS 3054493.9100000000 0.7076933608 Long EC CORP NO N 1 N N N PTT EXPLORATION & PRODUCTION PCL 2549001O8YYGP5N7Q076 PTT EXPLORATION + PROD FOR FOREIGN SH. THB1.0 A N/A 136900.0000000000 NS 576773.9400000000 0.1336323136 Long EC CORP TH N 1 N N N INDIAN HOTELS CO LTD N/A INDIAN HOTELS CO LTD COMMON STOCK INR1.0 N/A 112532.0000000000 NS 666075.0900000000 0.1543224288 Long EC CORP IN N 1 N N N KEI INDUSTRIES LTD N/A KEI INDUSTRIES LTD COMMON STOCK INR2.0 N/A 12490.0000000000 NS 479320.8000000000 0.1110534700 Long EC CORP IN N 1 N N N CHEVRON CORP N/A CHEVRON CORP COMMON STOCK USD.75 166764100 17600.0000000000 NS USD 2594768.0000000000 0.6011798159 Long EC CORP US N 1 N N N CHIPOTLE MEXICAN GRILL INC N/A CHIPOTLE MEXICAN GRILL INC COMMON STOCK USD.01 169656105 870.0000000000 NS USD 2095629.9000000000 0.4855348908 Long EC CORP US N 1 N N N YOUGOV PLC 213800MZGBGCJIPOBB41 YOUGOV PLC COMMON STOCK GBP.002 N/A 1960.0000000000 NS 28937.5300000000 0.0067045142 Long EC CORP GB N 1 N N N GERRESHEIMER AG 5299006GD4UWSYZOKC28 GERRESHEIMER AG COMMON STOCK N/A 23865.0000000000 NS 2433011.5500000000 0.5637025875 Long EC CORP DE N 1 N N N SUNNY OPTICAL TECHNOLOGY GROUP CO LTD N/A SUNNY OPTICAL TECH COMMON STOCK HKD.1 N/A 40500.0000000000 NS 248928.5100000000 0.0576740563 Long EC CORP KY N 1 N N N DLF LTD N/A DLF LTD COMMON STOCK INR2.0 N/A 104680.0000000000 NS 1003474.2400000000 0.2324941801 Long EC CORP IN N 1 N N N CONSTELLATION BRANDS INC 5493005GKEG8QCVY7037 CONSTELLATION BRANDS INC A COMMON STOCK USD.01 21036P108 12300.0000000000 NS USD 3014484.0000000000 0.6984234953 Long EC CORP US N 1 N N N CYRELA BRAZIL REALTY SA EMPREENDIMENTOS E PARTICIPACOES N/A CYRELA BRAZIL REALTY SA EMP COMMON STOCK N/A 65380.0000000000 NS 295070.4000000000 0.0683646356 Long EC CORP BR N 1 N N N VGP NV 315700NENYPIXFR94T49 VGP COMMON STOCK EUR55.0 N/A 410.0000000000 NS 48088.4600000000 0.0111415786 Long EC CORP BE N 1 N N N HYPERA SA N/A HYPERA SA COMMON STOCK N/A 8520.0000000000 NS 54565.5600000000 0.0126422529 Long EC CORP BR N 1 N N N COSTCO WHOLESALE CORP 29DX7H14B9S6O3FD6V18 COSTCO WHOLESALE CORP COMMON STOCK USD.005 22160K105 5100.0000000000 NS USD 3543888.0000000000 0.8210807037 Long EC CORP US N 1 N N N FOMENTO ECONOMICO MEXICANO SAB DE CV N/A FOMENTO ECONOMICO MEXICA UBD UNIT N/A 82800.0000000000 NS 1121238.4700000000 0.2597788846 Long EC CORP MX N 1 N N N CREDIT ACCEPTANC N/A CREDIT ACCEPTANC COMPANY GUAR 144A 12/28 9.25 225310AQ4 140000.0000000000 PA USD 147523.6000000000 0.0341796302 Long DBT CORP US Y 2 2028-12-15 Fixed 9.2500 N N N N N N CYBERARK SOFTWARE LTD 529900YEXNDM894PWS93 CYBERARK SOFTWARE LTD SR UNSECURED 11/24 0.00000 N/A 162000.0000000000 PA USD 243771.1200000000 0.0564791446 Long DBT CORP IL N 2 2024-11-15 Fixed 0.0000 N N N N Y CYBERARK SOFTWARE LTD CYBERARK SOFTWARE LTD USD XXXX N N N CUMULUS MEDIA INC N/A CUMULUS MEDIA INC CL A COMMON STOCK USD.01 231082801 1735.0000000000 NS USD 7981.0000000000 0.0018491118 Long EC CORP US N 1 N N N DANAHER CORP S4BKK9OTCEWQ3YHPFM11 DANAHER CORP COMMON STOCK USD.01 235851102 14977.0000000000 NS USD 3593132.0700000000 0.8324900246 Long EC CORP US N 1 N N N ARYZTA AG 549300W2PUDQQVRD8W85 ARYZTA AG COMMON STOCK CHF.02 N/A 14725.0000000000 NS 26429.5500000000 0.0061234423 Long EC CORP CH N 1 N N N AREZZO INDUSTRIA E COMERCIO SA N/A AREZZO INDUSTRIA E COMERCIO COMMON STOCK N/A 3900.0000000000 NS 49269.5400000000 0.0114152221 Long EC CORP BR N 1 N N N ALSEA SAB DE CV N/A ALSEA SAB DE CV COMMON STOCK N/A 165500.0000000000 NS 649345.7900000000 0.1504464301 Long EC CORP MX N 1 N N N N/A 549300Z6HPQS1H5IYQ07 EP ENERGY CORP COMMON STOCK 268785201 1826.0000000000 NS USD 5478.0000000000 0.0012691936 Long EC CORP US N 1 N N N PRADA SPA 8156000FE0A2DC5B7852 PRADA S.P.A. COMMON STOCK EUR.1 N/A 43600.0000000000 NS 270376.1000000000 0.0626432321 Long EC CORP IT N 1 N N N ALCHIP TECHNOLOGIES LTD 529900HKE9RIY07SLX84 ALCHIP TECHNOLOGIES LTD COMMON STOCK TWD10.0 N/A 13000.0000000000 NS 1612519.0100000000 0.3736032977 Long EC CORP KY N 1 N N N ENERGY TRANSFER LP MTLVN9N7JE8MIBIJ1H73 ENERGY TRANSFER LP MLP 29273V100 14985.0000000000 NS USD 214285.5000000000 0.0496476438 Long EC CORP US N 1 N N N TOWA CORP 353800HAMO7IT6KBJX75 TOWA CORP COMMON STOCK N/A 900.0000000000 NS 46431.0500000000 0.0107575745 Long EC CORP JP N 1 N N N KASIKORNBANK PCL 5493004COSQ54937AW41 KASIKORNBANK PCL FOREIGN FOREIGN SH. THB10.0 A N/A 156300.0000000000 NS 524267.4900000000 0.1214671343 Long EC CORP TH N 2 N N N TAIWAN SEMICONDUCTOR MANUFACTURING CO LTD 549300KB6NK5SBD14S87 TAIWAN SEMICONDUCTOR MANUFAC COMMON STOCK TWD10.0 N/A 853000.0000000000 NS 17075773.6100000000 3.9562729441 Long EC CORP TW N 1 N N N TOYO SUISAN KAISHA LTD N/A TOYO SUISAN KAISHA LTD COMMON STOCK 892306101 600.0000000000 NS 31242.8800000000 0.0072386390 Long EC CORP JP N 1 N N N YAMAZAKI BAKING CO LTD N/A YAMAZAKI BAKING CO LTD COMMON STOCK 984632109 1800.0000000000 NS 42682.2000000000 0.0098890063 Long EC CORP JP N 1 N N N AIA GROUP LTD ZP5ILWVSYE4LJGMMVD57 AIA GROUP LTD COMMON STOCK N/A 373000.0000000000 NS 2925221.1600000000 0.6777422561 Long EC CORP HK N 1 N N N SANDS CHINA LTD 549300EVO6UZDGY05787 SANDS CHINA LTD COMMON STOCK USD.01 N/A 236800.0000000000 NS 621545.3700000000 0.1440053720 Long EC CORP KY N 1 N N N NESTLE SA KY37LUS27QQX7BB93L28 NESTLE SA REG COMMON STOCK CHF.1 N/A 20500.0000000000 NS 2335985.7900000000 0.5412227633 Long EC CORP CH N 1 N N N ROYAL CARIBBEAN CRUISES K2NEH8QNVW44JIWK7Z55 ROYAL CARIBBEAN CRUISES SR UNSECURED 08/25 6 N/A 194000.0000000000 PA USD 508097.6400000000 0.1177207541 Long DBT CORP LR N 2 2025-08-15 Fixed 6.0000 N N N N N ROYAL CARIBBEAN CRUISES ROYAL CARIBBEAN CRUISES USD XXXX N N N ROLLS-ROYCE HOLDINGS PLC 213800EC7997ZBLZJH69 ROLLS ROYCE HOLDINGS PLC COMMON STOCK GBP.2 N/A 1137000.0000000000 NS 4316563.6900000000 1.0001013441 Long EC CORP GB N 1 N N N RAIA DROGASIL SA N/A RAIA DROGASIL SA COMMON STOCK N/A 95528.0000000000 NS 487820.6000000000 0.1130227822 Long EC CORP BR N 1 N N N ROYAL CARIBBEAN CRUISES K2NEH8QNVW44JIWK7Z55 ROYAL CARIBBEAN CRUISES COMPANY GUAR 144A 01/30 7.25 780153BT8 105000.0000000000 PA USD 109491.9000000000 0.0253680947 Long DBT CORP LR Y 2 2030-01-15 Fixed 7.2500 N N N N N N SS&C TECHNOLOGIES INC. N/A SS+C TECHNOLOGIES, INC. 2022 TERM LOAN B6 78466DBG8 379402.0100000000 PA USD 379842.1200000000 0.0880053306 Long LON CORP US N 2 2029-03-22 Floating 8.2729 N N N N N N VALE SA 254900SMTWBX7RU2SR20 VALE SA SP ADR ADR N/A 21200.0000000000 NS USD 290228.0000000000 0.0672427036 Long EC CORP BR N 1 N N N ALIBABA GROUP HOLDING LTD 5493001NTNQJDH60PM02 ALIBABA GROUP HOLDING SP ADR ADR USD.000025 01609W102 8175.0000000000 NS USD 589989.7500000000 0.1366942745 Long EC CORP KY N 1 N N N VERALTO CORP N/A VERALTO CORP COMMON STOCK USD.01 92338C103 4992.0000000000 NS USD 382836.4800000000 0.0886990916 Long EC CORP US N 1 N N N VERTIV HOLDINGS CO 549300KTTIRAOGXCRV69 VERTIV HOLDINGS CO A COMMON STOCK USD.0001 92537N108 62000.0000000000 NS USD 3492460.0000000000 0.8091653896 Long EC CORP US N 1 N N N ALPHABET INC 5493006MHB84DD0ZWV18 ALPHABET INC CL A COMMON STOCK USD.001 02079K305 45750.0000000000 NS USD 6409575.0000000000 1.4850295357 Long EC CORP US N 1 N N N BRITISH AMERICAN TOBACCO PLC 213800FKA5MF17RJKT63 BRITISH AMERICAN TOBACCO PLC COMMON STOCK GBP.25 N/A 77500.0000000000 NS 2284979.4400000000 0.5294051410 Long EC CORP GB N 2 N N N SS&C TECHNOLOGIES INC. N/A SS+C TECHNOLOGIES, INC. 2022 TERM LOAN B7 78466DBH6 737344.3500000000 PA USD 738199.6700000000 0.1710329177 Long LON CORP US N 2 2029-03-22 Floating 8.2729 N N N N N N SVC ABS LLC N/A SVC ABS LLC SVC 2023 1A C 144A 78487JAC0 170000.0000000000 PA USD 156427.9000000000 0.0362426607 Long ABS-O CORP US Y 2 2053-02-20 Fixed 6.7000 N N N N N N SAGE GROUP PLC/THE 2138005RN5XYLTF8G138 SAGE GROUP PLC/THE COMMON STOCK GBP.01051948 N/A 4050.0000000000 NS 60296.0800000000 0.0139699527 Long EC CORP GB N 1 N N N VISA INC 549300JZ4OKEHW3DPJ59 VISA INC CLASS A SHARES COMMON STOCK USD.0001 92826C839 8600.0000000000 NS USD 2350036.0000000000 0.5444780457 Long EC CORP US N 1 N N N N/A N/A GUITAR CENTER INC 935XXF900 1597.0000000000 NS USD 130954.0000000000 0.0303406322 Long EP CORP US N 2 N N N APOLLO GLOBAL MANAGEMENT INC N/A APOLLO GLOBAL MANAGEMENT PREFERRED STOCK 07/26 6.75 N/A 88340.0000000000 NS USD 5160822.8000000000 1.1957070924 Long EP CORP US N 1 N N N SEA LTD 529900OM6JLLW44YKI15 SEA LTD SR UNSECURED 09/26 0.25 N/A 604000.0000000000 PA USD 509341.1200000000 0.1180088550 Long DBT CORP KY N 2 2026-09-15 Fixed 0.2500 N N N N Y SEA LTD SEA LTD USD XXXX N N N SAREPTA THERAPEUTICS INC 549300IKDPIED8J8IG21 SAREPTA THERAPEUTICS INC SR UNSECURED 09/27 1.25 N/A 163000.0000000000 PA USD 183994.4000000000 0.0426295220 Long DBT CORP US N 2 2027-09-15 Fixed 1.2500 N N N N N SAREPTA THERAPEUTICS INC SAREPTA THERAPEUTICS INC USD XXXX N N N SCHLUMBERGER NV 213800ZUA17OK3QLGM62 SCHLUMBERGER LTD COMMON STOCK USD.01 806857108 98974.0000000000 NS USD 4820033.8000000000 1.1167499493 Long EC CORP CW N 1 N N N WASTE MANAGEMENT INC 549300YX8JIID70NFS41 WASTE MANAGEMENT INC COMMON STOCK USD.01 94106L109 16500.0000000000 NS USD 3062895.0000000000 0.7096398029 Long EC CORP US N 1 N N N MALLINCKRODT FIN/SB N/A MALLINCKRODT PVE MALLINCKRODT PVE DUMMY 561233AN7 2062.0000000000 NS USD 78871.5000000000 0.0182736776 Long EC CORP US Y 1 N N N SEAGATE HDD CAYMAN 529900BD50TRWEG1SF63 SEAGATE HDD CAYMAN COMPANY GUAR 144A 06/28 3.5 N/A 320000.0000000000 PA USD 385366.4000000000 0.0892852468 Long DBT CORP KY Y 2 2028-06-01 Fixed 3.5000 N N N N N SEAGATE HDD CAYMAN SEAGATE HDD CAYMAN USD XXXX N N N SEALED AIR CORP Q0M0CZB4YN6JZ65WXI09 SEALED AIR CORP COMPANY GUAR 144A 04/29 5 81211KBA7 54000.0000000000 PA USD 52087.8600000000 0.0120681965 Long DBT CORP US Y 2 2029-04-15 Fixed 5.0000 N N N N N N LIGHT AND WONDER INTERNATIONAL INC. RLTHESQ0RNFQJWPBJN60 LIGHT AND WONDER INTERNATIONAL 2022 USD TERM LOAN 80875AAT8 1440686.8600000000 PA USD 1440686.8600000000 0.3337916381 Long LON CORP US N 2 2029-04-16 Floating 9.0257 N N N N N N SERVICENOW INC 549300HJTQM36M0E1G39 SERVICENOW INC COMMON STOCK USD.001 81762P102 1790.0000000000 NS USD 1370066.0000000000 0.3174295450 Long EC CORP US N 1 N N N NETEASE INC 5299004AF4DSJDB0PA32 NETEASE INC COMMON STOCK USD.0001 N/A 19000.0000000000 NS 369324.0700000000 0.0855684117 Long EC CORP KY N 1 N N N ALLEGRO.EU SA N/A ALLEGRO.EU SA COMMON STOCK PLN.01 N/A 20840.0000000000 NS 157323.2300000000 0.0364500990 Long EC CORP LU Y 1 N N N SEALED AIR/SEALED AIR US N/A SEALED AIR/SEALED AIR US COMPANY GUAR 144A 02/28 6.125 812127AA6 163000.0000000000 PA USD 163889.9800000000 0.0379715443 Long DBT CORP US Y 2 2028-02-01 Fixed 6.1250 N N N N N N SEALED AIR/SEALED AIR US N/A SEALED AIR/SEALED AIR US COMPANY GUAR 144A 02/31 7.25 812127AB4 50000.0000000000 PA USD 52454.0000000000 0.0121530272 Long DBT CORP US Y 2 2031-02-15 Fixed 7.2500 N N N N N N SHOPIFY INC N/A SHOPIFY INC CLASS A COMMON STOCK 82509L107 19050.0000000000 NS 1525048.5300000000 0.3533373290 Long EC CORP CA N 1 N N N SOUTHERN CO 549300FC3G3YU2FBZD92 SOUTHERN CO SR UNSECURED 144A 12/25 3.875 N/A 160000.0000000000 PA USD 159400.0000000000 0.0369312642 Long DBT CORP US Y 2 2025-12-15 Fixed 3.8750 N N N N Y SOUTHERN CO SOUTHERN CO USD XXXX N N N TENCENT HOLDINGS LTD 254900N4SLUMW4XUYY11 TENCENT HOLDINGS LTD COMMON STOCK HKD.00002 N/A 66700.0000000000 NS 2315243.7300000000 0.5364170513 Long EC CORP KY N 1 N N N GAN & LEE PHARMACEUTICALS CO LTD N/A GAN + LEE PHARMACEUTICALS A COMMON STOCK CNY1.0 N/A 22600.0000000000 NS 115307.2100000000 0.0267154394 Long EC CORP CN N 1 N N N SENSATA TECHNOLOGIES INC 5493002MMDDCUNV7NY90 SENSATA TECHNOLOGIES INC COMPANY GUAR 144A 02/31 3.75 81728UAB0 210000.0000000000 PA USD 182935.2000000000 0.0423841168 Long DBT CORP US Y 2 2031-02-15 Fixed 3.7500 N N N N N N SHIFT4 PAYMENTS INC N/A SHIFT4 PAYMENTS INC SR UNSECURED 12/25 0.00000 N/A 139000.0000000000 PA USD 153362.8700000000 0.0355325262 Long DBT CORP US N 2 2025-12-15 Fixed 0.0000 N N N N Y SHIFT4 PAYMENTS INC SHIFT4 PAYMENTS INC USD XXXX N N N FERTIGLOBE PLC 984500A99D1B4CPBF744 FERTIGLOBE PLC COMMON STOCK N/A 219750.0000000000 NS 166923.7300000000 0.0386744315 Long EC CORP AE N 1 N N N KALYAN JEWELLERS INDIA LTD N/A KALYAN JEWELLERS INDIA LTD COMMON STOCK INR10.0 N/A 334330.0000000000 NS 1418991.2000000000 0.3287649872 Long EC CORP IN N 1 N N N SHOCKWAVE MEDICAL INC 549300LDXO56IC5Y1538 SHOCKWAVE MEDICAL INC SR UNSECURED 144A 08/28 1 N/A 242000.0000000000 PA USD 255958.5600000000 0.0593028432 Long DBT CORP US Y 2 2028-08-15 Fixed 1.0000 N N N N N SHOCKWAVE MEDICAL INC SHOCKWAVE MEDICAL INC USD XXXX N N N SILGAN HOLDINGS INC KAF673KJXD92C8KSLU49 SILGAN HOLDINGS INC COMPANY GUAR 02/28 4.125 827048AW9 200000.0000000000 PA USD 188424.0000000000 0.0436558126 Long DBT CORP US N 2 2028-02-01 Fixed 4.1250 N N N N N N SIMMONS FOOD INC/SIMMONS N/A SIMMONS FOOD INC/SIMMONS SECURED 144A 03/29 4.625 82873MAA1 320000.0000000000 PA USD 275884.8000000000 0.0639195386 Long DBT CORP US Y 2 2029-03-01 Fixed 4.6250 N N N N N N SINCLAIR TELEVISION GROU 549300CQGEN0CH65UD62 SINCLAIR TELEVISION GROU COMPANY GUAR 144A 03/30 5.5 829259AY6 100000.0000000000 PA USD 77120.0000000000 0.0178678739 Long DBT CORP US Y 2 2030-03-01 Fixed 5.5000 N N N N N N YUM CHINA HOLDINGS INC 529900DO9BYZ7VA3K502 YUM CHINA HOLDINGS INC COMMON STOCK USD.01 98850P109 10100.0000000000 NS 347499.6900000000 0.0805119377 Long EC CORP US N 1 N N N HEMNET GROUP AB 5493008VIU67J3HUAR07 HEMNET GROUP AB COMMON STOCK SEK.765774 N/A 1770.0000000000 NS 47786.1200000000 0.0110715296 Long EC CORP SE N 1 N N N SINCLAIR TELEVISION GROU 549300CQGEN0CH65UD62 SINCLAIR TELEVISION GROU SR SECURED 144A 12/30 4.125 829259BA7 167000.0000000000 PA USD 129197.8800000000 0.0299337581 Long DBT CORP US Y 2 2030-12-01 Fixed 4.1250 N N N N N N SIRIUS XM RADIO INC WP5O65E6BMU84LNO4227 SIRIUS XM RADIO INC COMPANY GUAR 144A 07/29 5.5 82967NBC1 225000.0000000000 PA USD 214155.0000000000 0.0496174084 Long DBT CORP US Y 2 2029-07-01 Fixed 5.5000 N N N N N N SOUTHWESTERN ENERGY CO EFWMP121W54QV9MGOP87 SOUTHWESTERN ENERGY CO COMPANY GUAR 02/32 4.75 845467AT6 109000.0000000000 PA USD 101039.7300000000 0.0234098179 Long DBT CORP US N 2 2032-02-01 Fixed 4.7500 N N N N N N SPANISH BROADCASTING SYS 5493005DKYB1X4C9LH64 SPANISH BROADCASTING SYS SR SECURED 144A 03/26 9.75 846425AQ9 202000.0000000000 PA USD 107421.5800000000 0.0248884238 Long DBT CORP US Y 2 2026-03-01 Fixed 9.7500 N N N N N N SIRIUS XM RADIO INC WP5O65E6BMU84LNO4227 SIRIUS XM RADIO INC COMPANY GUAR 144A 07/28 4 82967NBJ6 217000.0000000000 PA USD 197161.8600000000 0.0456802807 Long DBT CORP US Y 2 2028-07-15 Fixed 4.0000 N N N N N N SIRIUS XM RADIO INC WP5O65E6BMU84LNO4227 SIRIUS XM RADIO INC COMPANY GUAR 144A 09/26 3.125 82967NBL1 110000.0000000000 PA USD 102876.4000000000 0.0238353545 Long DBT CORP US Y 2 2026-09-01 Fixed 3.1250 N N N N N N MELROSE INDUSTRIES PLC 213800RGNXXZY2M7TR85 MELROSE INDUSTRIES PLC COMMON STOCK GBP.07619048 N/A 347065.0000000000 NS 2586844.4400000000 0.5993440123 Long EC CORP GB N 1 N N N KWEICHOW MOUTAI CO LTD N/A KWEICHOW MOUTAI CO LTD A COMMON STOCK CNY1.0 N/A 2600.0000000000 NS 581953.6800000000 0.1348324036 Long EC CORP CN N 1 N N N SIRIUS XM RADIO INC WP5O65E6BMU84LNO4227 SIRIUS XM RADIO INC COMPANY GUAR 144A 09/31 3.875 82967NBM9 54000.0000000000 PA USD 45092.1600000000 0.0104473681 Long DBT CORP US Y 2 2031-09-01 Fixed 3.8750 N N N N N N SIX FLAGS ENTERTAINMENT 549300JYTDUAA4JQ3717 SIX FLAGS ENTERTAINMENT COMPANY GUAR 144A 05/31 7.25 83001AAD4 320000.0000000000 PA USD 326777.6000000000 0.0757108525 Long DBT CORP US Y 2 2031-05-15 Fixed 7.2500 N N N N N N SANY HEAVY INDUSTRY CO LTD N/A SANY HEAVY INDUSTRY CO LTD A COMMON STOCK CNY1.0 N/A 167200.0000000000 NS 304966.1100000000 0.0706573651 Long EC CORP CN N 1 N N N CHINA TOURISM GROUP DUTY FREE CORP LTD N/A CHINA TOURISM GROUP DUTY F A COMMON STOCK CNY1.0 N/A 20700.0000000000 NS 230465.5900000000 0.0533963965 Long EC CORP CN N 1 N N N DELTA AIR LINES/SKYMILES N/A DELTA AIR LINES/SKYMILES SR SECURED 144A 10/28 4.75 830867AB3 56000.0000000000 PA USD 55121.3600000000 0.0127710258 Long DBT CORP US Y 2 2028-10-20 Fixed 4.7500 N N N N N N SNAP INC 549300JNC0L6VP8A2Q35 SNAP INC SR UNSECURED 03/28 0.125 N/A 538000.0000000000 PA USD 426133.6600000000 0.0987305822 Long DBT CORP US N 2 2028-03-01 Fixed 0.1250 N N N N Y SNAP INC SNAP INC USD XXXX N N N SPEEDWAY MOT/SPEEDWAY FD N/A SPEEDWAY MOT/SPEEDWAY FD SR UNSECURED 144A 11/27 4.875 84779MAA2 131000.0000000000 PA USD 124360.9200000000 0.0288130866 Long DBT CORP US Y 2 2027-11-01 Fixed 4.8750 N N N N N N ONEMAIN FINANCE CORP 5493008I795YYBFWFU90 ONEMAIN FINANCE CORP COMPANY GUAR 03/26 7.125 85172FAN9 108000.0000000000 PA USD 109533.6000000000 0.0253777561 Long DBT CORP US N 2 2026-03-15 Fixed 7.1250 N N N N N N VENTURE GLOBAL CALCASIEU 549300GKHS6RS20NLH85 VENTURE GLOBAL CALCASIEU SR SECURED 144A 08/31 4.125 92328MAB9 55000.0000000000 PA USD 48722.8500000000 0.0112885599 Long DBT CORP US Y 2 2031-08-15 Fixed 4.1250 N N N N N N VENTURE GLOBAL CALCASIEU 549300GKHS6RS20NLH85 VENTURE GLOBAL CALCASIEU SR SECURED 144A 01/30 6.25 92328MAE3 130000.0000000000 PA USD 130360.1000000000 0.0302030320 Long DBT CORP US Y 2 2030-01-15 Fixed 6.2500 N N N N N N BLOCK INC 549300OHIIUWSTIZME52 BLOCK INC SR UNSECURED 03/25 0.125 N/A 3175000.0000000000 PA USD 3063049.5000000000 0.7096755989 Long DBT CORP US N 2 2025-03-01 Fixed 0.1250 N N N N Y BLOCK INC BLOCK INC USD XXXX N N N STANDARD INDUSTRIES INC 54930064UHXCIUWVI755 STANDARD INDUSTRIES INC SR UNSECURED 144A 02/27 5 853496AC1 225000.0000000000 PA USD 218864.2500000000 0.0507084909 Long DBT CORP US Y 2 2027-02-15 Fixed 5.0000 N N N N N N VENTURE GLOBAL LNG INC N/A VENTURE GLOBAL LNG INC SR SECURED 144A 06/28 8.125 92332YAA9 155000.0000000000 PA USD 156974.7000000000 0.0363693483 Long DBT CORP US Y 2 2028-06-01 Fixed 8.1250 N N N N N N VENTURE GLOBAL LNG INC N/A VENTURE GLOBAL LNG INC SR SECURED 144A 06/31 8.375 92332YAB7 265000.0000000000 PA USD 268505.9500000000 0.0622099385 Long DBT CORP US Y 2 2031-06-01 Fixed 8.3750 N N N N N N STANTEC INC 549300MZ7NGUZDCP2T16 STANTEC INC COMMON STOCK 85472N109 1359.0000000000 NS 109199.1300000000 0.0253002630 Long EC CORP CA N 1 N N N STATION CASINOS LLC 5493004E7Q60TX54WL62 STATION CASINOS LLC COMPANY GUAR 144A 02/28 4.5 857691AG4 455000.0000000000 PA USD 429351.6500000000 0.0994761558 Long DBT CORP US Y 2 2028-02-15 Fixed 4.5000 N N N N N N DT MIDSTREAM INC N/A DT MIDSTREAM INC COMPANY GUAR 144A 06/29 4.125 23345MAA5 169000.0000000000 PA USD 155410.7100000000 0.0360069887 Long DBT CORP US Y 2 2029-06-15 Fixed 4.1250 N N N N N N DANA INC KVWHW7YLZPFJM8QYNJ51 DANA INC SR UNSECURED 09/30 4.25 235825AH9 175000.0000000000 PA USD 153186.2500000000 0.0354916052 Long DBT CORP US N 2 2030-09-01 Fixed 4.2500 N N N N N N ACCO BRANDS CORP JCT8P4Y190IH4I1NX328 ACCO BRANDS CORP COMPANY GUAR 144A 03/29 4.25 00081TAK4 260000.0000000000 PA USD 235968.2000000000 0.0546712920 Long DBT CORP US Y 2 2029-03-15 Fixed 4.2500 N N N N N N ATI INC ZW1LRE7C3H17O2ZN9B45 ATI INC SR UNSECURED 12/27 5.875 01741RAH5 85000.0000000000 PA USD 83696.9500000000 0.0193916824 Long DBT CORP US N 2 2027-12-01 Fixed 5.8750 N N N N N N VENTURE GLOBAL LNG INC N/A VENTURE GLOBAL LNG INC SR SECURED 144A 02/29 9.5 92332YAC5 105000.0000000000 PA USD 111637.0500000000 0.0258651028 Long DBT CORP US Y 2 2029-02-01 Fixed 9.5000 N N N N N N VENTURE GLOBAL LNG INC N/A VENTURE GLOBAL LNG INC SR SECURED 144A 02/32 9.875 92332YAD3 105000.0000000000 PA USD 110456.8500000000 0.0255916632 Long DBT CORP US Y 2 2032-02-01 Fixed 9.8750 N N N N N N SHANGHAI INTERNATIONAL AIRPORT CO LTD N/A SHANGHAI INTERNATIONAL AIR A COMMON STOCK CNY1.0 N/A 54502.0000000000 NS 251634.8200000000 0.0583010792 Long EC CORP CN N 1 N N N AMERICANA RESTAURANTS INTERNATIONAL PLC N/A AMERICANA RESTAURANTS INTERN COMMON STOCK AED.073 N/A 315000.0000000000 NS 267952.8500000000 0.0620817911 Long EC CORP AE N 1 N N N VERTIV GROUP CORPORATION 549300ZT8RQ5VK10E643 VERTIV GROUP CORPORATION SR SECURED 144A 11/28 4.125 92535UAB0 217000.0000000000 PA USD 202107.2900000000 0.0468260836 Long DBT CORP US Y 2 2028-11-15 Fixed 4.1250 N N N N N N VIASAT INC UFC8NYMNFSYIHNSM2I38 VIASAT INC SR SECURED 144A 04/27 5.625 92552VAL4 105000.0000000000 PA USD 98575.0500000000 0.0228387780 Long DBT CORP US Y 2 2027-04-15 Fixed 5.6250 N N N N N N SHELL PLC 21380068P1DRHMJ8KU70 SHELL PLC COMMON STOCK EUR.07 N/A 82300.0000000000 NS 2551489.9300000000 0.5911527529 Long EC CORP GB N 1 N N N HPSP CO LTD N/A HPSP CO LTD COMMON STOCK KRW500.0 N/A 1370.0000000000 NS 45922.2700000000 0.0106396957 Long EC CORP KR N 1 N N N SHIFT INC 353800HJXMOPLJ7BO262 SHIFT INC COMMON STOCK N/A 100.0000000000 NS 18027.3300000000 0.0041767383 Long EC CORP JP N 1 N N N SAUDI NATIONAL BANK/THE 5586006ZEFQ542K7CY16 THE SAUDI NATIONAL BANK COMMON STOCK SAR10.0 N/A 24653.0000000000 NS 266240.7800000000 0.0616851229 Long EC CORP SA N 1 N N N STATION CASINOS LLC N/A STATION CASINOS LLC 2020 TERM LOAN B 85769EAZ4 1243461.9200000000 PA USD 1242150.0700000000 0.2877928009 Long LON CORP US N 2 2027-02-08 Floating 8.2766 N N N N N N STERICYCLE INC B8PTJH2P0AXSWSMP2136 STERICYCLE INC COMPANY GUAR 144A 01/29 3.875 858912AG3 176000.0000000000 PA USD 160233.9200000000 0.0371244745 Long DBT CORP US Y 2 2029-01-15 Fixed 3.8750 N N N N N N ALLEGIANT TRAVEL CO 549300JM9OZXOHWL2K18 ALLEGIANT TRAVEL CO SR SECURED 144A 08/27 7.25 01748XAD4 195000.0000000000 PA USD 190807.5000000000 0.0442080439 Long DBT CORP US Y 2 2027-08-15 Fixed 7.2500 N N N N N N ALLIANT HOLDINGS INTERMEDIATE LLC N/A ALLIANT HOLDINGS INTERMEDIATE 2023 TERM LOAN B6 01881UAL9 171218.3600000000 PA USD 171769.6800000000 0.0397971860 Long LON CORP US N 2 2030-11-06 Floating 9.5406 N N N N N N SCOUT24 SE 5493007EIKM2ENQS7U66 SCOUT24 SE COMMON STOCK N/A 525.0000000000 NS 38655.9000000000 0.0089561559 Long EC CORP DE Y 1 N N N ALKEM LABORATORIES LTD N/A ALKEM LABORATORIES LTD COMMON STOCK INR2.0 N/A 3280.0000000000 NS 197319.6100000000 0.0457168297 Long EC CORP IN N 1 N N N STL HOLDING CO LLC 984500BC2I63E7F48656 STL HOLDING CO LLC SR UNSECURED 144A 02/26 7.5 861036AA9 166000.0000000000 PA USD 169082.6200000000 0.0391746231 Long DBT CORP US Y 2 2026-02-15 Fixed 7.5000 N N N N N N STRIDE INC 254900BRWS3AFONWU277 STRIDE INC SR UNSECURED 09/27 1.125 N/A 162000.0000000000 PA USD 207718.0200000000 0.0481260294 Long DBT CORP US N 2 2027-09-01 Fixed 1.1250 N N N N Y STRIDE INC STRIDE INC USD XXXX N N N MUNTERS GROUP AB 549300KYCB37YAVUV523 MUNTERS GROUP AB COMMON STOCK SEK.03 N/A 10080.0000000000 NS 160889.2000000000 0.0372762959 Long EC CORP SE Y 1 N N N BANCO BTG PACTUAL SA N/A BANCO BTG PACTUAL SA UNIT UNIT N/A 73150.0000000000 NS 531822.8200000000 0.1232176229 Long EC CORP BR N 1 N N N AON PLC 635400FALWQYX5E6QC64 AON PLC CLASS A COMMON STOCK N/A 10000.0000000000 NS USD 2984300.0000000000 0.6914301874 Long EC CORP IE N 1 N N N DANA INC KVWHW7YLZPFJM8QYNJ51 DANA INC SR UNSECURED 02/32 4.5 235825AJ5 164000.0000000000 PA USD 141236.8000000000 0.0327230463 Long DBT CORP US N 2 2032-02-15 Fixed 4.5000 N N N N N N DATADOG INC 549300F6JNO0KRPO1K63 DATADOG INC SR UNSECURED 06/25 0.125 N/A 3306000.0000000000 PA USD 4678849.5600000000 1.0840390806 Long DBT CORP US N 2 2025-06-15 Fixed 0.1250 N N N N Y DATADOG INC DATADOG INC USD XXXX N N N DAVITA INC M2XHYMU3TZNEZURC6H66 DAVITA INC COMPANY GUAR 144A 06/30 4.625 23918KAS7 233000.0000000000 PA USD 206328.4900000000 0.0478040902 Long DBT CORP US Y 2 2030-06-01 Fixed 4.6250 N N N N N N DAVITA INC M2XHYMU3TZNEZURC6H66 DAVITA INC COMPANY GUAR 144A 02/31 3.75 23918KAT5 258000.0000000000 PA USD 212829.3600000000 0.0493102718 Long DBT CORP US Y 2 2031-02-15 Fixed 3.7500 N N N N N N SUMMIT MATERIALS LLC/FIN N/A SUMMIT MATERIALS LLC/FIN COMPANY GUAR 144A 01/31 7.25 86614RAP2 55000.0000000000 PA USD 57205.5000000000 0.0132538986 Long DBT CORP US Y 2 2031-01-15 Fixed 7.2500 N N N N N N N/A 5493004W8FBXFVSWVZ87 867ESCAC9 SUNEDISON INC 10/18 FIXED 2 867ESCAC9 275000.0000000000 PA USD 2750.0000000000 0.0006371454 Long DBT CORP US N 2 2049-10-01 Fixed 1.0000 N N N N N N DAVITA INC. M2XHYMU3TZNEZURC6H66 DAVITA, INC 2020 TERM LOAN B 23918VAY0 1492140.0400000000 PA USD 1490528.5300000000 0.3453394166 Long LON CORP US N 2 2026-08-12 Floating 8.4616 N N N N N N DELL INT LLC / EMC CORP N/A DELL INT LLC / EMC CORP SR UNSECURED 06/26 6.02 24703TAD8 110000.0000000000 PA USD 112426.6000000000 0.0260480331 Long DBT CORP US N 2 2026-06-15 Fixed 6.0200 N N N N N N N/A 5493004W8FBXFVSWVZ87 CB144A SUNEDISON INC 01/20 0.25 FIXED 867ESCAE5 2261000.0000000000 PA USD 22610.0000000000 0.0052384936 Long DBT CORP US N 2 2049-01-15 Fixed 1.0000 N N N N N N TAIWAN SEMICONDUCTOR MANUFACTURING CO LTD 549300KB6NK5SBD14S87 TAIWAN SEMICONDUCTOR SP ADR ADR 874039100 22825.0000000000 NS USD 2578312.0000000000 0.5973671378 Long EC CORP TW N 1 N N N VIAVI SOLUTIONS INC 5493006K3E3N1QOBF092 VIAVI SOLUTIONS INC COMPANY GUAR 144A 10/29 3.75 925550AF2 240000.0000000000 PA USD 209198.4000000000 0.0484690175 Long DBT CORP US Y 2 2029-10-01 Fixed 3.7500 N N N N N N VIKING CRUISES LTD 549300IJP90T4MV2GL84 VIKING CRUISES LTD SR UNSECURED 144A 07/31 9.125 92676XAG2 55000.0000000000 PA USD 58934.1500000000 0.0136544082 Long DBT CORP BM Y 2 2031-07-15 Fixed 9.1250 N N N N N N TESLA INC 54930043XZGB27CTOV49 TESLA INC COMMON STOCK USD.001 88160R101 2100.0000000000 NS USD 393309.0000000000 0.0911254618 Long EC CORP US N 1 N N N US CELLULAR CORP N/A US CELLULAR CORP PREFERRED STOCK 03/70 5.5 911684801 2500.0000000000 NS USD 46275.0000000000 0.0107214194 Long EP CORP US N 1 N N N DELUXE CORP KWGNKB8TX9LE5TV29231 DELUXE CORP COMPANY GUAR 144A 06/29 8 248019AU5 282000.0000000000 PA USD 254048.1600000000 0.0588602241 Long DBT CORP US Y 2 2029-06-01 Fixed 8.0000 N N N N N N DEXCOM INC 549300YSK3QDSFR5EU59 DEXCOM INC SR UNSECURED 11/25 0.25 N/A 142000.0000000000 PA USD 147016.8600000000 0.0340622240 Long DBT CORP US N 2 2025-11-15 Fixed 0.2500 N N N N Y DEXCOM INC DEXCOM INC USD XXXX N N N CHESAPEAKE ENERGY CORP 254900PNIMG4CPJH6R25 CHESAPEAKE ENERGY CORP COMPANY GUAR 144A 04/29 6.75 92735LAA0 167000.0000000000 PA USD 169040.7400000000 0.0391649199 Long DBT CORP US Y 2 2029-04-15 Fixed 6.7500 N N N N N N VISTA OUTDOOR INC 549300QI2D33ESTJLN81 VISTA OUTDOOR INC COMPANY GUAR 144A 03/29 4.5 928377AC4 260000.0000000000 PA USD 255665.8000000000 0.0592350139 Long DBT CORP US Y 2 2029-03-15 Fixed 4.5000 N N N N N N ALLIANT HOLD / CO-ISSUER N/A ALLIANT HOLD / CO ISSUER SR UNSECURED 144A 10/27 6.75 01883LAA1 370000.0000000000 PA USD 362448.3000000000 0.0839753698 Long DBT CORP US Y 2 2027-10-15 Fixed 6.7500 N N N N N N ALLIANT HOLD / CO-ISSUER N/A ALLIANT HOLD / CO ISSUER SR SECURED 144A 01/31 7 01883LAF0 30000.0000000000 PA USD 30378.3000000000 0.0070383251 Long DBT CORP US Y 2 2031-01-15 Fixed 7.0000 N N N N N N US CELLULAR CORP N/A US CELLULAR CORP PREFERRED STOCK 06/70 5.5 911684884 2600.0000000000 NS USD 47710.0000000000 0.0110538935 Long EP CORP US N 1 N N N UNITY SOFTWARE INC N/A UNITY SOFTWARE INC SR UNSECURED 11/26 0.00000 N/A 223000.0000000000 PA USD 185507.0100000000 0.0429799774 Long DBT CORP US N 2 2026-11-15 Fixed 0.0000 N N N N Y UNITY SOFTWARE INC UNITY SOFTWARE INC USD XXXX N N N DEXCOM INC 549300YSK3QDSFR5EU59 DEXCOM INC SR UNSECURED 144A 05/28 0.375 N/A 156000.0000000000 PA USD 157229.2800000000 0.0364283318 Long DBT CORP US Y 2 2028-05-15 Fixed 0.3750 N N N N Y DEXCOM INC DEXCOM INC USD XXXX N N N DIAMOND SPORTS GR/DIAMON N/A DIAMOND SPORTS GR/DIAMON COMPANY GUAR 144A 08/27 6.625 25277LAC0 180000.0000000000 PA USD 12317.4000000000 0.0028538090 Long DBT CORP US Y 2 2027-08-15 Fixed 0.0000 Y N N N N N ALLY FINANCIAL INC 549300JBN1OSM8YNAI90 ALLY FINANCIAL INC JR SUBORDINA 12/99 VAR 02005NBM1 245000.0000000000 PA USD 199050.2500000000 0.0461178004 Long DBT CORP US N 2 2064-01-31 Variable 4.7000 N N N N N N BUCKEYE PARTNERS L.P. N/A BUCKEYE PARTNERS LP 2023 TERM LOAN B 11823LAL9 160000.0000000000 PA USD 160133.6000000000 0.0371012315 Long LON CORP US N 2 2030-11-22 Floating 8.5229 N N N N N N VISTRA CORP 549300KP43CPCUJOOG15 VISTRA CORP JR SUBORDINA 144A VAR 92840MAB8 50000.0000000000 PA USD 50231.5000000000 0.0116380979 Long DBT CORP US Y 2 2064-01-31 Variable 8.0000 N N N N N N VISTRA CORP 549300KP43CPCUJOOG15 VISTRA CORP JR SUBORDINA 144A 12/99 VAR 92840MAC6 105000.0000000000 PA USD 102501.0000000000 0.0237483784 Long DBT CORP US Y 2 2064-01-31 Variable 7.0000 N N N N N N UNIVISION COMMUNICATIONS 549300YQDE2JSGTL8V47 UNIVISION COMMUNICATIONS SR SECURED 144A 08/28 8 914906AY8 160000.0000000000 PA USD 162840.0000000000 0.0377282752 Long DBT CORP US Y 2 2028-08-15 Fixed 8.0000 N N N N N N VFH PARENT LLC N/A VFH PARENT LLC 2022 TERM LOAN B 91820UAS9 283036.1100000000 PA USD 282894.5900000000 0.0655436315 Long LON CORP US N 2 2029-01-16 Floating 9.0257 N N N N N N WIX LTD 5493008P6N29Q1AG9464 WIX LTD SR UNSECURED 08/25 0.00000 N/A 318000.0000000000 PA USD 290944.5600000000 0.0674087229 Long DBT CORP IL N 2 2025-08-15 Fixed 0.0000 N N N N Y WIX LTD WIX LTD USD XXXX N N N W.R. GRACE & CO.-CONN. N/A WR GRACE CO 2021 TERM LOAN B 92943HAB5 203192.4300000000 PA USD 203683.1400000000 0.0471911911 Long LON CORP US N 2 2028-09-22 Floating 9.3933 N N N N N N GTCR W-2 MERGER SUB LLC N/A GTCR W 2 MERGER SUB LLC SR SECURED 144A 01/31 7.5 36268NAA8 225000.0000000000 PA USD 234614.2500000000 0.0543575964 Long DBT CORP US Y 2 2031-01-15 Fixed 7.5000 N N N N N N GAP INC/THE T2ZG1WRWZ4BUCMQL9224 GAP INC/THE COMPANY GUAR 144A 10/31 3.875 364760AQ1 82000.0000000000 PA USD 67765.6200000000 0.0157005647 Long DBT CORP US Y 2 2031-10-01 Fixed 3.8750 N N N N N N VOC ESCROW LTD SR SECURED 144A 02/28 5 N/A VOC ESCROW LTD SR SECURED 144A 02/28 5 91832VAA2 190000.0000000000 PA USD 181995.3000000000 0.0421663520 Long DBT CORP BM N 2 2028-02-15 Fixed 5.0000000000 N N N N N N VZ SECURED FINANCING BV 549300MG611MYCOWY949 VZ SECURED FINANCING BV SR SECURED 144A 01/32 5 91845AAA3 250000.0000000000 PA USD 218615.0000000000 0.0506507424 Long DBT CORP NL Y 2 2032-01-15 Fixed 5.0000 N N N N N N WABASH NATIONAL CORP 5299004ZAWHQZI5XO485 WABASH NATIONAL CORP COMPANY GUAR 144A 10/28 4.5 929566AL1 228000.0000000000 PA USD 207924.6000000000 0.0481738917 Long DBT CORP US Y 2 2028-10-15 Fixed 4.5000 N N N N N N WASTE PRO USA INC 549300BY1QXU5BI3UF28 WASTE PRO USA INC SR UNSECURED 144A 02/26 5.5 94107JAA1 170000.0000000000 PA USD 165190.7000000000 0.0382729071 Long DBT CORP US Y 2 2026-02-15 Fixed 5.5000 N N N N N N BURFORD CAPITAL GLBL FIN 549300JVAOO67CSCH406 BURFORD CAPITAL GLBL FIN COMPANY GUAR 144A 04/30 6.875 12116LAC3 200000.0000000000 PA USD 195096.0000000000 0.0452016432 Long DBT CORP US Y 2 2030-04-15 Fixed 6.8750 N N N N N N BURLINGTON STORES INC 5299003Z37DVGKKC1W09 BURLINGTON STORES INC SR UNSECURED 04/25 2.25 N/A 353000.0000000000 PA USD 380096.2800000000 0.0880642168 Long DBT CORP US N 2 2025-04-15 Fixed 2.2500 N N N N Y BURLINGTON STORES INC BURLINGTON STORES INC USD XXXX N N N WAYFAIR INC 54930027N9ZAVYFDHK53 WAYFAIR INC SR UNSECURED 08/26 1 N/A 168000.0000000000 PA USD 145215.8400000000 0.0336449470 Long DBT CORP US N 2 2026-08-15 Fixed 1.0000 N N N N Y WAYFAIR INC WAYFAIR INC USD XXXX N N N WAYFAIR INC 54930027N9ZAVYFDHK53 WAYFAIR INC SR UNSECURED 10/25 0.625 N/A 318000.0000000000 PA USD 290985.9000000000 0.0674183009 Long DBT CORP US N 2 2025-10-01 Fixed 0.6250 N N N N N WAYFAIR INC WAYFAIR INC USD XXXX N N N VECTOR GROUP LTD 549300TUIF4WWN6NDN50 VECTOR GROUP LTD SR SECURED 144A 02/29 5.75 92240MBL1 342000.0000000000 PA USD 315867.7800000000 0.0731831647 Long DBT CORP US Y 2 2029-02-01 Fixed 5.7500 N N N N N N VENTURE GLOBAL CALCASIEU 549300GKHS6RS20NLH85 VENTURE GLOBAL CALCASIEU SR SECURED 144A 08/29 3.875 92328MAA1 55000.0000000000 PA USD 49163.4000000000 0.0113906306 Long DBT CORP US Y 2 2029-08-15 Fixed 3.8750 N N N N N N GENERAL MOTORS CO 54930070NSV60J38I987 GENERAL MOTORS CO SR UNSECURED 04/45 5.2 37045VAJ9 110000.0000000000 PA USD 99812.9000000000 0.0231255746 Long DBT CORP US N 2 2045-04-01 Fixed 5.2000 N N N N N N GENESIS ENERGY LP/FIN N/A GENESIS ENERGY LP/FIN COMPANY GUAR 05/26 6.25 37185LAK8 88000.0000000000 PA USD 87657.6800000000 0.0203093409 Long DBT CORP US N 2 2026-05-15 Fixed 6.2500 N N N N N N PARAMOUNT GLOBAL 5KYC8KF17ROCY24M3H09 PARAMOUNT GLOBAL SR UNSECURED 08/44 4.9 124857AK9 205000.0000000000 PA USD 162175.5000000000 0.0375743177 Long DBT CORP US N 2 2044-08-15 Fixed 4.9000 N N N N N N CCO HLDGS LLC/CAP CORP N/A CCO HLDGS LLC/CAP CORP SR UNSECURED 144A 05/27 5.125 1248EPBT9 470000.0000000000 PA USD 453648.7000000000 0.1051055208 Long DBT CORP US Y 2 2027-05-01 Fixed 5.1250 N N N N N N WILLIAMS SCOTSMAN INC 549300V3TCHCBOBTGH07 WILLIAMS SCOTSMAN INC SR SECURED 144A 08/28 4.625 96950GAE2 128000.0000000000 PA USD 120858.8800000000 0.0280017016 Long DBT CORP US Y 2 2028-08-15 Fixed 4.6250 N N N N N N WINDSOR HOLDINGS III LLC N/A WINDSOR HOLDINGS III, LLC USD TERM LOAN B 97360BAB1 224862.5000000000 PA USD 225456.1400000000 0.0522357609 Long LON CORP US N 2 2030-08-01 Floating 11.0659 N N N N N N WAYFAIR INC 54930027N9ZAVYFDHK53 WAYFAIR INC SR UNSECURED 144A 11/28 3.5 N/A 302000.0000000000 PA USD 407159.4200000000 0.0943344550 Long DBT CORP US Y 2 2028-11-15 Fixed 3.5000 N N N N Y WAYFAIR INC WAYFAIR INC USD XXXX N N N WEATHERFORD INTERNATIONA 549300A2JKMG5PGOGF82 WEATHERFORD INTERNATIONA COMPANY GUAR 144A 04/30 8.625 947075AU1 262000.0000000000 PA USD 268327.3000000000 0.0621685472 Long DBT CORP BM Y 2 2030-04-30 Fixed 8.6250 N N N N N N GENESIS ENERGY LP/FIN N/A GENESIS ENERGY LP/FIN COMPANY GUAR 04/30 8.875 37185LAN2 138000.0000000000 PA USD 144470.8200000000 0.0334723339 Long DBT CORP US N 2 2030-04-15 Fixed 8.8750 N N N N N N ENACT HOLDINGS INC N/A ENACT HOLDINGS INC SR UNSECURED 144A 08/25 6.5 37255LAA5 283000.0000000000 PA USD 282535.8800000000 0.0654605222 Long DBT CORP US Y 2 2025-08-15 Fixed 6.5000 N N N N N N WINNEBAGO INDUSTRIES 549300B7OYKYJLTE3G11 WINNEBAGO INDUSTRIES SR UNSECURED 144A 01/30 3.25 N/A 1272000.0000000000 PA USD 1308913.4400000000 0.3032611551 Long DBT CORP US Y 2 2030-01-15 Fixed 3.2500 N N N N N WINNEBAGO INDUSTRIES WINNEBAGO INDUSTRIES USD XXXX N N N WORKIVA INC 529900RTOQ8GRWHY1O58 WORKIVA INC SR UNSECURED 08/26 1.125 N/A 34000.0000000000 PA USD 43846.0600000000 0.0101586601 Long DBT CORP US N 2 2026-08-15 Fixed 1.1250 N N N N Y WORKIVA INC WORKIVA INC USD XXXX N N N WORKIVA INC 529900RTOQ8GRWHY1O58 WORKIVA INC SR UNSECURED 144A 08/28 1.25 N/A 240000.0000000000 PA USD 231223.2000000000 0.0535719266 Long DBT CORP US Y 2 2028-08-15 Fixed 1.2500 N N N N Y WORKIVA INC WORKIVA INC USD XXXX N N N WYNN MACAU LTD 254900NMDQ8ENTHU1I31 WYNN MACAU LTD SR UNSECURED 144A 03/29 4.5 N/A 3011000.0000000000 PA USD 3005580.2000000000 0.6963605807 Long DBT CORP KY Y 2 2029-03-07 Fixed 4.5000 N N N N N WYNN MACAU LTD WYNN MACAU LTD USD XXXX N N N CCO HLDGS LLC/CAP CORP N/A CCO HLDGS LLC/CAP CORP SR UNSECURED 144A 02/28 5 1248EPBX0 125000.0000000000 PA USD 118087.5000000000 0.0273596027 Long DBT CORP US Y 2 2028-02-01 Fixed 5.0000 N N N N N N CCO HLDGS LLC/CAP CORP N/A CCO HLDGS LLC/CAP CORP SR UNSECURED 144A 03/30 4.75 1248EPCD3 245000.0000000000 PA USD 217839.3000000000 0.0504710210 Long DBT CORP US Y 2 2030-03-01 Fixed 4.7500 N N N N N N WILLIAMS SCOTSMAN INC N/A WILLIAMS SCOTSMAN INC SR SECURED 144A 10/31 7.375 96949VAL7 105000.0000000000 PA USD 110095.6500000000 0.0255079771 Long DBT CORP US Y 2 2031-10-01 Fixed 7.3750 N N N N N N UNITY SOFTWARE INC N/A UNITY SOFTWARE INC MAY24 42 CALL N/A -600.0000000000 NC USD -108300.0000000000 -0.0250919443 N/A DE US N 1 The Options Clearing Corporation 549300CII6SLYGKNHA04 Call Written UNITY SOFTWARE INC UNITY SOFTWARE INC 100 42.000000000000 USD 2024-05-17 XXXX 1487.5600000000 N N N XHR LP 549300M88BPT83ZL2164 XHR LP SR SECURED 144A 08/25 6.375 98372MAA3 237000.0000000000 PA USD 237391.0500000000 0.0550009510 Long DBT CORP US Y 2 2025-08-15 Fixed 6.3750 N N N N N N ZF NA CAPITAL 529900JYGMS9CW9IQX78 ZF NA CAPITAL COMPANY GUAR 144A 04/30 7.125 98877DAE5 210000.0000000000 PA USD 221646.6000000000 0.0513531314 Long DBT CORP US Y 2 2030-04-14 Fixed 7.1250 N N N N N N GLOBAL NET LEASE/GLOBAL N/A GLOBAL NET LEASE/GLOBAL COMPANY GUAR 144A 12/27 3.75 37892AAA8 278000.0000000000 PA USD 237737.2600000000 0.0550811642 Long DBT CORP US Y 2 2027-12-15 Fixed 3.7500 N N N N N N GO DADDY OPCO/FINCO N/A GO DADDY OPCO/FINCO COMPANY GUAR 144A 12/27 5.25 38016LAA3 69000.0000000000 PA USD 67791.1200000000 0.0157064728 Long DBT CORP US Y 2 2027-12-01 Fixed 5.2500 N N N N N N CCO HLDGS LLC/CAP CORP N/A CCO HLDGS LLC/CAP CORP SR UNSECURED 144A 08/30 4.5 1248EPCE1 125000.0000000000 PA USD 108650.0000000000 0.0251730355 Long DBT CORP US Y 2 2030-08-15 Fixed 4.5000 N N N N N N CCO HLDGS LLC/CAP CORP N/A CCO HLDGS LLC/CAP CORP SR UNSECURED 144A 02/31 4.25 1248EPCK7 215000.0000000000 PA USD 181483.6500000000 0.0420478082 Long DBT CORP US Y 2 2031-02-01 Fixed 4.2500 N N N N N N AMAZON.COM INC N/A AMAZON.COM INC APR24 170 CALL N/A -509.0000000000 NC USD -206145.0000000000 -0.0477615776 N/A DE US N 1 The Options Clearing Corporation 549300CII6SLYGKNHA04 Call Written AMAZON.COM INC AMAZON.COM INC 100 170.000000000000 USD 2024-04-19 XXXX -36659.1700000000 N N N ALIBABA GROUP HOLDING LTD N/A ALIBABA GROUP HOLDING LTD JUN24 85 CALL N/A 67.0000000000 NC USD 21105.0000000000 0.0048898013 N/A DE US N 1 The Options Clearing Corporation 549300CII6SLYGKNHA04 Call Purchased ALIBABA GROUP HOLDING SP ADR ALIBABA GROUP HOLDING SP ADR 100 85.000000000000 USD 2024-06-21 XXXX -27676.1000000000 N N N ZILLOW GROUP INC 2549002XEELQDIR6FU05 ZILLOW GROUP INC SR UNSECURED 09/26 1.375 N/A 157000.0000000000 PA USD 214482.4100000000 0.0496932657 Long DBT CORP US N 2 2026-09-01 Fixed 1.3750 N N N N Y ZILLOW GROUP INC ZILLOW GROUP INC USD XXXX N N N ZSCALER INC. 529900MZ0RTK1BWRNF46 ZSCALER INC. SR UNSECURED 07/25 0.125 N/A 145000.0000000000 PA USD 230802.3000000000 0.0534744086 Long DBT CORP US N 2 2025-07-01 Fixed 0.1250 N N N N Y ZSCALER INC. ZSCALER INC. USD XXXX N N N MAKEMYTRIP LTD N/A MAKEMYTRIP LTD MAY24 45 CALL N/A 1635.0000000000 NC USD 1994700.0000000000 0.4621505193 N/A DE US N 1 The Options Clearing Corporation 549300CII6SLYGKNHA04 Call Purchased MAKEMYTRIP LTD MAKEMYTRIP LTD 100 45.000000000000 USD 2024-05-17 XXXX 1180038.7600000000 N N N TOTALENERGIES SE N/A TOTALENERGIES SE JUN24 60 CALL N/A 140.0000000000 NC 50541.1100000000 0.0117098312 N/A DE FR N 1 Eurex Clearing 529900LN3S50JPU47S06 Call Purchased TOTALENERGIES SE TOTALENERGIES SE 102 60.000000000000 EUR 2024-06-21 XXXX -22425.8700000000 N N N CCO HLDGS LLC/CAP CORP N/A CCO HLDGS LLC/CAP CORP SR UNSECURED 144A 02/32 4.75 1248EPCQ4 108000.0000000000 PA USD 92740.6800000000 0.0214870173 Long DBT CORP US Y 2 2032-02-01 Fixed 4.7500 N N N N N N CCO HLDGS LLC/CAP CORP N/A CCO HLDGS LLC/CAP CORP SR UNSECURED 144A 09/29 6.375 1248EPCS0 250000.0000000000 PA USD 243532.5000000000 0.0564238589 Long DBT CORP US Y 2 2029-09-01 Fixed 6.3750 N N N N N N GLOBAL X MSCI ARGENTINA ETF N/A GLOBAL X MSCI ARGENTINA ETF JUL24 54 CALL N/A 557.0000000000 NC USD 175455.0000000000 0.0406510349 N/A DE US N 1 The Options Clearing Corporation 549300CII6SLYGKNHA04 Call Purchased GLOBAL X MSCI ARGENTINA ETF GLOBAL X MSCI ARGENTINA ETF 100 54.000000000000 USD 2024-07-19 XXXX -3909.7200000000 N N N GLOBAL X MSCI ARGENTINA ETF N/A GLOBAL X MSCI ARGENTINA ETF JUL24 60 CALL N/A -557.0000000000 NC USD -82157.5000000000 -0.0190350084 N/A DE US N 1 The Options Clearing Corporation 549300CII6SLYGKNHA04 Call Written GLOBAL X MSCI ARGENTINA ETF GLOBAL X MSCI ARGENTINA ETF 100 60.000000000000 USD 2024-07-19 XXXX -16442.7700000000 N N N GO DADDY OPCO/FINCO N/A GO DADDY OPCO/FINCO COMPANY GUAR 144A 03/29 3.5 38016LAC9 195000.0000000000 PA USD 176615.4000000000 0.0409198871 Long DBT CORP US Y 2 2029-03-01 Fixed 3.5000 N N N N N N GO DADDY OPERATING COMPANY LLC N/A GO DADDY OPERATING COMPANY LLC 2024 TERM LOAN B6 38017BAV8 1243750.0000000000 PA USD 1245242.5000000000 0.2885092836 Long LON CORP US N 2 2029-11-12 Floating 8.7116 N N N N N N ISHARES MSCI INDIA SMALL-CAP ETF N/A ISHARES MSCI INDIA SMALL-CAP E FEB24 65.76 PUT N/A 39.0000000000 NC USD 1657.5000000000 0.0003840249 N/A DE US N 1 The Options Clearing Corporation 549300CII6SLYGKNHA04 Put Purchased ISHARES MSCI INDIA SMALL CAP E ISHARES MSCI INDIA SMALL CAP E 100 65.760000000000 USD 2024-02-16 XXXX -2906.5500000000 N N N ISHARES MSCI INDIA ETF N/A ISHARES MSCI INDIA ETF FEB24 47 PUT N/A 3427.0000000000 NC USD 17135.0000000000 0.0039699951 N/A DE US N 1 The Options Clearing Corporation 549300CII6SLYGKNHA04 Put Purchased ISHARES MSCI INDIA ETF ISHARES MSCI INDIA ETF 100 47.000000000000 USD 2024-02-16 XXXX -201897.9200000000 N N N N/A 549300S5JUSXRHNCHD80 ENTERCOM MEDIA CORP 2019 TERM LOAN 12506KAE9 320000.0000000000 PA USD 179675.2000000000 0.0416288098 Long LON CORP US N 2 2024-11-18 Floating 0.0000 N N N N N N CHURCHILL DOWNS INC N/A CHURCHILL DOWNS INC SR UNSECURED 144A 04/30 5.75 12511VAA6 108000.0000000000 PA USD 104612.0400000000 0.0242374836 Long DBT CORP US Y 2 2030-04-01 Fixed 5.7500 N N N N N N ZI TECH LLC/ZI FIN CORP N/A ZI TECH LLC/ZI FIN CORP COMPANY GUAR 144A 02/29 3.875 98981BAA0 260000.0000000000 PA USD 231660.0000000000 0.0536731284 Long DBT CORP US Y 2 2029-02-01 Fixed 3.8750 N N N N N N LEG IMMOBILIEN SE 391200SO40AKONBO0Z96 LEG IMMOBILIEN SE SR UNSECURED REGS 09/25 0.875 N/A 200000.0000000000 PA 210464.2000000000 0.0487622897 Long DBT CORP DE N 2 2025-09-01 Fixed 0.8750 N N N N N LEG IMMOBILIEN SE LEG IMMOBILIEN SE EUR XXXX N N N PETROLEO BRASILEIRO SA N/A PETROLEO BRASILEIRO SA APR24 17 CALL N/A 1500.0000000000 NC USD 171750.0000000000 0.0397926263 N/A DE US N 1 The Options Clearing Corporation 549300CII6SLYGKNHA04 Call Purchased PETROLEO BRASILEIRO SPON ADR PETROLEO BRASILEIRO SPON ADR 100 17.000000000000 USD 2024-04-19 XXXX 32221.1200000000 N N N INVESCO QQQ TRUST SERIES 1 N/A INVESCO QQQ TRUST SERIES 1 FEB24 399.78 PUT N/A 2016.0000000000 NC USD 250992.0000000000 0.0581521448 N/A DE US N 1 The Options Clearing Corporation 549300CII6SLYGKNHA04 Put Purchased INVESCO QQQ TRUST SERIES 1 INVESCO QQQ TRUST SERIES 1 100 399.780000000000 USD 2024-02-16 XXXX -918418.8100000000 N N N GOEASY LTD 5493009DJVZG2P8YV435 GOEASY LTD COMPANY GUAR 144A 05/26 4.375 380355AF4 208000.0000000000 PA USD 199035.2000000000 0.0461143135 Long DBT CORP CA Y 2 2026-05-01 Fixed 4.3750 N N N N N N GOEASY LTD 5493009DJVZG2P8YV435 GOEASY LTD COMPANY GUAR 144A 12/28 9.25 380355AH0 365000.0000000000 PA USD 389013.3500000000 0.0901302059 Long DBT CORP CA Y 2 2028-12-01 Fixed 9.2500 N N N N N N N/A 529900GNB86RB7HRX793 CORESTATE CAPITAL HOLD SR UNSECURED REGS 12/26 8 ACI0Z2W07 64816.7100000000 PA 35458.7100000000 0.0082154014 Long DBT CORP LU N 2 2026-12-31 Fixed 0.0000 N N N N N N CYBERAGENT INC 3538006T5KZABPGS8Q08 CYBERAGENT INC SR UNSECURED REGS 02/25 0.0000 N/A 20000000.0000000000 PA 134264.1700000000 0.0311075630 Long DBT CORP JP N 2 2025-02-19 Fixed 0.0000 N N N N N CYBERAGENT INC CYBERAGENT INC JPY XXXX N N N INVESCO QQQ TRUST SERIES 1 N/A INVESCO QQQ TRUST SERIES 1 DEC24 344.78 PUT N/A 815.0000000000 NC USD 655260.0000000000 0.1518166889 N/A DE US N 1 The Options Clearing Corporation 549300CII6SLYGKNHA04 Put Purchased INVESCO QQQ TRUST SERIES 1 INVESCO QQQ TRUST SERIES 1 100 344.780000000000 USD 2024-12-20 XXXX -855176.9300000000 N N N ISHARES MSCI INDIA SMALL-CAP ETF N/A ISHARES MSCI INDIA SMALL-CAP E FEB24 61.76 PUT N/A 50.0000000000 NC USD 3125.0000000000 0.0007240289 N/A DE US N 1 The Options Clearing Corporation 549300CII6SLYGKNHA04 Put Purchased ISHARES MSCI INDIA SMALL CAP E ISHARES MSCI INDIA SMALL CAP E 100 61.760000000000 USD 2024-02-16 XXXX -7676.3300000000 N N N CHS/COMMUNITY HEALTH SYS 5493007X5NC5XI1BB106 CHS/COMMUNITY HEALTH SYS SR SECURED 144A 03/26 8 12543DBC3 114000.0000000000 PA USD 112326.4800000000 0.0260248363 Long DBT CORP US Y 2 2026-03-15 Fixed 8.0000 N N N N N N CHS/COMMUNITY HEALTH SYS 5493007X5NC5XI1BB106 CHS/COMMUNITY HEALTH SYS SECURED 144A 04/29 6.875 12543DBJ8 127000.0000000000 PA USD 87663.0200000000 0.0203105781 Long DBT CORP US Y 2 2029-04-15 Fixed 6.8750 N N N N N N SCREEN HOLDINGS CO LTD 353800ND89FTQ9XQ0R07 SCREEN HOLDINGS CO LTD SR UNSECURED REGS 06/25 0.0000 N/A 40000000.0000000000 PA 669003.9400000000 0.1550010118 Long DBT CORP JP N 2 2025-06-11 Fixed 0.0000 N N N N Y SCREEN HOLDINGS CO LTD SCREEN HOLDINGS CO LTD JPY XXXX N N N NIPPN CORP 353800V7HRZ1HQGJCW63 NIPPN CORP SR UNSECURED REGS 06/25 0.0000 N/A 20000000.0000000000 PA 148781.0800000000 0.0344709748 Long DBT CORP JP N 2 2025-06-20 Fixed 0.0000 N N N N Y NIPPN CORP NIPPN CORP JPY XXXX N N N AON PLC N/A AON PLC APR24 340 CALL N/A -100.0000000000 NC USD -14500.0000000000 -0.0033594939 N/A DE US N 1 The Options Clearing Corporation 549300CII6SLYGKNHA04 Call Written AON PLC CLASS A AON PLC CLASS A 100 340.000000000000 USD 2024-04-19 XXXX 4564.8400000000 N N N CEMEX SAB DE CV N/A CEMEX SAB DE CV JUL24 8 CALL N/A 2050.0000000000 NC USD 143500.0000000000 0.0332474054 N/A DE US N 1 The Options Clearing Corporation 549300CII6SLYGKNHA04 Call Purchased CEMEX SAB SPONS ADR PART CER CEMEX SAB SPONS ADR PART CER 100 8.000000000000 USD 2024-07-19 XXXX 19649.5600000000 N N N CHS/COMMUNITY HEALTH SYS 5493007X5NC5XI1BB106 CHS/COMMUNITY HEALTH SYS SECURED 144A 04/30 6.125 12543DBL3 435000.0000000000 PA USD 288161.4000000000 0.0667638946 Long DBT CORP US Y 2 2030-04-01 Fixed 6.1250 N N N N N N CHS/COMMUNITY HEALTH SYS 5493007X5NC5XI1BB106 CHS/COMMUNITY HEALTH SYS SR SECURED 144A 05/30 5.25 12543DBM1 27000.0000000000 PA USD 22443.4800000000 0.0051999127 Long DBT CORP US Y 2 2030-05-15 Fixed 5.2500 N N N N N N ORACLE CORP N/A ORACLE CORP APR24 120 CALL N/A -355.0000000000 NC USD -93897.5000000000 -0.0217550401 N/A DE US N 1 The Options Clearing Corporation 549300CII6SLYGKNHA04 Call Written ORACLE CORP ORACLE CORP 100 120.000000000000 USD 2024-04-19 XXXX 1942.1800000000 N N N BOSTON SCIENTIFIC CORP N/A BOSTON SCIENTIFIC CORP JUN24 62.5 CALL N/A 450.0000000000 NC USD 191250.0000000000 0.0443105664 N/A DE US N 1 The Options Clearing Corporation 549300CII6SLYGKNHA04 Call Purchased BOSTON SCIENTIFIC CORP BOSTON SCIENTIFIC CORP 100 62.500000000000 USD 2024-06-21 XXXX 50838.2800000000 N N N EDENRED SE 9695006LOD5B2D7Y0N70 EDENRED SE SR UNSECURED REGS 09/24 0.0000 N/A 3440000.0000000000 PA 2288894.5100000000 0.5303122206 Long DBT CORP FR N 2 2024-09-06 Fixed 0.0000 N N N N N EDENRED SE EDENRED SE EUR XXXX N N N NEXI SPA 5493000P70CQRQG8SN85 NEXI SPA SR UNSECURED REGS 04/27 1.75 N/A 200000.0000000000 PA 202408.6600000000 0.0468959078 Long DBT CORP IT N 2 2027-04-24 Fixed 1.7500 N N N N N NEXI SPA NEXI SPA EUR XXXX N N N GRAHAM PACKAGING/GPC CAP 549300YS0ZFT826HIK72 GRAHAM PACKAGING/GPC CAP COMPANY GUAR 144A 08/28 7.125 384701AA6 135000.0000000000 PA USD 121300.2000000000 0.0281039507 Long DBT CORP US Y 2 2028-08-15 Fixed 7.1250 N N N N N N GRAPHIC PACKAGING INTERN SO75N4VY5NXGQSK8YQ65 GRAPHIC PACKAGING INTERN COMPANY GUAR 144A 07/27 4.75 38869AAA5 85000.0000000000 PA USD 82812.1000000000 0.0191866722 Long DBT CORP US Y 2 2027-07-15 Fixed 4.7500 N N N N N N SPDR S&P 500 ETF TRUST N/A SPDR S+P 500 ETF TRUST DEC24 410 PUT N/A 690.0000000000 NC USD 514740.0000000000 0.1192597174 N/A DE US N 1 The Options Clearing Corporation 549300CII6SLYGKNHA04 Put Purchased SPDR S+P 500 ETF TRUST SPDR S+P 500 ETF TRUST 100 410.000000000000 USD 2024-12-20 XXXX -663893.1200000000 N N N UBER TECHNOLOGIES INC N/A UBER TECHNOLOGIES INC JAN25 57.5 CALL N/A 520.0000000000 NC USD 820300.0000000000 0.1900546804 N/A DE US N 1 The Options Clearing Corporation 549300CII6SLYGKNHA04 Call Purchased UBER TECHNOLOGIES INC UBER TECHNOLOGIES INC 100 57.500000000000 USD 2025-01-17 XXXX 406935.2300000000 N N N TRINSEO MATERIALS OPERATING S.C.A. N/A TRINSEO MATERIALS OPERATING 2021 TERM LOAN B2 N/A 159007.0500000000 PA USD 122091.1800000000 0.0282872122 Long LON CORP LU N 2 2028-05-03 Floating 8.1938 N N N N N N CARNIVAL CORPORATION N/A CARNIVAL CORPORATION 2021 INCREMENTAL TERM LOAN B N/A 234402.0400000000 PA USD 234731.3700000000 0.0543847318 Long LON CORP US N 2 2028-10-18 Floating 9.2722 N N N N N N CARNIVAL CORPORATION N/A CARNIVAL CORPORATION 2023 TERM LOAN B N/A 1457675.0000000000 PA USD 1460225.9300000000 0.3383186303 Long LON CORP US N 2 2027-08-09 Floating 8.8516 N N N N N N GRAPHIC PACKAGING INTERN SO75N4VY5NXGQSK8YQ65 GRAPHIC PACKAGING INTERN COMPANY GUAR 144A 03/29 3.5 38869AAC1 102000.0000000000 PA USD 92253.9000000000 0.0213742356 Long DBT CORP US Y 2 2029-03-01 Fixed 3.5000 N N N N N N GREAT LAKES DREDGE&DOCK 549300H65E3MZ1CX0P05 GREAT LAKES DREDGE+DOCK COMPANY GUAR 144A 06/29 5.25 390607AF6 236000.0000000000 PA USD 204968.3600000000 0.0474889628 Long DBT CORP US Y 2 2029-06-01 Fixed 5.2500 N N N N N N GROUP 1 AUTOMOTIVE INC 549300US8QAZJLWYAF63 GROUP 1 AUTOMOTIVE INC COMPANY GUAR 144A 08/28 4 398905AN9 93000.0000000000 PA USD 85880.8500000000 0.0198976685 Long DBT CORP US Y 2 2028-08-15 Fixed 4.0000 N N N N N N GUITAR CENTER INC N/A GUITAR CENTER INC SR SECURED 144A 01/26 8.5 40204BAA3 226000.0000000000 PA USD 200810.0400000000 0.0465255248 Long DBT CORP US Y 2 2026-01-15 Fixed 8.5000 N N N N N N GULFPORT ENERGY OP CORP 549300FJX18IDUFPHD40 GULFPORT ENERGY OP CORP COMPANY GUAR 05/26 8 402635AQ9 65902.0000000000 PA USD 66547.8400000000 0.0154184182 Long DBT CORP US N 2 2026-05-17 Fixed 8.0000 N N N N N N GULFPORT ENERGY OP CORP 549300FJX18IDUFPHD40 GULFPORT ENERGY OP CORP COMPANY GUAR 144A 05/26 8 402635AR7 205000.0000000000 PA USD 207009.0000000000 0.0479617571 Long DBT CORP US Y 2 2026-05-17 Fixed 8.0000 N N N N N N YPSOMED HOLDING AG 391200QLIOTTBNPNSI14 YPSOMED HOLDING AG REG COMMON STOCK CHF14.15 N/A 140.0000000000 NS 49418.3700000000 0.0114497044 Long EC CORP CH N 1 N N N MITRA ADIPERKASA TBK PT N/A MITRA ADIPERKASA TBK PT COMMON STOCK IDR50.0 N/A 2733200.0000000000 NS 338530.1700000000 0.0784337965 Long EC CORP ID N 1 N N N ALSTOM SA 96950032TUYMW11FB530 ALSTOM COMMON STOCK EUR7.0 N/A 37029.0000000000 NS 466950.7400000000 0.1081874603 Long EC CORP FR N 1 N N N STEADFAST GROUP LTD N/A STEADFAST GROUP LTD COMMON STOCK N/A 9445.0000000000 NS 36546.2300000000 0.0084673681 Long EC CORP AU N 1 N N N HUB24 LTD N/A HUB24 LTD COMMON STOCK N/A 1600.0000000000 NS 38665.5700000000 0.0089583964 Long EC CORP AU N 1 N N N VENUSTECH GROUP INC N/A VENUSTECH GROUP INC A COMMON STOCK CNY1.0 N/A 93700.0000000000 NS 241474.3400000000 0.0559470054 Long EC CORP CN N 1 N N N IFLYTEK CO LTD N/A IFLYTEK CO LTD A COMMON STOCK CNY1.0 N/A 14500.0000000000 NS 77148.2300000000 0.0178744145 Long EC CORP CN N 1 N N N WEICHAI POWER CO LTD N/A WEICHAI POWER CO LTD A COMMON STOCK CNY1.0 N/A 134400.0000000000 NS 276195.8500000000 0.0639916055 Long EC CORP CN N 1 N N N BYD CO LTD 5299005557VL7ULJ7A69 BYD CO LTD A COMMON STOCK CNY1.0 N/A 12500.0000000000 NS 298076.5800000000 0.0690611351 Long EC CORP CN N 1 N N N JAPAN ELEVATOR SERVICE HOLDINGS CO LTD N/A JAPAN ELEVATOR SERVICE HOLDI COMMON STOCK N/A 2400.0000000000 NS 36267.5700000000 0.0084028056 Long EC CORP JP N 1 N N N H&E EQUIPMENT SERVICES 254900KVLRCDMQRYY541 H+E EQUIPMENT SERVICES COMPANY GUAR 144A 12/28 3.875 404030AJ7 516000.0000000000 PA USD 468940.8000000000 0.1086485357 Long DBT CORP US Y 2 2028-12-15 Fixed 3.8750 N N N N N N H.B. FULLER COMPANY N/A H.B. FULLER COMPANY 2023 TERM LOAN B 40409VAS3 1243734.3400000000 PA USD 1245674.5700000000 0.2886093896 Long LON CORP US N 2 2030-02-15 Floating 8.9616 N N N N N N ZHONGJI INNOLIGHT CO LTD N/A ZHONGJI INNOLIGHT CO LTD A COMMON STOCK CNY1.0 N/A 7700.0000000000 NS 109818.9600000000 0.0254438710 Long EC CORP CN N 1 N N N KPIT TECHNOLOGIES LTD N/A KPIT TECHNOLOGIES LTD COMMON STOCK INR10.0 N/A 78795.0000000000 NS 1469893.2900000000 0.3405584536 Long EC CORP IN N 1 N N N LINDBLAD EXPEDITIONS HO 549300GSPW24GZE6R597 LINDBLAD EXPEDITIONS HO SR SECURED 144A 05/28 9 535219AA7 80000.0000000000 PA USD 83208.0000000000 0.0192783980 Long DBT CORP US Y 2 2028-05-15 Fixed 9.0000 N N N N N N LINDBLAD EXPEDITIONS LLC 549300MPUWOG67Y2R254 LINDBLAD EXPEDITIONS LLC SR SECURED 144A 02/27 6.75 53523LAA8 139000.0000000000 PA USD 139105.6400000000 0.0322292795 Long DBT CORP US Y 2 2027-02-15 Fixed 6.7500 N N N N N N XIAOMI CORP 2549001ACVFAZRNMKL32 XIAOMI CORP CLASS B COMMON STOCK USD.0000025 N/A 303800.0000000000 NS 478645.4400000000 0.1108969964 Long EC CORP KY Y 1 N N N FOXCONN INDUSTRIAL INTERNET CO LTD N/A FOXCONN INDUSTRIAL INTERNE A COMMON STOCK CNY1.0 N/A 47200.0000000000 NS 87358.7700000000 0.0202400867 Long EC CORP CN N 1 N N N LITHIUM AMERICAS AR N/A LITHIUM AMERICAS AR SR UNSECURED 01/27 1.75 N/A 1976000.0000000000 PA USD 1371087.1200000000 0.3176661275 Long DBT CORP CA N 2 2027-01-15 Fixed 1.7500 N N N N N LITHIUM AMERICAS AR LITHIUM AMERICAS AR USD XXXX N N N LIVEPERSON INC 549300IN2P1JZ20G7N40 LIVEPERSON INC SR UNSECURED 12/26 0.00000 N/A 175000.0000000000 PA USD 116949.0000000000 0.0270958245 Long DBT CORP US N 2 2026-12-15 Fixed 0.0000 N N N N Y LIVEPERSON INC LIVEPERSON INC USD XXXX N N N MAP AKTIF ADIPERKASA PT N/A MAP AKTIF ADIPERKASA PT COMMON STOCK IDR10.0 N/A 3987300.0000000000 NS 245100.1900000000 0.0567870758 Long EC CORP ID N 1 N N N B3 SA - BRASIL BOLSA BALCAO N/A B3 SA BRASIL BOLSA BALCAO COMMON STOCK N/A 188400.0000000000 NS 497770.8700000000 0.1153281526 Long EC CORP BR N 1 N N N SASOL LTD 378900F4544561A97588 SASOL LTD COMMON STOCK 803866102 16900.0000000000 NS 146788.4500000000 0.0340093039 Long EC CORP ZA N 1 N N N ONEOK INC 2T3D6M0JSY48PSZI1Q41 ONEOK INC COMMON STOCK USD.01 682680103 1954.0000000000 NS USD 133360.5000000000 0.0308981924 Long EC CORP US N 1 N N N CONTEMPORARY AMPEREX TECHNOLOGY CO LTD 300300KINDY1K0E9I032 CONTEMPORARY AMPEREX TECHN A COMMON STOCK CNY1.0 N/A 12780.0000000000 NS 270083.4100000000 0.0625754190 Long EC CORP CN N 1 N N N PROSUS NV 635400Z5LQ5F9OLVT688 PROSUS NV COMMON STOCK EUR.05 N/A 17872.0000000000 NS 528599.1500000000 0.1224707333 Long EC CORP NL N 1 N N N LUCID GROUP INC N/A LUCID GROUP INC SR UNSECURED 144A 12/26 1.25 N/A 214000.0000000000 PA USD 85088.5400000000 0.0197140988 Long DBT CORP US Y 2 2026-12-15 Fixed 1.2500 N N N N Y LUCID GROUP INC LUCID GROUP INC USD XXXX N N N M/I HOMES INC 5299005M71FH9CCSFB69 M/I HOMES INC COMPANY GUAR 02/30 3.95 55305BAV3 140000.0000000000 PA USD 125560.4000000000 0.0290909932 Long DBT CORP US N 2 2030-02-15 Fixed 3.9500 N N N N N N HDFC BANK LTD 335800ZQ6I4E2JXENC50 HDFC BANK LIMITED COMMON STOCK INR1.0 N/A 224876.0000000000 NS 3954907.9800000000 0.9163096089 Long EC CORP IN N 1 N N N ALIBABA GROUP HOLDING LTD 5493001NTNQJDH60PM02 ALIBABA GROUP HOLDING LTD COMMON STOCK USD.000003125 N/A 124700.0000000000 NS 1118431.0200000000 0.2591284287 Long EC CORP KY N 1 N N N ORACLE CORP 1Z4GXXU7ZHVWFCD8TV52 ORACLE CORP COMMON STOCK USD.01 68389X105 35500.0000000000 NS USD 3965350.0000000000 0.9187289125 Long EC CORP US N 1 N N N SUMITOMO BAKELITE CO LTD N/A SUMITOMO BAKELITE CO LTD COMMON STOCK N/A 1200.0000000000 NS 59637.0300000000 0.0138172579 Long EC CORP JP N 1 N N N NINGBO ORIENT WIRES & CABLES CO LTD N/A NINGBO ORIENT WIRES + CABL A COMMON STOCK CNY1.0 N/A 35300.0000000000 NS 173743.4300000000 0.0402544826 Long EC CORP CN N 1 N N N JD.COM INC 549300HVTWB0GJZ16V92 JD.COM INC CLASS A COMMON STOCK USD.00002 N/A 161219.0000000000 NS 1817927.0100000000 0.4211941203 Long EC CORP KY N 1 N N N WELLS FARGO & CO PBLD0EJDB5FWOLXP3B76 WELLS FARGO + CO COMMON STOCK USD1.666 949746101 41825.0000000000 NS USD 2098778.5000000000 0.4862643875 Long EC CORP US N 1 N N N WUXI BIOLOGICS CAYMAN INC 5493001TD2TH6VDTJU11 WUXI BIOLOGICS CAYMAN INC COMMON STOCK USD.00001 N/A 184000.0000000000 NS 484202.3400000000 0.1121844703 Long EC CORP KY Y 1 N N N SMOORE INTERNATIONAL HOLDINGS LTD N/A SMOORE INTERNATIONAL HOLDING COMMON STOCK USD.01 N/A 106000.0000000000 NS 64098.6200000000 0.0148509603 Long EC CORP KY Y 1 N N N MPH ACQUISITION HOLDINGS 5493002WXOPRPTXWTU06 MPH ACQUISITION HOLDINGS COMPANY GUAR 144A 11/28 5.75 553283AC6 245000.0000000000 PA USD 195076.3500000000 0.0451970905 Long DBT CORP US Y 2 2028-11-01 Fixed 5.7500 N N N N N N MPH ACQUISITION HOLDINGS 5493002WXOPRPTXWTU06 MPH ACQUISITION HOLDINGS SR SECURED 144A 09/28 5.5 553283AD4 110000.0000000000 PA USD 97816.4000000000 0.0226630070 Long DBT CORP US Y 2 2028-09-01 Fixed 5.5000 N N N N N N PRESTIGE ESTATES PROJECTS LTD N/A PRESTIGE ESTATE PROJ FOR COMMON STOCK INR10.0 N/A 14680.0000000000 NS 222279.8200000000 0.0514998417 Long EC CORP IN N 1 N N N TATA MOTORS LTD N/A TATA MOTORS LTD COMMON STOCK INR2.0 N/A 90650.0000000000 NS 965428.3600000000 0.2236793593 Long EC CORP IN N 1 N N N MIWD HLDCO II/MIWD FIN N/A MIWD HLDCO II/MIWD FIN COMPANY GUAR 144A 02/30 5.5 55337PAA0 248000.0000000000 PA USD 226002.4000000000 0.0523623234 Long DBT CORP US Y 2 2030-02-01 Fixed 5.5000 N N N N N N MACQUARIE AIRFINANCE HLD N/A MACQUARIE AIRFINANCE HLD SR UNSECURED 144A 03/29 8.125 55609NAB4 210000.0000000000 PA USD 218076.6000000000 0.0505260009 Long DBT CORP GB Y 2 2029-03-30 Fixed 8.1250 N N N N N N CORP INMOBILIARIA VESTA SAB DE CV N/A CORP INMOBILIARIA VESTA SAB COMMON STOCK N/A 492165.0000000000 NS 1870121.2000000000 0.4332869523 Long EC CORP MX N 1 N N N SILERGY CORP N/A SILERGY CORP COMMON STOCK TWD2.5 N/A 13000.0000000000 NS 159987.5700000000 0.0370673979 Long EC CORP KY N 1 N N N VODAFONE GROUP PLC 213800TB53ELEUKM7Q61 VODAFONE GROUP PLC COMMON STOCK USD.2095238 N/A 1176545.0000000000 NS 1000228.5300000000 0.2317421841 Long EC CORP GB N 2 N N N TITAGARH RAIL SYSTEM LTD N/A TITAGARH RAIL SYSTEM LTD COMMON STOCK INR2.0 N/A 56626.0000000000 NS 749937.2600000000 0.1737523909 Long EC CORP IN N 1 N N N MACY'S RETAIL HLDGS LLC 549300JMONK27O4SQQ19 MACY S RETAIL HLDGS LLC COMPANY GUAR 02/43 4.3 55616XAJ6 215000.0000000000 PA USD 163247.3500000000 0.0378226538 Long DBT CORP US N 2 2043-02-15 Fixed 4.3000 N N N N N N MACY'S RETAIL HLDGS LLC N/A MACY S RETAIL HLDGS LLC SR SECURED 144A 07/34 6.7 55617LAL6 261000.0000000000 PA USD 219644.5500000000 0.0508892780 Long DBT CORP US Y 2 2034-07-15 Fixed 6.7000 N N N N N N CONCORDIA FINANCIAL GROUP LTD N/A CONCORDIA FINANCIAL GROUP LT COMMON STOCK N/A 16200.0000000000 NS 77200.2000000000 0.0178864554 Long EC CORP JP N 1 N N N N/A LAXUQCHT4FH58LRZDY46 ENGIE SA COMMON STOCK ACI0R5H48 45801.0000000000 NS 733052.7900000000 0.1698404410 Long EC CORP FR N 1 N N N DENTIUM CO LTD N/A DENTIUM CO LTD COMMON STOCK KRW500.0 N/A 4738.0000000000 NS 400761.8700000000 0.0928522115 Long EC CORP KR N 1 N N N HD HYUNDAI ELECTRIC CO LTD N/A HD HYUNDAI ELECTRIC CO LTD COMMON STOCK KRW5000.0 N/A 310.0000000000 NS 23740.7400000000 0.0055004739 Long EC CORP KR N 1 N N N MAGNOLIA OIL GAS/MAG FIN N/A MAGNOLIA OIL GAS/MAG FIN COMPANY GUAR 144A 08/26 6 559665AA2 217000.0000000000 PA USD 214619.5100000000 0.0497250303 Long DBT CORP US Y 2 2026-08-01 Fixed 6.0000 N N N N N N MAKEMYTRIP LIMITED 529900DNT8HNJ7RYUO60 MAKEMYTRIP LIMITED SR UNSECURED 02/28 0.00000 N/A 3706000.0000000000 PA USD 5569487.9800000000 1.2903904158 Long DBT CORP MU N 2 2028-02-15 Fixed 0.0000 N N N N N MAKEMYTRIP LIMITED MAKEMYTRIP LIMITED USD XXXX N N N AMBER ENTERPRISES INDIA LTD N/A AMBER ENTERPRISES INDIA LTD COMMON STOCK INR10.0 N/A 26630.0000000000 NS 1391947.0500000000 0.3224991488 Long EC CORP IN N 1 N N N BE SEMICONDUCTOR INDUSTRIES NV 7245007A1YFLI2GNYX06 BE SEMICONDUCTOR INDUSTRIES COMMON STOCK EUR.01 N/A 589.0000000000 NS 88513.9100000000 0.0205077202 Long EC CORP NL N 1 N N N MALLINCKRODT FIN/SB N/A MALLINCKRODT FIN/SB SR SECURED 144A 11/28 14.75 561233AN7 138952.0000000000 PA USD 151522.9900000000 0.0351062458 Long DBT CORP LU Y 2 2028-11-14 Fixed 14.7500 N N N N N N MEITUAN 21380033K525E5JLIA77 MEITUAN CLASS B COMMON STOCK USD.00001 N/A 11470.0000000000 NS 92255.7700000000 0.0213746689 Long EC CORP KY Y 1 N N N ZOMATO LTD N/A ZOMATO LTD COMMON STOCK INR1.0 N/A 593500.0000000000 NS 994660.4000000000 0.2304521083 Long EC CORP IN N 1 N N N DIXON TECHNOLOGIES INDIA LTD N/A DIXON TECHNOLOGIES INDIA LTD COMMON STOCK INR2.0 N/A 15655.0000000000 NS 1127940.3200000000 0.2613316311 Long EC CORP IN N 1 N N N TRUSTPILOT GROUP PLC 2138002ILUNMGNPSGG46 TRUSTPILOT GROUP PLC COMMON STOCK GBP.0001 N/A 22080.0000000000 NS 50283.6300000000 0.0116501758 Long EC CORP GB Y 1 N N N MARRIOTT VACATION WORLDW 549300WA6BT5H4F7IO94 MARRIOTT VACATION WORLDW COMPANY GUAR 01/26 0.00000 N/A 725000.0000000000 PA USD 643133.0000000000 0.1490069935 Long DBT CORP US N 2 2026-01-15 Fixed 0.0000 N N N N Y MARRIOTT VACATION WORLDW MARRIOTT VACATION WORLDW USD XXXX N N N MASTEC INC 549300TMDIT8WREDOF45 MASTEC INC COMPANY GUAR 144A 08/28 4.5 576323AP4 55000.0000000000 PA USD 51678.5500000000 0.0119733638 Long DBT CORP US Y 2 2028-08-15 Fixed 4.5000 N N N N N N MACROTECH DEVELOPERS LTD N/A MACROTECH DEVELOPERS LTD COMMON STOCK INR10.0 N/A 181970.0000000000 NS 2354654.4300000000 0.5455480863 Long EC CORP IN Y 1 N N N JIUMAOJIU INTERNATIONAL HOLDINGS LTD N/A JIUMAOJIU INTERNATIONAL HOLD COMMON STOCK USD.0000001 N/A 173000.0000000000 NS 101899.0700000000 0.0236089177 Long EC CORP KY Y 1 N N N ASHTEAD TECHNOLOGY HOLDINGS PLC 213800LHEWVY66RPGR58 ASHTEAD TECHNOLOGY HOLDINGS COMMON STOCK GBP.05 N/A 10340.0000000000 NS 86100.8600000000 0.0199486425 Long EC CORP GB N 1 N N N FABRINET 5493004TETZ6IYF7CV44 FABRINET COMMON STOCK USD.01 N/A 372.0000000000 NS USD 79425.7200000000 0.0184020844 Long EC CORP KY N 1 N N N MATCH GROUP INC. N/A MATCH GROUP, INC 2020 TERM LOAN B 57665VAF4 1250000.0000000000 PA USD 1247662.5000000000 0.2890699716 Long LON CORP US N 2 2027-02-16 Floating 7.7757 N N N N N N MATCH GROUP HLD II LLC 5493003RFFE030RC9167 MATCH GROUP HLD II LLC SR UNSECURED 144A 10/31 3.625 57667JAA0 109000.0000000000 PA USD 93366.1300000000 0.0216319273 Long DBT CORP US Y 2 2031-10-01 Fixed 3.6250 N N N N N N LINDE PLC 8945002PAZHZLBGKGF02 LINDE PLC COMMON STOCK N/A 3550.0000000000 NS USD 1437146.5000000000 0.3329713748 Long EC CORP IE N 1 N N N MCDERMOTT INTERNATIONAL LTD 54930004RAXI4B3L4752 MCDERMOTT INTERNATIONAL LTD MCDERMOTT INTER TR A CW27 N/A 12061.0000000000 NS USD 1.2100000000 0.0000002803 N/A DE CORP BM N 1 MCDERMOTT INTERNATIONAL LTD N/A Call Purchased MCDERMOTT INTERNATIONAL LTD MCDERMOTT INTERNATIONAL LTD 12061 0.000000000000 USD 2027-06-30 XXXX -2438.9400000000 N N N MCDERMOTT INTERNATIONAL LTD 54930004RAXI4B3L4752 MCDERMOTT INTERNATIONAL LTD MCDERMOTT INTER TR B CW27 N/A 13401.0000000000 NS USD 1.3400000000 0.0000003105 N/A DE CORP BM N 1 MCDERMOTT INTERNATIONAL LTD N/A Call Purchased MCDERMOTT INTERNATIONAL LTD MCDERMOTT INTERNATIONAL LTD 13401 0.000000000000 USD 2027-06-30 XXXX -2710.1600000000 N N N APTIV PLC N/A APTIV PLC COMMON STOCK USD.01 N/A 51097.0000000000 NS USD 4155719.0100000000 0.9628353630 Long EC CORP JE N 1 N N N TECHNIPFMC PLC 549300D5I93QWCJTCK36 TECHNIPFMC PLC COMMON STOCK USD1.0 N/A 20860.0000000000 NS USD 403432.4000000000 0.0934709446 Long EC CORP GB N 1 N N N N/A 549300YV2L21F4K80V46 INTELSAT EMERGENCE SA COMMON STOCK L5217E120 2835.0000000000 NS USD 77253.7500000000 0.0178988623 Long EC CORP LU N 1 N N N AMYNTA AGENCY BORROWER INC. N/A AMYNTA AGENCY BORROWER GROUP 2023 1ST LIEN TERM LOAN B 57810JAH1 164176.0300000000 PA USD 164439.5300000000 0.0380988691 Long LON CORP US N 2 2028-02-28 Floating 10.1135 N N N N N N MERCER INTL INC 549300Z5IAG39VRTY874 MERCER INTL INC SR UNSECURED 02/29 5.125 588056BB6 284000.0000000000 PA USD 243833.8800000000 0.0564936854 Long DBT CORP US N 2 2029-02-01 Fixed 5.1250 N N N N N N MERCER INTL INC 549300Z5IAG39VRTY874 MERCER INTL INC SR UNSECURED 144A 10/28 12.875 588056BC4 107000.0000000000 PA USD 115064.5900000000 0.0266592270 Long DBT CORP US Y 2 2028-10-01 Fixed 12.8750 N N N N N N PATTERSON-UTI ENERGY INC 254900XGFBKIXD6G0697 PATTERSON UTI ENERGY INC SR UNSECURED 11/29 5.15 703481AC5 112000.0000000000 PA USD 108223.3600000000 0.0250741876 Long DBT CORP US N 2 2029-11-15 Fixed 5.1500 N N N N N N ASML HOLDING NV 724500Y6DUVHQD6OXN27 ASML HOLDING NV NY REG SHS NY REG SHRS EUR.09 N/A 13720.0000000000 NS USD 11933930.4000000000 2.7649632185 Long EC CORP NL N 1 N N N MAKEMYTRIP LTD N/A MAKEMYTRIP LTD COMMON STOCK N/A 1710.0000000000 NS USD 94716.9000000000 0.0219448862 Long EC CORP MU N 1 N N N PEGASYSTEMS INC 549300FMCOKPL06FYN26 PEGASYSTEMS INC SR UNSECURED 03/25 0.75 N/A 173000.0000000000 PA USD 163803.3200000000 0.0379514661 Long DBT CORP US N 2 2025-03-01 Fixed 0.7500 N N N N Y PEGASYSTEMS INC PEGASYSTEMS INC USD XXXX N N N PENN ENTERTAINMENT INC. N/A PENN ENTERTAINMENT, INC. 2022 TERM LOAN B 70757DAZ2 1243686.8600000000 PA USD 1242343.6800000000 0.2878376582 Long LON CORP US N 2 2029-05-03 Floating 8.4438 N N N N N N PERFORMANCE FOOD GROUP I 549300OMUOGBYK0FFO76 PERFORMANCE FOOD GROUP I COMPANY GUAR 144A 08/29 4.25 71376LAE0 217000.0000000000 PA USD 199010.7000000000 0.0461086371 Long DBT CORP US Y 2 2029-08-01 Fixed 4.2500 N N N N N N PERMIAN RESOURC OPTG LLC N/A PERMIAN RESOURC OPTG LLC COMPANY GUAR 144A 01/32 7 71424VAA8 52000.0000000000 PA USD 53730.5600000000 0.0124487924 Long DBT CORP US Y 2 2032-01-15 Fixed 7.0000 N N N N N N HUMANA INC 529900YLDW34GJAO4J06 HUMANA INC COMMON STOCK USD.1666666 444859102 4860.0000000000 NS USD 1837371.6000000000 0.4256992225 Long EC CORP US N 1 N N N INFOSYS LTD 335800TYLGG93MM7PR89 INFOSYS LTD SP ADR ADR 456788108 28901.0000000000 NS USD 573973.8600000000 0.1329835652 Long EC CORP IN N 1 N N N ITAU UNIBANCO HOLDING SA 5493002W2IVG62O3ZJ94 ITAU UNIBANCO H SPON PRF ADR ADR 465562106 133716.0000000000 NS USD 882525.6000000000 0.2044716821 Long EC CORP BR N 1 N N N PERRIGO INVESTMENTS LLC 549300POZGC78VHAAJ73 PERRIGO INVESTMENTS LLC TERM LOAN B 71429TAC4 1246843.4300000000 PA USD 1246325.9900000000 0.2887603166 Long LON CORP IE N 2 2029-04-20 Floating 8.5340 N N N N N N PETCO HEALTH AND WELLNESS COMPANY INC. N/A PETCO HEALTH AND WELLNESS COMP 2021 TERM LOAN B 71601HAB2 125661.0300000000 PA USD 118292.9000000000 0.0274071916 Long LON CORP US N 2 2028-03-06 Floating 8.7383 N N N N N N JPMORGAN CHASE & CO 8I5DZWZKVSZI1NUHU748 JPMORGAN CHASE + CO COMMON STOCK USD1.0 46625H100 12575.0000000000 NS USD 2192577.0000000000 0.5079964903 Long EC CORP US N 1 N N N RWE AG 529900GB7KCA94ACC940 RWE AG COMMON STOCK N/A 29000.0000000000 NS 1070843.0000000000 0.2481027967 Long EC CORP DE N 1 N N N PETSMART INC. N/A PETSMART INC 2021 TERM LOAN B 71677HAL9 380115.6000000000 PA USD 378889.7300000000 0.0877846721 Long LON CORP US N 2 2028-02-12 Floating 10.4616 N N N N N N PETSMART INC/PETSMART FI N/A PETSMART INC/PETSMART FI SR SECURED 144A 02/28 4.75 71677KAA6 250000.0000000000 PA USD 233690.0000000000 0.0541434576 Long DBT CORP US Y 2 2028-02-15 Fixed 4.7500 N N N N N N ORANGE SA 969500MCOONR8990S771 ORANGE COMMON STOCK EUR4.0 N/A 96000.0000000000 NS 1141624.5500000000 0.2645021199 Long EC CORP FR N 1 N N N ELI LILLY & CO FRDRIPF3EKNDJ2CQJL29 ELI LILLY + CO COMMON STOCK 532457108 15250.0000000000 NS USD 9845552.5000000000 2.2811085381 Long EC CORP US N 1 N N N DO & CO AG 5299002NFQKOBT1E8569 DO + CO AG COMMON STOCK N/A 1115.0000000000 NS 155442.5100000000 0.0360143564 Long EC CORP AT N 1 N N N NEMETSCHEK SE 529900R0S2IX1S358J38 NEMETSCHEK SE COMMON STOCK N/A 675.0000000000 NS 62284.7100000000 0.0144306969 Long EC CORP DE N 1 N N N ALLY FINANCIAL INC 549300JBN1OSM8YNAI90 ALLY FINANCIAL INC JR SUBORDINA 12/99 VAR 02005NBN9 100000.0000000000 PA USD 76492.0000000000 0.0177223731 Long DBT CORP US N 2 2064-01-31 Variable 4.7000 N N N N N N MERCADOLIBRE INC 549300DKPDN9M5S8GB14 MERCADOLIBRE INC COMMON STOCK USD.001 58733R102 2855.0000000000 NS USD 4887217.5500000000 1.1323157010 Long EC CORP US N 1 N N N NOKIA OYJ 549300A0JPRWG1KI7U06 NOKIA OYJ COMMON STOCK N/A 540000.0000000000 NS 1952220.5100000000 0.4523084787 Long EC CORP FI N 2 N N N PILGRIM'S PRIDE CORP 549300ZSLGV64ZL3HD75 PILGRIM S PRIDE CORP COMPANY GUAR 04/31 4.25 72147KAJ7 165000.0000000000 PA USD 148864.6500000000 0.0344903370 Long DBT CORP US N 2 2031-04-15 Fixed 4.2500 N N N N N N PIONEER NATURAL RESOURCE FY8JBF7CCL2VE4F1B628 PIONEER NATURAL RESOURCE SR UNSECURED 05/25 0.25 N/A 100000.0000000000 PA USD 248634.0000000000 0.0576058215 Long DBT CORP US N 2 2025-05-15 Fixed 0.2500 N N N N Y PIONEER NATURAL RESOURCE PIONEER NATURAL RESOURCE USD XXXX N N N MICROSOFT CORP INR2EJN1ERAN0W5ZP974 MICROSOFT CORP COMMON STOCK USD.00000625 594918104 33400.0000000000 NS USD 13279172.0000000000 3.0766412172 Long EC CORP US N 1 N N N AYALA LAND INC 254900EWT10TQ6DKTV34 AYALA LAND INC COMMON STOCK PHP1.0 N/A 935500.0000000000 NS 565327.9400000000 0.1309803986 Long EC CORP PH N 1 N N N KFC HOLDING CO. N/A YUM BRANDS TERM LOAN B 03/15/ 2021 TERM LOAN B 72584DAF1 1492327.3600000000 PA USD 1493670.4500000000 0.3460673656 Long LON CORP US N 2 2028-03-15 Floating 8.4616 N N N N N N PLAINS ALL AMERICAN PIPE 5521FA2ITF25TVH63740 PLAINS ALL AMERICAN PIPE JR SUBORDINA 12/99 VAR 726503AE5 270000.0000000000 PA USD 267518.7000000000 0.0619812033 Long EP CORP US N 2 2064-10-10 Variable 9.8119 N N N N N N RELIANCE INDUSTRIES LTD 5493003UOETFYRONLG31 RELIANCE INDUSTRIES LTD COMMON STOCK INR10.0 N/A 38530.0000000000 NS 1322248.3400000000 0.3063507079 Long EC CORP IN N 1 N N N MAHINDRA & MAHINDRA LTD 3358003B573EV4KB4Z02 MAHINDRA + MAHINDRA LTD COMMON STOCK INR5.0 N/A 32200.0000000000 NS 642334.4900000000 0.1488219873 Long EC CORP IN N 1 N N N ALNYLAM PHARMACEUTICALS 529900S3ZI14OWRJII50 ALNYLAM PHARMACEUTICALS SR UNSECURED 09/27 1 N/A 164000.0000000000 PA USD 158248.5200000000 0.0366644787 Long DBT CORP US N 2 2027-09-15 Fixed 1.0000 N N N N N ALNYLAM PHARMACEUTICALS ALNYLAM PHARMACEUTICALS USD XXXX N N N ALTICE FRANCE SA 5493001ZMCICV4N02J21 ALTICE FRANCE SA SR SECURED 144A 10/29 5.5 02156LAH4 250000.0000000000 PA USD 184652.5000000000 0.0427819967 Long DBT CORP FR Y 2 2029-10-15 Fixed 5.5000 N N N N N N PLAYTIKA HOLDING CORP 254900E35Z4TKA4UFG64 PLAYTIKA HOLDING CORP COMPANY GUAR 144A 03/29 4.25 72815LAA5 206000.0000000000 PA USD 178744.1400000000 0.0414130933 Long DBT CORP US Y 2 2029-03-15 Fixed 4.2500 N N N N N N POST HOLDINGS INC JM1I5YUAURL6DC8N1468 POST HOLDINGS INC COMPANY GUAR 144A 03/27 5.75 737446AM6 110000.0000000000 PA USD 109666.7000000000 0.0254085940 Long DBT CORP US Y 2 2027-03-01 Fixed 5.7500 N N N N N N MORGAN STANLEY IGJSJL3JD5P30I6NJZ34 MORGAN STANLEY COMMON STOCK USD.01 617446448 44285.0000000000 NS USD 3863423.4000000000 0.8951136164 Long EC CORP US N 1 N N N SCREEN HOLDINGS CO LTD 353800ND89FTQ9XQ0R07 SCREEN HOLDINGS CO LTD COMMON STOCK N/A 800.0000000000 NS 78447.4000000000 0.0181754182 Long EC CORP JP N 1 N N N PREMIER ENTERTAINMENT SU N/A PREMIER ENTERTAINMENT SU COMPANY GUAR 144A 09/29 5.625 74052HAA2 305000.0000000000 PA USD 229896.8000000000 0.0532646140 Long DBT CORP US Y 2 2029-09-01 Fixed 5.6250 N N N N N N PREMIUM BRANDS HLDGS COR 529900F5EXPGUY8WV366 PREMIUM BRANDS HLDGS COR SUBORDINATED 09/27 4.2 N/A 4975000.0000000000 PA 3432970.1700000000 0.7953822364 Long DBT CORP CA N 2 2027-09-30 Fixed 4.2000 N N N N N PREMIUM BRANDS HLDGS COR PREMIUM BRANDS HLDGS COR CAD XXXX N N N AMERICAN AIRLINES INC. N/A AMERICAN AIRLINES, INC. 2021 TERM LOAN 02376CBJ3 161500.0000000000 PA USD 165728.0700000000 0.0383974099 Long LON CORP KY N 2 2028-04-20 Floating 10.3042 N N N N N N AMER AIRLINE 21-1B PTT N/A AMER AIRLINE 21 1B PTT PASS THRU CE 01/32 3.95 02376LAA3 222305.0000000000 PA USD 198333.8500000000 0.0459518182 Long DBT CORP US N 2 2030-07-11 Fixed 3.9500 N N N N N N APOLLO HOSPITALS ENTERPRISE LTD N/A APOLLO HOSPITALS ENTERPRISE COMMON STOCK INR5.0 N/A 8400.0000000000 NS 639198.7000000000 0.1480954585 Long EC CORP IN N 1 N N N NIO INC 549300JBU4TV5OCKJV96 NIO INC ADR ADR USD.00025 62914V106 44620.0000000000 NS USD 250764.4000000000 0.0580994123 Long EC CORP KY N 1 N N N PRESTIGE BRANDS INC 549300JBVP4J6D42I235 PRESTIGE BRANDS INC COMPANY GUAR 144A 04/31 3.75 74112BAM7 209000.0000000000 PA USD 182199.9300000000 0.0422137626 Long DBT CORP US Y 2 2031-04-01 Fixed 3.7500 N N N N N N QVC INC 549300WBLU5NKPX5X472 QVC INC SR SECURED 08/34 5.45 747262AW3 110000.0000000000 PA USD 73100.5000000000 0.0169365990 Long DBT CORP US N 2 2034-08-15 Fixed 5.4500 N N N N N N EBARA CORP 353800UV8U3SOMCDTI49 EBARA CORP COMMON STOCK N/A 850.0000000000 NS 53233.0300000000 0.0123335201 Long EC CORP JP N 1 N N N KINGDEE INTERNATIONAL SOFTWARE GROUP CO LTD 529900SWRZN94C5SZO63 KINGDEE INTERNATIONAL SFTWR COMMON STOCK HKD.025 N/A 270000.0000000000 NS 260999.1100000000 0.0604706844 Long EC CORP KY N 1 N N N AMERICAN AXLE AND MANUFACTURING INC. N/A AMERICAN AXLE + MANUFACTURING 2022 TERM LOAN B 02406MAU1 153600.0000000000 PA USD 153888.7700000000 0.0356543716 Long LON CORP US N 2 2029-12-13 Floating 10.2368 N N N N N N AMERICAN AXLE & MFG INC RY5TAKFOBLDUGX31MS24 AMERICAN AXLE + MFG INC COMPANY GUAR 07/28 6.875 02406PBA7 175000.0000000000 PA USD 171225.2500000000 0.0396710474 Long DBT CORP US N 2 2028-07-01 Fixed 6.8750 N N N N N N ROCKETMTGE CO-ISSUER INC N/A ROCKETMTGE CO ISSUER INC COMPANY GUAR 144A 03/29 3.625 74841CAA9 100000.0000000000 PA USD 89253.0000000000 0.0206789594 Long DBT CORP US Y 2 2029-03-01 Fixed 3.6250 N N N N N N ROCKETMTGE CO-ISSUER INC N/A ROCKETMTGE CO ISSUER INC COMPANY GUAR 144A 03/31 3.875 74841CAB7 100000.0000000000 PA USD 87883.0000000000 0.0203615451 Long DBT CORP US Y 2 2031-03-01 Fixed 3.8750 N N N N N N MEDIATEK INC 254900UEGBK1I4DM4E14 MEDIATEK INC COMMON STOCK TWD10.0 N/A 25000.0000000000 NS 771440.4800000000 0.1787344555 Long EC CORP TW N 1 N N N RANDON SA IMPLEMENTOS E PARTICIPACOES N/A RANDON PARTICIPACOES SA PREF PREFERENCE N/A 304200.0000000000 NS 718379.6200000000 0.1664408254 Long EP CORP BR N 1 N N N RHP HOTEL PPTY/RHP FINAN N/A RHP HOTEL PPTY/RHP FINAN COMPANY GUAR 144A 02/29 4.5 749571AG0 260000.0000000000 PA USD 241885.8000000000 0.0560423362 Long DBT CORP US Y 2 2029-02-15 Fixed 4.5000 N N N N N N TEVA PHARMACEUTICAL INDU 5493004T21MOAFINJP35 TEVA PHARMACEUTICAL INDU COMPANY GUAR 05/27 4.75 88167AAP6 200000.0000000000 PA USD 193500.0000000000 0.0448318672 Long DBT CORP NL N 2 2027-05-09 Fixed 4.7500 N N N N N N LARSEN & TOUBRO LTD N/A LARSEN + TOUBRO LTD COMMON STOCK INR2.0 N/A 21400.0000000000 NS 895980.3800000000 0.2075890098 Long EC CORP IN N 2 N N N PING AN INSURANCE GROUP CO OF CHINA LTD 529900M9MC28JLN35U89 PING AN INSURANCE GROUP CO H COMMON STOCK CNY1.0 N/A 260000.0000000000 NS 1092920.6800000000 0.2532179575 Long EC CORP CN N 1 N N N LI NING CO LTD 529900T77L2FV3FZ3U81 LI NING CO LTD COMMON STOCK HKD.1 N/A 123000.0000000000 NS 262767.6000000000 0.0608804245 Long EC CORP KY N 1 N N N NECESS RETAIL/AFIN OP LP N/A NECESS RETAIL/AFIN OP LP COMPANY GUAR 144A 09/28 4.5 02608AAA7 150000.0000000000 PA USD 127647.0000000000 0.0295744359 Long DBT CORP US Y 2 2028-09-30 Fixed 4.5000 N N N N N N AMERICAN WATER CAPITAL C 5IDHQUFVC8Q2KIBBFF06 AMERICAN WATER CAPITAL C COMPANY GUAR 144A 06/26 3.625 N/A 318000.0000000000 PA USD 313096.4400000000 0.0725410750 Long DBT CORP US Y 2 2026-06-15 Fixed 3.6250 N N N N Y AMERICAN WATER CAPITAL C AMERICAN WATER CAPITAL C USD XXXX N N N AMNEAL PHARMACEUTICALS LLC N/A AMNEAL PHARMACEUTICALS LLC 2023 TERM LOAN B 03167DAQ7 448755.3600000000 PA USD 446511.5800000000 0.1034519269 Long LON CORP US N 2 2028-05-04 Floating 11.5373 N N N N N N AMWINS GROUP INC 549300SJE7MUB8NMRG61 AMWINS GROUP INC SR UNSECURED 144A 06/29 4.875 031921AB5 439000.0000000000 PA USD 410328.9100000000 0.0950687917 Long DBT CORP US Y 2 2029-06-30 Fixed 4.8750 N N N N N N TIME WARNER CABLE LLC N/A TIME WARNER CABLE LLC SR SECURED 07/38 7.3 88732JAN8 85000.0000000000 PA USD 89211.7500000000 0.0206694022 Long DBT CORP US N 2 2038-07-01 Fixed 7.3000 N N N N N N TRANSDIGM INC 88Q84GB3X55CF5OC7582 TRANSDIGM INC SR SECURED 144A 03/26 6.25 893647BE6 89000.0000000000 PA USD 88579.0300000000 0.0205228078 Long DBT CORP US Y 2 2026-03-15 Fixed 6.2500 N N N N N N N/A 549300BG17WCUK6EIM58 AMYRIS INC SR UNSECURED 11/26 1.5 03236MAJ0 214000.0000000000 PA USD 7588.4400000000 0.0017581599 Long DBT CORP US N 2 2026-11-15 Fixed 0.0100 N N N N N N ANTERO RESOURCES CORP APVBKPOULHUX7YZLKU17 ANTERO RESOURCES CORP COMPANY GUAR 144A 03/30 5.375 03674XAS5 106000.0000000000 PA USD 101241.6600000000 0.0234566029 Long DBT CORP US Y 2 2030-03-01 Fixed 5.3750 N N N N N N TRANSDIGM INC 88Q84GB3X55CF5OC7582 TRANSDIGM INC COMPANY GUAR 03/27 7.5 893647BH9 205000.0000000000 PA USD 205674.4500000000 0.0476525562 Long DBT CORP US N 2 2027-03-15 Fixed 7.5000 N N N N N N TRANSDIGM INC 88Q84GB3X55CF5OC7582 TRANSDIGM INC SR SECURED 144A 08/28 6.75 893647BR7 155000.0000000000 PA USD 157738.8500000000 0.0365463937 Long DBT CORP US Y 2 2028-08-15 Fixed 6.7500 N N N N N N LUMEN TECHNOLOGIES INC 8M3THTGWLTYZVE6BBY25 LUMEN TECHNOLOGIES INC SR UNSECURED 09/39 7.6 156700AM8 160000.0000000000 PA USD 42580.8000000000 0.0098655130 Long DBT CORP US N 2 2039-09-15 Fixed 7.6000 N N N N N N LUMEN TECHNOLOGIES INC 8M3THTGWLTYZVE6BBY25 LUMEN TECHNOLOGIES INC SR UNSECURED 03/42 7.65 156700AT3 52000.0000000000 PA USD 14337.4400000000 0.0033218305 Long DBT CORP US N 2 2042-03-15 Fixed 7.6500 N N N N N N TRANSDIGM INC 88Q84GB3X55CF5OC7582 TRANSDIGM INC SR SECURED 144A 12/30 6.875 893647BS5 225000.0000000000 PA USD 231401.2500000000 0.0536131789 Long DBT CORP US Y 2 2030-12-15 Fixed 6.8750 N N N N N N TRANSDIGM INC 88Q84GB3X55CF5OC7582 TRANSDIGM INC SR SECURED 144A 12/31 7.125 893647BT3 80000.0000000000 PA USD 83460.0000000000 0.0193367836 Long DBT CORP US Y 2 2031-12-01 Fixed 7.1250 N N N N N N APACHE CORP 72ZZ1XRHOOU9P9X16K08 APACHE CORP SR UNSECURED 09/40 5.1 037411AW5 223000.0000000000 PA USD 191780.0000000000 0.0444333617 Long DBT CORP US N 2 2040-09-01 Fixed 5.1000 N N N N N N ARAMARK SERVICES INC. N/A ARAMARK SERVICES, INC. 2023 TERM LOAN B6 03852JAT8 1243750.0000000000 PA USD 1242978.8800000000 0.2879848272 Long LON CORP US N 2 2030-06-24 Floating 8.1778 N N N N N N TRANSDIGM INC. N/A TRANSDIGM INC 2023 TERM LOAN I 89364MBZ6 1243734.3400000000 PA USD 1246383.4900000000 0.2887736387 Long LON CORP US N 2 2028-08-24 Floating 8.9278 N N N N N N TRANSDIGM INC. N/A TRANSDIGM, INC. 2023 TERM LOAN J 89364MCA0 210000.0000000000 PA USD 210505.0500000000 0.0487717542 Long LON CORP US N 2 2031-02-28 Floating 9.1135 N N N N N N LUMEN TECHNOLOGIES INC 8M3THTGWLTYZVE6BBY25 LUMEN TECHNOLOGIES INC SR SECURED 144A 02/27 4 156700BC9 100000.0000000000 PA USD 52942.0000000000 0.0122660915 Long DBT CORP US Y 2 2027-02-15 Fixed 4.0000 N N N N N N CHAMPIONX CORPORATION 549300EP2909K6DYYP38 CHAMPIONX CORPORATION 2022 TERM LOAN B2 15872NAC6 1449305.1600000000 PA USD 1455645.8700000000 0.3372574797 Long LON CORP US N 2 2029-06-07 Floating 8.7974 N N N N N N TRANSOCEAN INC DOL4HJ22ADYSIWES4H94 TRANSOCEAN INC SR SECURED 144A 02/30 8.75 893830BX6 301150.0000000000 PA USD 315096.2600000000 0.0730044118 Long DBT CORP KY Y 2 2030-02-15 Fixed 8.7500 N N N N N N TRINSEO OP / TRINSEO FIN N/A TRINSEO OP / TRINSEO FIN COMPANY GUAR 144A 04/29 5.125 89668QAF5 113000.0000000000 PA USD 44406.7400000000 0.0102885637 Long DBT CORP LU Y 2 2029-04-01 Fixed 5.1250 N N N N N N ARCELORMITTAL 549300MP4YSRSQ39ZG33 ARCELORMITTAL SR UNSECURED 10/39 7 03938LAP9 130000.0000000000 PA USD 141930.1000000000 0.0328836765 Long DBT CORP LU N 2 2039-10-15 Fixed 7.0000 N N N N N N ARCOSA INC 549300WFHLTCZV7D6V29 ARCOSA INC COMPANY GUAR 144A 04/29 4.375 039653AA8 127000.0000000000 PA USD 119189.5000000000 0.0276149242 Long DBT CORP US Y 2 2029-04-15 Fixed 4.3750 N N N N N N TRONOX INC 549300EPZ4YXC7E5P181 TRONOX INC COMPANY GUAR 144A 03/29 4.625 897051AC2 215000.0000000000 PA USD 190077.2000000000 0.0440388413 Long DBT CORP US Y 2 2029-03-15 Fixed 4.6250 N N N N N N TWILIO INC 5493004W8TRGD63APX93 TWILIO INC COMPANY GUAR 03/29 3.625 90138FAC6 150000.0000000000 PA USD 135628.5000000000 0.0314236636 Long DBT CORP US N 2 2029-03-15 Fixed 3.6250 N N N N N N ARROW BIDCO LLC 549300YHZN08M0H3O128 ARROW BIDCO LLC SECURED 144A 06/25 10.75 042728AB1 310000.0000000000 PA USD 321163.1000000000 0.0744100333 Long DBT CORP US Y 2 2025-06-15 Fixed 10.7500 N N N N N N BOOKING HOLDINGS INC FXM8FAOHMYDIPD38UZ17 BOOKING HOLDINGS INC SR UNSECURED 05/25 0.75 N/A 145000.0000000000 PA USD 270725.1500000000 0.0627241032 Long DBT CORP US N 2 2025-05-01 Fixed 0.7500 N N N N N BOOKING HOLDINGS INC BOOKING HOLDINGS INC USD XXXX N N N TWILIO INC 5493004W8TRGD63APX93 TWILIO INC COMPANY GUAR 03/31 3.875 90138FAD4 57000.0000000000 PA USD 50268.3000000000 0.0116466240 Long DBT CORP US N 2 2031-03-15 Fixed 3.8750 N N N N N N COHERENT CORP 549300O5C25A0MMHHU33 COHERENT CORP COMPANY GUAR 144A 12/29 5 902104AC2 126000.0000000000 PA USD 118015.3800000000 0.0273428932 Long DBT CORP US Y 2 2029-12-15 Fixed 5.0000 N N N N N N TYLER TECHNOLOGIES INC 25490040SMU4Z8LBCW70 TYLER TECHNOLOGIES INC SR UNSECURED 03/26 0.25 N/A 200000.0000000000 PA USD 202990.0000000000 0.0470305980 Long DBT CORP US N 2 2026-03-15 Fixed 0.2500 N N N N Y TYLER TECHNOLOGIES INC TYLER TECHNOLOGIES INC USD XXXX N N N UKG INC N/A UKG INC SR SECURED 144A 02/31 6.875 90279XAA0 79000.0000000000 PA USD 79974.8600000000 0.0185293142 Long DBT CORP US Y 2 2031-02-01 Fixed 6.8750 N N N N N N AXALTA COATING SYSTEMS U.S. HOLDINGS INC. N/A AXALTA COATING SYS US HLDG INC 2023 USD TERM LOAN B4 90347BAK4 1371565.2500000000 PA USD 1374136.9300000000 0.3183727357 Long LON CORP US N 2 2029-12-20 Floating 8.5340 N N N N N N UBER TECHNOLOGIES INC 549300B2FTG34FILDR98 UBER TECHNOLOGIES INC COMPANY GUAR 144A 11/26 8 90353TAC4 2800000.0000000000 PA USD 2852220.0000000000 0.6608286731 Long DBT CORP US Y 2 2026-11-01 Fixed 8.0000 N N N N N N UBER TECHNOLOGIES INC 549300B2FTG34FILDR98 UBER TECHNOLOGIES INC SR UNSECURED 144A 12/28 0.875 N/A 6230000.0000000000 PA USD 6959470.7000000000 1.6124344504 Long DBT CORP US Y 2 2028-12-01 Fixed 0.8750 N N N N N UBER TECHNOLOGIES INC UBER TECHNOLOGIES INC USD XXXX N N N UNITED AIR 2019-2 B PTT N/A UNITED AIR 2019 2 B PTT PASS THRU CE 11/29 3.5 90932KAA7 83864.8700000000 PA USD 76696.9400000000 0.0177698554 Long DBT CORP US N 2 2028-05-01 Fixed 3.5000 N N N N N N BOOZ ALLEN HAMILTON INC 549300D7XCH2480XU542 BOOZ ALLEN HAMILTON INC COMPANY GUAR 144A 07/29 4 09951LAB9 54000.0000000000 PA USD 50723.2800000000 0.0117520380 Long DBT CORP US Y 2 2029-07-01 Fixed 4.0000 N N N N N N BRITISH AIR 21-1 B PTT N/A BRITISH AIR 21 1 B PTT PASS THRU CE 144A 03/33 3.9 11042CAB6 212209.2900000000 PA USD 192539.6100000000 0.0446093552 Long DBT CORP US Y 2 2031-09-15 Fixed 3.9000 N N N N N N BROADSTREET PARTNERS INC. N/A BROADSTREET PARTNERS, INC 2023 TERM LOAN B3 11132VAW9 100000.0000000000 PA USD 100062.5000000000 0.0231834042 Long LON CORP US N 2 2029-01-26 Floating 9.8467 N N N N N N BROADSTREET PARTNERS INC 549300BS9N54G8DD0R75 BROADSTREET PARTNERS INC SR UNSECURED 144A 04/29 5.875 11135RAA3 329000.0000000000 PA USD 312365.7600000000 0.0723717843 Long DBT CORP US Y 2 2029-04-15 Fixed 5.8750 N N N N N N MEITUAN 21380033K525E5JLIA77 MEITUAN SR UNSECURED REGS 04/28 0.0000 N/A 400000.0000000000 PA USD 347288.0000000000 0.0804628914 Long DBT CORP KY N 2 2028-04-27 Fixed 0.0000 N N N N N MEITUAN MEITUAN USD XXXX N N N MERCARI INC 3538009SK4V5AXSTUJ26 MERCARI INC SR UNSECURED REGS 07/28 0.0000 N/A 40000000.0000000000 PA 210471.5300000000 0.0487639880 Long DBT CORP JP N 2 2028-07-14 Fixed 0.0000 N N N N Y MERCARI INC MERCARI INC JPY XXXX N N N NIPPON STEEL CORP N/A NIPPON STEEL CORP SR UNSECURED REGS 10/26 0.0000 N/A 20000000.0000000000 PA 196613.6700000000 0.0455532710 Long DBT CORP JP N 2 2026-10-05 Fixed 0.0000 N N N N N NIPPON STEEL CORP NIPPON STEEL CORP JPY XXXX N N N FLIGHT CENTRE LTD 254900BGNUI78EKEJY68 FLIGHT CENTRE LTD SR UNSECURED REGS 11/28 1.625 N/A 200000.0000000000 PA 127536.1300000000 0.0295487485 Long DBT CORP AU N 2 2028-11-01 Fixed 1.6250 N N N N N FLIGHT CENTRE LTD FLIGHT CENTRE LTD AUD XXXX N N N BROOKFIELD PPTY REIT INC N/A BROOKFIELD PPTY REIT INC SR SECURED 144A 04/27 4.5 11284DAC9 255000.0000000000 PA USD 226144.2000000000 0.0523951770 Long DBT CORP US Y 2 2027-04-01 Fixed 4.5000 N N N N N N BUCKEYE PARTNERS LP 549300C1PQJLVEIUBK50 BUCKEYE PARTNERS LP SR UNSECURED 11/43 5.85 118230AM3 135000.0000000000 PA USD 111510.0000000000 0.0258356667 Long DBT CORP US N 2 2043-11-15 Fixed 5.8500 N N N N N N JPMORGAN CHASE FINANCIAL 549300NJFDJOFYVV6789 JPMORGAN CHASE FINANCIAL COMPANY GUAR REGS 01/25 0.0000 ACI22VB08 200000.0000000000 PA 221567.3200000000 0.0513347631 Long DBT CORP US N 2 2025-01-14 Fixed 0.0000 N N N N N JPMORGAN CHASE FINANCIAL JPMORGAN CHASE FINANCIAL EUR XXXX N N N SPIE SA 969500TJNS5GSFWJ8X85 SPIE SA SR UNSECURED REGS 01/28 2 N/A 1400000.0000000000 PA 1643126.8500000000 0.3806948048 Long DBT CORP FR N 2 2028-01-17 Fixed 2.0000 N N N N N SPIE SA SPIE SA EUR XXXX N N N RHEINMETALL AG 5299001OU9CSE29O6S05 RHEINMETALL AG SR UNSECURED REGS 02/28 1.875 N/A 6100000.0000000000 PA 7820543.2500000000 1.8119356918 Long DBT CORP DE N 2 2028-02-07 Fixed 1.8750 N N N N Y RHEINMETALL AG RHEINMETALL AG EUR XXXX N N N RHEINMETALL AG 5299001OU9CSE29O6S05 RHEINMETALL AG SR UNSECURED REGS 02/30 2.25 N/A 100000.0000000000 PA 131347.2200000000 0.0304317371 Long DBT CORP DE N 2 2030-02-07 Fixed 2.2500 N N N N Y RHEINMETALL AG RHEINMETALL AG EUR XXXX N N N FOMENTO ECONOMICO MEX N/A FOMENTO ECONOMICO MEX SR UNSECURED REGS 02/26 2.625 N/A 2500000.0000000000 PA 2707451.2100000000 0.6272873027 Long DBT CORP MX N 2 2026-02-24 Fixed 2.6250 N N N N N FOMENTO ECONOMICO MEX FOMENTO ECONOMICO MEX EUR XXXX N N N SK HYNIX INC N/A SK HYNIX INC SR UNSECURED REGS 04/30 1.75 N/A 3200000.0000000000 PA USD 4219296.0000000000 0.9775654673 Long DBT CORP KR N 2 2030-04-11 Fixed 1.7500 N N N N N SK HYNIX INC SK HYNIX INC USD XXXX N N N L&F CO LTD N/A L+F CO LTD SR UNSECURED REGS 04/30 2.5 N/A 200000.0000000000 PA USD 126624.0000000000 0.0293374178 Long DBT CORP KR N 2 2030-04-26 Fixed 2.5000 N N N N N L&F CO LTD L&F CO LTD USD XXXX N N N LG CHEM LTD N/A LG CHEM LTD SR UNSECURED REGS 07/28 1.25 N/A 2700000.0000000000 PA USD 2563974.0000000000 0.5940451775 Long DBT CORP KR N 2 2028-07-18 Fixed 1.2500 N N N N N LG CHEM LTD LG CHEM LTD USD XXXX N N N MULTIPLAN CORP N/A MULTIPLAN CORP SR UNSECURED 144A 10/27 6 N/A 110000.0000000000 PA USD 77046.2000000000 0.0178507752 Long DBT CORP US Y 2 2027-10-15 Fixed 6.0000 N N N N N MULTIPLAN CORP MULTIPLAN CORP USD XXXX N N N CHURCHILL DOWNS INC 529900FODTBQC8MIS994 CHURCHILL DOWNS INC COMPANY GUAR 144A 05/31 6.75 171484AJ7 105000.0000000000 PA USD 106506.7500000000 0.0246764676 Long DBT CORP US Y 2 2031-05-01 Fixed 6.7500 N N N N N N DAIFUKU CO N/A DAIFUKU CO SR UNSECURED REGS 09/30 0.0000 N/A 40000000.0000000000 PA 298162.7900000000 0.0690811091 Long DBT CORP JP N 2 2030-09-13 Fixed 0.0000 N N N N Y DAIFUKU CO DAIFUKU CO JPY XXXX N N N ENI SPA N/A ENI SPA SR UNSECURED REGS 09/30 2.95 N/A 4400000.0000000000 PA 4954318.8000000000 1.1478623383 Long DBT CORP IT N 2 2030-09-14 Fixed 2.9500 N N N N N ENI SPA ENI SPA EUR XXXX N N N SANRIO CO LTD N/A SANRIO CO LTD SR UNSECURED REGS 12/28 0.0000 N/A 40000000.0000000000 PA 303397.2000000000 0.0702938655 Long DBT CORP JP N 2 2028-12-14 Fixed 0.0000 N N N N N SANRIO CO LTD SANRIO CO LTD JPY XXXX N N N DAIWA HOUSE IND CO LTD N/A DAIWA HOUSE IND CO LTD SR UNSECURED REGS 03/29 0.0000 N/A 200000000.0000000000 PA 1388313.6300000000 0.3216573245 Long DBT CORP JP N 2 2029-03-30 Fixed 0.0000 N N N N Y DAIWA HOUSE IND CO LTD DAIWA HOUSE IND CO LTD JPY XXXX N N N GLOBALWAFERS GMBH N/A GLOBALWAFERS GMBH COMPANY GUAR REGS 01/29 1.5 N/A 2300000.0000000000 PA 2531320.8500000000 0.5864797942 Long DBT CORP DE N 2 2029-01-23 Fixed 1.5000 N N N N N GLOBALWAFERS GMBH GLOBALWAFERS GMBH EUR XXXX N N N JELD-WEN INC. N/A JELD WEN INC 2024 TERM LOAN B 47579SAV2 1243622.4500000000 PA USD 1243467.0000000000 0.2880979194 Long LON CORP US N 2 2028-07-28 Floating 7.8635 N N N N N N CINC BELL TEL N/A CINC BELL TEL SR SECURED 12/28 6.3 171875AD9 195000.0000000000 PA USD 172955.2500000000 0.0400718698 Long DBT CORP US N 2 2028-12-01 Fixed 6.3000 N N N N N N CIVITAS RESOURCES INC IIVIHPH28S64K95M2381 CIVITAS RESOURCES INC COMPANY GUAR 144A 07/31 8.75 17888HAB9 297000.0000000000 PA USD 316985.1300000000 0.0734420426 Long DBT CORP US Y 2 2031-07-01 Fixed 8.7500 N N N N N N CLEAR CHANNEL OUTDOOR HOLDINGS INC. N/A CLEAR CHANNEL OUTDOOR HLDNGS I TERM LOAN B 18452RAD7 34111.0000000000 PA USD 33772.9600000000 0.0078248313 Long LON CORP US N 2 2026-08-21 Floating 9.1711 N N N N N N CLEAR CHANNEL OUTDOOR HO N/A CLEAR CHANNEL OUTDOOR HO SR SECURED 144A 09/28 9 18453HAE6 205000.0000000000 PA USD 214222.9500000000 0.0496331516 Long DBT CORP US Y 2 2028-09-15 Fixed 9.0000 N N N N N N CLEARWATER PAPER CORP 549300HCVV19GXN4P292 CLEARWATER PAPER CORP COMPANY GUAR 144A 08/28 4.75 18538RAJ2 355000.0000000000 PA USD 333341.4500000000 0.0772316259 Long DBT CORP US Y 2 2028-08-15 Fixed 4.7500 N N N N N N CLEVELAND-CLIFFS INC 549300TM2WLI2BJMDD86 CLEVELAND CLIFFS INC COMPANY GUAR 144A 04/30 6.75 185899AN1 157000.0000000000 PA USD 158447.5400000000 0.0367105895 Long DBT CORP US Y 2 2030-04-15 Fixed 6.7500 N N N N N N CLOUDFLARE INC 5493007DY18BGNLDWU14 CLOUDFLARE INC SR UNSECURED 08/26 0.00000 N/A 210000.0000000000 PA USD 188206.2000000000 0.0436053507 Long DBT CORP US N 2 2026-08-15 Fixed 0.0000 N N N N Y CLOUDFLARE INC CLOUDFLARE INC USD XXXX N N N CLYDESDALE ACQUISITION HOLDINGS INC N/A CLYDESDALE ACQ HOLDINGS INC. TERM LOAN B 18972FAC6 108350.0000000000 PA USD 107790.9100000000 0.0249739936 Long LON CORP US N 2 2029-04-13 Floating 10.9868 N N N N N N HUB INTERNATIONAL LIMITED N/A HUB INTERNATIONAL LIMITED 2024 TERM LOAN B N/A 210000.0000000000 PA USD 210361.2000000000 0.0487384257 Long LON CORP US N 2 2030-06-20 Floating 9.2840 N N N N N N GLENCORE FUNDING LLC 213800STG1QDNBY87K49 GLENCORE FUNDING LLC COMPANY GUAR REGS 03/25 0.0000 N/A 3600000.0000000000 PA USD 3715272.0000000000 0.8607885317 Long DBT CORP US N 2 2025-03-27 Fixed 0.0000 N N N N N GLENCORE FUNDING LLC GLENCORE FUNDING LLC USD XXXX N N N GN STORE NORD 5493008U3H3W0NKPFL10 GN STORE NORD SR UNSECURED REGS 05/24 0.0000 N/A 100000.0000000000 PA 106313.8800000000 0.0246317816 Long DBT CORP DK N 2 2024-05-21 Fixed 0.0000 N N N N N GN STORE NORD GN STORE NORD EUR XXXX N N N OCADO GROUP PLC 213800LO8F61YB8MBC74 OCADO GROUP PLC COMPANY GUAR REGS 12/25 0.875 N/A 100000.0000000000 PA 111306.9800000000 0.0257886292 Long DBT CORP GB N 2 2025-12-09 Fixed 0.8750 N N N N N OCADO GROUP PLC OCADO GROUP PLC GBP XXXX N N N ANLLIAN CAPITAL LTD 529900WNC73E6N8L3G81 ANLLIAN CAPITAL LTD COMPANY GUAR REGS 02/25 0.0000 N/A 2900000.0000000000 PA 3050007.2400000000 0.7066538476 Long DBT CORP VG N 2 2025-02-05 Fixed 0.0000 N N N N N ANLLIAN CAPITAL LTD ANLLIAN CAPITAL LTD EUR XXXX N N N COHERUS BIOSCIENCES INC 5493007IL8W5MV932D26 COHERUS BIOSCIENCES INC SR SUBORDINA 04/26 1.5 N/A 135000.0000000000 PA USD 85838.4000000000 0.0198878333 Long DBT CORP US N 2 2026-04-15 Fixed 1.5000 N N N N N COHERUS BIOSCIENCES INC COHERUS BIOSCIENCES INC USD XXXX N N N COINBASE GLOBAL INC 5493004G3J2SC154DU06 COINBASE GLOBAL INC SR UNSECURED 06/26 0.5 N/A 192000.0000000000 PA USD 168689.2800000000 0.0390834904 Long DBT CORP US N 2 2026-06-01 Fixed 0.5000 N N N N Y COINBASE GLOBAL INC COINBASE GLOBAL INC USD XXXX N N N ENOVIS CORP 635400OP2DYYYMOIYL17 ENOVIS CORP SR UNSECURED 144A 10/28 3.875 N/A 154000.0000000000 PA USD 190391.7400000000 0.0441117168 Long DBT CORP US Y 2 2028-10-15 Fixed 3.8750 N N N N Y ENOVIS CORP ENOVIS CORP USD XXXX N N N COMMERCIAL METALS CO 549300OQS2LO07ZJ7N73 COMMERCIAL METALS CO SR UNSECURED 01/30 4.125 201723AQ6 108000.0000000000 PA USD 98843.7600000000 0.0229010353 Long DBT CORP US N 2 2030-01-15 Fixed 4.1250 N N N N N N CHARTER COMMUNICATIONS OPERATING LLC N/A CHARTER COMMUNICATIONS OPERATI 2019 TERM LOAN B2 16117LBX6 1830441.5600000000 PA USD 1826780.6800000000 0.4232454203 Long LON CORP US N 2 2027-02-01 Floating 8.3159 N N N N N N CHEMOURS COMPANY (THE) N/A CHEMOURS COMPANY THE 2023 TERM LOAN B 16384YAJ6 1226925.0000000000 PA USD 1225698.0800000000 0.2839810519 Long LON CORP US N 2 2028-08-18 Floating 9.5222 N N N N N N CHEMOURS CO 549300M1BOLNXL8DOV14 CHEMOURS CO COMPANY GUAR 144A 11/29 4.625 163851AH1 165000.0000000000 PA USD 144445.9500000000 0.0334665718 Long DBT CORP US Y 2 2029-11-15 Fixed 4.6250 N N N N N N CHENIERE ENERGY INC MIHC87W9WTYSYZWV1J40 CHENIERE ENERGY INC SR UNSECURED 10/28 4.625 16411RAK5 112000.0000000000 PA USD 108530.2400000000 0.0251452884 Long DBT CORP US N 2 2028-10-15 Fixed 4.6250 N N N N N N COMMERCIAL METALS CO 549300OQS2LO07ZJ7N73 COMMERCIAL METALS CO SR UNSECURED 03/32 4.375 201723AR4 54000.0000000000 PA USD 48340.2600000000 0.0111999179 Long DBT CORP US N 2 2032-03-15 Fixed 4.3750 N N N N N N COMMSCOPE INC 549300Z6K4JXMFE8QY54 COMMSCOPE INC SR SECURED 144A 09/29 4.75 203372AX5 200000.0000000000 PA USD 132438.0000000000 0.0306844591 Long DBT CORP US Y 2 2029-09-01 Fixed 4.7500 N N N N N N DISH DBS CORP N/A DISH DBS CORP COMPANY GUAR 06/29 5.125 25470XBD6 220000.0000000000 PA USD 82042.4000000000 0.0190083410 Long DBT CORP US N 2 2029-06-01 Fixed 5.1250 N N N N N N DISH DBS CORP N/A DISH DBS CORP SR SECURED 144A 12/26 5.25 25470XBE4 170000.0000000000 PA USD 134247.3000000000 0.0311036544 Long DBT CORP US Y 2 2026-12-01 Fixed 5.2500 N N N N N N DIAMOND SPORTS GR/DIAMON N/A DIAMOND SPORTS GR/DIAMON SECURED 144A 08/26 5.375 25277LAF3 151000.0000000000 PA USD 10657.5800000000 0.0024692466 Long DBT CORP US Y 2 2026-08-15 Fixed 0.0000 Y N N N N N DIGITALOCEAN HOLDINGS 549300EPISPY3RE3DL21 DIGITALOCEAN HOLDINGS SR UNSECURED 12/26 0.00000 N/A 447000.0000000000 PA USD 368600.6700000000 0.0854008077 Long DBT CORP US N 2 2026-12-01 Fixed 0.0000 N N N N Y DIGITALOCEAN HOLDINGS DIGITALOCEAN HOLDINGS USD XXXX N N N DISH DBS CORP N/A DISH DBS CORP SR SECURED 144A 12/28 5.75 25470XBF1 100000.0000000000 PA USD 67457.0000000000 0.0156290608 Long DBT CORP US Y 2 2028-12-01 Fixed 5.7500 N N N N N N DRAFTKINGS HOLDINGS INC 5493008P45UYYL683Z97 DRAFTKINGS HOLDINGS INC COMPANY GUAR 03/28 0.00000 N/A 410000.0000000000 PA USD 342091.7000000000 0.0792589647 Long DBT CORP US N 2 2028-03-15 Fixed 0.0000 N N N N Y DRAFTKINGS HOLDINGS INC DRAFTKINGS HOLDINGS INC USD XXXX N N N DROPBOX INC 549300JCDF7UAR6TJR51 DROPBOX INC SR UNSECURED 03/28 0.00000 N/A 207000.0000000000 PA USD 216611.0100000000 0.0501864394 Long DBT CORP US N 2 2028-03-01 Fixed 0.0000 N N N N Y DROPBOX INC DROPBOX INC USD XXXX N N N DIRECTV FINANCING LLC N/A DIRECTV FINANCING LLC 2024 TERM LOAN 25460HAD4 175000.0000000000 PA USD 175146.1300000000 0.0405794731 Long LON CORP US N 2 2029-08-02 Floating 11.1166 N N N N N N DIRECTV FIN LLC/COINC N/A DIRECTV FIN LLC/COINC SR SECURED 144A 08/27 5.875 25461LAA0 277000.0000000000 PA USD 263390.9900000000 0.0610248573 Long DBT CORP US Y 2 2027-08-15 Fixed 5.8750 N N N N N N DISH NETWORK CORP 529900U350CWHH15G169 DISH NETWORK CORP SR UNSECURED 03/24 2.375 N/A 213000.0000000000 PA USD 208835.8500000000 0.0483850186 Long DBT CORP US N 2 2024-03-15 Fixed 2.3750 N N N N Y DISH NETWORK CORP DISH NETWORK CORP USD XXXX N N N DISH NETWORK CORP 529900U350CWHH15G169 DISH NETWORK CORP SR UNSECURED 12/25 0.00000 N/A 608000.0000000000 PA USD 435176.0000000000 0.1008255950 Long DBT CORP US N 2 2025-12-15 Fixed 0.0000 N N N N Y DISH NETWORK CORP DISH NETWORK CORP USD XXXX N N N DISH NETWORK CORP 529900U350CWHH15G169 DISH NETWORK CORP SR SECURED 144A 11/27 11.75 25470MAG4 220000.0000000000 PA USD 229774.6000000000 0.0532363016 Long DBT CORP US Y 2 2027-11-15 Fixed 11.7500 N N N N N N DISH DBS CORP N/A DISH DBS CORP COMPANY GUAR 07/26 7.75 25470XAY1 129000.0000000000 PA USD 76337.0400000000 0.0176864705 Long DBT CORP US N 2 2026-07-01 Fixed 7.7500 N N N N N N DYE & DURHAM LIMITED N/A DYE + DURHAM LIMITED SR UNSECURED 144A 03/26 3.75 N/A 381000.0000000000 PA 249939.0600000000 0.0579081899 Long DBT CORP CA Y 2 2026-03-01 Fixed 3.7500 N N N N N DYE & DURHAM LIMITED DYE & DURHAM LIMITED CAD XXXX N N N EMRLD BORROWER LP N/A EMRLD BORROWER LP TERM LOAN B 26872NAC3 1380835.9800000000 PA USD 1382824.3800000000 0.3203855243 Long LON CORP US N 2 2030-05-31 Floating 9.0628 N N N N N N DISH DBS CORP N/A DISH DBS CORP COMPANY GUAR 07/28 7.375 25470XBB0 133000.0000000000 PA USD 58863.1400000000 0.0136379559 Long DBT CORP US N 2 2028-07-01 Fixed 7.3750 N N N N N N FORD MOTOR CREDIT CO LLC UDSQCVRUX5BONN0VY111 FORD MOTOR CREDIT CO LLC SR UNSECURED 11/30 4 345397B36 350000.0000000000 PA USD 312357.5000000000 0.0723698706 Long DBT CORP US N 2 2030-11-13 Fixed 4.0000 N N N N N N FORD MOTOR CREDIT CO LLC UDSQCVRUX5BONN0VY111 FORD MOTOR CREDIT CO LLC SR UNSECURED 11/27 7.35 345397C35 200000.0000000000 PA USD 210390.0000000000 0.0487450984 Long DBT CORP US N 2 2027-11-04 Fixed 7.3500 N N N N N N FORD MOTOR CREDIT CO LLC UDSQCVRUX5BONN0VY111 FORD MOTOR CREDIT CO LLC SR UNSECURED 06/30 7.2 345397D42 275000.0000000000 PA USD 292470.7500000000 0.0677623247 Long DBT CORP US N 2 2030-06-10 Fixed 7.2000 N N N N N N EPR PROPERTIES 549300YSSXFHMPOWZ492 EPR PROPERTIES SR UNSECURED 08/29 3.75 26884UAF6 174000.0000000000 PA USD 155159.2800000000 0.0359487351 Long DBT CORP US N 2 2029-08-15 Fixed 3.7500 N N N N N N EQM MIDSTREAM PARTNERS L 549300NELT611CL6XM83 EQM MIDSTREAM PARTNERS L SR UNSECURED 144A 06/27 7.5 26885BAM2 355000.0000000000 PA USD 365344.7000000000 0.0846464345 Long DBT CORP US Y 2 2027-06-01 Fixed 7.5000 N N N N N N PERMIAN RESOURC OPTG LLC 549300HGVO86L8G72J25 PERMIAN RESOURC OPTG LLC COMPANY GUAR 144A 04/27 8 27034RAA1 207000.0000000000 PA USD 214526.5200000000 0.0497034855 Long DBT CORP US Y 2 2027-04-15 Fixed 8.0000 N N N N N N PERMIAN RESOURC OPTG LLC N/A PERMIAN RESOURC OPTG LLC COMPANY GUAR 144A 07/31 9.875 27034RAC7 80000.0000000000 PA USD 88900.0000000000 0.0205971731 Long DBT CORP US Y 2 2031-07-15 Fixed 9.8750 N N N N N N FORD MOTOR CREDIT CO LLC UDSQCVRUX5BONN0VY111 FORD MOTOR CREDIT CO LLC SR UNSECURED 05/29 5.113 345397ZR7 300000.0000000000 PA USD 291591.0000000000 0.0675584961 Long DBT CORP US N 2 2029-05-03 Fixed 5.1130 N N N N N N FORESTAR GROUP INC 549300BC2UB0GHV60V70 FORESTAR GROUP INC COMPANY GUAR 144A 03/28 5 346232AE1 187000.0000000000 PA USD 177870.6600000000 0.0412107173 Long DBT CORP US Y 2 2028-03-01 Fixed 5.0000 N N N N N N FORESTAR GROUP INC 549300BC2UB0GHV60V70 FORESTAR GROUP INC COMPANY GUAR 144A 05/26 3.85 346232AF8 110000.0000000000 PA USD 104617.7000000000 0.0242387950 Long DBT CORP US Y 2 2026-05-15 Fixed 3.8500 N N N N N N FRONTIER COMMUNICATIONS 549300ZCZ76HYCS0H445 FRONTIER COMMUNICATIONS SR SECURED 144A 05/28 5 35906ABF4 140000.0000000000 PA USD 129357.2000000000 0.0299706709 Long DBT CORP US Y 2 2028-05-01 Fixed 5.0000 N N N N N N ECO MATERIAL TECH INC N/A ECO MATERIAL TECH INC SR SECURED 144A 01/27 7.875 27900QAA4 213000.0000000000 PA USD 213289.6800000000 0.0494169230 Long DBT CORP US Y 2 2027-01-31 Fixed 7.8750 N N N N N N EDGEWELL PERSONAL CARE 549300CY8QZDL4Z3RU59 EDGEWELL PERSONAL CARE COMPANY GUAR 144A 04/29 4.125 28035QAB8 245000.0000000000 PA USD 224297.5000000000 0.0519673164 Long DBT CORP US Y 2 2029-04-01 Fixed 4.1250 N N N N N N ETSY INC 54930089Q7XT501AEA40 ETSY INC SR UNSECURED 09/27 0.125 N/A 161000.0000000000 PA USD 133530.1800000000 0.0309375054 Long DBT CORP US N 2 2027-09-01 Fixed 0.1250 N N N N Y ETSY INC ETSY INC USD XXXX N N N EVERI HOLDINGS INC 5299006DK5S7BG10K532 EVERI HOLDINGS INC COMPANY GUAR 144A 07/29 5 30034TAA1 238000.0000000000 PA USD 218995.7000000000 0.0507389465 Long DBT CORP US Y 2 2029-07-15 Fixed 5.0000 N N N N N N FAIR ISAAC CORP RI6HET5SJUEY30V1PS26 FAIR ISAAC CORP SR UNSECURED 144A 06/28 4 303250AF1 93000.0000000000 PA USD 86693.6700000000 0.0200859902 Long DBT CORP US Y 2 2028-06-15 Fixed 4.0000 N N N N N N FARFETCH LTD 549300QFQ74Z0F96NS78 FARFETCH LTD SR UNSECURED 05/27 3.75 N/A 251000.0000000000 PA USD 5539.5700000000 0.0012834587 Long DBT CORP KY N 2 2027-05-01 Fixed 3.7500 N N N N N FARFETCH LTD FARFETCH LTD USD XXXX N N N FRONTIER COMMUNICATIONS N/A FRONTIER COMMUNICATIONS SR SECURED 144A 05/30 8.75 35908MAD2 54000.0000000000 PA USD 55334.3400000000 0.0128203710 Long DBT CORP US Y 2 2030-05-15 Fixed 8.7500 N N N N N N GGAM FINANCE LTD N/A GGAM FINANCE LTD COMPANY GUAR 144A 02/27 8 36170JAC0 235000.0000000000 PA USD 242527.0500000000 0.0561909070 Long DBT CORP KY Y 2 2027-02-15 Fixed 8.0000 N N N N N N FASTLY INC 549300E2FZC83FJ3H565 FASTLY INC SR UNSECURED 03/26 0.00000 N/A 411000.0000000000 PA USD 366912.0300000000 0.0850095680 Long DBT CORP US N 2 2026-03-15 Fixed 0.0000 N N N N Y FASTLY INC FASTLY INC USD XXXX N N N FERTITTA ENTERTAINMENT LLC 984500A0805D8V551D35 FERTITTA ENTERTAINMENT, LLC 2022 TERM LOAN B 31556PAB3 54037.5000000000 PA USD 53954.2800000000 0.0125006259 Long LON CORP US N 2 2029-01-27 Floating 9.8577 N N N N N N FERTITTA ENTERTAINMENT 984500A0805D8V551D35 FERTITTA ENTERTAINMENT SR SECURED 144A 01/29 4.625 31556TAA7 107000.0000000000 PA USD 98625.1100000000 0.0228503764 Long DBT CORP US Y 2 2029-01-15 Fixed 4.6250 N N N N N N FERTITTA ENTERTAINMENT 984500A0805D8V551D35 FERTITTA ENTERTAINMENT COMPANY GUAR 144A 01/30 6.75 31556TAC3 220000.0000000000 PA USD 198041.8000000000 0.0458841534 Long DBT CORP US Y 2 2030-01-15 Fixed 6.7500 N N N N N N FIVE9 INC 254900MXP6EWY0SFFR59 FIVE9 INC SR UNSECURED 06/25 0.5 N/A 357000.0000000000 PA USD 343212.6600000000 0.0795186790 Long DBT CORP US N 2 2025-06-01 Fixed 0.5000 N N N N Y FIVE9 INC FIVE9 INC USD XXXX N N N FORD MOTOR COMPANY 20S05OYHG0MQM4VUIC57 FORD MOTOR COMPANY SR UNSECURED 03/26 0.00000 N/A 11210000.0000000000 PA USD 10926723.3000000000 2.5316041748 Long DBT CORP US N 2 2026-03-15 Fixed 0.0000 N N N N Y FORD MOTOR COMPANY FORD MOTOR COMPANY USD XXXX N N N HOWARD MIDSTREAM ENERGY N/A HOWARD MIDSTREAM ENERGY SR UNSECURED 144A 01/27 6.75 442722AA2 163000.0000000000 PA USD 163502.0400000000 0.0378816628 Long DBT CORP US Y 2 2027-01-15 Fixed 6.7500 N N N N N N HUB INTERNATIONAL LTD 549300JQT6ATTUNS5E06 HUB INTERNATIONAL LTD SR UNSECURED 144A 12/29 5.625 44332PAG6 324000.0000000000 PA USD 305914.3200000000 0.0708770551 Long DBT CORP US Y 2 2029-12-01 Fixed 5.6250 N N N N N N HUB INTERNATIONAL LTD 549300JQT6ATTUNS5E06 HUB INTERNATIONAL LTD SR UNSECURED 144A 01/32 7.375 44332PAJ0 105000.0000000000 PA USD 107471.7000000000 0.0249000361 Long DBT CORP US Y 2 2032-01-31 Fixed 7.3750 N N N N N N ILFC E-CAPITAL TRUST II N/A ILFC E CAPITAL TRUST II LIMITD GUARA 144A 12/65 VAR 44965UAA2 275000.0000000000 PA USD 217970.5000000000 0.0505014186 Long SN CORP US Y 2 2065-12-21 Variable 7.4362 N N N N N N ALLY FINANCIAL INC 549300JBN1OSM8YNAI90 ALLY FINANCIAL INC COMPANY GUAR 11/31 8 36186CBY8 90000.0000000000 PA USD 99672.3000000000 0.0230929991 Long DBT CORP US N 2 2031-11-01 Fixed 8.0000 N N N N N N FRONTIER CALIFORNIA INC N/A FRONTIER CALIFORNIA INC SR UNSECURED 05/27 6.75 362311AG7 225000.0000000000 PA USD 217613.2500000000 0.0504186477 Long DBT CORP US N 2 2027-05-15 Fixed 6.7500 N N N N N N ICAHN ENTERPRISES/FIN N/A ICAHN ENTERPRISES/FIN COMPANY GUAR 02/29 4.375 451102CC9 164000.0000000000 PA USD 137223.7200000000 0.0317932589 Long DBT CORP US N 2 2029-02-01 Fixed 4.3750 N N N N N N II-VI INCORPORATED N/A II VI INCORPORATED 2022 TERM LOAN B 45173JAQ7 1399720.3800000000 PA USD 1395871.1500000000 0.3234083205 Long LON CORP US N 2 2029-07-02 Floating 8.6166 N N N N N N IEA ENERGY SERVICES LLC N/A IEA ENERGY SERVICES LLC COMPANY GUAR 144A 08/29 6.625 45174AAA0 255000.0000000000 PA USD 240000.9000000000 0.0556056252 Long DBT CORP US Y 2 2029-08-15 Fixed 6.6250 N N N N N N IHEARTCOMMUNICATIONS INC 54930076J6KDZL504O62 IHEARTCOMMUNICATIONS INC COMPANY GUAR 05/27 8.375 45174HBD8 135000.0000000000 PA USD 84454.6500000000 0.0195672333 Long DBT CORP US N 2 2027-05-01 Fixed 8.3750 N N N N N N ZIJIN MINING GROUP CO LTD N/A ZIJIN MINING GROUP CO LTD H COMMON STOCK CNY.1 N/A 486000.0000000000 NS 721157.8700000000 0.1670845160 Long EC CORP CN N 1 N N N FRONTIER FLORIDA LLC N/A FRONTIER FLORIDA LLC SR UNSECURED 02/28 6.86 362333AH9 242000.0000000000 PA USD 233193.6200000000 0.0540284517 Long DBT CORP US N 2 2028-02-01 Fixed 6.8600 N N N N N N FRONTIER NORTH INC N/A FRONTIER NORTH INC SR UNSECURED 02/28 6.73 362337AK3 330000.0000000000 PA USD 316569.0000000000 0.0733456298 Long DBT CORP US N 2 2028-02-15 Fixed 6.7300 N N N N N N TVS MOTOR CO LTD N/A TVS MOTOR CO LTD COMMON STOCK INR1.0 N/A 1130.0000000000 NS 27160.9400000000 0.0062928974 Long EC CORP IN N 1 N N N E INK HOLDINGS INC N/A E INK HOLDINGS INC COMMON STOCK TWD10.0 N/A 41000.0000000000 NS 271899.8700000000 0.0629962732 Long EC CORP TW N 1 N N N H.B. FULLER CO JSMX3Z5FOYM8V0Q52357 H.B. FULLER CO SR UNSECURED 10/28 4.25 40410KAA3 111000.0000000000 PA USD 103547.4600000000 0.0239908319 Long DBT CORP US N 2 2028-10-15 Fixed 4.2500 N N N N N N HCA INC L3CJ6J7LJ2DX62FTXD46 HCA INC COMPANY GUAR 11/33 7.5 404119AJ8 300000.0000000000 PA USD 338727.0000000000 0.0784793999 Long DBT CORP US N 2 2033-11-06 Fixed 7.5000 N N N N N N HAEMONETICS CORP 549300ZEL6TXZS6F5F95 HAEMONETICS CORP SR UNSECURED 03/26 0.00000 N/A 205000.0000000000 PA USD 181984.6500000000 0.0421638845 Long DBT CORP US N 2 2026-03-01 Fixed 0.0000 N N N N Y HAEMONETICS CORP HAEMONETICS CORP USD XXXX N N N HALOZYME THERAPEUTICS IN 529900242I3SV9AGM753 HALOZYME THERAPEUTICS IN SR UNSECURED 03/27 0.25 N/A 206000.0000000000 PA USD 176912.8000000000 0.0409887915 Long DBT CORP US N 2 2027-03-01 Fixed 0.2500 N N N N Y HALOZYME THERAPEUTICS IN HALOZYME THERAPEUTICS IN USD XXXX N N N SAMSUNG ELECTRONICS CO LTD 9884007ER46L6N7EI764 SAMSUNG ELECTRONICS CO LTD COMMON STOCK KRW100.0 N/A 29340.0000000000 NS 1594242.5700000000 0.3693688433 Long EC CORP KR N 2 N N N HALOZYME THERAPEUTICS IN 529900242I3SV9AGM753 HALOZYME THERAPEUTICS IN SR UNSECURED 08/28 1 N/A 170000.0000000000 PA USD 154252.9000000000 0.0357387366 Long DBT CORP US N 2 2028-08-15 Fixed 1.0000 N N N N N HALOZYME THERAPEUTICS IN HALOZYME THERAPEUTICS IN USD XXXX N N N HANESBRANDS INC. N/A HANESBRANDS INC. 2023 TERM LOAN B 410346AX8 208425.0000000000 PA USD 207643.4100000000 0.0481087431 Long LON CORP US N 2 2030-03-08 Floating 9.7766 N N N N N N HAT HOLDINGS I LLC/HAT N/A HAT HOLDINGS I LLC/HAT COMPANY GUAR 144A 06/27 8 418751AL7 120000.0000000000 PA USD 124470.0000000000 0.0288383592 Long DBT CORP US Y 2 2027-06-15 Fixed 8.0000 N N N N N N HAWAIIAN BRAND INTELLECT N/A HAWAIIAN BRAND INTELLECT SR SECURED 144A 01/26 5.75 41984LAA5 269000.0000000000 PA USD 252994.5000000000 0.0586161025 Long DBT CORP KY Y 2 2026-01-20 Fixed 5.7500 N N N N N N HERC HOLDINGS INC 549300TP80QLITMSBP82 HERC HOLDINGS INC COMPANY GUAR 144A 07/27 5.5 42704LAA2 270000.0000000000 PA USD 265385.7000000000 0.0614870101 Long DBT CORP US Y 2 2027-07-15 Fixed 5.5000 N N N N N N HILCORP ENERGY I/HILCORP N/A HILCORP ENERGY I/HILCORP SR UNSECURED 144A 04/30 6 431318AY0 305000.0000000000 PA USD 296359.3500000000 0.0686632714 Long DBT CORP US Y 2 2030-04-15 Fixed 6.0000 N N N N N N SERVICE PROPERTIES TRUST 529900IS770AG1K9QG27 SERVICE PROPERTIES TRUST SR UNSECURED 02/26 5.25 44106MAV4 105000.0000000000 PA USD 101751.3000000000 0.0235746810 Long DBT CORP US N 2 2026-02-15 Fixed 5.2500 N N N N N N LANTHEUS HOLDINGS INC 5299005HUB5IOJGO7S39 LANTHEUS HOLDINGS INC COMPANY GUAR 12/27 2.625 N/A 101000.0000000000 PA USD 104705.6900000000 0.0242591813 Long DBT CORP US N 2 2027-12-15 Fixed 2.6250 N N N N Y LANTHEUS HOLDINGS INC LANTHEUS HOLDINGS INC USD XXXX N N N VITAL ENERGY INC 549300X0PTWU2QSLSL14 VITAL ENERGY INC COMPANY GUAR 144A 07/29 7.75 516806AH9 100000.0000000000 PA USD 98793.0000000000 0.0228892747 Long DBT CORP US Y 2 2029-07-31 Fixed 7.7500 N N N N N N VITAL ENERGY INC 549300X0PTWU2QSLSL14 VITAL ENERGY INC COMPANY GUAR 10/30 9.75 516806AJ5 134000.0000000000 PA USD 142479.5200000000 0.0330109712 Long DBT CORP US N 2 2030-10-15 Fixed 9.7500 N N N N N N LD HOLDINGS GROUP LLC N/A LD HOLDINGS GROUP LLC COMPANY GUAR 144A 04/28 6.125 521088AC8 205000.0000000000 PA USD 167275.9000000000 0.0387560255 Long DBT CORP US Y 2 2028-04-01 Fixed 6.1250 N N N N N N LEVEL 3 FINANCING INC N/A LEVEL 3 FINANCING INC COMPANY GUAR 144A 09/27 4.625 527298BN2 105000.0000000000 PA USD 55433.7000000000 0.0128433916 Long DBT CORP US Y 2 2027-09-15 Fixed 4.6250 N N N N N N LEVEL 3 FINANCING INC 254900AE5FEFIJOXWL19 LEVEL 3 FINANCING INC COMPANY GUAR 144A 07/28 4.25 527298BR3 235000.0000000000 PA USD 79018.7500000000 0.0183077938 Long DBT CORP US Y 2 2028-07-01 Fixed 4.2500 N N N N N N LIBERTY BROADBAND CORP 549300MIX43II8JLN536 LIBERTY BROADBAND CORP SR UNSECURED 144A 03/53 3.125 N/A 161000.0000000000 PA USD 158084.2900000000 0.0366264284 Long DBT CORP US Y 2 2053-03-31 Fixed 3.1250 N N N N N LIBERTY BROADBAND CORP LIBERTY BROADBAND CORP USD XXXX N N N LIBERTY INTERACTIVE LLC 51M0QTTNCGUN7KFCFZ59 LIBERTY INTERACTIVE LLC SR UNSECURED 02/30 8.25 530715AJ0 220000.0000000000 PA USD 117537.2000000000 0.0272321041 Long DBT CORP US N 2 2030-02-01 Fixed 8.2500 N N N N N N LIBERTY MEDIA CORP 549300ZKUTPIBZLWLL89 LIBERTY MEDIA CORP SR UNSECURED 08/27 2.25 N/A 2185000.0000000000 PA USD 2277250.7000000000 0.5276144752 Long DBT CORP US N 2 2027-08-15 Fixed 2.2500 N N N N N LIBERTY MEDIA CORP LIBERTY MEDIA CORP USD XXXX N N N LIFE TIME INC 549300PALKE96VYH4X17 LIFE TIME INC COMPANY GUAR 144A 04/26 8 53190FAC9 204000.0000000000 PA USD 206362.3200000000 0.0478119283 Long DBT CORP US Y 2 2026-04-15 Fixed 8.0000 N N N N N N LIGHT & WONDER INTL INC N/A LIGHT + WONDER INTL INC COMPANY GUAR 144A 09/31 7.5 531968AA3 105000.0000000000 PA USD 109419.4500000000 0.0253513088 Long DBT CORP US Y 2 2031-09-01 Fixed 7.5000 N N N N N N AG ISSUER LLC N/A AG ISSUER LLC SR SECURED 144A 03/28 6.25 00119LAA9 153000.0000000000 PA USD 151251.2100000000 0.0350432773 Long DBT CORP US Y 2 2028-03-01 Fixed 6.2500 N N N N N N API GROUP DE INC 549300XP4G7B4QYA0G83 API GROUP DE INC COMPANY GUAR 144A 10/29 4.75 00185PAA9 260000.0000000000 PA USD 243469.2000000000 0.0564091930 Long DBT CORP US Y 2 2029-10-15 Fixed 4.7500 N N N N N N LIGADO NETWORKS LLC SR SECURED 144A 11/23 15.5 N/A LIGADO NETWORKS LLC SR SECURED 144A 11/23 15.5 53225HAA8 167354.0000000000 PA USD 28818.3600000000 0.0066769038 Long DBT CORP US N 2 2023-11-01 Fixed 15.5000000000 N N N N N N METLIFE INC C4BXATY60WC6XEOZDX54 METLIFE INC JR SUBORDINA 12/66 6.4 59156RAP3 344000.0000000000 PA USD 351457.9200000000 0.0814290170 Long DBT CORP US N 2 2036-12-15 Fixed 6.4000 N N N N N N MICROSTRATEGY INC 549300WQTWEJUEHXQX21 MICROSTRATEGY INC SR UNSECURED 02/27 0.00000 N/A 418000.0000000000 PA USD 337998.9800000000 0.0783107255 Long DBT CORP US N 2 2027-02-15 Fixed 0.0000 N N N N Y MICROSTRATEGY INC MICROSTRATEGY INC USD XXXX N N N MICROCHIP TECHNOLOGY INC 5493007PTFULNYZJ1R12 MICROCHIP TECHNOLOGY INC SR SUBORDINA 11/24 0.125 N/A 451000.0000000000 PA USD 472611.9200000000 0.1094990947 Long DBT CORP US N 2 2024-11-15 Fixed 0.1250 N N N N Y MICROCHIP TECHNOLOGY INC MICROCHIP TECHNOLOGY INC USD XXXX N N N API GROUP DE INC. N/A API GROUP DE, INC. 2023 INCREMENTAL TERM LOAN 00186XAL7 1250000.0000000000 PA USD 1251756.2500000000 0.2900184494 Long LON CORP US N 2 2029-01-03 Floating 8.1938 N N N N N N ARD FINANCE SA 6354006P6QPGGPVJW880 ARD FINANCE SA SR SECURED 144A 06/27 6.5 00191AAD8 475000.0000000000 PA USD 230508.0000000000 0.0534062224 Long DBT CORP LU Y 2 2027-06-30 Fixed 6.5000 N N N N N N MIDAS OPCO HOLDINGS LLC N/A MIDAS OPCO HOLDINGS LLC COMPANY GUAR 144A 08/29 5.625 59565JAA9 245000.0000000000 PA USD 224917.3500000000 0.0521109290 Long DBT CORP US Y 2 2029-08-15 Fixed 5.6250 N N N N N N MIDDLEBY CORP JDFO86U9VQRBKW5KYA35 MIDDLEBY CORP SR UNSECURED 09/25 1 N/A 161000.0000000000 PA USD 190242.4300000000 0.0440771233 Long DBT CORP US N 2 2025-09-01 Fixed 1.0000 N N N N Y MIDDLEBY CORP MIDDLEBY CORP USD XXXX N N N MIDWEST GMNG BOR/MWG FIN N/A MIDWEST GMNG BOR/MWG FIN SR SECURED 144A 05/29 4.875 59833DAB6 287000.0000000000 PA USD 266456.5400000000 0.0617351122 Long DBT CORP US Y 2 2029-05-01 Fixed 4.8750 N N N N N N MILEAGE PLUS HOLDINGS LLC N/A MILEAGE PLUS HOLDINGS LLC 2020 TERM LOAN B 59921PAB2 154000.0000000000 PA USD 158924.9200000000 0.0368211933 Long LON CORP US N 2 2027-06-21 Floating 10.8997 N N N N N N AMERICAN AIRLINES/AADVAN N/A AMERICAN AIRLINES/AADVAN SR SECURED 144A 04/26 5.5 00253XAA9 126750.0000000000 PA USD 125600.3800000000 0.0291002561 Long DBT CORP US Y 2 2026-04-20 Fixed 5.5000 N N N N N N ABERCROMBIE & FITCH MANA 5493003QMCFDA98NPT74 ABERCROMBIE + FITCH MANA SR SECURED 144A 07/25 8.75 003000AA4 265000.0000000000 PA USD 269846.8500000000 0.0625206106 Long DBT CORP US Y 2 2025-07-15 Fixed 8.7500 N N N N N N MOOG INC 549300WM2I4U7OBAHG07 MOOG INC COMPANY GUAR 144A 12/27 4.25 615394AM5 135000.0000000000 PA USD 126581.4000000000 0.0293275479 Long DBT CORP US Y 2 2027-12-15 Fixed 4.2500 N N N N N N MORGAN STANLEY FIN LLC 5493003FCPSE9RKT4B56 MORGAN STANLEY FIN LLC 11/27 1 N/A 314000.0000000000 PA USD 365433.2000000000 0.0846669390 Long DBT CORP US N 2 2027-11-23 Fixed 1.0000 N N N N N N ACPRODUCTS INC. N/A ACPRODUCTS INC 2021 TERM LOAN B 00488YAB2 211750.0000000000 PA USD 183717.4800000000 0.0425653626 Long LON CORP US N 2 2028-05-17 Floating 9.8560 N N N N N N ACRISURE LLC / FIN INC N/A ACRISURE LLC / FIN INC SR UNSECURED 144A 02/29 8.25 00489LAK9 340000.0000000000 PA USD 341237.6000000000 0.0790610789 Long DBT CORP US Y 2 2029-02-01 Fixed 8.2500 N N N N N N MOSS CREEK RESOURCES HLD 54930037SLMSPWKYIX36 MOSS CREEK RESOURCES HLD COMPANY GUAR 144A 01/26 7.5 61965RAA3 90000.0000000000 PA USD 89714.7000000000 0.0207859303 Long DBT CORP US Y 2 2026-01-15 Fixed 7.5000 N N N N N N MOSS CREEK RESOURCES HLD 54930037SLMSPWKYIX36 MOSS CREEK RESOURCES HLD COMPANY GUAR 144A 05/27 10.5 61965RAB1 135000.0000000000 PA USD 139043.2500000000 0.0322148244 Long DBT CORP US Y 2 2027-05-15 Fixed 10.5000 N N N N N N MEDLINE BORROWER LP 254900QT3R363TVK6F09 MEDLINE BORROWER LP SR SECURED 144A 04/29 3.875 62482BAA0 270000.0000000000 PA USD 244765.8000000000 0.0567096012 Long DBT CORP US Y 2 2029-04-01 Fixed 3.8750 N N N N N N MEDLINE BORROWER LP 254900QT3R363TVK6F09 MEDLINE BORROWER LP SR UNSECURED 144A 10/29 5.25 62482BAB8 267000.0000000000 PA USD 249164.4000000000 0.0577287095 Long DBT CORP US Y 2 2029-10-01 Fixed 5.2500 N N N N N N ADAMS HOMES INC N/A ADAMS HOMES INC SR UNSECURED 144A 10/28 9.25 00623PAB7 210000.0000000000 PA USD 215233.2000000000 0.0498672157 Long DBT CORP US Y 2 2028-10-15 Fixed 9.2500 N N N N N N ADVISOR GROUP INC. N/A ADVISOR GROUP INC. 2023 TERM LOAN B 00775KAG3 55000.0000000000 PA USD 55017.3300000000 0.0127469232 Long LON CORP US N 2 2028-08-16 Floating 10.5257 N N N N N N PPL CAPITAL FUNDING INC 549300MROK5WY0D2NU17 PPL CAPITAL FUNDING INC COMPANY GUAR 144A 03/28 2.875 N/A 320000.0000000000 PA USD 305315.2000000000 0.0707382455 Long DBT CORP US Y 2 2028-03-15 Fixed 2.8750 N N N N Y PPL CAPITAL FUNDING INC PPL CAPITAL FUNDING INC USD XXXX N N N PHH MORTGAGE CORP PAOOWF3GUFM46FBSP561 PHH MORTGAGE CORP SR SECURED 144A 03/26 7.875 69356NAA2 341000.0000000000 PA USD 315032.8500000000 0.0729897204 Long DBT CORP US Y 2 2026-03-15 Fixed 7.8750 N N N N N N IHEARTCOMMUNICATIONS INC 54930076J6KDZL504O62 IHEARTCOMMUNICATIONS INC SR SECURED 144A 08/27 5.25 45174HBE6 80000.0000000000 PA USD 62202.4000000000 0.0144116265 Long DBT CORP US Y 2 2027-08-15 Fixed 5.2500 N N N N N N IMAX CORP 5493002KS2T1Q0X7VZ21 IMAX CORP SR UNSECURED 04/26 0.5 N/A 2740000.0000000000 PA USD 2439778.2000000000 0.5652703475 Long DBT CORP CA N 2 2026-04-01 Fixed 0.5000 N N N N Y IMAX CORP IMAX CORP USD XXXX N N N PACIRA PHARMACEUTICALS N/A PACIRA PHARMACEUTICALS SR UNSECURED 08/25 0.75 N/A 135000.0000000000 PA USD 125455.5000000000 0.0290666890 Long DBT CORP US N 2 2025-08-01 Fixed 0.7500 N N N N Y PACIRA PHARMACEUTICALS PACIRA PHARMACEUTICALS USD XXXX N N N PADAGIS LLC N/A PADAGIS LLC TERM LOAN B 69526PAC8 235294.1200000000 PA USD 228236.4700000000 0.0528799334 Long LON CORP US N 2 2028-07-06 Floating 10.3100 N N N N N N PALO ALTO NETWORKS 549300QXR2YVZV231H43 PALO ALTO NETWORKS SR UNSECURED 06/25 0.375 N/A 148000.0000000000 PA USD 503493.0400000000 0.1166539178 Long DBT CORP US N 2 2025-06-01 Fixed 0.3750 N N N N Y PALO ALTO NETWORKS PALO ALTO NETWORKS USD XXXX N N N PAR PETROLEUM LLC N/A PAR PETROLEUM, LLC 2023 TERM LOAN B 69889PAD7 258324.3100000000 PA USD 258550.3400000000 0.0599033308 Long LON CORP US N 2 2030-02-28 Floating 10.1135 N N N N N N PARK INTERMED HOLDINGS N/A PARK INTERMED HOLDINGS SR SECURED 144A 10/28 5.875 70052LAB9 110000.0000000000 PA USD 107698.8000000000 0.0249526527 Long DBT CORP US Y 2 2028-10-01 Fixed 5.8750 N N N N N N PARKLAND CORP 549300XHQS1JYWBNK868 PARKLAND CORP COMPANY GUAR 144A 07/27 5.875 70137TAP0 230000.0000000000 PA USD 228330.2000000000 0.0529016496 Long DBT CORP CA Y 2 2027-07-15 Fixed 5.8750 N N N N N N PATAGONIA HOLDCO LLC N/A PATAGONIA HOLDCO LLC TERM LOAN B1 70289FAD3 197500.0000000000 PA USD 181601.2500000000 0.0420750549 Long LON CORP US N 2 2029-08-01 Floating 11.3670 N N N N N N PATRICK INDUSTRIES INC 549300FZ5ZTCCJ3Z5W14 PATRICK INDUSTRIES INC COMPANY GUAR 144A 05/29 4.75 703343AD5 327000.0000000000 PA USD 301595.3700000000 0.0698764009 Long DBT CORP US Y 2 2029-05-01 Fixed 4.7500 N N N N N N RAISING CANE'S RESTAURAN N/A RAISING CANE S RESTAURAN SR UNSECURED 144A 05/29 9.375 75103AAA3 105000.0000000000 PA USD 112608.3000000000 0.0260901310 Long DBT CORP US Y 2 2029-05-01 Fixed 9.3750 N N N N N N RAPID7 INC 549300GNVG5D60KEYN14 RAPID7 INC SR UNSECURED 144A 03/29 1.25 N/A 1381000.0000000000 PA USD 1512043.0900000000 0.3503241085 Long DBT CORP US Y 2 2029-03-15 Fixed 1.2500 N N N N Y RAPID7 INC RAPID7 INC USD XXXX N N N AETHON UN/AETHIN UN FIN N/A AETHON UN/AETHIN UN FIN SR UNSECURED 144A 02/26 8.25 00810GAC8 323000.0000000000 PA USD 322208.6500000000 0.0746522760 Long DBT CORP US Y 2 2026-02-15 Fixed 8.2500 N N N N N N AFFIRM HOLDINGS INC N/A AFFIRM HOLDINGS INC SR UNSECURED 11/26 0.00000 N/A 223000.0000000000 PA USD 178123.4800000000 0.0412692930 Long DBT CORP US N 2 2026-11-15 Fixed 0.0000 N N N N Y AFFIRM HOLDINGS INC AFFIRM HOLDINGS INC USD XXXX N N N REDFIN CORP 549300HXWD3JEMZU3O57 REDFIN CORP SR UNSECURED 10/25 0.00000 N/A 330000.0000000000 PA USD 281790.3000000000 0.0652877794 Long DBT CORP US N 2 2025-10-15 Fixed 0.0000 N N N N Y REDFIN CORP REDFIN CORP USD XXXX N N N REPAY HOLDINGS N/A REPAY HOLDINGS SR UNSECURED 144A 02/26 0.0000 N/A 296000.0000000000 PA USD 251647.3600000000 0.0583039846 Long DBT CORP US Y 2 2026-02-01 Fixed 0.0000 N N N N Y REPAY HOLDINGS REPAY HOLDINGS USD XXXX N N N PACTIV EVERGREEN GROUP N/A PACTIV EVERGREEN GROUP SR SECURED 144A 10/27 4 76174LAA1 255000.0000000000 PA USD 238080.7500000000 0.0551607471 Long DBT CORP US Y 2 2027-10-15 Fixed 4.0000 N N N N N N RINGCENTRAL INC 549300C8EH0H1614VE84 RINGCENTRAL INC SR UNSECURED 03/26 0.00000 N/A 320000.0000000000 PA USD 280384.0000000000 0.0649619548 Long DBT CORP US N 2 2026-03-15 Fixed 0.0000 N N N N Y RINGCENTRAL INC RINGCENTRAL INC USD XXXX N N N AIRBNB INC 549300HMUDNO0RY56D37 AIRBNB INC SR UNSECURED 03/26 0.00000 N/A 203000.0000000000 PA USD 184547.3000000000 0.0427576230 Long DBT CORP US N 2 2026-03-15 Fixed 0.0000 N N N N Y AIRBNB INC AIRBNB INC USD XXXX N N N AIR LEASE CORP 5493004NW4M4P8TMMK63 AIR LEASE CORP JR SUBORDINA 12/99 VAR 00912XBK9 200000.0000000000 PA USD 169512.0000000000 0.0392741058 Long DBT CORP US N 2 2064-01-31 Variable 4.1250 N N N N N N RITE AID CORP 529900W353T1JY1DKT44 RITE AID CORP SR SECURED 144A 11/26 8 767754CL6 448000.0000000000 PA USD 340341.1200000000 0.0788533741 Long DBT CORP US Y 2 2026-11-15 Fixed 0.0000 Y N N N N N RIVIAN AUTO INC N/A RIVIAN AUTO INC SR UNSECURED 144A 03/29 4.625 N/A 230000.0000000000 PA USD 244991.4000000000 0.0567618703 Long DBT CORP US Y 2 2029-03-15 Fixed 4.6250 N N N N Y RIVIAN AUTO INC RIVIAN AUTO INC USD XXXX N N N RIVIAN AUTO INC N/A RIVIAN AUTO INC SR UNSECURED 144A 10/30 3.625 N/A 145000.0000000000 PA USD 132831.6000000000 0.0307756519 Long DBT CORP US Y 2 2030-10-15 Fixed 3.6250 N N N N Y RIVIAN AUTO INC RIVIAN AUTO INC USD XXXX N N N STAR PARENT INC. N/A STAR PARENT, INC. TERM LOAN B 87169DAB1 215000.0000000000 PA USD 210296.8800000000 0.0487235235 Long LON CORP US N 2 2030-09-30 Floating 9.6229 N N N N N N TKC HOLDINGS INC. N/A TKC HOLDINGS INC 2021 TERM LOAN 87256FAH7 138634.9100000000 PA USD 134441.2000000000 0.0311485789 Long LON CORP US N 2 2028-05-14 Floating 12.2475 N N N N N N TTM TECHNOLOGIES INC 549300SC4BDOIS008048 TTM TECHNOLOGIES INC COMPANY GUAR 144A 03/29 4 87305RAK5 315000.0000000000 PA USD 285065.5500000000 0.0660466195 Long DBT CORP US Y 2 2029-03-01 Fixed 4.0000 N N N N N N TTM TECHNOLOGIES INC. N/A TTM TECHNOLOGIES INC 2023 TERM LOAN B N/A 796000.0000000000 PA USD 796995.0000000000 0.1846551628 Long LON CORP US N 2 2030-05-30 Floating 8.2546 N N N N N N TAYLOR MORRISON COMM 549300O1Z08HI2MRK572 TAYLOR MORRISON COMM COMPANY GUAR 144A 01/28 5.75 87724RAB8 128000.0000000000 PA USD 127573.7600000000 0.0295574670 Long DBT CORP US Y 2 2028-01-15 Fixed 5.7500 N N N N N N AKAMAI TECHNOLOGIES INC OC1LZNN2LF5WTJ5RIL89 AKAMAI TECHNOLOGIES INC SR UNSECURED 05/25 0.125 N/A 190000.0000000000 PA USD 250515.0000000000 0.0580416290 Long DBT CORP US N 2 2025-05-01 Fixed 0.1250 N N N N Y AKAMAI TECHNOLOGIES INC AKAMAI TECHNOLOGIES INC USD XXXX N N N AKAMAI TECHNOLOGIES INC OC1LZNN2LF5WTJ5RIL89 AKAMAI TECHNOLOGIES INC SR UNSECURED 144A 02/29 1.125 N/A 2990000.0000000000 PA USD 3323863.4000000000 0.7701033722 Long DBT CORP US Y 2 2029-02-15 Fixed 1.1250 N N N N Y AKAMAI TECHNOLOGIES INC AKAMAI TECHNOLOGIES INC USD XXXX N N N ALASKA AIRLINES 2020 TR N/A ALASKA AIRLINES 2020 TR PASS THRU CE 144A 02/29 4.8 01166VAA7 198857.1900000000 PA USD 193034.6500000000 0.0447240506 Long DBT CORP US Y 2 2027-08-15 Fixed 4.8000 N N N N N N ALASKA AIR 2020-1 CL B N/A ALASKA AIR 2020 1 CL B PASS THRU CE 144A 02/27 8 01166WAA5 96284.3100000000 PA USD 97277.9600000000 0.0225382562 Long DBT CORP US Y 2 2025-08-15 Fixed 8.0000 N N N N N N ALBERTSONS COS/SAFEWAY N/A ALBERTSONS COS/SAFEWAY COMPANY GUAR 144A 02/28 5.875 013092AB7 155000.0000000000 PA USD 154920.9500000000 0.0358935166 Long DBT CORP US Y 2 2028-02-15 Fixed 5.8750 N N N N N N ALBERTSONS COS/SAFEWAY N/A ALBERTSONS COS/SAFEWAY COMPANY GUAR 144A 01/27 4.625 013092AC5 365000.0000000000 PA USD 354352.9500000000 0.0820997643 Long DBT CORP US Y 2 2027-01-15 Fixed 4.6250 N N N N N N NEW ALBERTSONS LP N/A NEW ALBERTSONS LP SR UNSECURED 06/26 7.75 013104AC8 174000.0000000000 PA USD 178595.3400000000 0.0413786179 Long DBT CORP US N 2 2026-06-15 Fixed 7.7500 N N N N N N CHS/COMMUNITY HEALTH SYS 5493007X5NC5XI1BB106 CHS/COMMUNITY HEALTH SYS SR SECURED 144A 01/32 10.875 12543DBN9 105000.0000000000 PA USD 110316.1500000000 0.0255590645 Long DBT CORP US Y 2 2032-01-15 Fixed 10.8750 N N N N N N CMS ENERGY CORP 549300IA9XFBAGNIBW29 CMS ENERGY CORP SR UNSECURED 144A 05/28 3.375 N/A 1466000.0000000000 PA USD 1438219.3000000000 0.3332199310 Long DBT CORP US Y 2 2028-05-01 Fixed 3.3750 N N N N Y CMS ENERGY CORP CMS ENERGY CORP USD XXXX N N N CSC HOLDINGS LLC 3HG2WD2W22M120IUNG49 CSC HOLDINGS LLC COMPANY GUAR 144A 04/27 5.5 126307AQ0 200000.0000000000 PA USD 179822.0000000000 0.0416628218 Long DBT CORP US Y 2 2027-04-15 Fixed 5.5000 N N N N N N TEAM HEALTH HOLDINGS INC. 549300PVTQ4UDTTMQT11 TEAM HEALTH HOLDINGS, INC. 2022 TERM LOAN B 87817JAG3 632407.9600000000 PA USD 528851.1600000000 0.1225291213 Long LON CORP US N 2 2027-03-02 Floating 11.1166 N N N N N N TELESAT CANADA N/A TELESAT CANADA 2019 TERM LOAN 87951YAU5 110000.0000000000 PA USD 67526.2500000000 0.0156451053 Long LON CORP CA N 2 2026-12-07 Floating 8.7974 N N N N N N INSMED INC 529900Q55QAG41CCAC11 INSMED INC SR UNSECURED 06/28 0.75 N/A 158000.0000000000 PA USD 172207.3600000000 0.0398985917 Long DBT CORP US N 2 2028-06-01 Fixed 0.7500 N N N N Y INSMED INC INSMED INC USD XXXX N N N INNOPHOS INC. XQ0331QX53IRX25OY417 INNOPHOS INC 2020 TERM LOAN B 45778EAG9 161780.2000000000 PA USD 159927.0100000000 0.0370533668 Long LON CORP US N 2 2027-02-08 Floating 9.7766 N N N N N N CSC HOLDINGS LLC 3HG2WD2W22M120IUNG49 CSC HOLDINGS LLC COMPANY GUAR 144A 02/28 5.375 126307AS6 335000.0000000000 PA USD 288337.8500000000 0.0668047762 Long DBT CORP US Y 2 2028-02-01 Fixed 5.3750 N N N N N N CSC HOLDINGS LLC 3HG2WD2W22M120IUNG49 CSC HOLDINGS LLC SR UNSECURED 144A 01/30 5.75 126307BA4 300000.0000000000 PA USD 159309.0000000000 0.0369101805 Long DBT CORP US Y 2 2030-01-15 Fixed 5.7500 N N N N N N TELESAT CANADA/TELESAT L N/A TELESAT CANADA/TELESAT L SR SECURED 144A 06/27 4.875 87952VAP1 219000.0000000000 PA USD 129860.4300000000 0.0300872638 Long DBT CORP CA Y 2 2027-06-01 Fixed 4.8750 N N N N N N TENET HEALTHCARE CORP 0W9AIBT6U6ADJ2I8HK17 TENET HEALTHCARE CORP SR UNSECURED 11/31 6.875 88033GAV2 295000.0000000000 PA USD 304091.9000000000 0.0704548200 Long DBT CORP US N 2 2031-11-15 Fixed 6.8750 N N N N N N INNOVIVA INC 549300ACOX4QTBES6535 INNOVIVA INC SR UNSECURED 08/25 2.5 N/A 73000.0000000000 PA USD 79478.0200000000 0.0184142017 Long DBT CORP US N 2 2025-08-15 Fixed 2.5000 N N N N N INNOVIVA INC INNOVIVA INC USD XXXX N N N KODIAK GAS SERVICES LLC N/A KODIAK GAS SERVICES LLC SR UNSECURED 144A 02/29 7.25 50012LAC8 92000.0000000000 PA USD 93083.7600000000 0.0215665053 Long DBT CORP US Y 2 2029-02-15 Fixed 7.2500 N N N N N N TENET HEALTHCARE CORP 0W9AIBT6U6ADJ2I8HK17 TENET HEALTHCARE CORP SECURED 02/27 6.25 88033GDS6 430000.0000000000 PA USD 429161.5000000000 0.0994321001 Long DBT CORP US N 2 2027-02-01 Fixed 6.2500 N N N N N N TEAM HEALTH HOLDINGS INC 549300PVTQ4UDTTMQT11 TEAM HEALTH HOLDINGS INC COMPANY GUAR 144A 02/25 6.375 88047PAA2 305000.0000000000 PA USD 257847.0000000000 0.0597403745 Long DBT CORP US Y 2 2025-02-01 Fixed 6.3750 N N N N N N CSC HOLDINGS LLC 3HG2WD2W22M120IUNG49 CSC HOLDINGS LLC SR UNSECURED 144A 12/30 4.625 126307BD8 400000.0000000000 PA USD 207000.0000000000 0.0479596719 Long DBT CORP US Y 2 2030-12-01 Fixed 4.6250 N N N N N N CSC HOLDINGS LLC 3HG2WD2W22M120IUNG49 CSC HOLDINGS LLC COMPANY GUAR 144A 11/31 4.5 126307BH9 200000.0000000000 PA USD 143734.0000000000 0.0333016207 Long DBT CORP US Y 2 2031-11-15 Fixed 4.5000 N N N N N N KOHL'S CORPORATION 549300JF6LPRTRJ0FH50 KOHL S CORPORATION SR UNSECURED 07/45 5.55 500255AV6 180000.0000000000 PA USD 122835.6000000000 0.0284596863 Long DBT CORP US N 2 2045-07-17 Fixed 5.5500 N N N N N N BATH & BODY WORKS INC GR3KVMWVCR54YWQNXU90 BATH + BODY WORKS INC COMPANY GUAR 11/35 6.875 501797AL8 165000.0000000000 PA USD 165094.0500000000 0.0382505143 Long DBT CORP US N 2 2035-11-01 Fixed 6.8750 N N N N N N TESLA INC 54930043XZGB27CTOV49 TESLA INC SR UNSECURED 05/24 2 N/A 17000.0000000000 PA USD 154321.7500000000 0.0357546884 Long DBT CORP US N 2 2024-05-15 Fixed 2.0000 N N N N Y TESLA INC TESLA INC USD XXXX N N N TETRA TECH INC 549300UJ1LP7JGJC5P32 TETRA TECH INC SR UNSECURED 144A 08/28 2.25 N/A 1232000.0000000000 PA USD 1252894.7200000000 0.2902822206 Long DBT CORP US Y 2 2028-08-15 Fixed 2.2500 N N N N Y TETRA TECH INC TETRA TECH INC USD XXXX N N N CABLE ONE INC 549300648QS85T0XSH18 CABLE ONE INC COMPANY GUAR 03/26 0.00000 N/A 209000.0000000000 PA USD 179553.9900000000 0.0416007268 Long DBT CORP US N 2 2026-03-15 Fixed 0.0000 N N N N Y CABLE ONE INC CABLE ONE INC USD XXXX N N N CAESARS ENTERTAINMENT INC. N/A CAESARS ENTERTAINMENT CORP TERM LOAN B 12768EAG1 208425.0000000000 PA USD 208591.7400000000 0.0483284609 Long LON CORP US N 2 2030-02-06 Floating 9.2906 N N N N N N BATH & BODY WORKS INC GR3KVMWVCR54YWQNXU90 BATH + BODY WORKS INC COMPANY GUAR 01/27 6.694 501797AQ7 292000.0000000000 PA USD 296867.6400000000 0.0687810367 Long DBT CORP US N 2 2027-01-15 Fixed 6.6940 N N N N N N LCM INVESTMENTS HOLDINGS 549300P5V78NNQTG4428 LCM INVESTMENTS HOLDINGS SR UNSECURED 144A 08/31 8.25 50190EAC8 210000.0000000000 PA USD 215636.4000000000 0.0499606328 Long DBT CORP US Y 2 2031-08-01 Fixed 8.2500 N N N N N N TEVA PHARMACEUTICALS NE 5493004T21MOAFINJP35 TEVA PHARMACEUTICALS NE COMPANY GUAR 10/26 3.15 88167AAE1 100000.0000000000 PA USD 93358.0000000000 0.0216300437 Long DBT CORP NL N 2 2026-10-01 Fixed 3.1500 N N N N N N UNITED AIRLINES INC. N/A UNITED AIRLINES, INC. 2021 TERM LOAN B 90932RAJ3 1215483.7100000000 PA USD 1219379.3400000000 0.2825170678 Long LON CORP US N 2 2028-04-21 Floating 9.3009 N N N N N N LCPR SR SECURED FIN DAC 549300LE5FM8IKMXSP90 LCPR SR SECURED FIN DAC SR SECURED 144A 10/27 6.75 50201DAA1 265000.0000000000 PA USD 256970.5000000000 0.0595372989 Long DBT CORP IE Y 2 2027-10-15 Fixed 6.7500 N N N N N N LPL HOLDINGS INC 549300Z5YF8CCRMYUL26 LPL HOLDINGS INC COMPANY GUAR 144A 03/29 4 50212YAD6 162000.0000000000 PA USD 149401.2600000000 0.0346146638 Long DBT CORP US Y 2 2029-03-15 Fixed 4.0000 N N N N N N UNITED NATURAL FOODS INC. N/A UNITED NATURAL FOODS INC INITIAL TERM LOAN 91116KAB1 105895.5100000000 PA USD 105824.0300000000 0.0245182887 Long LON CORP US N 2 2025-10-22 Floating 9.8409 N N N N N N US CELLULAR CORP 549300B164AZXESI6E03 US CELLULAR CORP SR UNSECURED 12/33 6.7 911684AD0 245000.0000000000 PA USD 252612.1500000000 0.0585275161 Long DBT CORP US N 2 2033-12-15 Fixed 6.7000 N N N N N N CAESARS ENTERTAIN INC 549300FA4CTCW903Y781 CAESARS ENTERTAIN INC SR UNSECURED 144A 10/29 4.625 12769GAA8 136000.0000000000 PA USD 124310.8000000000 0.0288014743 Long DBT CORP US Y 2 2029-10-15 Fixed 4.6250 N N N N N N CALLON PETROLEUM CO 549300EFOWPEB0WLZW21 CALLON PETROLEUM CO COMPANY GUAR 144A 06/30 7.5 13123XBF8 305000.0000000000 PA USD 321518.8000000000 0.0744924452 Long DBT CORP US Y 2 2030-06-15 Fixed 7.5000 N N N N N N LSF11 A5 HOLDCO LLC N/A LSF11 A5 HOLDCO LLC 2023 INCREMENTAL TERM LOAN B 50216YAD2 263675.0000000000 PA USD 264005.9100000000 0.0611673276 Long LON CORP US N 2 2028-10-16 Floating 10.2757 N N N N N N LIFE TIME FITNESS INC N/A LIFE TIME FITNESS INC 2023 1ST LIEN TERM LOAN B 50218KAK4 122430.1500000000 PA USD 123287.1600000000 0.0285643079 Long LON CORP US N 2 2026-01-15 Floating 10.7116 N N N N N N CARNIVAL CORP F1OF2ZSX47CR0BCWA982 CARNIVAL CORP COMPANY GUAR 144A 03/26 7.625 143658BL5 108000.0000000000 PA USD 109751.7600000000 0.0254283014 Long DBT CORP PA Y 2 2026-03-01 Fixed 7.6250 N N N N N N CARNIVAL CORP F1OF2ZSX47CR0BCWA982 CARNIVAL CORP SR SECURED 144A 08/28 4 143658BQ4 105000.0000000000 PA USD 97391.7000000000 0.0225646086 Long DBT CORP PA Y 2 2028-08-01 Fixed 4.0000 N N N N N N LSF11 A5 HOLDCO LLC 254900FPK7P5WNA66Y10 LSF11 A5 HOLDCO LLC SR UNSECURED 144A 10/29 6.625 50221DAA7 58000.0000000000 PA USD 49449.6400000000 0.0114569493 Long DBT CORP US Y 2 2029-10-15 Fixed 6.6250 N N N N N N LADDER CAP FIN LLLP/CORP N/A LADDER CAP FIN LLLP/CORP COMPANY GUAR 144A 10/25 5.25 505742AG1 387000.0000000000 PA USD 380827.3500000000 0.0882335978 Long DBT CORP US Y 2 2025-10-01 Fixed 5.2500 N N N N N N CARNIVAL CORP F1OF2ZSX47CR0BCWA982 CARNIVAL CORP SR SECURED 144A 08/29 7 143658BW1 13000.0000000000 PA USD 13537.2900000000 0.0031364444 Long DBT CORP PA Y 2 2029-08-15 Fixed 7.0000 N N N N N N CARPENTER TECHNOLOGY DX6I6ZD3X5WNNCDJKP85 CARPENTER TECHNOLOGY SR UNSECURED 03/30 7.625 144285AM5 55000.0000000000 PA USD 56917.3000000000 0.0131871258 Long DBT CORP US N 2 2030-03-15 Fixed 7.6250 N N N N N N LADDER CAP FIN LLLP/CORP N/A LADDER CAP FIN LLLP/CORP COMPANY GUAR 144A 06/29 4.75 505742AP1 224000.0000000000 PA USD 200627.8400000000 0.0464833110 Long DBT CORP US Y 2 2029-06-15 Fixed 4.7500 N N N N N N MURPHY USA INC N/A MURPHY USA INC TERM LOAN B 62675KAB5 1243606.1400000000 PA USD 1247492.4100000000 0.2890305636 Long LON CORP US N 2 2028-01-31 Floating 7.8128 N N N N N N CARVANA CO 5493003WEAK2PJ5WS063 CARVANA CO SR SECURED 144A 12/28 12 146869AL6 25000.0000000000 PA USD 22202.0000000000 0.0051439644 Long DBT CORP US Y 2 2028-12-01 Fixed 12.0000 N N N N N N CARVANA CO 5493003WEAK2PJ5WS063 CARVANA CO SR SECURED 144A 06/31 14 146869AM4 44000.0000000000 PA USD 39278.3600000000 0.0091003732 Long DBT CORP US Y 2 2031-06-01 Fixed 14.0000 N N N N N N NCR VOYIX CORP 549300YKTY8JX1DV2R67 NCR VOYIX CORP COMPANY GUAR 144A 04/29 5.125 62886EBA5 113000.0000000000 PA USD 106408.7100000000 0.0246537527 Long DBT CORP US Y 2 2029-04-15 Fixed 5.1250 N N N N N N NCL CORPORATION LTD UNZWILHE4KMRP9K2L524 NCL CORPORATION LTD COMPANY GUAR 02/27 1.125 N/A 447000.0000000000 PA USD 397888.1100000000 0.0921863923 Long DBT CORP BM N 2 2027-02-15 Fixed 1.1250 N N N N Y NCL CORPORATION LTD NCL CORPORATION LTD USD XXXX N N N CARVANA CO 5493003WEAK2PJ5WS063 CARVANA CO SR SECURED 144A 06/30 13 146869AN2 37000.0000000000 PA USD 32991.0500000000 0.0076436712 Long DBT CORP US Y 2 2030-06-01 Fixed 13.0000 N N N N N N CASCADES INC/USA INC N/A CASCADES INC/USA INC COMPANY GUAR 144A 01/28 5.375 14739LAB8 215000.0000000000 PA USD 210996.7000000000 0.0488856643 Long DBT CORP US Y 2 2028-01-15 Fixed 5.3750 N N N N N N NCL CORPORATION LTD UNZWILHE4KMRP9K2L524 NCL CORPORATION LTD SR SECURED 144A 01/29 8.125 62886HBN0 105000.0000000000 PA USD 110229.0000000000 0.0255388728 Long DBT CORP BM Y 2 2029-01-15 Fixed 8.1250 N N N N N N NIO INC 549300JBU4TV5OCKJV96 NIO INC SR UNSECURED 144A 10/30 4.625 N/A 160000.0000000000 PA USD 124200.0000000000 0.0287758031 Long DBT CORP KY Y 2 2030-10-15 Fixed 4.6250 N N N N N NIO INC NIO INC USD XXXX N N N CASTLELAKE AVIATION ONE DSGNTD TERM LOAN B N/A CASTLELAKE AVIATION ONE DSGNTD TERM LOAN B 14855NAB2 279.9100000000 PA USD 280.0000000000 0.0000648730 Long LON CORP US N 2 2026-10-22 Floating 0.0000000000 N N N N N N CEDAR FAIR LP 549300TUVLNQQ6BVKH61 CEDAR FAIR LP COMPANY GUAR 07/29 5.25 150190AE6 137000.0000000000 PA USD 131132.2900000000 0.0303819401 Long DBT CORP US N 2 2029-07-15 Fixed 5.2500 N N N N N N NABORS INDUSTRIES LTD N/A NABORS INDUSTRIES LTD COMPANY GUAR 144A 01/28 7.5 629571AB6 160000.0000000000 PA USD 146598.4000000000 0.0339652713 Long DBT CORP BM Y 2 2028-01-15 Fixed 7.5000 N N N N N N NABORS INDUSTRIES INC 549300VFQWRKICUFNU92 NABORS INDUSTRIES INC COMPANY GUAR 144A 05/27 7.375 62957HAJ4 160000.0000000000 PA USD 158302.4000000000 0.0366769621 Long DBT CORP US Y 2 2027-05-15 Fixed 7.3750 N N N N N N CENTRAL GARDEN & PET CO 5493004DVZLD37DJ0H83 CENTRAL GARDEN + PET CO COMPANY GUAR 144A 04/31 4.125 153527AP1 251000.0000000000 PA USD 222283.0900000000 0.0515005993 Long DBT CORP US Y 2 2031-04-30 Fixed 4.1250 N N N N N N CENTRAL PARENT INC. N/A CENTRAL PARENT INC 2023 TERM LOAN B 15477BAD9 204625.0000000000 PA USD 205264.4500000000 0.0475575636 Long LON CORP US N 2 2029-07-06 Floating 9.5600 N N N N N N NABORS INDUSTRIES INC 549300VFQWRKICUFNU92 NABORS INDUSTRIES INC COMPANY GUAR 144A 06/29 1.75 N/A 1650000.0000000000 PA USD 1221214.5000000000 0.2829422547 Long DBT CORP US Y 2 2029-06-15 Fixed 1.7500 N N N N Y NABORS INDUSTRIES INC NABORS INDUSTRIES INC USD XXXX N N N NABORS INDUSTRIES INC 549300VFQWRKICUFNU92 NABORS INDUSTRIES INC COMPANY GUAR 144A 01/30 9.125 62957HAP0 80000.0000000000 PA USD 81631.2000000000 0.0189130704 Long DBT CORP US Y 2 2030-01-31 Fixed 9.1250 N N N N N N ELANCO ANIMAL HEALTH INCORPORATED N/A ELANCO ANIMAL HEALTH INCORPORA TERM LOAN B 28414BAF3 1243076.9800000000 PA USD 1220720.2400000000 0.2828277399 Long LON CORP US N 2 2027-08-02 Floating 7.6166 N N N N N N CAESARS ENTERTAIN INC 549300FA4CTCW903Y781 CAESARS ENTERTAIN INC SR UNSECURED 144A 07/27 8.125 28470RAK8 112000.0000000000 PA USD 115036.3200000000 0.0266526771 Long DBT CORP US Y 2 2027-07-01 Fixed 8.1250 N N N N N N NATIONSTAR MTG HLD INC N/A NATIONSTAR MTG HLD INC COMPANY GUAR 144A 08/28 5.5 63861CAC3 300000.0000000000 PA USD 285807.0000000000 0.0662184055 Long DBT CORP US Y 2 2028-08-15 Fixed 5.5000 N N N N N N NAVIENT CORP 54930067J0ZNOEBRW338 NAVIENT CORP SR UNSECURED 03/27 5 63938CAK4 228000.0000000000 PA USD 217605.4800000000 0.0504168474 Long DBT CORP US N 2 2027-03-15 Fixed 5.0000 N N N N N N EMBECTA CORP 549300RPG8GXVDHNXZ62 EMBECTA CORP SR SECURED 144A 02/30 5 29082KAA3 162000.0000000000 PA USD 132733.0800000000 0.0307528259 Long DBT CORP US Y 2 2030-02-15 Fixed 5.0000 N N N N N N EMBECTA CORP 549300RPG8GXVDHNXZ62 EMBECTA CORP SR SECURED 144A 02/30 6.75 29082KAB1 52000.0000000000 PA USD 45882.7200000000 0.0106305323 Long DBT CORP US Y 2 2030-02-15 Fixed 6.7500 N N N N N N EMERALD DEBT MERGER N/A EMERALD DEBT MERGER SR SECURED 144A 12/30 6.625 29103CAA6 105000.0000000000 PA USD 106144.5000000000 0.0245925381 Long DBT CORP US Y 2 2030-12-15 Fixed 6.6250 N N N N N N EMPIRE RESORTS INC 549300WBFN23L9HI5N68 EMPIRE RESORTS INC SR SECURED 144A 11/26 7.75 292052AF4 200000.0000000000 PA USD 185478.0000000000 0.0429732561 Long DBT CORP US Y 2 2026-11-01 Fixed 7.7500 N N N N N N ON SEMICONDUCTOR CORP ZV20P4CNJVT8V1ZGJ064 ON SEMICONDUCTOR CORP COMPANY GUAR 144A 03/29 0.5 N/A 319000.0000000000 PA USD 309844.7000000000 0.0717876819 Long DBT CORP US Y 2 2029-03-01 Fixed 0.5000 N N N N Y ON SEMICONDUCTOR CORP ON SEMICONDUCTOR CORP USD XXXX N N N ONEMAIN FINANCE CORP 5493008I795YYBFWFU90 ONEMAIN FINANCE CORP COMPANY GUAR 09/28 3.875 682691AC4 150000.0000000000 PA USD 131823.0000000000 0.0305419702 Long DBT CORP US N 2 2028-09-15 Fixed 3.8750 N N N N N N ENTERPRISE PRODUCTS PARTNERS LP K4CDIF4M54DJZ6TB4Q48 ENTERPRISE PRODUCTS PARTNERS MLP 293792107 9035.0000000000 NS USD 241776.6000000000 0.0560170358 Long EC CORP US N 1 N N N META PLATFORMS INC BQ4BKCS1HXDV9HN80Z93 META PLATFORMS INC CLASS A COMMON STOCK USD.000006 30303M102 4600.0000000000 NS USD 1794644.0000000000 0.4157996975 Long EC CORP US N 1 N N N ONEMAIN FINANCE CORP N/A ONEMAIN FINANCE CORP COMPANY GUAR 01/29 9 682695AA9 145000.0000000000 PA USD 152853.2000000000 0.0354144411 Long DBT CORP US N 2 2029-01-15 Fixed 9.0000 N N N N N N OPEN TEXT CORP 549300HP7ONDQODZJV16 OPEN TEXT CORP COMPANY GUAR 144A 02/28 3.875 683715AC0 139000.0000000000 PA USD 129218.5700000000 0.0299385518 Long DBT CORP CA Y 2 2028-02-15 Fixed 3.8750 N N N N N N FIRST CITIZENS BANCSHARES INC/NC 549300N3Z00ZHE2XC526 FIRST CITIZENS BCSHS CL A COMMON STOCK USD1.0 31946M103 1400.0000000000 NS USD 2114000.0000000000 0.4897910452 Long EC CORP US N 1 N N N GE HEALTHCARE TECHNOLOGIES INC N/A GE HEALTHCARE TECHNOLOGY COMMON STOCK 36266G107 10104.0000000000 NS USD 741229.4400000000 0.1717348828 Long EC CORP US N 1 N N N ENBRIDGE INC 98TPTUM4IVMFCZBCUR27 ENBRIDGE INC SUBORDINATED 01/83 VAR 29250NBN4 120000.0000000000 PA USD 120211.2000000000 0.0278516411 Long DBT CORP CA N 2 2083-01-15 Variable 7.3750 N N N N N N ENCOMPASS HEALTH CORP 549300FVRPM9DRQZRG64 ENCOMPASS HEALTH CORP COMPANY GUAR 02/28 4.5 29261AAA8 110000.0000000000 PA USD 105231.5000000000 0.0243810059 Long DBT CORP US N 2 2028-02-01 Fixed 4.5000 N N N N N N OPEN TEXT CORP 549300HP7ONDQODZJV16 OPEN TEXT CORP COMPANY GUAR 144A 12/29 3.875 683715AD8 81000.0000000000 PA USD 73150.2900000000 0.0169481348 Long DBT CORP CA Y 2 2029-12-01 Fixed 3.8750 N N N N N N OPEN TEXT CORP N/A OPEN TEXT CORP SR SECURED 144A 12/27 6.9 683715AF3 110000.0000000000 PA USD 114346.1000000000 0.0264927606 Long DBT CORP CA Y 2 2027-12-01 Fixed 6.9000 N N N N N N ENCOMPASS HEALTH CORP 549300FVRPM9DRQZRG64 ENCOMPASS HEALTH CORP COMPANY GUAR 02/30 4.75 29261AAB6 110000.0000000000 PA USD 103401.1000000000 0.0239569219 Long DBT CORP US N 2 2030-02-01 Fixed 4.7500 N N N N N N ENERGIZER HOLDINGS INC 5493000D6NN0V57UME20 ENERGIZER HOLDINGS INC COMPANY GUAR 144A 03/29 4.375 29272WAD1 307000.0000000000 PA USD 278000.7800000000 0.0644097884 Long DBT CORP US Y 2 2029-03-31 Fixed 4.3750 N N N N N N OPEN TEXT CORPORATION N/A OPEN TEXT CORPORATION 2023 TERM LOAN B 68371YAP8 1156111.8200000000 PA USD 1157851.7700000000 0.2682617922 Long LON CORP CA N 2 2030-01-31 Floating 8.8128 N N N N N N OPEN TEXT HOLDINGS INC N/A OPEN TEXT HOLDINGS INC COMPANY GUAR 144A 12/31 4.125 683720AC0 81000.0000000000 PA USD 71719.0200000000 0.0166165250 Long DBT CORP US Y 2 2031-12-01 Fixed 4.1250 N N N N N N ENERGIZER HOLDINGS INC 5493000D6NN0V57UME20 ENERGIZER HOLDINGS INC COMPANY GUAR 144A 12/27 6.5 29272WAF6 54000.0000000000 PA USD 53827.2000000000 0.0124711829 Long DBT CORP US Y 2 2027-12-31 Fixed 6.5000 N N N N N N ENERGY TRANSFER LP RY1052DWLDPLDW74Y843 ENERGY TRANSFER LP JR SUBORDINA 11/66 VAR 29273RBA6 320000.0000000000 PA USD 285859.2000000000 0.0662304997 Long DBT CORP US N 2 2066-11-01 Floating 8.8961 N N N N N N ENERGY TRANSFER LP MTLVN9N7JE8MIBIJ1H73 ENERGY TRANSFER LP JR SUBORDINA 12/99 VAR 29273VAN0 162000.0000000000 PA USD 156683.1600000000 0.0363018017 Long DBT CORP US N 2 2064-01-31 Variable 6.5000 N N N N N N ENERSYS 7ZS3DE5PN30BYUJFWP05 ENERSYS COMPANY GUAR 144A 12/27 4.375 29275YAC6 140000.0000000000 PA USD 132655.6000000000 0.0307348746 Long DBT CORP US Y 2 2027-12-15 Fixed 4.3750 N N N N N N ORGANON & CO N/A ORGANON AND CO. USD TERM LOAN 68621XAE3 1250000.0000000000 PA USD 1250200.0000000000 0.2896578830 Long LON CORP US N 2 2028-06-02 Floating 8.5946 N N N N N N ORGANON & CO/ORG 549300SH15FO4Y2G3V63 ORGANON + CO/ORG SR UNSECURED 144A 04/31 5.125 68622TAB7 400000.0000000000 PA USD 344556.0000000000 0.0798299164 Long DBT CORP US Y 2 2031-04-30 Fixed 5.1250 N N N N N N ENERSYS 7ZS3DE5PN30BYUJFWP05 ENERSYS COMPANY GUAR 144A 01/32 6.625 29275YAF9 110000.0000000000 PA USD 111588.4000000000 0.0258538312 Long DBT CORP US Y 2 2032-01-15 Fixed 6.6250 N N N N N N NEWFOLD DIGITAL HLDGS GR 549300UTQC2651SB0W88 NEWFOLD DIGITAL HLDGS GR SR UNSECURED 144A 02/29 6 29279XAA8 275000.0000000000 PA USD 208301.5000000000 0.0482612154 Long DBT CORP US Y 2 2029-02-15 Fixed 6.0000 N N N N N N OWENS-BROCKWAY V2UQUCDZJ9WY98W8QU33 OWENS BROCKWAY COMPANY GUAR 144A 05/27 6.625 69073TAT0 115000.0000000000 PA USD 115142.6000000000 0.0266773010 Long DBT CORP US Y 2 2027-05-13 Fixed 6.6250 N N N N N N OWENS-BROCKWAY V2UQUCDZJ9WY98W8QU33 OWENS BROCKWAY COMPANY GUAR 144A 05/31 7.25 69073TAU7 160000.0000000000 PA USD 161520.0000000000 0.0374224454 Long DBT CORP US Y 2 2031-05-15 Fixed 7.2500 N N N N N N ENLINK MIDSTREAM LLC 54930000GY1H533OBE23 ENLINK MIDSTREAM LLC COMPANY GUAR 144A 09/30 6.5 29336TAD2 132000.0000000000 PA USD 135253.8000000000 0.0313368496 Long DBT CORP US Y 2 2030-09-01 Fixed 6.5000 N N N N N N ENLINK MIDSTREAM PARTNER 88CPW63VL7KHJWS0NY83 ENLINK MIDSTREAM PARTNER SR UNSECURED 07/26 4.85 29336UAF4 224000.0000000000 PA USD 220113.6000000000 0.0509979518 Long DBT CORP US N 2 2026-07-15 Fixed 4.8500 N N N N N N PPL CAPITAL FUNDING INC 549300MROK5WY0D2NU17 PPL CAPITAL FUNDING INC COMPANY GUAR 03/67 VAR 69352PAC7 79000.0000000000 PA USD 75809.1900000000 0.0175641733 Long DBT CORP US N 2 2067-03-30 Variable 8.2748 N N N N N N ROCKCLIFF ENERGY II LLC 5493007AZNVKZ5HEMT23 ROCKCLIFF ENERGY II LLC SR UNSECURED 144A 10/29 5.5 77289KAA3 305000.0000000000 PA USD 284205.1000000000 0.0658472625 Long DBT CORP US Y 2 2029-10-15 Fixed 5.5000 N N N N N N ROCKETMTGE CO-ISSUER INC N/A ROCKETMTGE CO ISSUER INC COMPANY GUAR 144A 10/26 2.875 77313LAA1 50000.0000000000 PA USD 46403.5000000000 0.0107511915 Long DBT CORP US Y 2 2026-10-15 Fixed 2.8750 N N N N N N GENERAL ELECTRIC CO 3C7474T6CDKPR9K6YT90 GENERAL ELECTRIC CO COMMON STOCK USD.01 369604301 30312.0000000000 NS USD 4013915.0400000000 0.9299809095 Long EC CORP US N 1 N N N GULFPORT ENERGY CORP 549300FJX18IDUFPHD40 GULFPORT ENERGY CORP PREFERRED STOCK N/A 5.0000000000 NS USD 46250.0000000000 0.0107156272 Long EP CORP US N 2 N N N LVMH MOET HENNESSY LOUIS VUITTON SE IOG4E947OATN0KJYSD45 LVMH MOET HENNESSY LOUIS VUI COMMON STOCK EUR.3 N/A 4145.0000000000 NS 3448882.6400000000 0.7990689844 Long EC CORP FR N 1 N N N HELMERICH & PAYNE INC 254900NAOGHJ88RZ4C73 HELMERICH + PAYNE COMMON STOCK USD.1 423452101 42400.0000000000 NS USD 1707024.0000000000 0.3954990866 Long EC CORP US N 1 N N N NETFLIX INC 549300Y7VHGU0I7CE873 NETFLIX INC COMMON STOCK USD.001 64110L106 2750.0000000000 NS USD 1551302.5000000000 0.3594200912 Long EC CORP US N 1 N N N NETEASE INC 5299004AF4DSJDB0PA32 NETEASE INC ADR ADR USD.0001 64110W102 8780.0000000000 NS USD 857279.2000000000 0.1986223630 Long EC CORP KY N 1 N N N MIRARTH HOLDINGS INC N/A MIRARTH HOLDINGS INC COMMON STOCK N/A 8900.0000000000 NS 29822.8400000000 0.0069096310 Long EC CORP JP N 1 N N N HITACHI LTD 549300T6IPOCDWLKC615 HITACHI LTD COMMON STOCK N/A 41500.0000000000 NS 3259839.4700000000 0.7552697167 Long EC CORP JP N 1 N N N HOTEL SHILLA CO LTD N/A HOTEL SHILLA CO LTD COMMON STOCK KRW5000.0 N/A 3050.0000000000 NS 132851.7100000000 0.0307803112 Long EC CORP KR N 1 N N N SK HYNIX INC N/A SK HYNIX INC COMMON STOCK KRW5000.0 N/A 16600.0000000000 NS 1662334.6500000000 0.3851450453 Long EC CORP KR N 2 N N N JEOL LTD N/A JEOL LTD COMMON STOCK N/A 1300.0000000000 NS 59428.0300000000 0.0137688349 Long EC CORP JP N 1 N N N KEISEI ELECTRIC RAILWAY CO LTD 529900VNP95IIHXPCY17 KEISEI ELECTRIC RAILWAY CO COMMON STOCK N/A 1400.0000000000 NS 63349.8100000000 0.0146774691 Long EC CORP JP N 1 N N N KEYENCE CORP 529900M7PQBS7A89DZ11 KEYENCE CORP COMMON STOCK N/A 14900.0000000000 NS 6666228.3600000000 1.5444933566 Long EC CORP JP N 1 N N N KOMATSU LTD 5493004LQ0B4T7QPQV17 KOMATSU LTD COMMON STOCK N/A 51500.0000000000 NS 1465172.4600000000 0.3394646881 Long EC CORP JP N 1 N N N KYUDENKO CORP N/A KYUDENKO CORP COMMON STOCK N/A 900.0000000000 NS 34234.2300000000 0.0079317026 Long EC CORP JP N 1 N N N NEXTERA ENERGY INC N/A NEXTERA ENERGY INC COMMON STOCK USD.01 65339F101 28462.0000000000 NS USD 1668727.0600000000 0.3866260979 Long EC CORP US N 1 N N N ENLINK MIDSTREAM PARTNER 88CPW63VL7KHJWS0NY83 ENLINK MIDSTREAM PARTNER JR SUBORDINA 12/99 VAR 29336UAH0 240000.0000000000 PA USD 226867.2000000000 0.0525626883 Long EP CORP US N 2 2064-09-21 Variable 10.0213 N N N N N N AUDACY CAPITAL CORP 549300S5JUSXRHNCHD80 AUDACY CAPITAL CORP SECURED 144A 05/27 6.5 29365DAA7 100000.0000000000 PA USD 4267.0000000000 0.0009886180 Long DBT CORP US Y 2 2027-05-01 Fixed 0.0000 Y N N N N N SOJITZ CORP 5493004SE33MRLPB1W98 SOJITZ CORP COMMON STOCK N/A 1200.0000000000 NS 28321.6900000000 0.0065618307 Long EC CORP JP N 1 N N N FIRST ABU DHABI BANK PJSC 2138002Y3WMK6RZS8H90 FIRST ABU DHABI BANK PJSC COMMON STOCK AED1.0 N/A 111948.0000000000 NS 446301.9700000000 0.1034033625 Long EC CORP AE N 1 N N N BANK MANDIRI PERSERO TBK PT 549300RSKQN4Z5ZSGH94 BANK MANDIRI PERSERO TBK PT COMMON STOCK IDR125.0 N/A 8288700.0000000000 NS 3489670.1600000000 0.8085190137 Long EC CORP ID N 1 N N N NOVO NORDISK A/S 549300DAQ1CVT6CXN342 NOVO NORDISK A/S SPONS ADR ADR 670100205 105800.0000000000 NS USD 12139492.0000000000 2.8125896286 Long EC CORP DK N 1 N N N NUSTAR ENERGY LP 5493003BMLTUIEG2LG44 NUSTAR ENERGY LP PREFERRED STOCK VAR 67058H201 1600.0000000000 NS USD 41312.0000000000 0.0095715457 Long EP CORP US N 1 2064-02-29 Variable 12.1356 N N N N N N NUSTAR ENERGY LP 5493003BMLTUIEG2LG44 NUSTAR ENERGY LP PREFERRED STOCK VAR 67058H300 6520.0000000000 NS USD 167564.0000000000 0.0388227752 Long EP CORP US N 1 2064-02-29 Variable 11.0126 N N N N N N NUSTAR LOGISTICS LP N62BF2PKP51FIIOIUN20 NUSTAR LOGISTICS LP PREFERRED STOCK 01/43 VAR 67059T204 8335.0000000000 NS USD 215543.1000000000 0.0499390162 Long EP CORP US N 1 2043-01-15 Variable 11.9538 N N N N N N NVIDIA CORP 549300S4KLFTLO7GSQ80 NVIDIA CORP COMMON STOCK USD.001 67066G104 26800.0000000000 NS USD 16489236.0000000000 3.8203784933 Long EC CORP US N 1 N N N US TREASURY N/B 254900HROIFWPRGM1V77 US TREASURY N/B 10/24 4.375 91282CFQ9 265000.0000000000 PA USD 263959.6700000000 0.0611566143 Long DBT UST US N 2 2024-10-31 Fixed 4.3750 N N N N N N QWEST CORP N/A QWEST CORP SR UNSECURED 09/25 7.25 912920AK1 73000.0000000000 PA USD 71558.2500000000 0.0165792763 Long DBT CORP US N 2 2025-09-15 Fixed 7.2500 N N N N N N UNITED WHOLESALE MTGE LL 549300HW662MN1WU8550 UNITED WHOLESALE MTGE LL SR UNSECURED 144A 04/29 5.5 913229AA8 258000.0000000000 PA USD 243985.4400000000 0.0565288002 Long DBT CORP US Y 2 2029-04-15 Fixed 5.5000 N N N N N N UNITED WHOLESALE MTGE LL 549300HW662MN1WU8550 UNITED WHOLESALE MTGE LL SR UNSECURED 144A 06/27 5.75 913229AC4 105000.0000000000 PA USD 103203.4500000000 0.0239111285 Long DBT CORP US Y 2 2027-06-15 Fixed 5.7500 N N N N N N UNITI GROUP/CSL CAPITAL N/A UNITI GROUP/CSL CAPITAL COMPANY GUAR 144A 02/29 6.5 91327BAA8 110000.0000000000 PA USD 77627.0000000000 0.0179853403 Long DBT CORP US Y 2 2029-02-15 Fixed 6.5000 N N N N N N UNITI GROUP/CSL CAPITAL N/A UNITI GROUP/CSL CAPITAL SR SECURED 144A 02/28 10.5 91327TAA9 105000.0000000000 PA USD 106853.2500000000 0.0247567479 Long DBT CORP US Y 2 2028-02-15 Fixed 10.5000 N N N N N N KINGSOFT CORP LTD N/A KINGSOFT CORP LTD SR UNSECURED REGS 04/25 0.625 N/A 17000000.0000000000 PA 2165698.1700000000 0.5017689547 Long DBT CORP KY N 2 2025-04-29 Fixed 0.6250 N N N N N KINGSOFT CORP LTD KINGSOFT CORP LTD HKD XXXX N N N CITIGROUP GLOB MKT FND L 549300EVRWDWFJUNNP53 CITIGROUP GLOB MKT FND L BANK GUARANT REGS 07/24 0.0000 N/A 41000000.0000000000 PA 5106415.3600000000 1.1831014742 Long DBT CORP LU N 2 2024-07-25 Fixed 0.0000 N N N N N CITIGROUP GLOB MKT FND L CITIGROUP GLOB MKT FND L HKD XXXX N N N OCADO GROUP PLC 213800LO8F61YB8MBC74 OCADO GROUP PLC COMPANY GUAR REGS 01/27 0.75 N/A 100000.0000000000 PA 98156.2000000000 0.0227417350 Long DBT CORP GB N 2 2027-01-18 Fixed 0.7500 N N N N N OCADO GROUP PLC OCADO GROUP PLC GBP XXXX N N N SILICON ON INSULATOR TEC 969500ZR92SQCU9TST26 SILICON ON INSULATOR TEC SR UNSECURED REGS 10/25 0.0000 N/A 148300.0000000000 PA 283159.6200000000 0.0656050361 Long DBT CORP FR N 2 2025-10-01 Fixed 0.0000 N N N N N SILICON ON INSULATOR TEC SILICON ON INSULATOR TEC EUR XXXX N N N FLIGHT CENTRE LTD 254900BGNUI78EKEJY68 FLIGHT CENTRE LTD SR UNSECURED REGS 11/27 2.5 N/A 2600000.0000000000 PA 2025025.6800000000 0.4691766530 Long DBT CORP AU N 2 2027-11-17 Fixed 2.5000 N N N N N FLIGHT CENTRE LTD FLIGHT CENTRE LTD AUD XXXX N N N SCHNEIDER ELECTRIC SE 969500A1YF1XUYYXS284 SCHNEIDER ELECTRIC SE SR UNSECURED REGS 06/26 0.0000 N/A 2319600.0000000000 PA 4959111.8000000000 1.1489728249 Long DBT CORP FR N 2 2026-06-15 Fixed 0.0000 N N N N N SCHNEIDER ELECTRIC SE SCHNEIDER ELECTRIC SE EUR XXXX N N N AUDACY CAPITAL CORP 549300S5JUSXRHNCHD80 AUDACY CAPITAL CORP SECURED 144A 03/29 6.75 29365DAB5 273000.0000000000 PA USD 11021.0100000000 0.0025534494 Long DBT CORP US Y 2 2029-03-31 Fixed 0.0000 Y N N N N N ENVISTA HOLDINGS CORP 549300BX623VURJZ5269 ENVISTA HOLDINGS CORP SR UNSECURED 144A 08/28 1.75 N/A 161000.0000000000 PA USD 147042.9100000000 0.0340682595 Long DBT CORP US Y 2 2028-08-15 Fixed 1.7500 N N N N Y ENVISTA HOLDINGS CORP ENVISTA HOLDINGS CORP USD XXXX N N N XERO INVESTMENTS LTD 25490002CIY32NFE4689 XERO INVESTMENTS LTD COMPANY GUAR REGS 12/25 0.0000 N/A 265000.0000000000 PA USD 240837.3000000000 0.0557994101 Long DBT CORP NZ N 2 2025-12-02 Fixed 0.0000 N N N N N XERO INVESTMENTS LTD XERO INVESTMENTS LTD USD XXXX N N N MENICON CO LTD 3538000OOSRECSEX2327 MENICON CO LTD SR UNSECURED REGS 01/25 0.0000 N/A 30000000.0000000000 PA 203306.1600000000 0.0471038489 Long DBT CORP JP N 2 2025-01-29 Fixed 0.0000 N N N N N MENICON CO LTD MENICON CO LTD JPY XXXX N N N ETSY INC 54930089Q7XT501AEA40 ETSY INC SR UNSECURED 10/26 0.125 N/A 229000.0000000000 PA USD 239630.1800000000 0.0555197334 Long DBT CORP US N 2 2026-10-01 Fixed 0.1250 N N N N Y ETSY INC ETSY INC USD XXXX N N N INTEGRA LIFESCIENCES HLD WB7IJCYY8YFTENS4O147 INTEGRA LIFESCIENCES HLD SR UNSECURED 08/25 0.5 N/A 167000.0000000000 PA USD 157460.9600000000 0.0364820095 Long DBT CORP US N 2 2025-08-15 Fixed 0.5000 N N N N Y INTEGRA LIFESCIENCES HLD INTEGRA LIFESCIENCES HLD USD XXXX N N N REDCARE PHARMACY NV 529900JK6UXHY1YKZ082 REDCARE PHARMACY NV SR UNSECURED REGS 01/28 0.0000 N/A 100000.0000000000 PA 101627.9700000000 0.0235461067 Long DBT CORP NL N 2 2028-01-21 Fixed 0.0000 N N N N N REDCARE PHARMACY NV REDCARE PHARMACY NV EUR XXXX N N N PRYSMIAN SPA N/A PRYSMIAN SPA SR UNSECURED REGS 02/26 0.0000 N/A 2700000.0000000000 PA 3230775.9600000000 0.7485360143 Long DBT CORP IT N 2 2026-02-02 Fixed 0.0000 N N N N N PRYSMIAN SPA PRYSMIAN SPA EUR XXXX N N N AMERICA MOVIL BV 724500AVF7ZU7L61BL70 AMERICA MOVIL BV COMPANY GUAR REGS 03/24 0.0000 N/A 200000.0000000000 PA 218828.8200000000 0.0507002822 Long DBT CORP NL N 2 2024-03-02 Fixed 0.0000 N N N N N AMERICA MOVIL BV AMERICA MOVIL BV EUR XXXX N N N VINGROUP JSC 254900MJ9C15O3O1V757 VINGROUP JSC SR UNSECURED REGS 04/26 3 N/A 200000.0000000000 PA USD 196074.0000000000 0.0454282353 Long DBT CORP VN N 2 2026-04-20 Fixed 3.0000 N N N N N VINGROUP JSC VINGROUP JSC USD XXXX N N N INTEGER HOLDINGS CORP 549300SUD2ED5XG6X569 INTEGER HOLDINGS CORP SR UNSECURED 144A 02/28 2.125 N/A 162000.0000000000 PA USD 211074.6600000000 0.0489037267 Long DBT CORP US Y 2 2028-02-15 Fixed 2.1250 N N N N N INTEGER HOLDINGS CORP INTEGER HOLDINGS CORP USD XXXX N N N INTERNATIONAL GAME TECH 549300UQ6KHRCZDRGZ76 INTERNATIONAL GAME TECH SR SECURED 144A 01/27 6.25 460599AD5 145000.0000000000 PA USD 145962.8000000000 0.0338180096 Long DBT CORP GB Y 2 2027-01-15 Fixed 6.2500 N N N N N N INFRONEER HOLDINGS INC N/A INFRONEER HOLDINGS INC COMMON STOCK N/A 185600.0000000000 NS 1940163.7900000000 0.4495150665 Long EC CORP JP N 1 N N N HINDUSTAN AERONAUTICS LTD N/A HINDUSTAN AERONAUTICS LTD COMMON STOCK INR5.0 N/A 45110.0000000000 NS 1637635.3600000000 0.3794224856 Long EC CORP IN N 1 N N N STONEX GROUP INC 549300JUF07L8VF02M60 STONEX GROUP INC SR SECURED 144A 06/25 8.625 46116VAE5 227000.0000000000 PA USD 229594.6100000000 0.0531945998 Long DBT CORP US Y 2 2025-06-15 Fixed 8.6250 N N N N N N IONIS PHARMACEUTICALS IN 549300SI4ZGLG0BLUZ92 IONIS PHARMACEUTICALS IN SR UNSECURED 04/26 0.00000 N/A 163000.0000000000 PA USD 173358.6500000000 0.0401653332 Long DBT CORP US N 2 2026-04-01 Fixed 0.0000 N N N N Y IONIS PHARMACEUTICALS IN IONIS PHARMACEUTICALS IN USD XXXX N N N ROHM COMPANY LTD N/A ROHM COMPANY LTD SR UNSECURED REGS 12/24 0.0000 N/A 360000000.0000000000 PA 2492825.1100000000 0.5775607456 Long DBT CORP JP N 2 2024-12-05 Fixed 0.0000 N N N N Y ROHM COMPANY LTD ROHM COMPANY LTD JPY XXXX N N N ZHONGSHENG GROUP N/A ZHONGSHENG GROUP SR UNSECURED REGS 05/25 0.0000 N/A 5000000.0000000000 PA 685211.6000000000 0.1587561522 Long DBT CORP KY N 2 2025-05-21 Fixed 0.0000 N N N N N ZHONGSHENG GROUP ZHONGSHENG GROUP HKD XXXX N N N IRON MOUNTAIN INC. N/A IRON MOUNTAIN, INC. 2023 TERM LOAN B 46284NAV1 160000.0000000000 PA USD 159350.4000000000 0.0369197725 Long LON CORP US N 2 2031-01-31 Floating 8.3128 N N N N N N IRON MOUNTAIN INC SQL3F6CKNNBM3SQGHX24 IRON MOUNTAIN INC COMPANY GUAR 144A 03/28 5.25 46284VAE1 435000.0000000000 PA USD 422176.2000000000 0.0978136813 Long DBT CORP US Y 2 2028-03-15 Fixed 5.2500 N N N N N N WH SMITH PLC 2138001KJNGUJ34G7X91 WH SMITH PLC COMPANY GUAR REGS 05/26 1.625 N/A 1900000.0000000000 PA 2174307.0100000000 0.5037635303 Long DBT CORP GB N 2 2026-05-07 Fixed 1.6250 N N N N N WH SMITH PLC WH SMITH PLC GBP XXXX N N N DUERR AG 5299003APZ54EDTSRO20 DUERR AG SR UNSECURED REGS 01/26 0.75 N/A 100000.0000000000 PA 100854.1900000000 0.0233668302 Long DBT CORP DE N 2 2026-01-15 Fixed 0.7500 N N N N N DUERR AG DUERR AG EUR XXXX N N N JBS USA/FOOD/FINANCE N/A JBS USA/FOOD/FINANCE SR UNSECURED 01/30 5.5 46590XAL0 320000.0000000000 PA USD 313273.6000000000 0.0725821211 Long DBT CORP US N 2 2030-01-15 Fixed 5.5000 N N N N N N JBS USA/FOOD/FINANCE N/A JBS USA/FOOD/FINANCE COMPANY GUAR 04/33 5.75 46590XAY2 80000.0000000000 PA USD 79328.0000000000 0.0183794437 Long DBT CORP US N 2 2033-04-01 Fixed 5.7500 N N N N N N POSCO HOLDINGS INC N/A POSCO 09/26 0 N/A 400000.0000000000 PA 462397.0400000000 0.1071324170 Long DBT CORP KR N 2 2026-09-01 Fixed 0.0000 N N N N N POSCO HOLDINGS INC POSCO HOLDINGS INC EUR XXXX N N N CORNWALL JERSEY LTD 213800NFORA6FS9LQ898 CORNWALL JERSEY LTD COMPANY GUAR REGS 04/26 0.75 N/A 100000.0000000000 PA 76803.4600000000 0.0177945350 Long DBT CORP JE N 2 2026-04-16 Fixed 0.7500 N N N N N CORNWALL JERSEY LTD CORNWALL JERSEY LTD GBP XXXX N N N JBS USA/FOOD/FINANCE N/A JBS USA/FOOD/FINANCE COMPANY GUAR 02/28 5.125 46590XAZ9 135000.0000000000 PA USD 133951.0500000000 0.0310350165 Long DBT CORP US N 2 2028-02-01 Fixed 5.1250 N N N N N N JW ALUMINUM CONT CAST CO 5493008HJ8BWQC8XAF08 JW ALUMINUM CONT CAST CO SR SECURED 144A 06/26 10.25 46648XAA6 215000.0000000000 PA USD 217403.7000000000 0.0503700972 Long DBT CORP US Y 2 2026-06-01 Fixed 10.2500 N N N N N N AIR CANADA 4B4HI3CGXMBDC0G6BM51 AIR CANADA 2021 TERM LOAN B N/A 137900.0000000000 PA USD 138212.3400000000 0.0320223115 Long LON CORP CA N 2 2028-08-11 Floating 9.1156 N N N N N N INEOS US FINANCE LLC N/A INEOS US FINANCE LLC 2023 USD TERM LOAN B N/A 213925.0000000000 PA USD 211852.0700000000 0.0490838443 Long LON CORP US N 2 2030-02-19 Floating 9.5199 N N N N N N JAZZ INVESTMENTS I LTD N/A JAZZ INVESTMENTS I LTD COMPANY GUAR 06/26 2 N/A 156000.0000000000 PA USD 157313.5200000000 0.0364478493 Long DBT CORP BM N 2 2026-06-15 Fixed 2.0000 N N N N Y JAZZ INVESTMENTS I LTD JAZZ INVESTMENTS I LTD USD XXXX N N N JAZZ SECURITIES DAC 6354009DV8VV7K6KOO02 JAZZ SECURITIES DAC SR SECURED 144A 01/29 4.375 47216FAA5 200000.0000000000 PA USD 185032.0000000000 0.0428699227 Long DBT CORP IE Y 2 2029-01-15 Fixed 4.3750 N N N N N N JAZZ FINANCING LUX S.A.R.L. N/A JAZZ FINANCING LUX SARLL 2024 TERM LOAN B N/A 1506391.4100000000 PA USD 1507332.9000000000 0.3492328082 Long LON CORP LU N 2 2028-05-05 Floating 9.0266 N N N N N N VIRGIN MEDIA BRISTOL LLC N/A VIRGIN MEDIA BRISTOL LLC TERM LOAN N N/A 1250000.0000000000 PA USD 1229593.7500000000 0.2848836367 Long LON CORP US N 2 2028-01-31 Floating 8.5628 N N N N N N CAMELOT U.S. ACQUISITION LLC N/A CAMELOT U.S. ACQUISITION 1 CO TERM LOAN B N/A 161894.0900000000 PA USD 161975.0400000000 0.0375278733 Long LON CORP US N 2 2026-10-30 Floating 8.7546 N N N N N N ICON LUXEMBOURG S.A.R.L. 635400PUWMHSPI2DDA35 ICON LUXEMBOURG SARL LUX TERM LOAN N/A 2404442.0700000000 PA USD 2409695.7800000000 0.5583005746 Long LON CORP LU N 2 2028-07-03 Floating 7.9542 N N N N N N JEFFERIES FIN LLC / JFIN N/A JEFFERIES FIN LLC / JFIN SR UNSECURED 144A 08/28 5 47232MAF9 600000.0000000000 PA USD 541740.0000000000 0.1255153268 Long DBT CORP US Y 2 2028-08-15 Fixed 5.0000 N N N N N N JELD-WEN INC 549300XWE6NM0N1HFW16 JELD WEN INC COMPANY GUAR 144A 12/25 4.625 475795AC4 154000.0000000000 PA USD 150615.0800000000 0.0348958928 Long DBT CORP US Y 2 2025-12-15 Fixed 4.6250 N N N N N N PRA HEALTH SCIENCES INC. 549300R1HR1VWWHIAK47 PRA HEALTH SCIENCES, INC. US TERM LOAN N/A 599068.2300000000 PA USD 600377.1900000000 0.1391009325 Long LON CORP US N 2 2028-07-03 Floating 7.9542 N N N N N N JETBLUE 2020-1 CLASS B N/A JETBLUE 2020 1 CLASS B PASS THRU CE 05/30 7.75 477164AB3 168998.0900000000 PA USD 170454.8500000000 0.0394925540 Long DBT CORP US N 2 2028-11-15 Fixed 7.7500 N N N N N N JETBLUE 2019-1 CLASS B N/A JETBLUE 2019 1 CLASS B PASS THRU CE 11/27 8 477165AA2 57985.1900000000 PA USD 58460.6700000000 0.0135447080 Long DBT CORP US N 2 2027-11-15 Fixed 8.0000 N N N N N N JOHN BEAN TECHNOLOGIES C 5493007CT6ATBZ2L6826 JOHN BEAN TECHNOLOGIES C SR UNSECURED 05/26 0.25 N/A 196000.0000000000 PA USD 177525.0400000000 0.0411306409 Long DBT CORP US N 2 2026-05-15 Fixed 0.2500 N N N N Y JOHN BEAN TECHNOLOGIES C JOHN BEAN TECHNOLOGIES C USD XXXX N N N KBR INC 254900OFQDXZRKRCV808 KBR INC COMPANY GUAR 144A 09/28 4.75 48242WAC0 245000.0000000000 PA USD 226041.9000000000 0.0523714751 Long DBT CORP US Y 2 2028-09-30 Fixed 4.7500 N N N N N N KAISER ALUMINUM CORP N/A KAISER ALUMINUM CORP COMPANY GUAR 144A 03/28 4.625 483007AJ9 190000.0000000000 PA USD 175208.5000000000 0.0405939235 Long DBT CORP US Y 2 2028-03-01 Fixed 4.6250 N N N N N N KEN GARFF AUTOMOTIVE LLC N/A KEN GARFF AUTOMOTIVE LLC SR UNSECURED 144A 09/28 4.875 48850PAA2 360000.0000000000 PA USD 336416.4000000000 0.0779440587 Long DBT CORP US Y 2 2028-09-15 Fixed 4.8750 N N N N N N KNIFE RIVER CORP N/A KNIFE RIVER CORP SR UNSECURED 144A 05/31 7.75 498894AA2 210000.0000000000 PA USD 220932.6000000000 0.0511877053 Long DBT CORP US Y 2 2031-05-01 Fixed 7.7500 N N N N N N NAVIENT CORP 54930067J0ZNOEBRW338 NAVIENT CORP SR UNSECURED 03/28 4.875 63938CAL2 115000.0000000000 PA USD 104599.4000000000 0.0242345551 Long DBT CORP US N 2 2028-03-15 Fixed 4.8750 N N N N N N NEOGENOMICS INC N/A NEOGENOMICS INC SR UNSECURED 01/28 0.25 N/A 181000.0000000000 PA USD 138318.3900000000 0.0320468821 Long DBT CORP US N 2 2028-01-15 Fixed 0.2500 N N N N Y NEOGENOMICS INC NEOGENOMICS INC USD XXXX N N N NEW FORTRESS ENERGY INC N/A NEW FORTRESS ENERGY INC SR SECURED 144A 09/25 6.75 644393AA8 221000.0000000000 PA USD 218420.9300000000 0.0506057784 Long DBT CORP US Y 2 2025-09-15 Fixed 6.7500 N N N N N N NEW FORTRESS ENERGY INC N/A NEW FORTRESS ENERGY INC. TERM LOAN 64439HAB5 100000.0000000000 PA USD 100200.0000000000 0.0232152615 Long LON CORP US N 2 2028-10-30 Floating 10.5046 N N N N N N NEWELL BRANDS INC 549300LWGYFM1TVO1Z12 NEWELL BRANDS INC SR UNSECURED 04/26 5.2 651229AW6 125000.0000000000 PA USD 121730.0000000000 0.0282035307 Long DBT CORP US N 2 2026-04-01 Fixed 5.2000 N N N N N N NEWMARK GROUP INC N/A NEWMARK GROUP INC SR UNSECURED 144A 01/29 7.5 65158NAC6 105000.0000000000 PA USD 107314.2000000000 0.0248635450 Long DBT CORP US Y 2 2029-01-12 Fixed 7.5000 N N N N N N NEXSTAR BROADCASTING INC. 5493006PK6I4I2OOT688 NEXSTAR BROADCASTING INC 2019 TERM LOAN B4 65336RAW8 1250000.0100000000 PA USD 1250306.2600000000 0.2896825023 Long LON CORP US N 2 2026-09-18 Floating 8.7722 N N N N N N NEXSTAR MEDIA INC N/A NEXSTAR MEDIA INC COMPANY GUAR 144A 07/27 5.625 65343HAA9 175000.0000000000 PA USD 170369.5000000000 0.0394727793 Long DBT CORP US Y 2 2027-07-15 Fixed 5.6250 N N N N N N NICE LTD 254900YTY4EF5Z4W0A51 NICE LTD SR UNSECURED 09/25 0.00000 N/A 162000.0000000000 PA USD 155821.3200000000 0.0361021226 Long DBT CORP IL N 2 2025-09-15 Fixed 0.0000 N N N N N NICE LTD NICE LTD USD XXXX N N N NORDSTROM INC 549300S3IZB5P35KNV16 NORDSTROM INC SR UNSECURED 01/44 5 655664AR1 110000.0000000000 PA USD 79484.9000000000 0.0184157958 Long DBT CORP US N 2 2044-01-15 Fixed 5.0000 N N N N N N NORDSTROM INC 549300S3IZB5P35KNV16 NORDSTROM INC SR UNSECURED 08/31 4.25 655664AY6 105000.0000000000 PA USD 87668.7000000000 0.0203118941 Long DBT CORP US N 2 2031-08-01 Fixed 4.2500 N N N N N N ASHTEAD CAPITAL INC 213800J1134IW58IC398 ASHTEAD CAPITAL INC COMPANY GUAR 144A 08/31 2.45 045054AP8 225000.0000000000 PA USD 183354.7500000000 0.0424813220 Long DBT CORP US Y 2 2031-08-12 Fixed 2.4500 N N N N N N ASHTON WOODS USA/FINANCE N/A ASHTON WOODS USA/FINANCE SR UNSECURED 144A 01/28 6.625 045086AK1 139000.0000000000 PA USD 137896.3400000000 0.0319490977 Long DBT CORP US Y 2 2028-01-15 Fixed 6.6250 N N N N N N NORTHERN OIL AND GAS INC OKFF0PIZDDMNH4UCYE51 NORTHERN OIL AND GAS INC SR UNSECURED 04/29 3.625 N/A 306000.0000000000 PA USD 340917.6600000000 0.0789869522 Long DBT CORP US N 2 2029-04-15 Fixed 3.6250 N N N N Y NORTHERN OIL AND GAS INC NORTHERN OIL AND GAS INC USD XXXX N N N GEN DIGITAL INC YF6ZV0M6AU4FY94MK914 GEN DIGITAL INC COMPANY GUAR 144A 09/27 6.75 668771AK4 100000.0000000000 PA USD 101674.0000000000 0.0235567714 Long DBT CORP US Y 2 2027-09-30 Fixed 6.7500 N N N N N N NOVELIS CORP 549300G5F3W3B52WYL23 NOVELIS CORP COMPANY GUAR 144A 01/30 4.75 670001AE6 232000.0000000000 PA USD 215465.3600000000 0.0499210047 Long DBT CORP US Y 2 2030-01-30 Fixed 4.7500 N N N N N N NUVASIVE INC 549300C5ZB4NZ6TWM881 NUVASIVE INC COMPANY GUAR 03/25 0.375 N/A 165000.0000000000 PA USD 154598.4000000000 0.0358187852 Long DBT CORP US N 2 2025-03-15 Fixed 0.3750 N N N N Y NUVASIVE INC NUVASIVE INC USD XXXX N N N ASHTON WOODS USA/FINANCE N/A ASHTON WOODS USA/FINANCE SR UNSECURED 144A 08/29 4.625 045086AM7 190000.0000000000 PA USD 173128.0000000000 0.0401118941 Long DBT CORP US Y 2 2029-08-01 Fixed 4.6250 N N N N N N ASSUREDPARTNERS INC. N/A ASSUREDPARTNERS INC 2022 TERM LOAN 04621HAT0 212299.0000000000 PA USD 211856.3600000000 0.0490848382 Long LON CORP US N 2 2027-02-13 Floating 10.2368 N N N N N N OCI NV 549300NCMRGIBJYUOE57 OCI NV COMPANY GUAR 144A 03/33 6.7 67116NAA7 200000.0000000000 PA USD 199968.0000000000 0.0463304332 Long DBT CORP NL Y 2 2033-03-16 Fixed 6.7000 N N N N N N OCEANEERING INTL INC 549300L6PH74701W0R30 OCEANEERING INTL INC SR UNSECURED 02/28 6 675232AD4 158000.0000000000 PA USD 154901.6200000000 0.0358890380 Long DBT CORP US N 2 2028-02-01 Fixed 6.0000 N N N N N N OI EUROPEAN GROUP BV 72450053F5WRDY8CDZ66 OI EUROPEAN GROUP BV COMPANY GUAR 144A 02/30 4.75 67777LAD5 80000.0000000000 PA USD 74121.6000000000 0.0171731769 Long DBT CORP NL Y 2 2030-02-15 Fixed 4.7500 N N N N N N OKTA INC 549300N8J06I8MRHU620 OKTA INC SR UNSECURED 09/25 0.125 N/A 413000.0000000000 PA USD 381612.0000000000 0.0884153928 Long DBT CORP US N 2 2025-09-01 Fixed 0.1250 N N N N Y OKTA INC OKTA INC USD XXXX N N N AT HOME GROUP INC 549300LGPR0P05O30I24 AT HOME GROUP INC SR SECURED 144A 07/28 4.875 04650YAA8 267000.0000000000 PA USD 118054.0500000000 0.0273518527 Long DBT CORP US Y 2 2028-07-15 Fixed 4.8750 N N N N N N AVANTOR FUNDING INC. 5493003VM0XB4U8YD238 AVANTOR INC 2021 TERM LOAN B5 05350NAL8 904906.9400000000 PA USD 905359.3900000000 0.2097620255 Long LON CORP US N 2 2027-11-08 Floating 8.2766 N N N N N N OMNICELL INC 5493008RH0GTKHHPZI77 OMNICELL INC SR UNSECURED 09/25 0.25 N/A 145000.0000000000 PA USD 133298.5000000000 0.0308838276 Long DBT CORP US N 2 2025-09-15 Fixed 0.2500 N N N N Y OMNICELL INC OMNICELL INC USD XXXX N N N ON SEMICONDUCTOR CORP ZV20P4CNJVT8V1ZGJ064 ON SEMICONDUCTOR CORP COMPANY GUAR 144A 09/28 3.875 682189AQ8 167000.0000000000 PA USD 153322.7000000000 0.0355232192 Long DBT CORP US Y 2 2028-09-01 Fixed 3.8750 N N N N N N AVIATION CAPITAL GROUP 549300ODEK8HY3445C77 AVIATION CAPITAL GROUP SR UNSECURED 144A 11/27 3.5 05369AAA9 168000.0000000000 PA USD 156633.1200000000 0.0362902079 Long DBT CORP US Y 2 2027-11-01 Fixed 3.5000 N N N N N N AVOLON TLB BORROWER 1 (US) LLC N/A AVOLON TLB BORROWER 1 US LLC 2023 TERM LOAN B6 05400KAJ9 1660837.5000000000 PA USD 1662357.1700000000 0.3851502629 Long LON CORP US N 2 2028-06-22 Floating 8.0229 N N N N N N ON SEMICONDUCTOR CORP ZV20P4CNJVT8V1ZGJ064 ON SEMICONDUCTOR CORP SR UNSECURED 05/27 0.00000 N/A 202000.0000000000 PA USD 291896.0600000000 0.0676291752 Long DBT CORP US N 2 2027-05-01 Fixed 0.0000 N N N N Y ON SEMICONDUCTOR CORP ON SEMICONDUCTOR CORP USD XXXX N N N SCRIPPS ESCROW INC COMPANY GUAR 144A 07/27 5.875 N/A SCRIPPS ESCROW INC COMPANY GUAR 144A 07/27 5.875 81104PAA7 210000.0000000000 PA USD 189525.0000000000 0.0439109025 Long DBT CORP US N 2 2027-07-15 Fixed 5.8750000000 N N N N N N SCRIPPS ESCROW II INC SR SECURED 144A 01/29 3.875 N/A SCRIPPS ESCROW II INC SR SECURED 144A 01/29 3.875 81105DAA3 111000.0000000000 PA USD 96555.5700000000 0.0223708863 Long DBT CORP US N 2 2029-01-15 Fixed 3.8750000000 N N N N N N SCRIPPS ESCROW II INC SR UNSECURED 144A 01/31 5.375 N/A SCRIPPS ESCROW II INC SR UNSECURED 144A 01/31 5.375 81105DAB1 56000.0000000000 PA USD 43055.0400000000 0.0099753893 Long DBT CORP US N 2 2031-01-15 Fixed 5.3750000000 N N N N N N SEA LTD 529900OM6JLLW44YKI15 SEA LTD SR UNSECURED 12/25 2.375 N/A 5311000.0000000000 PA USD 5069190.1700000000 1.1744767983 Long DBT CORP KY N 2 2025-12-01 Fixed 2.3750 N N N N Y SEA LTD SEA LTD USD XXXX N N N B&G FOODS INC 549300TRW1LZMDJZAQ78 B+G FOODS INC SR SECURED 144A 09/28 8 05508WAC9 205000.0000000000 PA USD 214042.5500000000 0.0495913549 Long DBT CORP US Y 2 2028-09-15 Fixed 8.0000 N N N N N N BWX TECHNOLOGIES INC 549300NP85N265KWMS58 BWX TECHNOLOGIES INC COMPANY GUAR 144A 04/29 4.125 05605HAC4 226000.0000000000 PA USD 209750.6000000000 0.0485969563 Long DBT CORP US Y 2 2029-04-15 Fixed 4.1250 N N N N N N BANFF MERGER SUB INC N/A BANFF MERGER SUB INC 2023 USD TERM LOAN 05988HAG2 292304.6700000000 PA USD 293035.4300000000 0.0678931549 Long LON CORP US N 2 2028-12-29 Floating 9.5776 N N N N N N BAUSCH HEALTH COS INC B3BS7ACMDUWISF18KY76 BAUSCH HEALTH COS INC SR SECURED 144A 02/27 6.125 071734AP2 81000.0000000000 PA USD 51409.8900000000 0.0119111181 Long DBT CORP CA Y 2 2027-02-01 Fixed 6.1250 N N N N N N BAUSCH HEALTH COS INC B3BS7ACMDUWISF18KY76 BAUSCH HEALTH COS INC SR SECURED 144A 09/28 11 071734AQ0 398000.0000000000 PA USD 273557.3400000000 0.0633802911 Long DBT CORP CA Y 2 2028-09-30 Fixed 11.0000 N N N N N N BAUSCH HEALTH COS INC B3BS7ACMDUWISF18KY76 BAUSCH HEALTH COS INC SECURED 144A 10/30 14 071734AR8 78000.0000000000 PA USD 44140.2000000000 0.0102268092 Long DBT CORP CA Y 2 2030-10-15 Fixed 14.0000 N N N N N N BEACON ROOFING SUPPLY IN 549300HDXQWWCBOYXP31 BEACON ROOFING SUPPLY IN COMPANY GUAR 144A 05/29 4.125 073685AH2 178000.0000000000 PA USD 161399.7200000000 0.0373945778 Long DBT CORP US Y 2 2029-05-15 Fixed 4.1250 N N N N N N BEACON ROOFING SUPPLY INC. N/A BEACON ROOFING SUPPLY INC. 2021 TERM LOAN B 07368RAF8 1243622.4400000000 PA USD 1247148.1100000000 0.2889507930 Long LON CORP US N 2 2028-05-19 Floating 8.5199 N N N N N N BERRY GLOBAL INC. N/A BERRY GLOBAL INC 2023 TERM LOAN AA 08579JBH4 1449351.1300000000 PA USD 1447706.1200000000 0.3354179251 Long LON CORP US N 2 2029-07-02 Floating 7.6166 N N N N N N BHARTI AIRTEL LTD 335800KQ1FPKOQ84OR26 BHARTI AIRTEL LTD SR UNSECURED 144A 02/25 1.5 N/A 325000.0000000000 PA USD 626522.0000000000 0.1451584036 Long DBT CORP IN Y 2 2025-02-17 Fixed 1.5000 N N N N N BHARTI AIRTEL LTD BHARTI AIRTEL LTD USD XXXX N N N BILL HOLDINGS INC 549300IBF9VZZIGOZW63 BILL HOLDINGS INC SR UNSECURED 12/25 0.00000 N/A 94000.0000000000 PA USD 88125.9400000000 0.0204178317 Long DBT CORP US N 2 2025-12-01 Fixed 0.0000 N N N N Y BILL HOLDINGS INC BILL HOLDINGS INC USD XXXX N N N BILL HOLDINGS INC 549300IBF9VZZIGOZW63 BILL HOLDINGS INC SR UNSECURED 04/27 0.00000 N/A 208000.0000000000 PA USD 174763.6800000000 0.0404908635 Long DBT CORP US N 2 2027-04-01 Fixed 0.0000 N N N N N BILL HOLDINGS INC BILL HOLDINGS INC USD XXXX N N N BIOMARIN PHARMACEUTICAL NSLL8ITTRR0J5HEMR848 BIOMARIN PHARMACEUTICAL SR SUBORDINA 08/24 0.599 N/A 1768000.0000000000 PA USD 1741851.2800000000 0.4035681925 Long DBT CORP US N 2 2024-08-01 Fixed 0.5990 N N N N N BIOMARIN PHARMACEUTICAL BIOMARIN PHARMACEUTICAL USD XXXX N N N BOMBARDIER INC W7L3VLU8EHQY34Z36697 BOMBARDIER INC SR UNSECURED 144A 04/27 7.875 097751BT7 105000.0000000000 PA USD 105144.9000000000 0.0243609416 Long DBT CORP CA Y 2 2027-04-15 Fixed 7.8750 N N N N N N BOMBARDIER INC W7L3VLU8EHQY34Z36697 BOMBARDIER INC SR UNSECURED 144A 11/30 8.75 097751CA7 105000.0000000000 PA USD 110489.4000000000 0.0255992047 Long DBT CORP CA Y 2 2030-11-15 Fixed 8.7500 N N N N N N COMMSCOPE TECH LLC M4TWC4QDOKW45N7T6Y12 COMMSCOPE TECH LLC COMPANY GUAR 144A 06/25 6 20337YAA5 115000.0000000000 PA USD 91528.5000000000 0.0212061682 Long DBT CORP US Y 2 2025-06-15 Fixed 6.0000 N N N N N N CONFLUENT INC N/A CONFLUENT INC SR UNSECURED 01/27 0.00000 N/A 213000.0000000000 PA USD 178372.5900000000 0.0413270091 Long DBT CORP US N 2 2027-01-15 Fixed 0.0000 N N N N Y CONFLUENT INC CONFLUENT INC USD XXXX N N N CONMED CORP Z6C0YCECH9DCU5ZIQW84 CONMED CORP SR UNSECURED 06/27 2.25 N/A 172000.0000000000 PA USD 163644.2400000000 0.0379146090 Long DBT CORP US N 2 2027-06-15 Fixed 2.2500 N N N N Y CONMED CORP CONMED CORP USD XXXX N N N CONSOLIDATED COMMUNICATI 549300WW675Y48HDVX34 CONSOLIDATED COMMUNICATI SR SECURED 144A 10/28 6.5 20903XAF0 304000.0000000000 PA USD 264878.2400000000 0.0613694371 Long DBT CORP US Y 2 2028-10-01 Fixed 6.5000 N N N N N N CONSTELLIUM SE 724500KRJEMC79KAAU28 CONSTELLIUM SE COMPANY GUAR 144A 04/29 3.75 21039CAB0 250000.0000000000 PA USD 225395.0000000000 0.0522215954 Long DBT CORP FR Y 2 2029-04-15 Fixed 3.7500 N N N N N N CONTINENTAL RESOURCES XXRTID9RYWOZ0UPIVR53 CONTINENTAL RESOURCES COMPANY GUAR 144A 01/31 5.75 212015AT8 100000.0000000000 PA USD 99566.0000000000 0.0230683705 Long DBT CORP US Y 2 2031-01-15 Fixed 5.7500 N N N N N N CONTINENTAL RESOURCES XXRTID9RYWOZ0UPIVR53 CONTINENTAL RESOURCES COMPANY GUAR 144A 04/32 2.875 212015AV3 165000.0000000000 PA USD 134778.6000000000 0.0312267509 Long DBT CORP US Y 2 2032-04-01 Fixed 2.8750 N N N N N N 2024-03-27 Calamos Global Dynamic Income Fund Stephen Atkins Stephen Atkins Treasurer XXXX NPORT-EX 2 calamoscef_13124.htm PART F

 

Calamos Convertible Opportunities and Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL        
AMOUNT      VALUE 
         
Asset Backed Security (0.1%)     
     Other (0.1%)     
 765,000   SVC ABS, LLC Series 2023-1A, Class C*     
     6.700%, 02/20/53     
     (Cost $707,132)  $703,925 
           
Corporate Bonds (40.6%)     
     Airlines (0.6%)     
 879,561   Alaska Airlines Pass Through Trust Series 2020-1, Class A*µ     
     4.800%, 02/15/29   853,807 
 413,374   Alaska Airlines Pass Through Trust Series 2020-1, Class B*     
     8.000%, 02/15/27   417,640 
 999,940   American Airlines Pass Through Trust Series 2021-1, Class B     
     3.950%, 01/11/32   892,117 
 537,750   American Airlines, Inc. / AAdvantage Loyalty IP, Ltd.*     
     5.500%, 04/20/26   532,873 
 937,965   British Airways Pass Through Trust Series 2021-1, Class B*     
     3.900%, 03/15/33   851,025 
 765,300   JetBlue Pass Through Trust Series 2020-1, Class B     
     7.750%, 05/15/30   771,897 
         4,319,359 
     Communication Services (4.3%)     
 500,000   Altice France Holding, SA*     
     10.500%, 05/15/27   288,925 
 1,100,000   Altice France, SA*     
     5.500%, 10/15/29   812,471 
 1,160,000   APi Group DE, Inc.*     
     4.750%, 10/15/29   1,086,247 
 1,025,000   Ashtead Capital, Inc.*     
     2.450%, 08/12/31   835,283 
     Audacy Capital Corp.* @     
 1,193,000   6.750%, 03/31/29   48,161 
 448,000   6.500%, 05/01/27   19,116 
 856,000   Cincinnati Bell Telephone Company, LLC     
     6.300%, 12/01/28   759,229 
 940,000   Clear Channel Outdoor Holdings, Inc.*     
     9.000%, 09/15/28   982,291 
 1,345,000   Consolidated Communications, Inc.*     
     6.500%, 10/01/28   1,171,912 
     CSC Holdings, LLC*     
 1,450,000   5.375%, 02/01/28   1,248,029 
 1,350,000   4.625%, 12/01/30   698,625 
 1,125,000   4.500%, 11/15/31   808,504 
 1,100,000   5.750%, 01/15/30   584,133 
 950,000   5.500%, 04/15/27   854,155 
     Diamond Sports Group, LLC / Diamond Sports Finance Company*@     
 750,000   6.625%, 08/15/27   51,323 
 540,000   5.375%, 08/15/26   38,113 
 1,207,000   Directv Financing, LLC / Directv Financing Co-Obligor, Inc.*     
     5.875%, 08/15/27   1,147,700 
 1,000,000   Frontier California, Inc.     
     6.750%, 05/15/27   967,170 
     Frontier Communications Holdings, LLC*     
 605,000   5.000%, 05/01/28   559,008 
 239,000   8.750%, 05/15/30   244,906 
 1,039,000   Frontier Florida, LLC@     
     6.860%, 02/01/28   1,001,191 
 1,445,000   Frontier North, Inc.@     
     6.730%, 02/15/28   1,386,188 
     Go Daddy Operating Company, LLC / GD Finance Company, Inc.*     
 835,000   3.500%, 03/01/29   756,276 
 250,000   5.250%, 12/01/27   245,620 
     iHeartCommunications, Inc.     
 595,000   8.375%, 05/01/27   372,226 
 355,000   5.250%, 08/15/27*   276,023 
 1,215,000   LCPR Senior Secured Financing DAC*     
     6.750%, 10/15/27   1,178,185 
 722,947   Ligado Networks, LLC*     
     15.500%, 11/01/23     
     15.500% PIK rate   124,491 
     Lumen Technologies, Inc.     
 720,000   7.600%, 09/15/39   191,614 
 485,000   4.000%, 02/15/27*^   256,769 
 240,000   7.650%, 03/15/42   66,173 
 478,000   Match Group Holdings II, LLC*^     
     3.625%, 10/01/31   409,440 
 810,000   Nexstar Media, Inc.*     
     5.625%, 07/15/27   788,567 
 930,000   Paramount Global     
     4.900%, 08/15/44   735,723 
 336,000   Qwest Corp.     
     7.250%, 09/15/25   329,364 
     Scripps Escrow II, Inc.*     
 477,000   3.875%, 01/15/29   414,928 
 239,000   5.375%, 01/15/31   183,753 
 810,000   Scripps Escrow, Inc.*     
     5.875%, 07/15/27   731,025 
     Sirius XM Radio, Inc.*     
 1,250,000   5.500%, 07/01/29   1,189,750 
 963,000   4.000%, 07/15/28   874,963 
 475,000   3.125%, 09/01/26   444,239 
 239,000   3.875%, 09/01/31   199,575 
 874,000   Spanish Broadcasting System, Inc.*     
     9.750%, 03/01/26   464,784 
 2,430,000   Sprint, LLCµ     
     7.125%, 06/15/24   2,441,956 
 1,080,000   Stagwell Global, LLC*     
     5.625%, 08/15/29   991,472 
 953,000   Telesat Canada / Telesat, LLC*     
     4.875%, 06/01/27   565,100 
 385,000   Time Warner Cable, LLC     
     7.300%, 07/01/38   404,077 
 1,100,000   United States Cellular Corp.     
     6.700%, 12/15/33   1,134,177 
 724,000   Univision Communications, Inc.*     
     8.000%, 08/15/28   736,851 

 

See accompanying Notes to Schedule of Investments

 

1 

 

 

Calamos Convertible Opportunities and Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL        
AMOUNT      VALUE 
 480,000   Viasat, Inc.*^     
     5.625%, 04/15/27  $450,629 
         32,550,430 
     Consumer Discretionary (8.7%)     
 1,162,000   Abercrombie & Fitch Management Company*     
     8.750%, 07/15/25   1,183,253 
 955,000   Adams Homes, Inc.*     
     9.250%, 10/15/28   978,799 
 1,195,000   Adient Global Holdings Company*^     
     8.250%, 04/15/31   1,263,258 
 764,000   American Axle & Manufacturing, Inc.     
     6.875%, 07/01/28   747,521 
     Ashton Woods USA, LLC / Ashton Woods Finance Company*     
 837,000   4.625%, 08/01/29   762,674 
 705,000   6.625%, 01/15/28   699,402 
 1,208,000   At Home Group, Inc.*     
     4.875%, 07/15/28   534,117 
     Bath & Body Works, Inc.     
 1,264,000   6.694%, 01/15/27   1,285,071 
 720,000   6.875%, 11/01/35   720,410 
 400,000   Benteler International AG*^     
     10.500%, 05/15/28   428,928 
     Caesars Entertainment, Inc.*     
 604,000   4.625%, 10/15/29   552,086 
 472,000   8.125%, 07/01/27   484,796 
     Carnival Corp.*     
 481,000   7.625%, 03/01/26   488,802 
 481,000   4.000%, 08/01/28   446,147 
 60,000   7.000%, 08/15/29^   62,480 
     Carvana Company*     
 195,000   14.000%, 06/01/31   174,075 
 165,000   13.000%, 06/01/30   147,122 
 110,000   12.000%, 12/01/28   97,689 
     CCO Holdings, LLC / CCO Holdings Capital Corp.*     
 2,130,000   5.125%, 05/01/27   2,055,897 
 1,685,000   4.500%, 08/15/30   1,464,602 
 1,100,000   6.375%, 09/01/29^   1,071,543 
 1,055,000   4.750%, 03/01/30   938,043 
 951,000   4.250%, 02/01/31   802,749 
 565,000   5.000%, 02/01/28   533,756 
 478,000   4.750%, 02/01/32   410,463 
 478,000   CDI Escrow Issuer, Inc.*     
     5.750%, 04/01/30   463,005 
 750,000   Cedar Fair, LP     
     5.250%, 07/15/29   717,877 
 478,000   Churchill Downs, Inc.*     
     6.750%, 05/01/31   484,859 
     Dana, Inc.     
 790,000   4.250%, 09/01/30   691,527 
 723,000   4.500%, 02/15/32   622,648 
     DISH DBS Corp.     
 1,010,000   5.125%, 06/01/29   376,649 
 720,000   5.250%, 12/01/26*   568,577 
 595,000   7.375%, 07/01/28   263,335 
 480,000   5.750%, 12/01/28*   323,794 
 408,000   7.750%, 07/01/26   241,438 
 946,000   DISH Network Corp.*     
     11.750%, 11/15/27   988,031 
 1,365,000   Empire Resorts, Inc.*     
     7.750%, 11/01/26   1,265,887 
 1,058,000   Everi Holdings, Inc.*     
     5.000%, 07/15/29   973,519 
 1,000,000   Ford Motor Company^     
     6.100%, 08/19/32   1,000,650 
     Ford Motor Credit Company, LLC     
 1,525,000   4.000%, 11/13/30   1,360,986 
 1,245,000   7.200%, 06/10/30^   1,324,095 
 1,150,000   5.113%, 05/03/29   1,117,765 
 865,000   7.350%, 11/04/27   909,937 
 800,000   2.900%, 02/16/28   720,368 
 359,000   Gap, Inc.*     
     3.875%, 10/01/31   296,681 
 490,000   General Motors Company     
     5.200%, 04/01/45   444,621 
     goeasy, Ltd.*     
 1,700,000   9.250%, 12/01/28   1,811,843 
 881,000   4.375%, 05/01/26   843,029 
 515,000   Goodyear Tire & Rubber Company^     
     5.250%, 07/15/31   469,217 
 407,000   Group 1 Automotive, Inc.*     
     4.000%, 08/15/28   375,844 
 1,026,000   Guitar Center, Inc.*^&     
     8.500%, 01/15/26   911,642 
 770,000   International Game Technology, PLC*     
     6.250%, 01/15/27   775,113 
 262,459   JetBlue Pass Through Trust Series 2019-2, Class B     
     8.000%, 11/15/27   264,611 
 842,000   Kohl's Corp.     
     5.550%, 07/17/45   574,598 
 955,000   LCM Investments Holdings II, LLC*     
     8.250%, 08/01/31   980,632 
 965,000   Liberty Interactive, LLC     
     8.250%, 02/01/30   515,561 
 937,000   Life Time, Inc.*^     
     8.000%, 04/15/26   947,850 
 480,000   Light & Wonder International, Inc.*     
     7.500%, 09/01/31   500,203 
 360,000   Lindblad Expeditions Holdings, Inc.*     
     9.000%, 05/15/28   374,436 
 616,000   Lindblad Expeditions, LLC*     
     6.750%, 02/15/27   616,468 
 635,000   M/I Homes, Inc.     
     3.950%, 02/15/30   569,506 
     Macy's Retail Holdings, LLC     
 1,121,000   6.700%, 07/15/34*   943,378 
 970,000   4.300%, 02/15/43^   736,511 
 805,000   Mclaren Finance, PLC*     
     7.500%, 08/01/26   713,866 
 1,219,000   Midwest Gaming Borrower, LLC / Midwest Gaming Finance Corp.*     
     4.875%, 05/01/29   1,131,744 
 575,000   Newell Brands, Inc.     
     5.200%, 04/01/26   559,958 
     Nordstrom, Inc.     
 500,000   5.000%, 01/15/44   361,295 
 465,000   4.250%, 08/01/31   388,247 
 1,449,000   Patrick Industries, Inc.*     
     4.750%, 05/01/29   1,336,427 
 1,105,000   PENN Entertainment, Inc.*^     
     4.125%, 07/01/29   950,488 

 

See accompanying Notes to Schedule of Investments

 

 2

 

 

Calamos Convertible Opportunities and Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL        
AMOUNT      VALUE 
     PetSmart, Inc. / PetSmart Finance Corp.*     
 300,000   7.750%, 02/15/29  $291,576 
 300,000   4.750%, 02/15/28   280,428 
 1,340,000   Premier Entertainment Sub, LLC / Premier Entertainment Finance Corp.*^     
     5.625%, 09/01/29   1,010,038 
 470,000   QVC, Inc.     
     5.450%, 08/15/34   312,339 
 480,000   Raising Cane's Restaurants, LLC*     
     9.375%, 05/01/29   514,781 
 1,880,000   Rite Aid Corp.*@     
     8.000%, 11/15/26   1,428,217 
 478,000   Royal Caribbean Cruises, Ltd.*     
     7.250%, 01/15/30   498,449 
 1,350,000   Simmons Foods, Inc. / Simmons Prepared Foods, Inc. / Simmons Pet Food, Inc. / Simmons Feed*     
     4.625%, 03/01/29   1,163,889 
 1,445,000   Six Flags Entertainment Corp.*     
     7.250%, 05/15/31   1,475,605 
 1,090,000   Sonic Automotive, Inc.*^     
     4.625%, 11/15/29   987,333 
 698,000   Speedway Motorsports, LLC / Speedway Funding II, Inc.*     
     4.875%, 11/01/27   662,625 
 1,965,000   Station Casinos, LLC*     
     4.500%, 02/15/28   1,854,233 
 237,000   Stl Holding Company, LLC*     
     8.750%, 02/15/29   241,344 
 589,000   Taylor Morrison Communities, Inc.*     
     5.750%, 01/15/28   587,039 
 240,000   Viking Cruises, Ltd.*     
     9.125%, 07/15/31   257,167 
 1,100,000   Vista Outdoor, Inc.*^     
     4.500%, 03/15/29   1,081,663 
     ZF North America Capital, Inc.*     
 950,000   7.125%, 04/14/30   1,002,687 
 300,000   6.875%, 04/14/28   309,222 
         65,101,034 
     Consumer Staples (2.0%)     
 1,090,000   1375209 B.C., Ltd.*^     
     9.000%, 01/30/28   1,058,815 
 1,413,000   Arrow Bidco, LLC*     
     10.750%, 06/15/25   1,463,882 
 970,000   B&G Foods, Inc.*     
     8.000%, 09/15/28   1,012,787 
 1,099,000   Central Garden & Pet Company*     
     4.125%, 04/30/31   973,263 
 1,092,000   Edgewell Personal Care Company*     
     4.125%, 04/01/29   999,726 
     Energizer Holdings, Inc.*     
 1,331,000   4.375%, 03/31/29   1,205,274 
 240,000   6.500%, 12/31/27   239,232 
     JBS USA LUX, SA / JBS USA Food Company / JBS USA Finance, Inc.     
 1,415,000   5.500%, 01/15/30^   1,385,257 
 595,000   5.125%, 02/01/28µ   590,377 
 370,000   5.750%, 04/01/33   366,892 
 476,407   Mallinckrodt International Finance SA / Mallinckrodt CB, LLC*     
     14.750%, 11/14/28   519,507 
 621,000   New Albertsons, LP     
     7.750%, 06/15/26   637,400 
 957,000   Performance Food Group, Inc.*     
     4.250%, 08/01/29   877,665 
 700,000   Pilgrim's Pride Corp.     
     4.250%, 04/15/31   631,547 
 442,000   Post Holdings, Inc.*     
     5.750%, 03/01/27   440,661 
 909,000   Prestige Brands, Inc.*     
     3.750%, 04/01/31   792,439 
 815,000   United Natural Foods, Inc.*^     
     6.750%, 10/15/28   685,822 
 1,500,000   Vector Group, Ltd.*     
     5.750%, 02/01/29   1,385,385 
         15,265,931 
     Energy (5.2%)     
 479,000   Antero Resources Corp.*     
     5.375%, 03/01/30   457,498 
 958,000   Apache Corp.     
     5.100%, 09/01/40   823,880 
 500,000   Buckeye Partners, LP     
     5.850%, 11/15/43   413,000 
 1,335,000   Callon Petroleum Company*     
     7.500%, 06/15/30   1,407,303 
 477,000   Cheniere Energy, Inc.µ     
     4.625%, 10/15/28   462,222 
 720,000   Chesapeake Energy Corp.*     
     6.750%, 04/15/29   728,798 
 1,341,000   Civitas Resources, Inc.*     
     8.750%, 07/01/31   1,431,236 
     Continental Resources, Inc.*     
 715,000   2.875%, 04/01/32   584,041 
 475,000   5.750%, 01/15/31   472,938 
 742,000   DT Midstream, Inc.*     
     4.125%, 06/15/29   682,336 
     Earthstone Energy Holdings, LLC*     
 941,000   8.000%, 04/15/27   975,215 
 360,000   9.875%, 07/15/31   400,050 
 555,000   Enbridge, Inc.^‡     
     7.375%, 01/15/83     
     5 year CMT + 3.71%   555,977 
     Energy Transfer, LP‡     
 1,400,000   8.586%, 11/01/66     
     3 mo. USD SOFR + 3.28%   1,250,634 
 700,000   6.500%, 02/01/36     
     5 year CMT + 5.69%   677,026 
     EnLink Midstream Partners, LP     
 1,235,000   9.756%, 02/01/36‡     
     3 mo. USD LIBOR + 4.11%   1,167,421 
 1,015,000   4.850%, 07/15/26   997,390 
 600,000   Enlink Midstream, LLC*     
     6.500%, 09/01/30   614,790 
 1,580,000   EQM Midstream Partners, LP*     
     7.500%, 06/01/27   1,626,041 
     Genesis Energy, LP / Genesis Energy Finance Corp.     
 719,000   8.875%, 04/15/30   752,714 
 478,000   6.250%, 05/15/26   476,140 
     Gulfport Energy Corp.     
 955,000   8.000%, 05/17/26*   964,359 
 288,135   8.000%, 05/17/26   290,959 

 

See accompanying Notes to Schedule of Investments

 

3 

 

 

Calamos Convertible Opportunities and Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL        
AMOUNT      VALUE 
 1,340,000   Hilcorp Energy I, LP / Hilcorp Finance Company*     
     6.000%, 04/15/30  $1,302,038 
 717,000   Howard Midstream Energy Partners, LLC*     
     6.750%, 01/15/27   719,208 
 416,000   Kodiak Gas Services, LLC*     
     7.250%, 02/15/29   420,900 
 940,000   Magnolia Oil & Gas Operating, LLC / Magnolia Oil & Gas Finance Corp.*     
     6.000%, 08/01/26   929,688 
     Moss Creek Resources Holdings, Inc.*     
 500,000   10.500%, 05/15/27   514,975 
 455,000   7.500%, 01/15/26   453,558 
     Nabors Industries, Inc.*     
 720,000   7.375%, 05/15/27^   712,361 
 360,000   9.125%, 01/31/30   367,340 
 720,000   Nabors Industries, Ltd.*     
     7.500%, 01/15/28   659,693 
 952,000   New Fortress Energy, Inc.*     
     6.750%, 09/15/25   940,890 
 717,000   Oceaneering International, Inc.     
     6.000%, 02/01/28   702,940 
 1,025,000   Parkland Corp.*     
     5.875%, 07/15/27   1,017,558 
 506,000   Patterson-UTI Energy, Inc.     
     5.150%, 11/15/29   488,938 
 238,000   Permian Resources Operating LLC*     
     7.000%, 01/15/32   245,921 
 960,000   Plains All American Pipeline, LP‡     
     9.751%, 02/01/36     
     3 mo. USD LIBOR + 4.11%   951,178 
 1,340,000   Rockcliff Energy II, LLC*     
     5.500%, 10/15/29   1,248,639 
 479,000   Southwestern Energy Company     
     4.750%, 02/01/32   444,019 
 1,363,250   Transocean, Inc.*     
     8.750%, 02/15/30   1,426,382 
     Venture Global Calcasieu Pass, LLC*     
 600,000   6.250%, 01/15/30   601,662 
 240,000   4.125%, 08/15/31   212,609 
 240,000   3.875%, 08/15/29   214,531 
     Venture Global LNG, Inc.*     
 1,195,000   8.375%, 06/01/31   1,210,810 
 715,000   8.125%, 06/01/28   724,109 
 480,000   9.875%, 02/01/32   504,946 
 480,000   9.500%, 02/01/29   510,341 
     Vital Energy, Inc.     
 608,000   9.750%, 10/15/30   646,474 
 570,000   7.750%, 07/31/29*   563,120 
 1,000,000   VOC Escrow, Ltd.*     
     5.000%, 02/15/28   957,870 
 1,195,000   Weatherford International, Ltd.*     
     8.625%, 04/30/30   1,223,859 
         39,128,525 
     Financials (6.7%)     
 1,550,000   Acrisure, LLC / Acrisure Finance, Inc.*     
     8.250%, 02/01/29   1,555,642 
 1,440,000   Aethon United BR, LP / Aethon United Finance Corp.*     
     8.250%, 02/15/26   1,436,472 
 681,000   AG Issuer, LLC*     
     6.250%, 03/01/28   673,216 
     Alliant Holdings Intermediate, LLC / Alliant Holdings Co-Issuer*     
 1,675,000   6.750%, 10/15/27   1,640,813 
 120,000   7.000%, 01/15/31   121,513 
     Ally Financial, Inc.     
 1,532,000   4.700%, 02/01/36     
     7 year CMT + 3.48%‡   1,223,522 
 402,000   8.000%, 11/01/31   445,203 
 1,923,000   AmWINS Group, Inc.*     
     4.875%, 06/30/29   1,797,409 
 726,000   Aviation Capital Group, LLC*µ     
     3.500%, 11/01/27   676,879 
 1,436,000   BroadStreet Partners, Inc.*     
     5.875%, 04/15/29   1,363,396 
 1,145,000   Brookfield Property REIT, Inc. / BPR Cumulus, LLC / BPR Nimbus, LLC / GGSI Sellco, LLC*     
     4.500%, 04/01/27   1,015,432 
 1,000,000   Burford Capital Global Financial, LLC*     
     6.875%, 04/15/30   975,480 
     Credit Acceptance Corp.     
 925,000   6.625%, 03/15/26^   926,221 
 635,000   9.250%, 12/15/28*   669,125 
 960,000   Cushman & Wakefield U.S. Borrower LLC*^     
     8.875%, 09/01/31   1,008,307 
 1,247,000   Enact Holdings, Inc.*µ     
     6.500%, 08/15/25   1,244,955 
 1,075,000   GGAM Finance, Ltd.*     
     8.000%, 02/15/27   1,109,432 
 1,197,000   Global Net Lease, Inc. / Global Net Lease Operating Partnership, LP*     
     3.750%, 12/15/27   1,023,638 
 1,000,000   GTCR W-2 Merger Sub, LLC*     
     7.500%, 01/15/31   1,042,730 
 535,000   HAT Holdings I LLC / HAT Holdings II LLC*     
     8.000%, 06/15/27   554,929 
     HUB International, Ltd.*     
 1,430,000   5.625%, 12/01/29   1,350,177 
 475,000   7.375%, 01/31/32   486,182 
 718,000   Icahn Enterprises, LP / Icahn Enterprises Finance Corp.     
     4.375%, 02/01/29   600,772 
 1,300,000   ILFC E-Capital Trust II*‡     
     7.436%, 12/21/65     
     3 mo. USD LIBOR + 1.80%   1,030,406 
 1,990,000   Iron Mountain, Inc.*     
     5.250%, 03/15/28   1,931,335 
 2,435,000   Jefferies Finance, LLC / JFIN Co-Issuer Corp.*     
     5.000%, 08/15/28   2,198,561 
     Ladder Capital Finance Holdings, LLLP / Ladder Capital Finance Corp.*     
 1,874,000   5.250%, 10/01/25   1,844,110 
 1,033,000   4.750%, 06/15/29   925,217 
 875,000   LD Holdings Group, LLC*     
     6.125%, 04/01/28   713,983 

 

See accompanying Notes to Schedule of Investments

 

 4

 

 

Calamos Convertible Opportunities and Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL        
AMOUNT      VALUE 
     Level 3 Financing, Inc.*     
 985,000   4.250%, 07/01/28  $331,206 
 480,000   4.625%, 09/15/27   253,411 
 720,000   LPL Holdings, Inc.*     
     4.000%, 03/15/29   664,006 
 955,000   Macquarie Airfinance Holdings, Ltd.*     
     8.125%, 03/30/29   991,729 
 1,498,000   MetLife, Inc.     
     6.400%, 12/15/66   1,530,477 
 1,300,000   Nationstar Mortgage Holdings, Inc.*     
     5.500%, 08/15/28   1,238,497 
     Navient Corp.     
 1,038,000   5.000%, 03/15/27   990,678 
 525,000   4.875%, 03/15/28^   477,519 
 630,000   Necessity Retail REIT, Inc. / American Finance Operating Partner, LP*     
     4.500%, 09/30/28   536,117 
 475,000   Newmark Group, Inc.*     
     7.500%, 01/12/29   485,469 
     OneMain Finance Corp.     
 670,000   9.000%, 01/15/29   706,287 
 660,000   3.875%, 09/15/28   580,021 
 479,000   7.125%, 03/15/26^   485,802 
 476,000   Park Intermediate Holdings, LLC / PK Domestic Property, LLC / PK Finance Co-Issuer*^     
     5.875%, 10/01/28   466,042 
 1,493,000   PHH Mortgage Corp.*     
     7.875%, 03/15/26   1,379,308 
 1,100,000   RHP Hotel Properties, LP / RHP Finance Corp.*     
     4.500%, 02/15/29   1,023,363 
     Rocket Mortgage, LLC / Rocket Mortgage Co-Issuer, Inc.*     
 450,000   3.875%, 03/01/31   395,474 
 445,000   3.625%, 03/01/29   397,176 
 220,000   2.875%, 10/15/26   204,175 
 943,000   StoneX Group, Inc.*     
     8.625%, 06/15/25   953,778 
     United Wholesale Mortgage, LLC*     
 1,123,000   5.500%, 04/15/29   1,061,999 
 480,000   5.750%, 06/15/27   471,787 
     Uniti Group, LP / Uniti Group Finance, Inc. / CSL Capital, LLC*     
 478,000   10.500%, 02/15/28   486,437 
 465,000   6.500%, 02/15/29   328,151 
 1,100,000   VZ Secured Financing, BV*     
     5.000%, 01/15/32   961,906 
 1,017,000   XHR, LP*     
     6.375%, 08/15/25   1,018,678 
         50,004,550 
     Health Care (2.8%)     
     Bausch Health Companies, Inc.*     
 1,934,000   11.000%, 09/30/28   1,329,296 
 382,000   14.000%, 10/15/30   216,174 
 359,000   6.125%, 02/01/27   227,854 
     CHS/Community Health Systems, Inc.*     
 1,917,000   6.125%, 04/01/30   1,269,897 
 544,000   8.000%, 03/15/26   536,014 
 538,000   6.875%, 04/15/29   371,360 
 475,000   10.875%, 01/15/32   499,049 
 120,000   5.250%, 05/15/30   99,749 
     DaVita, Inc.*     
 1,139,000   3.750%, 02/15/31   939,584 
 1,061,000   4.625%, 06/01/30   939,547 
     Embecta Corp.*     
 717,000   5.000%, 02/15/30   587,467 
 240,000   6.750%, 02/15/30   211,766 
     Encompass Health Corp.     
 470,000   4.750%, 02/01/30   441,805 
 470,000   4.500%, 02/01/28   449,626 
 1,109,000   HCA, Inc.^     
     7.500%, 11/06/33   1,252,161 
 300,000   Jazz Securities DAC*     
     4.375%, 01/15/29   277,548 
     Medline Borrower, LP*     
 1,215,000   3.875%, 04/01/29   1,101,446 
 1,208,000   5.250%, 10/01/29   1,127,306 
     Organon & Company / Organon Foreign Debt Co-Issuer, BV*     
 1,760,000   5.125%, 04/30/31   1,516,046 
 450,000   4.125%, 04/30/28   411,728 
 1,025,000   Team Health Holdings, Inc.*     
     6.375%, 02/01/25   866,535 
     Tenet Healthcare Corp.     
 2,250,000   6.250%, 02/01/27   2,245,613 
 1,315,000   6.875%, 11/15/31   1,355,528 
     Teva Pharmaceutical Finance Netherlands III, BV     
 1,215,000   5.125%, 05/09/29^   1,172,754 
 800,000   4.750%, 05/09/27   774,000 
 440,000   3.150%, 10/01/26   410,775 
         20,630,628 
     Industrials (5.8%)     
 1,100,000   ACCO Brands Corp.*^     
     4.250%, 03/15/29   998,327 
 740,000   AerCap Holdings, NV^‡     
     5.875%, 10/10/79     
     5 year CMT + 4.54%   735,153 
 965,000   Air Lease Corp.‡     
     4.125%, 02/01/36     
     5 year CMT + 3.15%   817,895 
     Albertsons Companies, Inc. / Safeway, Inc. / New Albertsons, LP / Albertsons, LLC*     
 1,600,000   4.625%, 01/15/27   1,553,328 
 720,000   5.875%, 02/15/28   719,633 
 860,000   Allegiant Travel Company*     
     7.250%, 08/15/27   841,510 
 538,000   Arcosa, Inc.*     
     4.375%, 04/15/29   504,913 
 2,450,000   ARD Finance, SA*     
     6.500%, 06/30/27     
     7.250% PIK rate   1,188,936 
 753,000   Beacon Roofing Supply, Inc.*     
     4.125%, 05/15/29   682,775 
     Bombardier, Inc.*     
 480,000   8.750%, 11/15/30   505,094 
 477,000   7.875%, 04/15/27   477,658 
 956,000   BWX Technologies, Inc.*     
     4.125%, 04/15/29   887,264 
 1,000,000   Cascades, Inc. / Cascades USA, Inc.*     
     5.375%, 01/15/28   981,380 

 

See accompanying Notes to Schedule of Investments

 

5 

 

 

Calamos Convertible Opportunities and Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL        
AMOUNT      VALUE 
 239,000   Delta Air Lines, Inc. / SkyMiles IP, Ltd.*µ     
     4.750%, 10/20/28  $235,250 
 1,265,000   Deluxe Corp.*     
     8.000%, 06/01/29   1,139,613 
 957,000   Eco Material Technologies, Inc.*     
     7.875%, 01/31/27   958,302 
 478,000   Emerald Debt Merger Sub, LLC*     
     6.625%, 12/15/30   483,210 
     EnerSys*     
 500,000   6.625%, 01/15/32   507,220 
 475,000   4.375%, 12/15/27   450,081 
 580,000   Graham Packaging Company, Inc.*     
     7.125%, 08/15/28   521,142 
     Graphic Packaging International, LLC*     
 625,000   4.750%, 07/15/27   608,912 
 446,000   3.500%, 03/01/29   403,385 
 1,054,000   Great Lakes Dredge & Dock Corp.*^     
     5.250%, 06/01/29   915,410 
 2,244,000   H&E Equipment Services, Inc.*     
     3.875%, 12/15/28   2,039,347 
 1,198,000   Hawaiian Brand Intellectual Property, Ltd. / HawaiianMiles Loyalty, Ltd.*     
     5.750%, 01/20/26   1,126,719 
 1,250,000   Herc Holdings, Inc.*     
     5.500%, 07/15/27   1,228,637 
 1,120,000   IEA Energy Services, LLC*     
     6.625%, 08/15/29   1,054,122 
     JELD-WEN, Inc.*     
 564,000   4.625%, 12/15/25   551,603 
 500,000   4.875%, 12/15/27^   477,530 
 1,575,000   Ken Garff Automotive, LLC*     
     4.875%, 09/15/28   1,471,822 
 955,000   Knife River Holding Company*     
     7.750%, 05/01/31   1,004,717 
 234,000   MasTec, Inc.*µ^     
     4.500%, 08/15/28   219,869 
 588,000   Moog, Inc.*     
     4.250%, 12/15/27   551,332 
 1,198,000   Newfold Digital Holdings Group, Inc.*     
     6.000%, 02/15/29   907,437 
 940,000   Novelis Corp.*     
     4.750%, 01/30/30   873,006 
 360,000   OI European Group, BV*     
     4.750%, 02/15/30   333,547 
 1,100,000   Pactiv Evergreen Group Issuer, Inc. / Pactiv Evergreen Group Issuer, LLC*^     
     4.000%, 10/15/27   1,027,015 
     Sealed Air Corp.*     
 743,000   6.125%, 02/01/28   747,057 
 239,000   5.000%, 04/15/29^   230,537 
 240,000   Sealed Air Corp./Sealed Air Corp. U.S.*     
     7.250%, 02/15/31   251,779 
 450,000   Sensata Technologies, BV*     
     4.000%, 04/15/29   412,200 
 479,000   Sensata Technologies, Inc.*     
     3.750%, 02/15/31   417,266 
     Sinclair Television Group, Inc.*     
 717,000   4.125%, 12/01/30   554,700 
 475,000   5.500%, 03/01/30   366,320 
 955,000   Standard Industries, Inc.*     
     5.000%, 02/15/27   928,957 
 773,000   Stericycle, Inc.*^     
     3.875%, 01/15/29   703,755 
 717,000   STL Holding Company, LLC*     
     7.500%, 02/15/26   730,315 
 240,000   Summit Materials LLC / Summit Materials Finance Corp.*     
     7.250%, 01/15/31   249,624 
     TransDigm, Inc.     
 1,035,000   6.875%, 12/15/30*   1,064,446 
 710,000   6.750%, 08/15/28*   722,546 
 700,000   7.500%, 03/15/27   702,303 
 544,000   6.250%, 03/15/26*   541,427 
 360,000   7.125%, 12/01/31*   375,570 
 960,000   Tronox, Inc.*     
     4.625%, 03/15/29   848,717 
 353,898   United Airlines Pass Through Trust Series 2019-2, Class B     
     3.500%, 11/01/29   323,650 
 961,000   Vertiv Group Corp.*     
     4.125%, 11/15/28   895,047 
 1,004,000   Wabash National Corp.*     
     4.500%, 10/15/28   915,598 
 855,000   Waste Pro USA, Inc.*     
     5.500%, 02/15/26   830,812 
     Williams Scotsman, Inc.*     
 565,000   4.625%, 08/15/28   533,479 
 480,000   7.375%, 10/01/31   503,294 
         43,832,493 
     Information Technology (1.9%)     
 238,000   Booz Allen Hamilton, Inc.*     
     4.000%, 07/01/29   223,558 
 557,000   Coherent Corp.*     
     5.000%, 12/15/29   521,703 
 634,000   CommScope Technologies, LLC*^     
     6.000%, 06/15/25   504,601 
 895,000   CommScope, Inc.*     
     4.750%, 09/01/29   592,660 
 602,000   Dell International, LLC / EMC Corp.µ     
     6.020%, 06/15/26   615,280 
 478,000   Dun & Bradstreet Corp.*^     
     5.000%, 12/15/29   444,875 
 480,000   Fair Isaac Corp.*     
     4.000%, 06/15/28   447,451 
 1,050,000   KBR, Inc.*     
     4.750%, 09/30/28   968,751 
     MPH Acquisition Holdings, LLC*     
 1,050,000   5.750%, 11/01/28   836,042 
 480,000   5.500%, 09/01/28   426,835 
 477,000   NCL Corp., Ltd.*     
     8.125%, 01/15/29   500,755 
 478,000   NCR Voyix Corp.*     
     5.125%, 04/15/29   450,118 
 723,000   ON Semiconductor Corp.*     
     3.875%, 09/01/28   663,786 
     Open Text Corp.*     
 705,000   3.875%, 02/15/28   655,389 
 475,000   6.900%, 12/01/27   493,767 
 359,000   3.875%, 12/01/29   324,209 
 359,000   Open Text Holdings, Inc.*^     
     4.125%, 12/01/31   317,866 
 896,000   Playtika Holding Corp.*     
     4.250%, 03/15/29   777,450 

 

See accompanying Notes to Schedule of Investments

 

 6

 

 

Calamos Convertible Opportunities and Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL        
AMOUNT      VALUE 
 1,350,000   TTM Technologies, Inc.*     
     4.000%, 03/01/29  $1,221,710 
     Twilio, Inc.     
 680,000   3.625%, 03/15/29   614,849 
 236,000   3.875%, 03/15/31   208,128 
 356,000   UKG, Inc.*     
     6.875%, 02/01/31   360,393 
 1,200,000   Viavi Solutions, Inc.*     
     3.750%, 10/01/29   1,045,992 
 1,100,000   ZoomInfo Technologies, LLC / ZoomInfo Finance Corp.*     
     3.875%, 02/01/29   980,100 
         14,196,268 
     Materials (1.8%)     
 500,000   ArcelorMittal, SA     
     7.000%, 10/15/39   545,885 
 534,000   ATI, Inc.     
     5.875%, 12/01/27   525,814 
 242,000   Carpenter Technology Corp.     
     7.625%, 03/15/30   250,436 
 715,000   Chemours Company*     
     4.625%, 11/15/29   625,932 
 1,530,000   Clearwater Paper Corp.*     
     4.750%, 08/15/28   1,436,655 
 716,000   Cleveland-Cliffs, Inc.*     
     6.750%, 04/15/30   722,602 
     Commercial Metals Company     
 478,000   4.125%, 01/15/30   437,475 
 239,000   4.375%, 03/15/32   213,950 
 1,115,000   Constellium, SE*^     
     3.750%, 04/15/29   1,005,262 
 477,000   HB Fuller Company     
     4.250%, 10/15/28   444,974 
 475,000   INEOS Finance, PLC*^     
     6.750%, 05/15/28   464,897 
 725,000   JW Aluminum Continuous Cast Company*     
     10.250%, 06/01/26   733,106 
 850,000   Kaiser Aluminum Corp.*     
     4.625%, 03/01/28   783,828 
 235,000   LSF11 A5 HoldCo, LLC*     
     6.625%, 10/15/29   200,356 
     Mercer International, Inc.     
 1,260,000   5.125%, 02/01/29   1,081,798 
 483,000   12.875%, 10/01/28*   519,404 
 935,000   OCI, NV*     
     6.700%, 03/16/33   934,850 
     Owens-Brockway Glass Container, Inc.*^     
 720,000   7.250%, 05/15/31   726,840 
 472,000   6.625%, 05/13/27   472,585 
 1,105,000   Silgan Holdings, Inc.     
     4.125%, 02/01/28   1,041,043 
 478,000   Trinseo Materials Operating SCA / Trinseo Materials Finance, Inc.*     
     5.125%, 04/01/29   187,844 
         13,355,536 
     Other (0.1%)     
     Gen Digital, Inc.*     
 500,000   7.125%, 09/30/30^   518,865 
 500,000   6.750%, 09/30/27   508,370 
         1,027,235 
     Real Estate (0.4%)     
 764,000   EPR Properties     
     3.750%, 08/15/29   681,274 
     Forestar Group, Inc.*     
 750,000   5.000%, 03/01/28   713,385 
 502,000   3.850%, 05/15/26   477,437 
 1,073,000   MIWD Holdco II, LLC / MIWD Finance Corp.*     
     5.500%, 02/01/30   977,825 
 465,000   Service Properties Trust^     
     5.250%, 02/15/26   450,613 
         3,300,534 
     Special Purpose Acquisition Companies (0.2%)     
     Fertitta Entertainment, LLC / Fertitta Entertainment Finance Company, Inc.*     
 955,000   6.750%, 01/15/30^   859,682 
 477,000   4.625%, 01/15/29   439,665 
         1,299,347 
     Utilities (0.1%)     
 350,000   PPL Capital Funding, Inc.‡     
     8.275%, 03/30/67     
     3 mo. USD LIBOR + 2.67%   335,863 
     Vistra Corp.*‡     
 450,000   7.000%, 02/01/68     
     5 year CMT + 5.74%   439,290 
 250,000   8.000%, 02/01/68     
     5 year CMT + 6.93%   251,158 
         1,026,311 
     Total Corporate Bonds     
     (Cost $309,905,188)   305,038,181 
           
Convertible Bonds (103.3%)     
     Communication Services (9.4%)     
 960,000   Cable One, Inc.µ     
     0.000%, 03/15/26   824,746 
     Liberty Media Corp.*     
 8,500,000   3.750%, 03/15/28   10,545,610 
 8,250,000   2.375%, 09/30/53   8,660,437 
 9,000,000   Liberty Media Corp.-Liberty Formula One     
     2.250%, 08/15/27   9,379,980 
 5,250,000   Match Group Financeco 3, Inc.*µ     
     2.000%, 01/15/30   4,674,600 
 6,000,000   Perficient, Inc.µ     
     0.125%, 11/15/26   5,109,000 
 14,500,000   Sea, Ltd.     
     0.250%, 09/15/26   12,227,560 
     Snap, Inc.µ     
 10,500,000   0.000%, 05/01/27   8,458,065 
 5,750,000   0.750%, 08/01/26   6,036,638 
 3,500,000   Zillow Group, Inc.µ     
     1.375%, 09/01/26   4,781,455 
         70,698,091 
     Consumer Discretionary (20.8%)     
 11,500,000   Airbnb, Inc.µ     
     0.000%, 03/15/26   10,454,650 
 4,500,000   Booking Holdings, Inc.     
     0.750%, 05/01/25   8,401,815 

 

See accompanying Notes to Schedule of Investments

 

7 

 

 

Calamos Convertible Opportunities and Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL        
AMOUNT      VALUE 
 4,250,000   Carnival Corp.     
     5.750%, 12/01/27  $6,470,923 
 6,750,000   Chegg, Inc.µ     
     0.000%, 09/01/26   5,609,385 
     DISH Network Corp.µ     
 14,191,000   0.000%, 12/15/25   10,157,208 
 955,000   2.375%, 03/15/24   936,330 
 11,500,000   DraftKings Holdings, Inc.µ     
     0.000%, 03/15/28   9,595,255 
 12,750,000   Etsy, Inc.µ     
     0.125%, 09/01/27   10,574,595 
 16,750,000   Ford Motor Company     
     0.000%, 03/15/26   16,326,727 
 8,750,000   Liberty Broadband Corp.*µ     
     3.125%, 03/31/53   8,591,537 
 2,435,000   Lucid Group, Inc.*     
     1.250%, 12/15/26   968,180 
 10,250,000   Marriott Vacations Worldwide Corp.µ     
     3.250%, 12/15/27   9,064,690 
 11,500,000   Rivian Automotive, Inc.*µ     
     4.625%, 03/15/29   12,249,570 
 2,000,000   Royal Caribbean Cruises, Ltd.     
     6.000%, 08/15/25   5,238,120 
 5,750,000   Shake Shack, Inc.µ     
     0.000%, 03/01/28   4,712,413 
 3,250,000   Stride, Inc.     
     1.125%, 09/01/27   4,167,183 
 15,000,000   Vail Resorts, Inc.µ     
     0.000%, 01/01/26   13,546,800 
 13,500,000   Wayfair, Inc.µ     
     3.250%, 09/15/27   14,906,835 
 3,756,000   Winnebago Industries, Inc.*µ     
     3.250%, 01/15/30   3,864,999 
         155,837,215 
     Consumer Staples (0.6%)     
 4,500,000   Post Holdings, Inc.     
     2.500%, 08/15/27   4,684,905 
           
     Energy (2.0%)     
 4,890,000   Nabors Industries, Inc.*µ     
     1.750%, 06/15/29   3,619,236 
 4,250,000   Northern Oil & Gas, Inc.     
     3.625%, 04/15/29   4,734,967 
 2,750,000   Pioneer Natural Resources Companyµ     
     0.250%, 05/15/25   6,837,435 
     SunEdison, Inc.@     
 9,411,000   0.250%, 01/15/49   94,110 
 898,000   0.000%, 10/01/49   8,980 
         15,294,728 
     Financials (1.4%)     
 8,750,000   Morgan Stanley Finance, LLC     
     1.000%, 11/23/27   10,183,250 
           
     Health Care (21.6%)     
 4,500,000   Alnylam Pharmaceuticals, Inc.µ     
     1.000%, 09/15/27   4,342,185 
 5,500,000   Alphatec Holdings, Inc.     
     0.750%, 08/01/26   6,036,855 
 5,702,000   BioMarin Pharmaceutical, Inc.µ     
     0.599%, 08/01/24   5,617,667 
 9,500,000   CONMED Corp.µ     
     2.250%, 06/15/27   9,038,490 
 12,250,000   CryoPort, Inc.*µ     
     0.750%, 12/01/26   10,035,322 
     Dexcom, Inc.µ     
 15,831,000   0.250%, 11/15/25   16,390,309 
 8,000,000   0.375%, 05/15/28*   8,063,040 
 2,886,000   Enovis Corp.*     
     3.875%, 10/15/28   3,567,991 
 4,250,000   Envista Holdings Corp.*µ     
     1.750%, 08/15/28   3,881,568 
     Exact Sciences Corp.µ     
 6,750,000   0.375%, 03/15/27   6,273,720 
 3,750,000   2.000%, 03/01/30*   4,165,238 
 7,250,000   Halozyme Therapeutics, Inc.µ     
     1.000%, 08/15/28   6,578,433 
 2,088,000   Immunocore Holdings, PLC*     
     2.500%, 02/01/30   2,251,908 
 4,250,000   Insmed, Inc.µ     
     0.750%, 06/01/28   4,632,160 
 4,500,000   Insulet Corp.µ     
     0.375%, 09/01/26   4,820,310 
 9,125,000   Integer Holdings Corp.*     
     2.125%, 02/15/28   11,889,236 
 4,500,000   Ionis Pharmaceuticals, Inc.     
     0.000%, 04/01/26   4,785,975 
 9,950,000   Jazz Investments I, Ltd.µ     
     2.000%, 06/15/26   10,033,779 
 3,721,000   Lantheus Holdings, Inc.µ     
     2.625%, 12/15/27   3,857,523 
 10,250,000   NeoGenomics, Inc.µ     
     0.250%, 01/15/28   7,832,948 
 8,500,000   Omnicell, Inc.µ     
     0.250%, 09/15/25   7,814,050 
 8,000,000   Pacira BioSciences, Inc.µ     
     0.750%, 08/01/25   7,434,400 
 3,750,000   Sarepta Therapeutics, Inc.     
     1.250%, 09/15/27   4,233,000 
 8,250,000   Shockwave Medical, Inc.*     
     1.000%, 08/15/28   8,725,860 
         162,301,967 
     Industrials (7.9%)     
 4,250,000   Axon Enterprise, Inc.     
     0.500%, 12/15/27   5,224,483 
 4,125,000   Fluor Corp.*     
     1.125%, 08/15/29   4,370,561 
 7,250,000   John Bean Technologies Corp.µ     
     0.250%, 05/15/26   6,566,615 
 4,250,000   Middleby Corp.µ     
     1.000%, 09/01/25   5,021,928 
 3,000,000   Parsons Corp.     
     0.250%, 08/15/25   4,458,180 
 4,000,000   Tetra Tech, Inc.*     
     2.250%, 08/15/28   4,067,840 
     Uber Technologies, Inc.     
 20,000,000   0.000%, 12/15/25   20,674,000 
 7,804,000   0.875%, 12/01/28*   8,717,770 
         59,101,377 
     Information Technology (33.0%)     
 4,125,000   Advanced Energy Industries, Inc.*     
     2.500%, 09/15/28   4,275,315 
     Akamai Technologies, Inc.     
 8,250,000   1.125%, 02/15/29*   9,171,195 
 4,500,000   0.375%, 09/01/27µ   5,155,695 
 9,250,000   Bentley Systems, Inc.µ     
     0.125%, 01/15/26   9,071,845 

 

See accompanying Notes to Schedule of Investments

 

 8

 

 

Calamos Convertible Opportunities and Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL        
AMOUNT      VALUE 
 7,500,000   BILL Holdings, Inc.µ     
     0.000%, 12/01/25  $7,031,325 
 3,250,000   Camtek, Ltd.*     
     0.000%, 12/01/26   4,642,593 
 5,750,000   Confluent, Inc.µ     
     0.000%, 01/15/27   4,815,223 
 7,500,000   CyberArk Software, Ltd.µ     
     0.000%, 11/15/24   11,285,700 
 4,730,000   Datadog, Inc.µ     
     0.125%, 06/15/25   6,694,180 
 6,000,000   DigitalOcean Holdings, Inc.µ     
     0.000%, 12/01/26   4,947,660 
 9,066,000   Enphase Energy, Inc.µ     
     0.000%, 03/01/26   8,143,444 
 2,250,000   Five9, Inc.µ     
     0.500%, 06/01/25   2,163,105 
 2,000,000   MongoDB, Inc.µ~     
     0.250%, 01/15/26   3,884,860 
     NCL Corp., Ltd.µ     
 6,000,000   1.125%, 02/15/27   5,340,780 
 4,500,000   2.500%, 02/15/27   4,121,640 
 3,000,000   5.375%, 08/01/25   3,617,460 
 6,250,000   Nutanix, Inc.     
     0.250%, 10/01/27   7,175,812 
     Okta, Inc.µ     
 7,500,000   0.125%, 09/01/25   6,930,000 
 4,000,000   0.375%, 06/15/26   3,557,000 
 17,250,000   ON Semiconductor Corp.*µ     
     0.500%, 03/01/29   16,754,925 
 5,500,000   Palo Alto Networks, Inc.µ     
     0.375%, 06/01/25   18,710,890 
 2,000,000   Q2 Holdings, Inc.µ     
     0.750%, 06/01/26   1,826,420 
 7,500,000   Rapid7, Inc.     
     1.250%, 03/15/29   8,211,675 
 11,250,000   Repay Holdings Corp.*µ     
     0.000%, 02/01/26   9,564,300 
 4,000,000   Seagate HDD Cayman*     
     3.500%, 06/01/28   4,817,080 
 13,750,000   Shift4 Payments, Inc.     
     0.000%, 12/15/25   15,170,787 
 6,600,000   SK Hynix, Inc.     
     1.750%, 04/11/30   8,702,298 
 10,000,000   Tyler Technologies, Inc.     
     0.250%, 03/15/26   10,149,500 
 12,250,000   Unity Software, Inc.µ     
     0.000%, 11/15/26   10,190,407 
 5,000,000   Western Digital Corp.*     
     3.000%, 11/15/28   6,494,700 
 6,250,000   Wix.com, Ltd.     
     0.000%, 08/15/25   5,718,250 
     Wolfspeed, Inc.     
 8,750,000   1.875%, 12/01/29   5,046,212 
 5,338,000   0.250%, 02/15/28   3,161,911 
 4,250,000   Workiva, Inc.*µ     
     1.250%, 08/15/28   4,094,578 
 4,250,000   Zscaler, Inc.µ     
     0.125%, 07/01/25   6,764,895 
         247,403,660 
     Materials (2.0%)     
 1,500,000   ATI, Inc.µ     
     3.500%, 06/15/25   4,000,275 
 3,500,000   Ivanhoe Mines, Ltd.*     
     2.500%, 04/15/26   5,224,100 
 6,306,000   MP Materials Corp.*µ     
     0.250%, 04/01/26   5,416,665 
         14,641,040 
     Other (0.0%)     
 475,000   Multiplan Corp.*µ     
     6.000%, 10/15/27     
     7.000% PIK rate7.000% PIK rate   332,699 
           
     Real Estate (0.7%)     
 6,000,000   Pebblebrook Hotel Trustµ     
     1.750%, 12/15/26   5,382,840 
           
     Utilities (3.9%)     
 4,250,000   CMS Energy Corp.*     
     3.375%, 05/01/28   4,169,463 
 6,500,000   PG&E Corp.*µ     
     4.250%, 12/01/27   6,626,035 
 15,250,000   PPL Capital Funding, Inc.*^     
     2.875%, 03/15/28   14,550,177 
 4,250,000   Southern Company*     
     3.875%, 12/15/25   4,234,062 
         29,579,737 
     Total Convertible Bonds     
     (Cost $808,571,928)   775,441,509 
           
Bank Loans (6.4%) ¡    
     Airlines (0.2%)     
 680,000   American Airlines, Inc.‡     
     10.329%, 04/20/28     
     3 mo. SOFR + 4.75%   697,803 
 689,500   Mileage Plus Holdings, LLC‡     
     10.770%, 06/21/27     
     3 mo. SOFR + 5.25%   711,550 
         1,409,353 
     Communication Services (0.3%)     
 126,698   Clear Channel Outdoor Holdings, Inc.‡     
     9.074%, 08/21/26     
     3 mo. SOFR + 3.50%   125,442 
 755,000   DirecTV Financing, LLC!     
     0.000%, 08/02/29   755,631 
 1,505,000   Entercom Media Corp.‡&     
     8.145%, 11/18/24     
     3 mo. SOFR + 2.50%   845,035 
 485,000   Telesat Canada‡     
     8.400%, 12/07/26     
     3 mo. SOFR + 2.75%   297,729 
         2,023,837 
     Consumer Discretionary (1.3%)     
 744,000   American Axle & Manufacturing, Inc.‡     
     8.936%, 12/13/29     
     1 mo. SOFR + 3.50%   745,399 
 962,725   Caesars Entertainment, Inc.‡     
     8.663%, 02/06/30     
     3 mo. SOFR + 3.25%   963,495 
 1,147,074   Carnival Corp.‡     
     8.697%, 10/18/28     
     1 mo. SOFR + 3.25%   1,148,685 

 

See accompanying Notes to Schedule of Investments

 

9 

 

 

Calamos Convertible Opportunities and Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL        
AMOUNT      VALUE 
 970,125   Carnival Corp.‡     
     8.336%, 08/08/27     
     1 mo. SOFR + 3.00%  $971,823 
 977,613   Hanesbrands, Inc.‡     
     9.083%, 03/08/30     
     1 mo. SOFR + 3.75%   973,946 
 530,816   Life Time Fitness, Inc.‡     
     9.824%, 01/15/26     
     3 mo. SOFR + 4.25%   534,532 
 580,558   Petco Health & Wellness Company, Inc.‡     
     8.860%, 03/03/28     
     3 mo. SOFR + 3.25%   546,517 
 2,380,222   PetSmart, Inc.‡     
     9.183%, 02/11/28     
     1 mo. SOFR + 3.75%   2,372,546 
 596,577   TKC Holdings, Inc.‡     
     10.947%, 05/15/28     
     1 mo. SOFR + 5.50%   578,530 
 974,388   Windsor Holdings III, LLC‡     
     9.848%, 08/01/30     
     1 mo. SOFR + 4.50%   976,960 
         9,812,433 
     Consumer Staples (0.7%)     
 2,037,793   Amneal Pharmaceuticals, LLC‡     
     10.833%, 05/04/28     
     1 mo. SOFR + 5.50%   2,027,604 
 1,756,452   Jazz Financing Lux Sarl‡     
     8.447%, 05/05/28     
     1 mo. SOFR + 3.00%   1,757,550 
 960,000   Star Parent, Inc.‡     
     9.348%, 09/27/30     
     3 mo. SOFR + 4.00%   939,000 
 481,343   United Natural Foods, Inc.‡     
     8.697%, 10/22/25     
     1 mo. SOFR + 3.25%   481,018 
         5,205,172 
     Energy (0.3%)     
 750,000   Buckeye Partners, LP‡     
     7.833%, 11/22/30   750,626 
 475,000   New Fortress Energy, Inc.‡     
     10.317%, 10/27/28     
     3 mo. SOFR + 5.00%   475,950 
 1,197,184   Par Petroleum, LLC‡     
     9.738%, 02/28/30     
     3 mo. SOFR + 4.25%   1,198,232 
         2,424,808 
     Financials (0.9%)     
 240,000   Advisor Group, Inc.‡     
     9.833%, 08/17/28     
     1 mo. SOFR + 4.50%   240,076 
 778,636   Alliant Holdings Intermediate LLC‡     
     8.833%, 11/06/30     
     1 mo. SOFR + 3.50%   781,143 
 721,380   Amynta Agency Borrower, Inc.‡     
     9.583%, 02/28/28     
     1 mo. SOFR + 4.25%   722,537 
 987,437   AssuredPartners, Inc.‡     
     8.833%, 02/12/27     
     1 mo. SOFR + 3.50%   985,378 
 738,150   Avolon TLB Borrower 1, LLC‡     
     7.337%, 06/22/28     
     1 mo. SOFR + 2.00%   738,825 
 450,000   Broadstreet Partners, Inc.‡     
     9.083%, 01/27/29     
     1 mo. SOFR + 3.75%   450,281 
 950,000   HUB International, Ltd.!     
     0.000%, 06/20/30   951,634 
 720,000   Iron Mountain, Inc.‡     
     7.569%, 01/31/31     
     3 mo. SOFR + 2.25%   717,077 
 1,290,453   VFH Parent, LLC‡     
     8.433%, 01/13/29     
     1 mo. SOFR + 3.00%   1,289,808 
         6,876,759 
     Health Care (0.5%)     
 488,456   Icon Luxembourg Sarl‡     
     7.860%, 07/03/28     
     3 mo. SOFR + 2.25%   489,523 
 988,235   Padagis, LLC‡     
     10.341%, 07/06/28     
     3 mo. SOFR + 4.75%   958,593 
 121,699   PRA Health Sciences, Inc.‡     
     7.860%, 07/03/28     
     3 mo. SOFR + 2.25%   121,965 
 2,367,475   Team Health Holdings, Inc.‡     
     10.563%, 03/02/27     
     3 mo. SOFR + 5.25%   1,979,801 
 6,770   Team Health Holdings, Inc.‡     
     10.583%, 03/02/27     
     1 mo. SOFR + 5.25%   5,662 
         3,555,544 
     Industrials (0.8%)     
 489,500   ACProducts, Inc.!     
     0.000%, 05/17/28   424,697 
 468,000   ACProducts, Inc.‡     
     9.860%, 05/17/28     
     3 mo. SOFR + 4.25%   406,044 
 605,775   Air Canada‡     
     9.139%, 08/11/28     
     3 mo. SOFR + 3.50%   607,147 
 903,473   ChampionX Corp.‡     
     8.187%, 06/07/29     
     1 mo. SOFR + 2.75%   907,426 
 606,019   Emrld Borrower, LP‡     
     8.313%, 05/31/30     
     1 mo. SOFR + 3.00%   606,891 
 1,122,900   Light and Wonder International, Inc.‡     
     8.083%, 04/14/29     
     1 mo. SOFR + 3.00%   1,122,900 
 975,000   TransDigm, Inc.‡     
     8.598%, 02/14/31     
     3 mo. SOFR + 3.25%   977,345 
 928,837   United Airlines, Inc.‡     
     9.201%, 04/21/28     
     1 mo. SOFR + 3.75%   931,814 
         5,984,264 
     Information Technology (0.5%)     
 1,323,697   Banff Merger Sub, Inc.‡     
     9.583%, 12/29/28     
     1 mo. SOFR + 4.25%   1,327,007 

 

See accompanying Notes to Schedule of Investments

 

 10

 

 

Calamos Convertible Opportunities and Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL        
AMOUNT      VALUE 
 756,093   Camelot US Acquisition, LLC‡     
     8.337%, 10/30/26     
     1 mo. SOFR + 3.00%  $756,471 
 913,163   Central Parent, Inc.‡     
     9.348%, 07/06/29     
     3 mo. SOFR + 4.00%   916,016 
 857,521   II-VI, Inc.‡     
     8.087%, 07/02/29     
     1 mo. SOFR + 2.75%   855,163 
         3,854,657 
     Materials (0.7%)     
 718,200   Chemours Company‡     
     8.833%, 08/18/28     
     1 mo. SOFR + 3.50%   717,482 
 970,125   Ineos US Finance, LLC‡     
     8.837%, 02/18/30     
     1 mo. SOFR + 3.50%   960,724 
 757,638   Innophos, Inc.‡     
     8.697%, 02/05/27     
     1 mo. SOFR + 3.25%   748,959 
 1,203,950   LSF11 A5 Holdco, LLC‡     
     9.683%, 10/15/28     
     1 mo. SOFR + 4.25%   1,205,461 
 735,569   Trinseo Materials Operating SCA‡     
     8.150%, 05/03/28     
     3 mo. SOFR + 2.50%   564,796 
 981,278   WR Grace Holdings, LLC‡     
     9.360%, 09/22/28     
     3 mo. SOFR + 3.75%   983,648 
         5,181,070 
     Special Purpose Acquisition Companies (0.2%)     
 472,800   Clydesdale Acquisition Holdings, Inc.‡     
     9.108%, 04/13/29     
     1 mo. SOFR + 3.67%   470,361 
 240,713   Fertitta Entertainment, LLC‡     
     9.333%, 01/27/29     
     1 mo. SOFR + 4.00%   240,342 
 987,500   Patagonia Holdco, LLC‡     
     11.116%, 08/01/29     
     3 mo. SOFR + 5.75%   908,006 
         1,618,709 
     Total Bank Loans     
     (Cost $48,813,168)   47,946,606 

 

NUMBER OF        
SHARES      VALUE 
         
Convertible Preferred Stocks (3.4%)    
     Energy (0.0%)     
 26   Gulfport Energy Corp.#     
     10.000%, 03/04/24     
     15.000% PIK rate   240,500 
           
     Financials (2.0%)     
 83,465   Apollo Global Management, Inc.     
     0.000%, 07/31/26   4,876,025 
 8,100   Bank of America Corp.‡‡     
     7.250%   9,864,585 
         14,740,610 
     Industrials (0.5%)     
 75,625   Chart Industries, Inc.     
     6.750%, 12/15/25   3,767,638 
           
     Utilities (0.9%)     
 180,300   NextEra Energy, Inc.^     
     6.926%, 09/01/25   6,708,963 
     Total Convertible Preferred Stocks     
     (Cost $28,652,875)   25,457,711 
           
Warrants (0.0%) #     
     Energy (0.0%)     
 47,739   Mcdermott International, Ltd.&     
     06/30/27, Strike $15.98   5 
 42,965   Mcdermott International, Ltd.&     
     06/30/27, Strike $12.33   4 
     Total Warrants     
     (Cost $18,376)   9 
           
Common Stocks (0.5%)     
     Communication Services (0.0%)     
 20,285   Altice USA, Inc. - Class A^#   49,495 
 6,819   Cumulus Media, Inc. - Class Aµ#   31,367 
 1   Frontier Communications Parent, Inc.µ#   25 
         80,887 
     Consumer Staples (0.0%)     
 7,073   Mallinckrodt, PLC#   270,542 
           
     Energy (0.4%)     
 1,384   Chesapeake Energy Corp.µ   106,720 
 67,000   Energy Transfer, LP   958,100 
 39,795   Enterprise Products Partners, LP   1,064,914 
 6,644   EP Energy Corp.&#   19,932 
 32   Gulfport Energy Corp.&#   4,061 
 8,557   ONEOK, Inc.^   584,016 
         2,737,743 
     Special Purpose Acquisition Company (0.1%)     
 11,411   Intelsat Emergence, SA&#   310,950 
     Total Common Stocks     
     (Cost $4,420,995)   3,400,122 
           
Preferred Stocks (0.4%)     
     Communication Services (0.1%)     
     United States Cellular Corp.µ     
 11,875   5.500%, 06/01/70   217,907 
 11,375   5.500%, 03/01/70   210,551 
         428,458 
     Consumer Discretionary (0.1%)     
 6,122   Guitar Center, Inc.&#   502,004 

 

See accompanying Notes to Schedule of Investments

 

11 

 

 

Calamos Convertible Opportunities and Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

NUMBER OF        
SHARES      VALUE 
     Energy (0.2%)     
 29,680   NuStar Energy, LP‡     
     11.282%, 03/01/24     
     3 mo. USD LIBOR + 5.64%  $762,776 
 7,294   NuStar Energy, LP‡     
     12.405%, 03/01/24     
     3 mo. USD LIBOR + 6.77%   188,331 
 43,000   NuStar Logistics, LP‡     
     12.310%, 01/15/43     
     3 mo. USD SOFR + 7.00%   1,111,980 
         2,063,087 
     Total Preferred Stocks     
     (Cost $3,137,405)   2,993,549 

 

NUMBER OF        
CONTRACTS/        
NOTIONAL        
AMOUNT        
         
Purchased Option (0.0%) #        
     Information Technology (0.0%)     
 375   Zscaler, Inc.     
 8,837,625   Put, 06/21/24, Strike $200.00     
     (Cost $511,283)   386,250 
TOTAL INVESTMENTS (154.7%)     
(Cost $1,204,738,350)   1,161,367,862 
      
MANDATORY REDEEMABLE PREFERRED SHARES, AT LIQUIDATION VALUE (-17.7%)   (133,000,000)
      
LIABILITIES, LESS OTHER ASSETS (-37.0%)   (277,890,120)
      
NET ASSETS (100.0%)  $750,477,742 

 

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 Funds. Any resale of these securities must generally be effected through a sale that is registered under the Act or otherwise exempted from such registration requirements.
µ Security, or portion of security, is held in a segregated account as collateral for note payable aggregating a total value of $463,154,007.
@ In default status and considered non-income producing.
^ Security, or portion of security, is on loan.
& Illiquid security.
Variable rate security. The rate shown is the rate in effect at January 31, 2024.
~ Security, or portion of security, is segregated as collateral (or potential collateral for future transactions) for written options. The aggregate value of such securities is $2,428,038.
¡ 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.
# Non-income producing security.
‡‡ Perpetual maturity.
 
Note:  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.

 

The following table summarizes the Fund's investments and derivative financial instruments categorized in the fair value hierarchy as of January 31, 2024 (see Note 2):

 

   LEVEL 1   LEVEL 2   LEVEL 3   TOTAL 
Assets:                    
Asset Backed Securities  $   $703,925   $   $703,925 
Corporate Bonds       305,038,181        305,038,181 
Convertible Bonds       775,441,509        775,441,509 
Bank Loans       47,946,606        47,946,606 
Convertible Preferred Stocks   25,217,211    240,500        25,457,711 
Warrants       9        9 
Common Stocks   2,794,637    605,485        3,400,122 
Preferred Stocks   2,491,545    502,004        2,993,549 
Purchased Options   386,250            386,250 
Total  $30,889,643   $1,130,478,219   $   $1,161,367,862 

 

See accompanying Notes to Schedule of Investments

 

 12

 

 

 

Calamos Convertible and High Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL          
AMOUNT       VALUE  
Asset Backed Security (0.1%)          
    Other (0.1%)        
850,000   SVC ABS, LLC Series 2023-1A, Class C*    
    6.700%, 02/20/53        
    (Cost $785,702)   $  782,140   
             
Corporate Bonds (40.8%)          
    Airlines (0.6%)        
956,044   Alaska Airlines Pass Through Trust Series 2020-1, Class A*µ        
    4.800%, 02/15/29     928,051  
440,686   Alaska Airlines Pass Through Trust Series 2020-1, Class B*        
    8.000%, 02/15/27     445,234  
1,076,060   American Airlines Pass Through Trust Series 2021-1, Class B        
    3.950%, 01/11/32     960,028  
587,250   American Airlines, Inc. / AAdvantage Loyalty IP, Ltd.*        
    5.500%, 04/20/26     581,924  
1,014,360   British Airways Pass Through Trust Series 2021-1, Class B*        
    3.900%, 03/15/33     920,339  
833,999   JetBlue Pass Through Trust Series 2020-1, Class B        
    7.750%, 05/15/30     841,188  
          4,676,764  
    Communication Services (4.3%)        
600,000   Altice France Holding, SA*        
    10.500%, 05/15/27     346,710  
1,200,000   Altice France, SA*        
    5.500%, 10/15/29     886,332  
1,255,000   APi Group DE, Inc.*        
    4.750%, 10/15/29     1,175,207  
1,100,000   Ashtead Capital, Inc.*        
    2.450%, 08/12/31     896,401  
    Audacy Capital Corp.*@        
1,307,000   6.750%, 03/31/29     52,764  
490,000   6.500%, 05/01/27     20,908  
952,000   Cincinnati Bell Telephone Company, LLC        
    6.300%, 12/01/28     844,376  
1,025,000   Clear Channel Outdoor Holdings, Inc.*        
    9.000%, 09/15/28     1,071,115  
1,454,000   Consolidated Communications, Inc.*        
    6.500%, 10/01/28     1,266,885  
    CSC Holdings, LLC*        
1,630,000   5.375%, 02/01/28     1,402,957  
1,600,000   4.625%, 12/01/30     828,000  
1,220,000   4.500%, 11/15/31     876,777  
1,150,000   5.750%, 01/15/30     610,685  
1,035,000   5.500%, 04/15/27     930,579  
    Diamond Sports Group, LLC / Diamond Sports Finance Company*@        
750,000   6.625%, 08/15/27     51,323  
585,000   5.375%, 08/15/26     41,289  
1,297,000   Directv Financing, LLC / Directv Financing Co-Obligor, Inc.*        
    5.875%, 08/15/27     1,233,278  
1,060,000   Frontier California, Inc.        
    6.750%, 05/15/27     1,025,200  
    Frontier Communications Holdings, LLC*        
658,000   5.000%, 05/01/28     607,979  
261,000   8.750%, 05/15/30     267,449  
1,165,000   Frontier Florida, LLC@        
    6.860%, 02/01/28     1,122,606  
1,555,000   Frontier North, Inc.@        
    6.730%, 02/15/28     1,491,711  
    Go Daddy Operating Company, LLC / GD Finance Company, Inc.*        
905,000   3.500%, 03/01/29     819,677  
270,000   5.250%, 12/01/27     265,270  
    iHeartCommunications, Inc.        
655,000   8.375%, 05/01/27     409,761  
395,000   5.250%, 08/15/27*     307,124  
1,295,000   LCPR Senior Secured Financing DAC*        
    6.750%, 10/15/27     1,255,761  
791,137   Ligado Networks, LLC*      
    15.500%, 11/01/23        
    15.500% PIK rate      136,234  
    Lumen Technologies, Inc.        
785,000   7.600%, 09/15/39     208,912  
525,000   4.000%, 02/15/27*     277,946  
263,000   7.650%, 03/15/42     72,514  
522,000   Match Group Holdings II, LLC*^        
    3.625%, 10/01/31     447,130   
875,000   Nexstar Media, Inc.*        
    5.625%, 07/15/27     851,847   
1,005,000   Paramount Global        
    4.900%, 08/15/44     795,056   
367,000   Qwest Corp.        
    7.250%, 09/15/25     359,752  
    Scripps Escrow II, Inc.*        
514,000   3.875%, 01/15/29     447,113  
257,000   5.375%, 01/15/31     197,592  
930,000   Scripps Escrow, Inc.*^        
    5.875%, 07/15/27     839,325  
    Sirius XM Radio, Inc.*        
1,350,000   5.500%, 07/01/29^     1,284,930  
1,044,000   4.000%, 07/15/28     948,558  
515,000   3.125%, 09/01/26     481,649  
261,000   3.875%, 09/01/31     217,945  
957,000   Spanish Broadcasting System, Inc.*        
    9.750%, 03/01/26     508,923  
1,915,000   Sprint, LLCµ        
    7.125%, 06/15/24     1,924,422  
1,170,000   Stagwell Global, LLC*        
    5.625%, 08/15/29     1,074,095  
1,042,000   Telesat Canada / Telesat, LLC*        
    4.875%, 06/01/27     617,875  
420,000   Time Warner Cable, LLC        
    7.300%, 07/01/38     440,811  
1,186,000   United States Cellular Corp.        
    6.700%, 12/15/33     1,222,849  
786,000   Univision Communications, Inc.*        
    8.000%, 08/15/28     799,951  

 

See accompanying Notes to Schedule of Investments

 

13 

 

 

Calamos Convertible and High Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL          
AMOUNT       VALUE  
525,000   Viasat, Inc.*^        
    5.625%, 04/15/27   $ 492,875  
          34,756,428  
    Consumer Discretionary (8.7%)        
1,257,000   Abercrombie & Fitch Management Company*        
    8.750%, 07/15/25     1,279,991  
1,055,000   Adams Homes, Inc.*        
    9.250%, 10/15/28     1,081,291  
1,305,000   Adient Global Holdings Company*^        
    8.250%, 04/15/31     1,379,542  
830,000   American Axle & Manufacturing, Inc.        
    6.875%, 07/01/28     812,097  
    Ashton Woods USA, LLC / Ashton Woods Finance Company*        
913,000   4.625%, 08/01/29     831,926  
780,000   6.625%, 01/15/28     773,807  
1,325,000   At Home Group, Inc.*        
    4.875%, 07/15/28     585,849  
    Bath & Body Works, Inc.        
1,369,000   6.694%, 01/15/27     1,391,821  
760,000   6.875%, 11/01/35     760,433  
600,000   Benteler International AG*^      
    10.500%, 05/15/28      643,392  
    Caesars Entertainment, Inc.*        
657,000   4.625%, 10/15/29     600,531  
512,000   8.125%, 07/01/27^     525,880  
    Carnival Corp.*        
523,000   4.000%, 08/01/28     485,103  
520,000   7.625%, 03/01/26     528,434  
65,000   7.000%, 08/15/29^     67,686  
    Carvana Company*        
209,000   14.000%, 06/01/31     186,572  
176,000   13.000%, 06/01/30     156,930  
117,000   12.000%, 12/01/28     103,905  
    CCO Holdings, LLC / CCO Holdings Capital Corp.*        
2,250,000   5.125%, 05/01/27     2,171,722  
1,825,000   4.500%, 08/15/30     1,586,290  
1,200,000   6.375%, 09/01/29     1,168,956  
1,150,000   4.750%, 03/01/30     1,022,511  
1,035,000   4.250%, 02/01/31     873,654  
540,000   5.000%, 02/01/28     510,138  
522,000   4.750%, 02/01/32     448,247  
522,000   CDI Escrow Issuer, Inc.*        
    5.750%, 04/01/30     505,625  
810,000   Cedar Fair, LP^        
    5.250%, 07/15/29     775,308  
520,000   Churchill Downs, Inc.*        
    6.750%, 05/01/31     527,462  
    Dana, Inc.        
855,000   4.250%, 09/01/30     748,424  
782,000   4.500%, 02/15/32     673,458  
    DISH DBS Corp.        
1,170,000   5.125%, 06/01/29     436,316  
775,000   5.250%, 12/01/26*     612,010  
650,000   7.375%, 07/01/28     287,677  
525,000   5.750%, 12/01/28*     354,149  
428,000   7.750%, 07/01/26     253,273  
1,049,000   DISH Network Corp.*        
    11.750%, 11/15/27     1,095,607  
1,510,000   Empire Resorts, Inc.*        
    7.750%, 11/01/26     1,400,359   
1,142,000   Everi Holdings, Inc.*        
    5.000%, 07/15/29     1,050,811  
1,075,000   Ford Motor Company^        
    6.100%, 08/19/32     1,075,699  
    Ford Motor Credit Company, LLC        
1,650,000   4.000%, 11/13/30     1,472,542  
1,350,000   7.200%, 06/10/30^     1,435,765  
1,280,000   5.113%, 05/03/29     1,244,122  
945,000   7.350%, 11/04/27     994,093  
800,000   2.900%, 02/16/28     720,368  
391,000   Gap, Inc.*        
    3.875%, 10/01/31     323,126  
510,000   General Motors Company        
    5.200%, 04/01/45     462,769  
    goeasy, Ltd.*        
1,825,000   9.250%, 12/01/28     1,945,067  
962,000   4.375%, 05/01/26     920,538  
560,000   Goodyear Tire & Rubber Company^        
    5.250%, 07/15/31     510,216  
445,000   Group 1 Automotive, Inc.*        
    4.000%, 08/15/28     410,935  
1,116,000   Guitar Center, Inc.*^&        
    8.500%, 01/15/26     991,611  
825,000   International Game Technology, PLC*        
    6.250%, 01/15/27     830,478  
285,653   JetBlue Pass Through Trust Series 2019-2, Class B        
    8.000%, 11/15/27     287,996  
928,000   Kohl's Corp.        
    5.550%, 07/17/45     633,286  
1,040,000   LCM Investments Holdings II, LLC*        
    8.250%, 08/01/31     1,067,914  
1,045,000   Liberty Interactive, LLC        
    8.250%, 02/01/30     558,302  
1,008,000   Life Time, Inc.*^        
    8.000%, 04/15/26     1,019,673  
525,000   Light & Wonder International, Inc.*        
    7.500%, 09/01/31     547,097  
390,000   Lindblad Expeditions Holdings, Inc.*        
    9.000%, 05/15/28     405,639  
672,000   Lindblad Expeditions, LLC*        
    6.750%, 02/15/27     672,511  
685,000   M/I Homes, Inc.        
    3.950%, 02/15/30     614,349  
    Macy's Retail Holdings, LLC        
1,219,000   6.700%, 07/15/34*     1,025,849  
1,025,000   4.300%, 02/15/43     778,272  
870,000   Mclaren Finance, PLC*        
    7.500%, 08/01/26     771,507  
1,329,000   Midwest Gaming Borrower, LLC / Midwest Gaming Finance Corp.*        
    4.875%, 05/01/29     1,233,870  
625,000   Newell Brands, Inc.        
    5.200%, 04/01/26     608,650  
    Nordstrom, Inc.        
500,000   5.000%, 01/15/44     361,295  
499,000   4.250%, 08/01/31     416,635  
1,573,000   Patrick Industries, Inc.*^        
    4.750%, 05/01/29     1,450,794  
1,195,000   PENN Entertainment, Inc.*^        
    4.125%, 07/01/29     1,027,903  

 

See accompanying Notes to Schedule of Investments

 

2 

 

 

Calamos Convertible and High Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL        
AMOUNT       VALUE  
    PetSmart, Inc. / PetSmart Finance Corp.*        
325,000   7.750%, 02/15/29   $ 315,874  
325,000   4.750%, 02/15/28     303,797  
1,460,000   Premier Entertainment Sub, LLC / Premier Entertainment Finance Corp.*^        
    5.625%, 09/01/29     1,100,490  
525,000   QVC, Inc.      
    5.450%, 08/15/34      348,889  
530,000   Raising Cane's Restaurants, LLC*        
    9.375%, 05/01/29     568,404   
2,039,000   Rite Aid Corp.*@        
    8.000%, 11/15/26     1,549,008  
520,000   Royal Caribbean Cruises, Ltd.*        
    7.250%, 01/15/30     542,246  
1,475,000   Simmons Foods, Inc. / Simmons Prepared Foods, Inc. / Simmons Pet Food, Inc. / Simmons Feed*        
    4.625%, 03/01/29     1,271,656  
1,565,000   Six Flags Entertainment Corp.*        
    7.250%, 05/15/31     1,598,147  
1,173,000   Sonic Automotive, Inc.*^        
    4.625%, 11/15/29     1,062,515  
753,000   Speedway Motorsports, LLC / Speedway Funding II, Inc.*        
    4.875%, 11/01/27     714,838  
2,125,000   Station Casinos, LLC*        
    4.500%, 02/15/28     2,005,214  
263,000   Stl Holding Company, LLC*        
    8.750%, 02/15/29     263,000  
636,000   Taylor Morrison Communities, Inc.*        
    5.750%, 01/15/28     633,882  
260,000   Viking Cruises, Ltd.*        
    9.125%, 07/15/31     278,598  
1,215,000   Vista Outdoor, Inc.*^        
    4.500%, 03/15/29     1,194,746  
    ZF North America Capital, Inc.*        
1,025,000   7.125%, 04/14/30     1,081,846  
300,000   6.875%, 04/14/28     309,222  
          70,658,430  
    Consumer Staples (2.0%)        
1,178,000   1375209 B.C., Ltd.*^        
    9.000%, 01/30/28     1,144,297  
1,543,000   Arrow Bidco, LLC*        
    10.750%, 06/15/25     1,598,563  
1,050,000   B&G Foods, Inc.*        
    8.000%, 09/15/28     1,096,315  
1,191,000   Central Garden & Pet Company*        
    4.125%, 04/30/31     1,054,738  
1,188,000   Edgewell Personal Care Company*        
    4.125%, 04/01/29     1,087,614  
    Energizer Holdings, Inc.*        
1,445,000   4.375%, 03/31/29     1,308,505  
260,000   6.500%, 12/31/27^     259,168  
    JBS USA LUX, SA / JBS USA Food Company / JBS USA Finance, Inc.        
1,575,000   5.500%, 01/15/30^     1,541,893  
650,000   5.125%, 02/01/28µ     644,950  
390,000   5.750%, 04/01/33     386,724  
480,377   Mallinckrodt International Finance SA / Mallinckrodt CB, LLC*        
    14.750%, 11/14/28   523,837  
672,000   New Albertsons, LP        
    7.750%, 06/15/26     689,748  
1,043,000   Performance Food Group, Inc.*        
    4.250%, 08/01/29     956,535  
775,000   Pilgrim's Pride Corp.        
    4.250%, 04/15/31     699,213  
477,000   Post Holdings, Inc.*        
    5.750%, 03/01/27     475,555  
986,000   Prestige Brands, Inc.*        
    3.750%, 04/01/31     859,565  
855,000   United Natural Foods, Inc.*^        
    6.750%, 10/15/28     719,483  
1,628,000   Vector Group, Ltd.*        
    5.750%, 02/01/29     1,503,605  
          16,550,308  
    Energy (5.3%)        
516,000   Antero Resources Corp.*        
    5.375%, 03/01/30     492,837  
1,037,000   Apache Corp.        
    5.100%, 09/01/40     891,820  
545,000   Buckeye Partners, LP        
    5.850%, 11/15/43     450,170  
1,460,000   Callon Petroleum Company*        
    7.500%, 06/15/30     1,539,074  
520,000   Cheniere Energy, Inc.µ        
    4.625%, 10/15/28     503,890  
780,000   Chesapeake Energy Corp.*        
    6.750%, 04/15/29     789,532  
1,465,000   Civitas Resources, Inc.*        
    8.750%, 07/01/31     1,563,580  
    Continental Resources, Inc.*        
775,000   2.875%, 04/01/32     633,051  
515,000   5.750%, 01/15/31     512,765  
808,000   DT Midstream, Inc.*        
    4.125%, 06/15/29     743,029  
    Earthstone Energy Holdings, LLC*        
1,024,000   8.000%, 04/15/27     1,061,233  
390,000   9.875%, 07/15/31     433,388  
600,000   Enbridge, Inc.‡        
    7.375%, 01/15/83      
    5 year CMT + 3.71%      601,056  
    Energy Transfer, LP‡        
1,520,000   8.586%, 11/01/66        
    3 mo. SOFR + 3.28%     1,357,831  
764,000   6.500%, 02/01/36        
    5 year CMT + 5.69%     738,926  
    EnLink Midstream Partners, LP        
1,300,000   9.756%, 02/01/36‡        
    3 mo. LIBOR + 4.11%     1,228,864  
1,125,000   4.850%, 07/15/26     1,105,481  
650,000   Enlink Midstream, LLC*        
    6.500%, 09/01/30     666,023  
1,730,000   EQM Midstream Partners, LP*        
    7.500%, 06/01/27     1,780,412  
    Genesis Energy, LP / Genesis Energy Finance Corp.        
765,000   8.875%, 04/15/30     800,871  
467,000   6.250%, 05/15/26     465,183  
    Gulfport Energy Corp.        
1,105,000   8.000%, 05/17/26*     1,115,829  
311,124   8.000%, 05/17/26     314,173  

 

See accompanying Notes to Schedule of Investments

 

3 

 

 

Calamos Convertible and High Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL        
AMOUNT       VALUE  
1,460,000   Hilcorp Energy I, LP / Hilcorp Finance Company*        
    6.000%, 04/15/30   $ 1,418,638  
782,000   Howard Midstream Energy Partners, LLC*        
    6.750%, 01/15/27     784,409  
459,000   Kodiak Gas Services, LLC*        
    7.250%, 02/15/29     464,407  
1,015,000   Magnolia Oil & Gas Operating, LLC / Magnolia Oil & Gas Finance Corp.*        
    6.000%, 08/01/26     1,003,865  
    Moss Creek Resources Holdings, Inc.*        
540,000   10.500%, 05/15/27     556,173  
495,000   7.500%, 01/15/26     493,431  
    Nabors Industries, Inc.*        
780,000   7.375%, 05/15/27     771,724  
390,000   9.125%, 01/31/30     397,952  
780,000   Nabors Industries, Ltd.*        
    7.500%, 01/15/28     714,667  
1,041,000   New Fortress Energy, Inc.*        
    6.750%, 09/15/25     1,028,852  
792,000   Oceaneering International, Inc.        
    6.000%, 02/01/28     776,469  
1,110,000   Parkland Corp.*        
    5.875%, 07/15/27     1,101,941  
551,000   Patterson-UTI Energy, Inc.^        
    5.150%, 11/15/29     532,420  
260,000   Permian Resources Operating LLC*        
    7.000%, 01/15/32     268,653  
1,040,000   Plains All American Pipeline, LP‡        
    9.751%, 02/01/36        
    3 mo. LIBOR + 4.11%     1,030,442  
1,460,000   Rockcliff Energy II, LLC*        
    5.500%, 10/15/29     1,360,457  
521,000   Southwestern Energy Company        
    4.750%, 02/01/32     482,951  
1,480,100   Transocean, Inc.*        
    8.750%, 02/15/30     1,548,643  
    Venture Global Calcasieu Pass, LLC*        
650,000   6.250%, 01/15/30     651,801  
260,000   4.125%, 08/15/31     230,326  
260,000   3.875%, 08/15/29     232,409  
    Venture Global LNG, Inc.*        
1,300,000   8.375%, 06/01/31     1,317,199  
780,000   8.125%, 06/01/28     789,937  
525,000   9.875%, 02/01/32     552,284  
525,000   9.500%, 02/01/29     558,185  
    Vital Energy, Inc.        
672,000   9.750%, 10/15/30     714,524  
605,000   7.750%, 07/31/29*     597,698  
1,045,000   VOC Escrow, Ltd.*        
    5.000%, 02/15/28     1,000,974  
1,308,000   Weatherford International, Ltd.*        
    8.625%, 04/30/30     1,339,588  
          42,510,037  
    Financials (6.7%)        
1,650,000   Acrisure, LLC / Acrisure Finance, Inc.*        
    8.250%, 02/01/29     1,656,006  
1,562,000   Aethon United BR, LP / Aethon United Finance Corp.*        
    8.250%, 02/15/26   1,558,173  
746,000   AG Issuer, LLC*        
    6.250%, 03/01/28     737,473  
    Alliant Holdings Intermediate, LLC / Alliant Holdings Co-Issuer*        
1,830,000   6.750%, 10/15/27     1,792,650  
135,000   7.000%, 01/15/31     136,702  
    Ally Financial, Inc.        
1,173,000   4.700%, 02/01/36‡        
    5 year CMT + 3.87%     953,004  
480,000   4.700%, 02/01/36‡        
    7 year CMT + 3.48%     367,162  
434,000   8.000%, 11/01/31     480,642  
2,082,000   AmWINS Group, Inc.*        
    4.875%, 06/30/29     1,946,025  
779,000   Aviation Capital Group, LLC*µ        
    3.500%, 11/01/27     726,293  
1,559,000   BroadStreet Partners, Inc.*        
    5.875%, 04/15/29     1,480,177  
1,245,000   Brookfield Property REIT, Inc. / BPR Cumulus, LLC / BPR Nimbus, LLC / GGSI Sellco, LLC*        
    4.500%, 04/01/27     1,104,116  
1,000,000   Burford Capital Global Financial, LLC*        
    6.875%, 04/15/30     975,480  
    Credit Acceptance Corp.        
1,010,000   6.625%, 03/15/26^     1,011,333  
690,000   9.250%, 12/15/28*     727,081  
1,045,000   Cushman & Wakefield U.S. Borrower LLC*^        
    8.875%, 09/01/31     1,097,584  
1,346,000   Enact Holdings, Inc.*µ        
    6.500%, 08/15/25     1,343,793  
1,170,000   GGAM Finance, Ltd.*      
    8.000%, 02/15/27      1,207,475  
1,292,000   Global Net Lease, Inc. / Global Net Lease Operating Partnership, LP*        
    3.750%, 12/15/27     1,104,880  
1,050,000   GTCR W-2 Merger Sub, LLC*        
    7.500%, 01/15/31     1,094,866  
585,000   HAT Holdings I LLC / HAT Holdings II LLC*        
    8.000%, 06/15/27     606,791  
    HUB International, Ltd.*        
1,571,000   5.625%, 12/01/29     1,483,307  
525,000   7.375%, 01/31/32     537,358  
781,000   Icahn Enterprises, LP / Icahn Enterprises Finance Corp.        
    4.375%, 02/01/29     653,486  
1,420,000   ILFC E-Capital Trust II*‡        
    7.436%, 12/21/65      
    3 mo. LIBOR + 1.80%      1,125,520  
2,155,000   Iron Mountain, Inc.*        
    5.250%, 03/15/28     2,091,471  
2,640,000   Jefferies Finance, LLC / JFIN Co-Issuer Corp.*        
    5.000%, 08/15/28     2,383,656  
    Ladder Capital Finance Holdings, LLLP / Ladder Capital Finance Corp.*        
2,029,000   5.250%, 10/01/25     1,996,637  
1,127,000   4.750%, 06/15/29     1,009,409  

  

See accompanying Notes to Schedule of Investments

 

4

 

 

Calamos Convertible and High Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL        
AMOUNT       VALUE  
960,000   LD Holdings Group, LLC*        
    6.125%, 04/01/28   $ 783,341  
    Level 3 Financing, Inc.*        
1,080,000   4.250%, 07/01/28     363,150  
525,000   4.625%, 09/15/27     277,169  
774,000   LPL Holdings, Inc.*        
    4.000%, 03/15/29     713,806  
1,055,000   Macquarie Airfinance Holdings, Ltd.*        
    8.125%, 03/30/29     1,095,575  
1,623,000   MetLife, Inc.^        
    6.400%, 12/15/66     1,658,187  
1,415,000   Nationstar Mortgage Holdings, Inc.*        
    5.500%, 08/15/28     1,348,056  
    Navient Corp.        
1,133,000   5.000%, 03/15/27     1,081,347  
565,000   4.875%, 03/15/28^     513,901  
650,000   Necessity Retail REIT, Inc. / American Finance Operating Partner, LP*        
    4.500%, 09/30/28     553,137  
525,000   Newmark Group, Inc.*        
    7.500%, 01/12/29     536,571  
    OneMain Finance Corp.        
730,000   9.000%, 01/15/29     769,537  
715,000   3.875%, 09/15/28     628,356  
518,000   7.125%, 03/15/26^     525,356  
517,000   Park Intermediate Holdings, LLC / PK Domestic Property, LLC / PK Finance Co-Issuer*        
    5.875%, 10/01/28     506,184  
1,602,000   PHH Mortgage Corp.*        
    7.875%, 03/15/26     1,480,008  
1,200,000   RHP Hotel Properties, LP / RHP Finance Corp.*        
    4.500%, 02/15/29     1,116,396  
    Rocket Mortgage, LLC / Rocket Mortgage Co-Issuer, Inc.*        
475,000   3.625%, 03/01/29     423,952  
470,000   3.875%, 03/01/31     413,050  
240,000   2.875%, 10/15/26     222,737  
1,047,000   StoneX Group, Inc.*        
    8.625%, 06/15/25     1,058,967  
    United Wholesale Mortgage, LLC*        
1,212,000   5.500%, 04/15/29     1,146,164  
525,000   5.750%, 06/15/27     516,017  
    Uniti Group, LP / Uniti Group Finance, Inc. / CSL Capital, LLC*        
525,000   6.500%, 02/15/29     370,492  
520,000   10.500%, 02/15/28     529,178  
1,200,000   VZ Secured Financing, BV*        
    5.000%, 01/15/32     1,049,352  
1,091,000   XHR, LP*        
    6.375%, 08/15/25     1,092,800  
          54,161,336  
    Health Care (2.8%)        
    Bausch Health Companies, Inc.*        
2,092,000   11.000%, 09/30/28     1,437,894  
413,000   14.000%, 10/15/30     233,717  
391,000   6.125%, 02/01/27     248,164  
    CHS/Community Health Systems, Inc.*        
2,075,000   6.125%, 04/01/30     1,374,563  
594,000   6.875%, 04/15/29     410,015  
583,000   8.000%, 03/15/26   574,442  
525,000   10.875%, 01/15/32     551,581  
130,000   5.250%, 05/15/30     108,061  
    DaVita, Inc.*        
1,220,000   3.750%, 02/15/31     1,006,402  
1,154,000   4.625%, 06/01/30     1,021,902  
    Embecta Corp.*        
783,000   5.000%, 02/15/30     641,543  
260,000   6.750%, 02/15/30     229,414  
    Encompass Health Corp.        
525,000   4.750%, 02/01/30     493,505  
525,000   4.500%, 02/01/28     502,241  
1,234,000   HCA, Inc.^        
    7.500%, 11/06/33     1,393,297  
340,000   Jazz Securities DAC*        
    4.375%, 01/15/29     314,554  
    Medline Borrower, LP*        
1,297,000   5.250%, 10/01/29^     1,210,360  
1,295,000   3.875%, 04/01/29     1,173,969  
    Organon & Company / Organon Foreign Debt Co-Issuer, BV*        
1,900,000   5.125%, 04/30/31     1,636,641  
450,000   4.125%, 04/30/28     411,728  
1,103,000   Team Health Holdings, Inc.*        
    6.375%, 02/01/25     932,476  
    Tenet Healthcare Corp.        
2,465,000   6.250%, 02/01/27     2,460,193  
1,420,000   6.875%, 11/15/31     1,463,764  
    Teva Pharmaceutical Finance Netherlands III, BV        
1,320,000   5.125%, 05/09/29^     1,274,104  
1,000,000   4.750%, 05/09/27     967,500  
500,000   3.150%, 10/01/26     466,790  
          22,538,820  
    Industrials (5.9%)        
1,200,000   ACCO Brands Corp.*^        
    4.250%, 03/15/29     1,089,084  
825,000   AerCap Holdings, NV^‡        
    5.875%, 10/10/79        
    5 year CMT + 4.54%     819,596  
1,055,000   Air Lease Corp.‡        
    4.125%, 02/01/36      
    5 year CMT + 3.15%      894,176  
    Albertsons Companies, Inc. / Safeway, Inc. / New Albertsons, LP / Albertsons, LLC*        
1,750,000   4.625%, 01/15/27     1,698,952  
780,000   5.875%, 02/15/28     779,602  
937,000   Allegiant Travel Company*        
    7.250%, 08/15/27     916,854  
587,000   Arcosa, Inc.*        
    4.375%, 04/15/29     550,900  
2,650,000   ARD Finance, SA*        
    6.500%, 06/30/27        
    7.250% PIK rate     1,285,992  
821,000   Beacon Roofing Supply, Inc.*        
    4.125%, 05/15/29     744,434  
    Bombardier, Inc.*        
533,000   7.875%, 04/15/27     533,736  
520,000   8.750%, 11/15/30     547,186  
1,044,000   BWX Technologies, Inc.*        
    4.125%, 04/15/29     968,936  
1,078,000   Cascades, Inc. / Cascades USA, Inc.*        
    5.375%, 01/15/28     1,057,928  

  

See accompanying Notes to Schedule of Investments

 

5 

 

 

Calamos Convertible and High Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL        
AMOUNT       VALUE  
257,000   Delta Air Lines, Inc. / SkyMiles IP, Ltd.*µ        
    4.750%, 10/20/28   $ 252,968  
1,360,000   Deluxe Corp.*        
    8.000%, 06/01/29     1,225,197  
1,048,000   Eco Material Technologies, Inc.*        
    7.875%, 01/31/27     1,049,425  
520,000   Emerald Debt Merger Sub, LLC*        
    6.625%, 12/15/30     525,668  
    EnerSys*        
500,000   6.625%, 01/15/32     507,220  
500,000   4.375%, 12/15/27     473,770  
634,000   Graham Packaging Company, Inc.*        
    7.125%, 08/15/28     569,662  
    Graphic Packaging International, LLC*        
675,000   4.750%, 07/15/27     657,626  
484,000   3.500%, 03/01/29     437,754  
1,141,000   Great Lakes Dredge & Dock Corp.*^        
    5.250%, 06/01/29     990,970  
2,438,000   H&E Equipment Services, Inc.*        
    3.875%, 12/15/28     2,215,654  
1,289,000   Hawaiian Brand Intellectual Property, Ltd. / HawaiianMiles Loyalty, Ltd.*        
    5.750%, 01/20/26     1,212,304  
1,350,000   Herc Holdings, Inc.*        
    5.500%, 07/15/27     1,326,928  
1,210,000   IEA Energy Services, LLC*        
    6.625%, 08/15/29     1,138,828  
    JELD-WEN, Inc.*        
727,000   4.625%, 12/15/25     711,021  
540,000   4.875%, 12/15/27^     515,732  
1,690,000   Ken Garff Automotive, LLC*        
    4.875%, 09/15/28     1,579,288  
1,040,000   Knife River Holding Company*        
    7.750%, 05/01/31     1,094,142  
255,000   MasTec, Inc.*µ^        
    4.500%, 08/15/28     239,601  
650,000   Moog, Inc.*        
    4.250%, 12/15/27     609,466  
1,302,000   Newfold Digital Holdings Group, Inc.*        
    6.000%, 02/15/29     986,213  
1,040,000   Novelis Corp.*        
    4.750%, 01/30/30     965,879  
390,000   OI European Group, BV*        
    4.750%, 02/15/30     361,343  
1,200,000   Pactiv Evergreen Group Issuer, Inc. / Pactiv Evergreen Group Issuer, LLC*^        
    4.000%, 10/15/27     1,120,380  
    Sealed Air Corp.*        
809,000   6.125%, 02/01/28     813,417  
261,000   5.000%, 04/15/29^     251,758  
260,000   Sealed Air Corp./Sealed Air Corp. U.S.*        
    7.250%, 02/15/31     272,761  
400,000   Sensata Technologies, BV*        
    4.000%, 04/15/29     366,400  
519,000   Sensata Technologies, Inc.*        
    3.750%, 02/15/31     452,111  
    Sinclair Television Group, Inc.*        
774,000   4.125%, 12/01/30     598,797  
515,000   5.500%, 03/01/30     397,168  
1,030,000   Standard Industries, Inc.*        
    5.000%, 02/15/27   1,001,912  
835,000   Stericycle, Inc.*        
    3.875%, 01/15/29     760,201  
779,000   STL Holding Company, LLC*        
    7.500%, 02/15/26     793,466  
260,000   Summit Materials LLC / Summit Materials Finance Corp.*        
    7.250%, 01/15/31     270,426  
    TransDigm, Inc.        
1,125,000   6.875%, 12/15/30*     1,157,006  
815,000   7.500%, 03/15/27     817,681  
790,000   6.750%, 08/15/28*     803,959  
589,000   6.250%, 03/15/26*     586,214  
390,000   7.125%, 12/01/31*     406,868  
1,039,000   Tronox, Inc.*        
    4.625%, 03/15/29     918,559  
383,042   United Airlines Pass Through Trust Series 2019-2, Class B        
    3.500%, 11/01/29     350,304  
1,039,000   Vertiv Group Corp.*        
    4.125%, 11/15/28     967,693  
1,095,000   Wabash National Corp.*        
    4.500%, 10/15/28     998,585  
915,000   Waste Pro USA, Inc.*        
    5.500%, 02/15/26     889,115  
    Williams Scotsman, Inc.*        
604,000   4.625%, 08/15/28     570,303  
530,000   7.375%, 10/01/31     555,721  
          47,654,840  
    Information Technology (1.9%)        
266,000   Booz Allen Hamilton, Inc.*        
    4.000%, 07/01/29     249,859  
604,000   Coherent Corp.*        
    5.000%, 12/15/29     565,725  
606,000   CommScope Technologies, LLC*^        
    6.000%, 06/15/25     482,315  
955,000   CommScope, Inc.*        
    4.750%, 09/01/29     632,391  
660,000   Dell International, LLC / EMC Corp.µ        
    6.020%, 06/15/26     674,560  
522,000   Dun & Bradstreet Corp.*^        
    5.000%, 12/15/29     485,825  
520,000   Fair Isaac Corp.*        
    4.000%, 06/15/28     484,739  
1,130,000   KBR, Inc.*        
    4.750%, 09/30/28     1,042,561  
    MPH Acquisition Holdings, LLC*        
1,130,000   5.750%, 11/01/28     899,740  
520,000   5.500%, 09/01/28     462,405  
528,000   NCL Corp., Ltd.*        
    8.125%, 01/15/29     554,294  
522,000   NCR Voyix Corp.*        
    5.125%, 04/15/29     491,552  
771,000   ON Semiconductor Corp.*        
    3.875%, 09/01/28     707,855  
    Open Text Corp.*        
780,000   3.875%, 02/15/28     725,111  
525,000   6.900%, 12/01/27     545,743  
391,000   3.875%, 12/01/29     353,108  
391,000   Open Text Holdings, Inc.*^        
    4.125%, 12/01/31     346,199  
969,000   Playtika Holding Corp.*        
    4.250%, 03/15/29     840,792  

  

See accompanying Notes to Schedule of Investments

 

6

 

 

Calamos Convertible and High Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL        
AMOUNT       VALUE  
1,450,000   TTM Technologies, Inc.*        
    4.000%, 03/01/29   $ 1,312,207  
    Twilio, Inc.        
725,000   3.625%, 03/15/29     655,538  
259,000   3.875%, 03/15/31     228,412  
394,000   UKG, Inc.*        
    6.875%, 02/01/31     398,862  
1,300,000   Viavi Solutions, Inc.*        
    3.750%, 10/01/29     1,133,158  
1,200,000   ZoomInfo Technologies, LLC / ZoomInfo Finance Corp.*        
    3.875%, 02/01/29     1,069,200  
          15,342,151  
    Materials (1.8%)        
555,000   ArcelorMittal, SA        
    7.000%, 10/15/39     605,932  
500,000   ATI, Inc.        
    5.875%, 12/01/27     492,335  
258,000   Carpenter Technology Corp.        
    7.625%, 03/15/30     266,994  
780,000   Chemours Company*        
    4.625%, 11/15/29     682,835  
1,640,000   Clearwater Paper Corp.*        
    4.750%, 08/15/28     1,539,944  
780,000   Cleveland-Cliffs, Inc.*        
    6.750%, 04/15/30     787,192  
    Commercial Metals Company        
522,000   4.125%, 01/15/30     477,745  
261,000   4.375%, 03/15/32     233,645  
1,210,000   Constellium, SE*^        
    3.750%, 04/15/29     1,090,912  
512,000   HB Fuller Company        
    4.250%, 10/15/28     477,624  
525,000   INEOS Finance, PLC*^        
    6.750%, 05/15/28     513,833  
800,000   JW Aluminum Continuous Cast Company*        
    10.250%, 06/01/26     808,944  
920,000   Kaiser Aluminum Corp.*        
    4.625%, 03/01/28     848,378  
260,000   LSF11 A5 HoldCo, LLC*        
    6.625%, 10/15/29     221,671  
    Mercer International, Inc.        
1,367,000   5.125%, 02/01/29     1,173,665  
520,000   12.875%, 10/01/28*     559,192  
1,015,000   OCI, NV*        
    6.700%, 03/16/33     1,014,838  
    Owens-Brockway Glass Container, Inc.*^        
785,000   7.250%, 05/15/31     792,457  
505,000   6.625%, 05/13/27     505,626  
1,194,000   Silgan Holdings, Inc.        
    4.125%, 02/01/28     1,124,891  
521,000   Trinseo Materials Operating SCA / Trinseo Materials Finance, Inc.*        
    5.125%, 04/01/29     204,743  
          14,423,396  
    Other (0.1%)        
    Gen Digital, Inc.*        
475,000   7.125%, 09/30/30^     492,922  
475,000   6.750%, 09/30/27     482,951  
          975,873  
    Real Estate (0.4%)        
834,000   EPR Properties        
    3.750%, 08/15/29   743,695  
    Forestar Group, Inc.*        
750,000   5.000%, 03/01/28     713,385  
551,000   3.850%, 05/15/26     524,040  
1,168,000   MIWD Holdco II, LLC / MIWD Finance Corp.*        
    5.500%, 02/01/30     1,064,398  
485,000   Service Properties Trust^        
    5.250%, 02/15/26     469,994  
          3,515,512  
    Special Purpose Acquisition Companies (0.2%)        
    Fertitta Entertainment, LLC / Fertitta Entertainment Finance Company, Inc.*        
1,045,000   6.750%, 01/15/30     940,699  
524,000   4.625%, 01/15/29     482,986  
          1,423,685  
    Utilities (0.1%)        
379,000   PPL Capital Funding, Inc.‡        
    8.275%, 03/30/67        
    3 mo. LIBOR + 2.67%     363,692  
    Vistra Corp.*‡        
525,000   7.000%, 02/01/68        
    5 year CMT + 5.74%     512,505  
270,000   8.000%, 02/01/68        
    5 year CMT + 6.93%     271,250  
          1,147,447  
    Total Corporate Bonds      
    (Cost $335,305,404)     330,335,027  
         
Convertible Bonds (104.3%)          
    Communication Services (9.5%)        
1,040,000   Cable One, Inc.µ        
    0.000%, 03/15/26     893,474  
    Liberty Media Corp.*        
9,250,000   3.750%, 03/15/28     11,476,105  
8,750,000   2.375%, 09/30/53     9,185,312  
9,750,000   Liberty Media Corp.-Liberty Formula One        
    2.250%, 08/15/27     10,161,645  
5,750,000   Match Group Financeco 3, Inc.*µ~        
    2.000%, 01/15/30     5,119,800  
6,750,000   Perficient, Inc.µ        
    0.125%, 11/15/26     5,747,625  
16,500,000   Sea, Ltd.        
    0.250%, 09/15/26     13,914,120  
    Snap, Inc.µ        
11,500,000   0.000%, 05/01/27     9,263,595  
6,000,000   0.750%, 08/01/26     6,299,100  
3,750,000   Zillow Group, Inc.µ        
    1.375%, 09/01/26     5,122,988  
          77,183,764  
    Consumer Discretionary (20.9%)        
12,250,000   Airbnb, Inc.µ        
    0.000%, 03/15/26     11,136,475  
5,000,000   Booking Holdings, Inc.µ        
    0.750%, 05/01/25     9,335,350  

  

See accompanying Notes to Schedule of Investments

 

7 

 

 

Calamos Convertible and High Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL        
AMOUNT       VALUE  
4,500,000   Carnival Corp.        
    5.750%, 12/01/27   $ 6,851,565  
7,500,000   Chegg, Inc.µ        
    0.000%, 09/01/26     6,232,650  
    DISH Network Corp.µ        
15,570,000   0.000%, 12/15/25     11,144,227  
1,026,000   2.375%, 03/15/24     1,005,942  
12,500,000   DraftKings Holdings, Inc.µ        
    0.000%, 03/15/28     10,429,625  
14,000,000   Etsy, Inc.µ        
    0.125%, 09/01/27     11,611,320  
18,500,000   Ford Motor Company        
    0.000%, 03/15/26     18,032,505  
9,250,000   Liberty Broadband Corp.*µ        
    3.125%, 03/31/53     9,082,482  
2,620,000   Lucid Group, Inc.*        
    1.250%, 12/15/26     1,041,738  
11,000,000   Marriott Vacations Worldwide Corp.µ        
    3.250%, 12/15/27     9,727,960  
12,250,000   Rivian Automotive, Inc.*µ        
    4.625%, 03/15/29     13,048,455  
2,250,000   Royal Caribbean Cruises, Ltd.        
    6.000%, 08/15/25     5,892,885  
6,250,000   Shake Shack, Inc.µ        
    0.000%, 03/01/28     5,122,188  
3,500,000   Stride, Inc.        
    1.125%, 09/01/27     4,487,735  
16,250,000   Vail Resorts, Inc.µ        
    0.000%, 01/01/26     14,675,700  
14,500,000   Wayfair, Inc.µ        
    3.250%, 09/15/27     16,011,045  
3,991,000   Winnebago Industries, Inc.*µ        
    3.250%, 01/15/30     4,106,819  
          168,976,666  
    Consumer Staples (0.6%)        
5,000,000   Post Holdings, Inc.        
    2.500%, 08/15/27     5,205,450  
             
    Energy (2.0%)        
5,265,000   Nabors Industries, Inc.*µ        
    1.750%, 06/15/29     3,896,784  
4,500,000   Northern Oil & Gas, Inc.        
    3.625%, 04/15/29     5,013,495  
3,000,000   Pioneer Natural Resources Companyµ        
    0.250%, 05/15/25     7,459,020  
    SunEdison, Inc.@&        
10,545,000   0.250%, 01/15/49     105,450  
1,027,000   2.000%, 10/01/49     10,270  
          16,485,019  
    Financials (1.3%)        
9,250,000   Morgan Stanley Finance, LLC        
    1.000%, 11/23/27     10,765,150  
             
    Health Care (21.8%)        
5,000,000   Alnylam Pharmaceuticals, Inc.µ        
    1.000%, 09/15/27     4,824,650  
6,000,000   Alphatec Holdings, Inc.µ        
    0.750%, 08/01/26     6,585,660  
6,019,000   BioMarin Pharmaceutical, Inc.µ        
    0.599%, 08/01/24     5,929,979  
10,250,000   CONMED Corp.µ        
    2.250%, 06/15/27     9,752,055  
13,500,000   CryoPort, Inc.*µ        
    0.750%, 12/01/26   11,059,335  
    Dexcom, Inc.µ        
17,458,000   0.250%, 11/15/25     18,074,791  
8,750,000   0.375%, 05/15/28*     8,818,950  
3,067,000   Enovis Corp.*        
    3.875%, 10/15/28     3,791,763  
4,500,000   Envista Holdings Corp.*µ        
    1.750%, 08/15/28     4,109,895  
    Exact Sciences Corp.µ        
7,500,000   0.375%, 03/15/27     6,970,800  
4,000,000   2.000%, 03/01/30*     4,442,920  
7,750,000   Halozyme Therapeutics, Inc.µ        
    1.000%, 08/15/28     7,032,117  
2,278,000   Immunocore Holdings, PLC*        
    2.500%, 02/01/30     2,313,594  
4,750,000   Insmed, Inc.µ        
    0.750%, 06/01/28     5,177,120  
5,000,000   Insulet Corp.µ        
    0.375%, 09/01/26     5,355,900  
9,750,000   Integer Holdings Corp.*        
    2.125%, 02/15/28     12,703,567  
4,750,000   Ionis Pharmaceuticals, Inc.        
    0.000%, 04/01/26     5,051,863  
10,905,000   Jazz Investments I, Ltd.µ        
    2.000%, 06/15/26     10,996,820  
4,040,000   Lantheus Holdings, Inc.µ        
    2.625%, 12/15/27     4,188,228  
11,250,000   NeoGenomics, Inc.µ        
    0.250%, 01/15/28     8,597,137  
9,500,000   Omnicell, Inc.µ        
    0.250%, 09/15/25     8,733,350  
8,750,000   Pacira BioSciences, Inc.µ        
    0.750%, 08/01/25     8,131,375  
4,000,000   Sarepta Therapeutics, Inc.        
    1.250%, 09/15/27     4,515,200  
9,000,000   Shockwave Medical, Inc.*        
    1.000%, 08/15/28     9,519,120  
          176,676,189  
    Industrials (8.0%)        
4,750,000   Axon Enterprise, Inc.        
    0.500%, 12/15/27     5,839,127  
4,500,000   Fluor Corp.*^        
    1.125%, 08/15/29     4,767,885  
7,750,000   John Bean Technologies Corp.µ        
    0.250%, 05/15/26     7,019,485  
4,750,000   Middleby Corp.        
    1.000%, 09/01/25     5,612,743  
3,250,000   Parsons Corp.        
    0.250%, 08/15/25     4,829,695  
4,500,000   Tetra Tech, Inc.*        
    2.250%, 08/15/28     4,576,320  
    Uber Technologies, Inc.        
21,750,000   0.000%, 12/15/25µ     22,482,975  
8,646,000   0.875%, 12/01/28*     9,658,360  
          64,786,590  
    Information Technology (33.5%)        
4,500,000   Advanced Energy Industries, Inc.*        
    2.500%, 09/15/28     4,663,980  
    Akamai Technologies, Inc.        
9,000,000   1.125%, 02/15/29*     10,004,940  
4,750,000   0.375%, 09/01/27µ     5,442,123  
10,000,000   Bentley Systems, Inc.        
    0.125%, 01/15/26     9,807,400  

 

See accompanying Notes to Schedule of Investments

 

8 

 

 

Calamos Convertible and High Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL        
AMOUNT       VALUE  
11,750,000   BILL Holdings, Inc.µ        
    0.000%, 04/01/27   $ 9,872,467  
3,500,000   Camtek, Ltd.*        
    0.000%, 12/01/26     4,999,715  
6,250,000   Confluent, Inc.µ        
    0.000%, 01/15/27     5,233,938  
8,250,000   CyberArk Software, Ltd.        
    0.000%, 11/15/24     12,414,270  
5,171,000   Datadog, Inc.µ        
    0.125%, 06/15/25     7,318,309  
6,750,000   DigitalOcean Holdings, Inc.µ        
    0.000%, 12/01/26     5,566,118  
10,012,000   Enphase Energy, Inc.µ        
    0.000%, 03/01/26     8,993,179  
2,250,000   Five9, Inc.µ        
    0.500%, 06/01/25     2,163,105  
2,250,000   MongoDB, Inc.µ        
    0.250%, 01/15/26     4,370,468  
    NCL Corp., Ltd.        
6,500,000   1.125%, 02/15/27µ     5,785,845  
5,000,000   2.500%, 02/15/27µ     4,579,600  
3,250,000   5.375%, 08/01/25     3,918,915  
6,750,000   Nutanix, Inc.µ        
    0.250%, 10/01/27     7,749,877  
    Okta, Inc.µ        
8,000,000   0.125%, 09/01/25     7,392,000  
4,250,000   0.375%, 06/15/26     3,779,313  
18,500,000   ON Semiconductor Corp.*µ        
    0.500%, 03/01/29     17,969,050  
6,000,000   Palo Alto Networks, Inc.µ        
    0.375%, 06/01/25     20,411,880  
2,250,000   Q2 Holdings, Inc.µ        
    0.750%, 06/01/26     2,054,723  
8,250,000   Rapid7, Inc.        
    1.250%, 03/15/29     9,032,842  
12,250,000   Repay Holdings Corp.*µ        
    0.000%, 02/01/26     10,414,460  
4,500,000   Seagate HDD Cayman*        
    3.500%, 06/01/28     5,419,215  
15,000,000   Shift4 Payments, Inc.        
    0.000%, 12/15/25     16,549,950  
7,000,000   SK Hynix, Inc.        
    1.750%, 04/11/30     9,229,710  
10,750,000   Tyler Technologies, Inc.^        
    0.250%, 03/15/26     10,910,712  
13,250,000   Unity Software, Inc.µ        
    0.000%, 11/15/26     11,022,277  
5,500,000   Western Digital Corp.*        
    3.000%, 11/15/28     7,144,170  
7,000,000   Wix.com, Ltd.        
    0.000%, 08/15/25     6,404,440  
    Wolfspeed, Inc.        
9,500,000   1.875%, 12/01/29     5,478,745  
5,711,000   0.250%, 02/15/28     3,382,854  
4,500,000   Workiva, Inc.*µ        
    1.250%, 08/15/28     4,335,435  
4,500,000   Zscaler, Inc.        
    0.125%, 07/01/25     7,162,830  
          270,978,855  
    Materials (1.9%)        
1,500,000   ATI, Inc.        
    3.500%, 06/15/25     4,000,275  
3,750,000   Ivanhoe Mines, Ltd.*      
    2.500%, 04/15/26      5,597,250  
6,858,000   MP Materials Corp.*µ        
    0.250%, 04/01/26   5,890,816  
          15,488,341  
    Other (0.1%)        
525,000   Multiplan Corp.*µ        
    6.000%, 10/15/27        
    7.000% PIK rate     367,721  
             
    Real Estate (0.7%)        
6,500,000   Pebblebrook Hotel Trustµ        
    1.750%, 12/15/26     5,831,410  
             
    Utilities (4.0%)        
4,500,000   CMS Energy Corp.*        
    3.375%, 05/01/28     4,414,725  
7,000,000   PG&E Corp.*µ        
    4.250%, 12/01/27     7,135,730  
16,500,000   PPL Capital Funding, Inc.*        
    2.875%, 03/15/28     15,742,815  
4,750,000   Southern Company*        
    3.875%, 12/15/25     4,732,188  
          32,025,458  
    Total Convertible Bonds        
    (Cost $882,749,281)     844,770,613  
         
Bank Loans (6.4%) ¡        
    Airlines (0.2%)        
748,000   American Airlines, Inc.‡        
    10.329%, 04/20/28        
    3 mo. SOFR + 4.75%     767,583  
752,500   Mileage Plus Holdings, LLC‡        
    10.770%, 06/21/27        
    3 mo. SOFR + 5.25%     776,565  
          1,544,148  
    Communication Services (0.3%)        
126,698   Clear Channel Outdoor Holdings, Inc.‡        
    9.074%, 08/21/26        
    3 mo. SOFR + 3.50%     125,443  
865,000   DirecTV Financing, LLC!        
    0.000%, 08/02/29     865,722  
1,527,000   Entercom Media Corp.‡&        
    8.145%, 11/18/24        
    3 mo. SOFR + 2.50%     857,388  
525,000   Telesat Canada‡        
    8.400%, 12/07/26        
    3 mo. SOFR + 2.75%     322,284  
          2,170,837  
    Consumer Discretionary (1.3%)        
768,000   American Axle & Manufacturing, Inc.‡        
    8.936%, 12/13/29        
    1 mo. SOFR + 3.50%     769,444  
1,066,938   Caesars Entertainment, Inc.‡        
    8.663%, 02/06/30        
    3 mo. SOFR + 3.25%     1,067,791  
1,196,947   Carnival Corp.‡        
    8.697%, 10/18/28        
    1 mo. SOFR + 3.25%     1,198,628  

  

See accompanying Notes to Schedule of Investments

 

9 

 

 

Calamos Convertible and High Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL        
AMOUNT       VALUE  
1,044,750   Carnival Corp.‡        
    8.336%, 08/08/27        
    1 mo. SOFR + 3.00%   $ 1,046,578  
1,042,125   Hanesbrands, Inc.‡        
    9.083%, 03/08/30        
    1 mo. SOFR + 3.75%     1,038,217  
596,912   Life Time Fitness, Inc.‡        
    9.824%, 01/15/26        
    3 mo. SOFR + 4.25%     601,090  
631,932   Petco Health & Wellness Company, Inc.‡        
    8.860%, 03/03/28        
    3 mo. SOFR + 3.25%     594,878  
2,575,295   PetSmart, Inc.‡        
    9.183%, 02/11/28        
    1 mo. SOFR + 3.75%     2,566,990  
647,719   TKC Holdings, Inc.‡        
    10.947%, 05/15/28        
    1 mo. SOFR + 5.50%     628,126  
1,049,338   Windsor Holdings III, LLC‡        
    9.848%, 08/01/30        
    1 mo. SOFR + 4.50%     1,052,108  
          10,563,850  
    Consumer Staples (0.7%)        
2,215,189   Amneal Pharmaceuticals, LLC‡        
    10.833%, 05/04/28        
    1 mo. SOFR + 5.50%     2,204,113  
1,844,274   Jazz Financing Lux Sarl‡        
    8.447%, 05/05/28        
    1 mo. SOFR + 3.00%     1,845,427  
1,050,000   Star Parent, Inc.‡        
    9.348%, 09/27/30        
    3 mo. SOFR + 4.00%     1,027,031  
529,478   United Natural Foods, Inc.‡        
    8.697%, 10/22/25        
    1 mo. SOFR + 3.25%     529,120  
          5,605,691  
    Energy (0.3%)        
815,000   Buckeye Partners, LP‡        
    7.833%, 11/22/30        
    1 mo. SOFR + 2.50%     815,680  
525,000   New Fortress Energy, Inc.‡        
    10.317%, 10/27/28        
    3 mo. SOFR + 5.00%     526,050  
1,326,284   Par Petroleum, LLC‡        
    9.738%, 02/28/30        
    3 mo. SOFR + 4.25%     1,327,445  
          2,669,175  
    Financials (0.9%)        
265,000   Advisor Group, Inc.‡        
    9.833%, 08/17/28        
    1 mo. SOFR + 4.50%     265,083  
864,245   Alliant Holdings Intermediate LLC‡        
    8.833%, 11/06/30        
    1 mo. SOFR + 3.50%     867,028  
776,105   Amynta Agency Borrower, Inc.‡        
    9.583%, 02/28/28        
    1 mo. SOFR + 4.25%     777,351  
1,036,809   AssuredPartners, Inc.‡        
    8.833%, 02/12/27        
    1 mo. SOFR + 3.50%     1,034,647  
788,025   Avolon TLB Borrower 1, LLC‡        
    7.337%, 06/22/28    
    1 mo. SOFR + 2.00%      788,746  
550,000   Broadstreet Partners, Inc.‡        
    9.083%, 01/27/29        
    1 mo. SOFR + 3.75%     550,344  
1,336   Castlelake Aviation, Ltd.‡        
    8.116%, 10/22/26        
    3 mo. SOFR + 2.75%     1,336  
1,100,000   HUB International, Ltd.!        
    0.000%, 06/20/30     1,101,892  
785,000   Iron Mountain, Inc.‡        
    7.569%, 01/31/31        
    3 mo. SOFR + 2.25%     781,813  
1,395,992   VFH Parent, LLC‡        
    8.433%, 01/13/29        
    1 mo. SOFR + 3.00%     1,395,294  
          7,563,534  
    Health Care (0.5%)        
528,571   Icon Luxembourg Sarl‡        
    7.860%, 07/03/28        
    3 mo. SOFR + 2.25%     529,726  
1,152,941   Padagis, LLC‡        
    10.341%, 07/06/28        
    3 mo. SOFR + 4.75%     1,118,359  
131,694   PRA Health Sciences, Inc.‡        
    7.860%, 07/03/28        
    3 mo. SOFR + 2.25%     131,981  
2,585,863   Team Health Holdings, Inc.‡        
    10.563%, 03/02/27        
    3 mo. SOFR + 5.25%     2,156,262  
7,373   Team Health Holdings, Inc.‡        
    10.583%, 03/02/27        
    1 mo. SOFR + 5.25%     6,166  
          3,942,494  
    Industrials (0.8%)        
534,400   ACProducts, Inc.!        
    0.000%, 05/17/28     463,654  
507,000   ACProducts, Inc.‡        
    9.860%, 05/17/28        
    3 mo. SOFR + 4.25%     439,881  
640,250   Air Canada‡        
    9.139%, 08/11/28        
    3 mo. SOFR + 3.50%     641,700  
987,587   ChampionX Corp.‡        
    8.187%, 06/07/29        
    1 mo. SOFR + 2.75%     991,908  
645,519   Emrld Borrower, LP‡        
    8.313%, 05/31/30        
    1 mo. SOFR + 3.00%     646,448  
1,182,000   Light and Wonder International, Inc.‡        
    8.083%, 04/14/29        
    1 mo. SOFR + 3.00%     1,182,000  
1,065,000   TransDigm, Inc.‡        
    8.598%, 02/14/31        
    3 mo. SOFR + 3.25%     1,067,561  
1,006,240   United Airlines, Inc.‡        
    9.201%, 04/21/28        
    1 mo. SOFR + 3.75%     1,009,465  
          6,442,617  

 

See accompanying Notes to Schedule of Investments

 

10 

 

 

Calamos Convertible and High Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

  

PRINCIPAL        
AMOUNT       VALUE  
    Information Technology (0.5%)        
1,403,400   Banff Merger Sub, Inc.‡        
    9.583%, 12/29/28    
    1 mo. SOFR + 4.25%   $   1,406,908  
808,981   Camelot US Acquisition, LLC‡        
    8.337%, 10/30/26        
    1 mo. SOFR + 3.00%     809,385  
982,975   Central Parent, Inc.‡        
    9.348%, 07/06/29        
    3 mo. SOFR + 4.00%     986,047  
919,087   II-VI, Inc.‡        
    8.087%, 07/02/29        
    1 mo. SOFR + 2.75%     916,559  
          4,118,899  
    Materials (0.7%)        
783,038   Chemours Company‡        
    8.833%, 08/18/28        
    1 mo. SOFR + 3.50%     782,255  
1,044,750   Ineos US Finance, LLC‡        
    8.837%, 02/18/30        
    1 mo. SOFR + 3.50%     1,034,626  
800,333   Innophos, Inc.‡        
    8.697%, 02/05/27        
    1 mo. SOFR + 3.25%     791,166  
1,308,425   LSF11 A5 Holdco, LLC‡        
    9.683%, 10/15/28        
    1 mo. SOFR + 4.25%     1,310,067  
780,404   Trinseo Materials Operating SCA‡        
    8.150%, 05/03/28        
    3 mo. SOFR + 2.50%     599,221  
1,070,419   W.R. Grace & Co.-Conn.‡        
    9.360%, 09/22/28        
    3 mo. SOFR + 3.75%     1,073,004  
          5,590,339  
    Special Purpose Acquisition Companies (0.2%)        
522,050   Clydesdale Acquisition Holdings, Inc.‡        
    9.108%, 04/13/29        
    1 mo. SOFR + 3.68%     519,356  
260,363   Fertitta Entertainment, LLC‡        
    9.333%, 01/27/29        
    1 mo. SOFR + 4.00%     259,961  
1,046,750   Patagonia Holdco, LLC‡        
    11.116%, 08/01/29        
    3 mo. SOFR + 5.75%     962,487  
          1,741,804  
    Total Bank Loans      
    (Cost $52,855,171)      51,953,388  
             
NUMBER OF        
SHARES       VALUE  
           
Common Stocks (0.4%)        
    Communication Services (0.0%)        
21,970   Altice USA, Inc. - Class A^#     53,607  
7,383   Cumulus Media, Inc. - Class Aµ#     33,962  
          87,569  
    Consumer Staples (0.0%)        
7,203   Mallinckrodt, PLC#     275,515  
    Energy (0.4%)        
1,506   Chesapeake Energy Corp.µ   116,128  
72,575   Energy Transfer, LP     1,037,822  
43,085   Enterprise Products Partners, LP     1,152,954  
7,238   Ep Energy Corp.#     21,714  
9,267   ONEOK, Inc.^     632,473  
          2,961,091  
    Special Purpose Acquisition Company (0.0%)        
12,300   Intelsat Emergence, SA&#     335,175  
    Total Common Stocks      
    (Cost $4,766,897)     3,659,350  
         
Convertible Preferred Stocks (3.4%)          
  Energy (0.0%)        
29   Gulfport Energy Corp.        
    10.000%, 03/04/24        
    15.000% PIK rate     268,250   
             
    Financials (2.0%)        
89,885   Apollo Global Management, Inc.        
    6.750%, 07/31/26     5,251,081  
8,775   Bank of America Corp. ‡‡      
    7.250%     10,686,634  
          15,937,715  
    Industrials (0.5%)        
81,495   Chart Industries, Inc.        
    6.750%, 12/15/25     4,060,081  
             
    Utilities (0.9%)        
194,000   NextEra Energy, Inc.^        
    6.926%, 09/01/25     7,218,740  
    Total Convertible Preferred Stocks      
    (Cost $30,905,605)     27,484,786  
             
Preferred Stocks (0.4%)          
    Communication Services (0.1%)        
    United States Cellular Corp.µ        
12,900   5.500%, 06/01/70     236,715  
12,370   5.500%, 03/01/70     228,969  
          465,684  
    Consumer Discretionary (0.1%)        
6,662   Guitar Center, Inc.&     546,284  
             
    Energy (0.2%)      
32,380   NuStar Energy, LP‡        
    11.282%,        
    3 mo. LIBOR + 5.64%     832,166  
7,920   NuStar Energy, LP‡        
    12.405%,        
    3 mo. LIBOR + 6.77%     204,494  

 

See accompanying Notes to Schedule of Investments

 

11 

 

 

Calamos Convertible and High Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

  

NUMBER OF        
SHARES       VALUE  
47,000   NuStar Logistics, LP‡        
    12.310%, 01/15/43        
    3 mo. LIBOR + 6.73%   $ 1,215,420  
          2,252,080  
    Total Preferred Stocks      
    (Cost $3,419,819)     3,264,048  
             
Warrants (0.0%) #        
    Energy (0.0%)        
52,447   Mcdermott International, Ltd.&        
    06/30/27, Strike $15.98     5  
47,202   Mcdermott International, Ltd.&        
    06/30/27, Strike $12.33     5  
    Total Warrants        
    (Cost $20,126)     10  
             
NUMBER OF        
CONTRACTS/          
NOTIONAL          
AMOUNT       VALUE  
           
Purchased Option (0.1%) #      
    Information Technology (0.1%)        
400   Zscaler, Inc.        
9,426,800   Put, 06/21/24, Strike $200.00        
    (Cost $545,368)     412,000  
    TOTAL INVESTMENTS (155.9%)        
    (Cost $1,311,353,373)     1,262,661,362  
         
MANDATORY REDEEMABLE PREFERRED SHARES, AT LIQUIDATION VALUE (-17.9%)     (145,000,000 )
         
LIABILITIES, LESS OTHER ASSETS (-38.0%)     (307,976,995 )
         
NET ASSETS (100.0%)   $ 809,684,367  

  

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 Funds. Any resale of these securities must generally be effected through a sale that is registered under the Act or otherwise exempted from such registration requirements.
µ Security, or portion of security, is held in a segregated account as collateral for note payable aggregating a total value of $507,225,661.
@ In default status and considered non-income producing.
^ Security, or portion of security, is on loan.
& Illiquid security.
Variable rate security. The rate shown is the rate in effect at January 31, 2024.
~ Security, or portion of security, is segregated as collateral (or collateral for potential future transactions) for written options. The aggregate value of such securities is $912,660.
¡ 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.
# Non-income producing security.
‡‡ Perpetual maturity.
 
Note:  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.

 

The following table summarizes the Fund's investments and derivative financial instruments categorized in the fair value hierarchy as of January 31, 2024 (see Note 2):

 

   LEVEL 1   LEVEL 2   LEVEL 3   TOTAL 
Assets:
Asset Backed Securities  $   $782,140   $   $782,140 
Corporate Bonds       330,335,027        330,335,027 
Convertible Bonds       844,770,613        844,770,613 
Bank Loans       51,953,388        51,953,388 
Common Stocks   3,026,946    632,404        3,659,350 
Convertible Preferred Stocks   27,216,536    268,250        27,484,786 
Preferred Stocks   2,717,764    546,284        3,264,048 
Warrants       10        10 
Purchased Options   412,000            412,000 
Total  $33,373,246   $1,229,288,116   $   $1,262,661,362 

 

See accompanying Notes to Schedule of Investments

 

12

 

 

Calamos Strategic Total Return Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL        
AMOUNT      VALUE 
         
Asset Backed Security (0.0%)      
     Other (0.0%)     
 955,000   SVC ABS, LLC Series 2023-1A, Class C*     
     6.700%, 02/20/53     
     (Cost $882,759)  $878,757 
           
Corporate Bonds (16.2%)      
     Airlines (0.2%)     
 1,070,769   Alaska Airlines Pass Through Trust Series 2020-1, Class A*     
     4.800%, 02/15/29   1,039,417 
 511,510   Alaska Airlines Pass Through Trust Series 2020-1, Class B*     
     8.000%, 02/15/27   516,789 
 1,235,220   American Airlines Pass Through Trust Series 2021-1, Class B     
     3.950%, 01/11/32   1,102,026 
 663,000   American Airlines, Inc. / AAdvantage Loyalty IP, Ltd.*     
     5.500%, 04/20/26   656,987 
 1,162,907   British Airways Pass Through Trust Series 2021-1, Class B*     
     3.900%, 03/15/33   1,055,117 
 971,396   JetBlue Pass Through Trust Series 2020-1, Class B     
     7.750%, 05/15/30   979,769 
         5,350,105 
     Communication Services (1.6%)     
 700,000   Altice France Holding, SA*     
     10.500%, 05/15/27   404,495 
 1,400,000   Altice France, SA*     
     5.500%, 10/15/29   1,034,054 
 1,415,000   APi Group DE, Inc.*     
     4.750%, 10/15/29   1,325,034 
 1,270,000   Ashtead Capital, Inc.*     
     2.450%, 08/12/31   1,034,936 
     Audacy Capital Corp.*@     
 1,479,000   6.750%, 03/31/29   59,707 
 538,000   6.500%, 05/01/27   22,956 
 1,070,000   Cincinnati Bell Telephone Company, LLC     
     6.300%, 12/01/28   949,036 
 1,190,000   Clear Channel Outdoor Holdings, Inc.*     
     9.000%, 09/15/28   1,243,538 
 1,665,000   Consolidated Communications, Inc.*     
     6.500%, 10/01/28   1,450,731 
     CSC Holdings, LLC*     
 1,800,000   5.375%, 02/01/28   1,549,278 
 1,800,000   4.625%, 12/01/30   931,500 
 1,395,000   4.500%, 11/15/31   1,002,545 
 1,250,000   5.750%, 01/15/30   663,788 
 1,190,000   5.500%, 04/15/27   1,069,941 
     Diamond Sports Group, LLC / Diamond Sports Finance Company*@     
 825,000   6.625%, 08/15/27   56,455 
 656,000   5.375%, 08/15/26   46,300 
 1,466,000   Directv Financing, LLC / Directv Financing Co-Obligor, Inc.*     
     5.875%, 08/15/27   1,393,975 
 1,210,000   Frontier California, Inc.     
     6.750%, 05/15/27   1,170,276 
     Frontier Communications Holdings, LLC*     
 749,000   5.000%, 05/01/28   692,061 
 298,000   8.750%, 05/15/30   305,364 
 1,333,000   Frontier Florida, LLC@     
     6.860%, 02/01/28   1,284,492 
 1,785,000   Frontier North, Inc.@     
     6.730%, 02/15/28   1,712,350 
     Go Daddy Operating Company, LLC / GD Finance Company, Inc.*     
 1,030,000   3.500%, 03/01/29   932,892 
 301,000   5.250%, 12/01/27   295,726 
     iHeartCommunications, Inc.     
 750,000   8.375%, 05/01/27   469,193 
 450,000   5.250%, 08/15/27*   349,889 
 1,480,000   LCPR Senior Secured Financing DAC*     
     6.750%, 10/15/27   1,435,156 
 875,638   Ligado Networks, LLC*     
     15.500%, 11/01/23     
     PIK rate   150,785 
     Lumen Technologies, Inc.     
 900,000   7.600%, 09/15/39   239,517 
 600,000   4.000%, 02/15/27*   317,652 
 300,000   7.650%, 03/15/42   82,716 
 596,000   Match Group Holdings II, LLC*     
     3.625%, 10/01/31   510,516 
 1,000,000   Nexstar Media, Inc.*     
     5.625%, 07/15/27   973,540 
     Paramount Global     
 1,160,000   4.900%, 08/15/44   917,676 
 286,000   6.375%, 03/30/62‡     
     5 year CMT + 4.00%   255,578 
 419,000   Qwest Corp.     
     7.250%, 09/15/25   410,725 
 235,000   Rogers Communications, Inc.*‡     
     5.250%, 03/15/82     
     5 year CMT + 3.59%   224,136 
     Scripps Escrow II, Inc.*     
 591,000   3.875%, 01/15/29   514,093 
 295,000   5.375%, 01/15/31   226,808 
 985,000   Scripps Escrow, Inc.*     
     5.875%, 07/15/27   888,963 
     Sirius XM Radio, Inc.*     
 1,500,000   5.500%, 07/01/29   1,427,700 
 1,185,000   4.000%, 07/15/28   1,076,667 
 585,000   3.125%, 09/01/26   547,115 
 298,000   3.875%, 09/01/31   248,842 
 1,084,000   Spanish Broadcasting System, Inc.*     
     9.750%, 03/01/26   576,460 
 3,045,000   Sprint, LLC     
     7.125%, 06/15/24   3,059,981 
 1,350,000   Stagwell Global, LLC*     
     5.625%, 08/15/29   1,239,340 
 1,196,000   Telesat Canada / Telesat, LLC*     
     4.875%, 06/01/27   709,192 
 480,000   Time Warner Cable, LLC     
     7.300%, 07/01/38   503,784 

 

See accompanying Notes to Schedule of Investments

 

1 

 

 

Calamos Strategic Total Return Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL        
AMOUNT      VALUE 
 1,356,000   United States Cellular Corp.     
     6.700%, 12/15/33  $1,398,131 
 906,000   Univision Communications, Inc.*     
     8.000%, 08/15/28   922,082 
 600,000   Viasat, Inc.*     
     5.625%, 04/15/27   563,286 
 125,000   Vodafone Group, PLC‡     
     7.000%, 04/04/79     
     U.S. 5 yr Swap + 4.87%   129,273 
         41,000,226 
     Consumer Discretionary (3.3%)     
 1,435,000   Abercrombie & Fitch Management Company*     
     8.750%, 07/15/25   1,461,246 
 1,200,000   Adams Homes, Inc.*     
     9.250%, 10/15/28   1,229,904 
 1,505,000   Adient Global Holdings Company*^     
     8.250%, 04/15/31   1,590,966 
 943,000   American Axle & Manufacturing, Inc.     
     6.875%, 07/01/28   922,659 
     Ashton Woods USA, LLC / Ashton Woods Finance Company*     
 1,043,000   4.625%, 08/01/29   950,382 
 856,000   6.625%, 01/15/28   849,203 
 1,487,000   At Home Group, Inc.*     
     4.875%, 07/15/28   657,477 
     Bath & Body Works, Inc.     
 1,577,000   6.694%, 01/15/27   1,603,289 
 875,000   6.875%, 11/01/35   875,499 
 800,000   Benteler International AG*     
     10.500%, 05/15/28   857,856 
     Caesars Entertainment, Inc.*     
 728,000   4.625%, 10/15/29   665,428 
 605,000   8.125%, 07/01/27   621,402 
     Carnival Corp.*     
 601,000   4.000%, 08/01/28   557,451 
 596,000   7.625%, 03/01/26   605,667 
 75,000   7.000%, 08/15/29   78,100 
     Carvana Company*     
 242,000   14.000%, 06/01/31   216,031 
 205,000   13.000%, 06/01/30   182,788 
 136,000   12.000%, 12/01/28   120,779 
     CCO Holdings, LLC / CCO Holdings Capital Corp.*     
 2,610,000   5.125%, 05/01/27   2,519,198 
 2,110,000   4.500%, 08/15/30   1,834,012 
 1,370,000   6.375%, 09/01/29   1,334,558 
 1,300,000   4.750%, 03/01/30   1,155,882 
 1,198,000   4.250%, 02/01/31   1,011,244 
 620,000   5.000%, 02/01/28   585,714 
 596,000   4.750%, 02/01/32   511,791 
 596,000   CDI Escrow Issuer, Inc.*     
     5.750%, 04/01/30   577,303 
 900,000   Cedar Fair, LP^     
     5.250%, 07/15/29   861,453 
 600,000   Churchill Downs, Inc.*     
     6.750%, 05/01/31   608,610 
     Dana, Inc.     
 985,000   4.250%, 09/01/30   862,220 
 896,000   4.500%, 02/15/32   771,635 
     DISH DBS Corp.     
 1,265,000   5.125%, 06/01/29   471,744 
 895,000   5.250%, 12/01/26*   706,773 
 739,000   7.375%, 07/01/28   327,067 
 600,000   5.750%, 12/01/28*   404,742 
 476,000   7.750%, 07/01/26   281,678 
 1,200,000   DISH Network Corp.*     
     11.750%, 11/15/27   1,253,316 
 1,675,000   Empire Resorts, Inc.*     
     7.750%, 11/01/26   1,553,378 
 1,308,000   Everi Holdings, Inc.*     
     5.000%, 07/15/29   1,203,556 
 1,240,000   Ford Motor Company^     
     6.100%, 08/19/32   1,240,806 
     Ford Motor Credit Company, LLC     
 1,885,000   4.000%, 11/13/30   1,682,268 
 1,555,000   7.200%, 06/10/30   1,653,789 
 1,450,000   5.113%, 05/03/29   1,409,356 
 1,100,000   7.350%, 11/04/27   1,157,145 
 1,000,000   2.900%, 02/16/28   900,460 
 447,000   Gap, Inc.*     
     3.875%, 10/01/31   369,405 
 600,000   General Motors Company     
     5.200%, 04/01/45   544,434 
     General Motors Financial Company, Inc.‡     
 310,000   5.700%, 02/01/36^     
     5 year CMT + 5.00%   285,665 
 155,000   6.500%, 02/01/36     
     3 mo. LIBOR + 3.44%   145,162 
     goeasy, Ltd.*     
 2,100,000   9.250%, 12/01/28   2,238,159 
 1,111,000   4.375%, 05/01/26   1,063,116 
 635,000   Goodyear Tire & Rubber Company^     
     5.250%, 07/15/31   578,548 
 511,000   Group 1 Automotive, Inc.*     
     4.000%, 08/15/28   471,883 
 1,280,000   Guitar Center, Inc.*     
     8.500%, 01/15/26   1,137,331 
 915,000   International Game Technology, PLC*     
     6.250%, 01/15/27   921,076 
 328,990   JetBlue Pass Through Trust Series 2019-2, Class B     
     8.000%, 11/15/27   331,687 
 1,045,000   Kohl's Corp.     
     5.550%, 07/17/45   713,129 
 1,200,000   LCM Investments Holdings II, LLC*     
     8.250%, 08/01/31   1,232,208 
 1,175,000   Liberty Interactive, LLC     
     8.250%, 02/01/30   627,755 
 1,159,000   Life Time, Inc.*     
     8.000%, 04/15/26   1,172,421 
 600,000   Light & Wonder International, Inc.*     
     7.500%, 09/01/31   625,254 
 450,000   Lindblad Expeditions Holdings, Inc.*     
     9.000%, 05/15/28   468,045 
 767,000   Lindblad Expeditions, LLC*     
     6.750%, 02/15/27   767,583 
 780,000   M/I Homes, Inc.     
     3.950%, 02/15/30   699,551 
     Macy's Retail Holdings, LLC     
 1,392,000   6.700%, 07/15/34*   1,171,438 
 1,205,000   4.300%, 02/15/43   914,944 
 1,025,000   Mclaren Finance, PLC*     
     7.500%, 08/01/26   908,960 

 

See accompanying Notes to Schedule of Investments

 

 2

 

 

Calamos Strategic Total Return Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL        
AMOUNT      VALUE 
 1,518,000   Midwest Gaming Borrower, LLC / Midwest Gaming Finance Corp.*     
     4.875%, 05/01/29  $1,409,342 
 725,000   Newell Brands, Inc.     
     5.200%, 04/01/26   706,034 
     Nordstrom, Inc.     
 600,000   5.000%, 01/15/44   433,554 
 551,000   4.250%, 08/01/31   460,052 
 1,783,000   Patrick Industries, Inc.*     
     4.750%, 05/01/29   1,644,479 
 1,370,000   PENN Entertainment, Inc.*^     
     4.125%, 07/01/29   1,178,433 
     PetSmart, Inc. / PetSmart Finance Corp.*     
 375,000   7.750%, 02/15/29   364,470 
 375,000   4.750%, 02/15/28   350,535 
 1,670,000   Premier Entertainment Sub, LLC / Premier Entertainment Finance Corp.*     
     5.625%, 09/01/29   1,258,779 
 600,000   QVC, Inc.     
     5.450%, 08/15/34   398,730 
 600,000   Raising Cane's Restaurants, LLC*     
     9.375%, 05/01/29   643,476 
 2,333,000   Rite Aid Corp.*@     
     8.000%, 11/15/26   1,772,357 
 600,000   Royal Caribbean Cruises, Ltd.*     
     7.250%, 01/15/30   625,668 
 1,670,000   Simmons Foods, Inc. / Simmons Prepared Foods, Inc. / Simmons Pet Food, Inc. / Simmons Feed*     
     4.625%, 03/01/29   1,439,774 
 1,800,000   Six Flags Entertainment Corp.*     
     7.250%, 05/15/31   1,838,124 
 1,348,000   Sonic Automotive, Inc.*^     
     4.625%, 11/15/29   1,221,032 
 837,000   Speedway Motorsports, LLC / Speedway Funding II, Inc.*     
     4.875%, 11/01/27   794,581 
 2,430,000   Station Casinos, LLC*     
     4.500%, 02/15/28   2,293,021 
 300,000   Stl Holding Company, LLC*     
     8.750%, 02/15/29   300,000 
 707,000   Taylor Morrison Communities, Inc.*     
     5.750%, 01/15/28   704,646 
 300,000   Viking Cruises, Ltd.*     
     9.125%, 07/15/31   321,459 
 1,355,000   Vista Outdoor, Inc.*     
     4.500%, 03/15/29   1,332,412 
     ZF North America Capital, Inc.*     
 1,200,000   7.125%, 04/14/30   1,266,552 
 400,000   6.875%, 04/14/28   412,296 
         81,483,385 
     Consumer Staples (0.7%)     
 1,335,000   1375209 B.C., Ltd.*^     
     9.000%, 01/30/28   1,296,806 
 1,739,000   Arrow Bidco, LLC*     
     10.750%, 06/15/25   1,801,621 
 1,210,000   B&G Foods, Inc.*     
     8.000%, 09/15/28   1,263,373 
 1,358,000   Central Garden & Pet Company*     
     4.125%, 04/30/31   1,202,631 
 1,349,000   Edgewell Personal Care Company*     
     4.125%, 04/01/29   1,235,010 
     Energizer Holdings, Inc.*     
 1,641,000   4.375%, 03/31/29   1,485,991 
 298,000   6.500%, 12/31/27   297,046 
     JBS USA LUX, SA / JBS USA Food Company / JBS USA Finance, Inc.     
 1,770,000   5.500%, 01/15/30   1,732,795 
 740,000   5.125%, 02/01/28   734,250 
 440,000   5.750%, 04/01/33   436,304 
 125,000   Land O' Lakes, Inc.*     
     7.000%, 02/01/68   95,046 
 531,987   Mallinckrodt International Finance SA / Mallinckrodt CB, LLC*     
     14.750%, 11/14/28   580,116 
 751,000   New Albertsons, LP     
     7.750%, 06/15/26   770,834 
 1,192,000   Performance Food Group, Inc.*     
     4.250%, 08/01/29   1,093,183 
 900,000   Pilgrim's Pride Corp.     
     4.250%, 04/15/31   811,989 
 505,000   Post Holdings, Inc.*     
     5.750%, 03/01/27   503,470 
 1,124,000   Prestige Brands, Inc.*     
     3.750%, 04/01/31   979,869 
 1,015,000   United Natural Foods, Inc.*     
     6.750%, 10/15/28   854,123 
 1,857,000   Vector Group, Ltd.*     
     5.750%, 02/01/29   1,715,107 
         18,889,564 
     Energy (2.0%)     
 598,000   Antero Resources Corp.*     
     5.375%, 03/01/30   571,156 
 1,187,000   Apache Corp.     
     5.100%, 09/01/40   1,020,820 
 600,000   Buckeye Partners, LP     
     5.850%, 11/15/43   495,600 
 1,670,000   Callon Petroleum Company*     
     7.500%, 06/15/30   1,760,447 
 591,000   Cheniere Energy, Inc.     
     4.625%, 10/15/28   572,691 
 892,000   Chesapeake Energy Corp.*     
     6.750%, 04/15/29   902,900 
 1,688,000   Civitas Resources, Inc.*     
     8.750%, 07/01/31   1,801,586 
     Continental Resources, Inc.*     
 900,000   2.875%, 04/01/32   735,156 
 610,000   5.750%, 01/15/31   607,353 
 921,000   DT Midstream, Inc.*     
     4.125%, 06/15/29   846,942 
     Earthstone Energy Holdings, LLC*     
 1,176,000   8.000%, 04/15/27   1,218,759 
 450,000   9.875%, 07/15/31   500,063 
     Enbridge, Inc.‡     
 1,036,000   7.375%, 01/15/83     
     5 year CMT + 3.71%   1,037,823 
 395,000   5.750%, 07/15/80     
     5 year CMT + 5.31%   370,253 
     Energy Transfer, LP     
 1,735,000   8.586%, 11/01/66‡     
     3 mo. SOFR + 3.28%   1,549,893 
 1,015,000   6.500%, 02/01/36‡     
     5 year CMT + 5.69%   981,688 

 

See accompanying Notes to Schedule of Investments

 

3 

 

 

Calamos Strategic Total Return Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL        
AMOUNT      VALUE 
 155,000   8.000%, 05/15/54  $160,499 
 75,000   9.669%, 02/01/24     
     3 mo. USD LIBOR + 4.03   73,722 
     EnLink Midstream Partners, LP     
 1,775,000   9.756%, 02/01/36‡     
     3 mo. LIBOR + 4.11%   1,677,872 
 1,285,000   4.850%, 07/15/26   1,262,705 
 745,000   Enlink Midstream, LLC*     
     6.500%, 09/01/30   763,364 
     Enterprise Products Operating, LLC‡     
 80,000   5.250%, 08/16/77     
     3 mo. SOFR + 3.29%   77,340 
 75,000   8.638%, 08/16/77     
     3 mo. LIBOR + 2.99%   74,750 
 1,970,000   EQM Midstream Partners, LP*     
     7.500%, 06/01/27   2,027,406 
     Genesis Energy, LP / Genesis Energy Finance Corp.     
 885,000   8.875%, 04/15/30   926,498 
 543,000   6.250%, 05/15/26   540,888 
     Gulfport Energy Corp.     
 1,190,000   8.000%, 05/17/26*   1,201,662 
 306,527   8.000%, 05/17/26   309,531 
 1,670,000   Hilcorp Energy I, LP / Hilcorp Finance Company*     
     6.000%, 04/15/30   1,622,689 
 894,000   Howard Midstream Energy Partners, LLC*     
     6.750%, 01/15/27   896,754 
 525,000   Kodiak Gas Services, LLC*     
     7.250%, 02/15/29   531,184 
 1,162,000   Magnolia Oil & Gas Operating, LLC / Magnolia Oil & Gas Finance Corp.*     
     6.000%, 08/01/26   1,149,253 
     Moss Creek Resources Holdings, Inc.*     
 600,000   10.500%, 05/15/27   617,970 
 540,000   7.500%, 01/15/26   538,288 
     Nabors Industries, Inc.*     
 900,000   7.375%, 05/15/27   890,451 
 450,000   9.125%, 01/31/30   459,176 
 900,000   Nabors Industries, Ltd.*     
     7.500%, 01/15/28   824,616 
 1,191,000   New Fortress Energy, Inc.*     
     6.750%, 09/15/25   1,177,101 
 900,000   Oceaneering International, Inc.     
     6.000%, 02/01/28   882,351 
 1,270,000   Parkland Corp.*~µ     
     5.875%, 07/15/27   1,260,780 
 633,000   Patterson-UTI Energy, Inc.     
     5.150%, 11/15/29   611,655 
 300,000   Permian Resources Operating LLC*     
     7.000%, 01/15/32   309,984 
 1,390,000   Plains All American Pipeline, LP‡     
     9.751%, 02/01/36     
     3 mo. LIBOR + 4.11%   1,377,226 
 1,670,000   Rockcliff Energy II, LLC*     
     5.500%, 10/15/29   1,556,139 
 593,000   Southwestern Energy Company     
     4.750%, 02/01/32   549,693 
 1,716,650   Transocean, Inc.*     
     8.750%, 02/15/30   1,796,148 
     Venture Global Calcasieu Pass, LLC*     
 750,000   6.250%, 01/15/30   752,077 
 300,000   4.125%, 08/15/31   265,761 
 300,000   3.875%, 08/15/29   268,164 
     Venture Global LNG, Inc.*     
 1,505,000   8.375%, 06/01/31   1,524,911 
 900,000   8.125%, 06/01/28   911,466 
 600,000   9.875%, 02/01/32   631,182 
 600,000   9.500%, 02/01/29   637,926 
     Vital Energy, Inc.     
 764,000   9.750%, 10/15/30   812,346 
 685,000   7.750%, 07/31/29*   676,732 
 1,200,000   VOC Escrow, Ltd.*     
     5.000%, 02/15/28   1,149,444 
 1,505,000   Weatherford International, Ltd.*     
     8.625%, 04/30/30   1,541,346 
         50,292,180 
        Financials (3.2%)
 1,900,000   Acrisure, LLC / Acrisure Finance, Inc.*     
     8.250%, 02/01/29   1,906,916 
 1,789,000   Aethon United BR, LP / Aethon United Finance Corp.*     
     8.250%, 02/15/26   1,784,617 
 858,000   AG Issuer, LLC*     
     6.250%, 03/01/28   848,193 
 255,000   Aircastle, Ltd.*‡     
     5.250%, 02/01/68     
     5 year CMT + 4.41%   224,441 
     Alliant Holdings Intermediate, LLC / Alliant Holdings Co-Issuer*     
 2,100,000   6.750%, 10/15/27   2,057,139 
 140,000   7.000%, 01/15/31   141,765 
 140,000   Allstate Corp.‡     
     8.579%, 08/15/53     
     3 mo. LIBOR + 2.94%   140,293 
     Ally Financial, Inc.     
 2,632,000   4.700%, 02/01/36     
     7 year CMT + 3.48%‡   2,097,968 
 489,000   8.000%, 11/01/31   541,553 
 250,000   American International Group, Inc.‡     
     5.750%, 04/01/48     
     3 mo. LIBOR + 2.87%   248,610 
 2,365,000   AmWINS Group, Inc.*     
     4.875%, 06/30/29   2,210,542 
 460,000   Ares Finance Company III, LLC*‡     
     4.125%, 06/30/51     
     5 year CMT + 3.24%   416,268 
 888,000   Aviation Capital Group, LLC*     
     3.500%, 11/01/27   827,918 
 350,000   AXIS Specialty Finance, LLC‡     
     4.900%, 01/15/40     
     5 year CMT + 3.19%   302,722 
     Bank of America Corp.‡     
 439,000   6.125%, 02/01/36     
     5 year CMT + 3.23%   439,057 
 145,000   5.125%, 02/01/36     
     3 mo. SOFR + 3.55%3 mo. LIBOR + 3.03%3 mo. LIBOR + 3.03%   144,401 
 135,000   6.250%, 09/29/49     
     3 mo. SOFR + 3.97%   134,931 

 

See accompanying Notes to Schedule of Investments

 

 4

 

 

Calamos Strategic Total Return Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL        
AMOUNT      VALUE 
 135,000   6.100%, 12/29/49     
     3 mo. SOFR + 4.16%  $135,305 
 763,000   Bank of New York Mellon Corp.‡     
     4.700%, 02/01/36     
     5 year CMT + 4.36%   753,310 
     BP Capital Markets, PLC‡     
 285,000   4.375%, 02/01/36     
     5 year CMT + 4.04%   279,266 
 280,000   4.875%, 02/01/36     
     5 year CMT + 4.40%   265,642 
 1,779,000   BroadStreet Partners, Inc.*     
     5.875%, 04/15/29   1,689,054 
 1,435,000   Brookfield Property REIT, Inc. / BPR Cumulus, LLC / BPR Nimbus, LLC / GGSI Sellco, LLC*     
     4.500%, 04/01/27   1,272,615 
 1,200,000   Burford Capital Global Financial, LLC*     
     6.875%, 04/15/30   1,170,576 
 458,000   Capital One Financial Corp.‡^     
     3.950%, 02/01/36     
     5 year CMT + 3.16%   397,430 
     Charles Schwab Corp.‡     
 285,000   5.375%, 02/01/36^     
     5 year CMT + 4.97%   281,620 
 282,000   4.000%, 02/01/36     
     5 year CMT + 3.17%   245,236 
     Citigroup, Inc.‡     
 509,000   3.875%, 02/01/36     
     5 year CMT + 3.42%   470,698 
 166,000   4.150%, 02/01/36     
     5 year CMT + 3.00%   147,652 
 150,000   7.625%, 02/01/36     
     5 year CMT + 3.21%   153,710 
 150,000   4.000%, 02/01/36     
     5 year CMT + 3.60%   140,741 
 140,000   5.950%, 12/29/49     
     3 mo. USD LIBOR + 3.91%   138,135 
     Citizens Financial Group, Inc.‡     
 450,000   4.000%, 02/01/36     
     5 year CMT + 3.22%   395,285 
 155,000   5.650%, 02/01/36     
     5 year CMT + 5.31%   151,666 
 315,000   Comerica, Inc.     
     5.625%, 02/01/36     
     5 year CMT + 5.29%   305,821 
 145,000   Corebridge Financial, Inc.‡     
     6.875%, 12/15/52   145,574 
     Credit Acceptance Corp.     
 1,165,000   6.625%, 03/15/26^   1,166,538 
 800,000   9.250%, 12/15/28*   842,992 
 1,205,000   Cushman & Wakefield U.S. Borrower LLC*^     
     8.875%, 09/01/31   1,265,636 
 250,000   Depository Trust & Clearing Corp.*‡     
     3.375%, 02/01/68     
     5 year CMT + 2.61   212,443 
     Discover Financial Services‡     
 275,000   5.500%, 02/01/36     
     3 mo. SOFR + 3.34%   227,662 
 245,000   6.125%, 02/01/36     
     5 year CMT + 5.78%   240,460 
 1,533,000   Enact Holdings, Inc.*     
     6.500%, 08/15/25   1,530,486 
 265,000   Enstar Finance, LLC‡     
     5.500%, 01/15/42     
     5 year CMT + 4.01%   233,529 
 605,000   Fifth Third Bancorp‡     
     4.500%, 02/01/36     
     5 year CMT + 4.22%   572,741 
 70,000   First Citizens BancShares, Inc.‡     
     9.618%, 02/01/24     
     3 mo. SOFR + 4.23%   71,651 
 1,350,000   GGAM Finance, Ltd.*     
     8.000%, 02/15/27   1,393,240 
 1,472,000   Global Net Lease, Inc. / Global Net Lease Operating Partnership, LP*     
     3.750%, 12/15/27   1,258,810 
     Goldman Sachs Group, Inc.‡     
 310,000   4.400%, 02/01/36     
     5 year CMT + 2.85%   295,542 
 153,000   4.125%, 02/01/36     
     5 year CMT + 2.95%   139,377 
 149,000   7.500%, 02/01/36     
     5 year CMT + 3.16%   156,568 
 1,250,000   GTCR W-2 Merger Sub, LLC*     
     7.500%, 01/15/31   1,303,412 
 655,000   HAT Holdings I LLC / HAT Holdings II LLC*     
     8.000%, 06/15/27   679,399 
     HUB International, Ltd.*     
 1,785,000   5.625%, 12/01/29   1,685,361 
 600,000   7.375%, 01/31/32   614,124 
     Huntington Bancshares, Inc.‡     
 350,000   4.450%, 02/01/36     
     7 year CMT + 4.05%   316,215 
 210,000   5.625%, 02/01/36     
     10 year CMT + 4.95%   194,874 
 892,000   Icahn Enterprises, LP / Icahn Enterprises Finance Corp.     
     4.375%, 02/01/29   746,363 
 1,913,000   ILFC E-Capital Trust II*‡     
     7.436%, 12/21/65     
     3 mo. LIBOR + 1.80%   1,516,282 
 2,470,000   Iron Mountain, Inc.*     
     5.250%, 03/15/28   2,397,184 
 3,000,000   Jefferies Finance, LLC / JFIN Co-Issuer Corp.*     
     5.000%, 08/15/28   2,708,700 
     JPMorgan Chase & Company‡     
 1,100,000   3.650%, 02/01/36     
     5 year CMT + 2.85%   1,016,136 
 135,000   6.125%, 12/31/49     
     3 mo. SOFR + 3.59%   135,293 
 180,000   KeyCorp‡     
     5.000%, 12/29/49     
     3 mo. SOFR + 3.87%   160,652 
     Ladder Capital Finance Holdings, LLLP / Ladder Capital Finance Corp.*     
 2,306,000   5.250%, 10/01/25   2,269,219 
 1,296,000   4.750%, 06/15/29   1,160,775 
 1,080,000   LD Holdings Group, LLC*     
     6.125%, 04/01/28   881,258 
     Level 3 Financing, Inc.*     
 1,250,000   4.250%, 07/01/28   420,313 
 600,000   4.625%, 09/15/27   316,764 
 420,000   Liberty Mutual Group, Inc.*‡     
     4.125%, 12/15/51     
     5 year CMT + 3.32%   367,937 

 

See accompanying Notes to Schedule of Investments

 

5 

 

 

Calamos Strategic Total Return Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL        
AMOUNT      VALUE 
 892,000   LPL Holdings, Inc.*     
     4.000%, 03/15/29  $822,629 
     M&T Bank Corp.‡     
 145,000   6.450%, 12/29/49     
     3 mo. LIBOR + 3.61%   144,543 
 85,000   5.125%, 12/29/49     
     3 mo. LIBOR + 3.52%   77,621 
 80,000   5.000%, 02/01/36     
     5 year CMT + 3.17%   76,378 
 1,200,000   Macquarie Airfinance Holdings, Ltd.*     
     8.125%, 03/30/29   1,246,152 
 280,000   Markel Corp.‡     
     6.000%, 02/01/36     
     5 year CMT + 5.66%   277,754 
     MetLife, Inc.     
 2,137,000   6.400%, 12/15/66   2,183,330 
 225,000   3.850%, 02/01/36‡     
     5 year CMT + 3.58%   215,881 
 1,615,000   Nationstar Mortgage Holdings, Inc.*     
     5.500%, 08/15/28   1,538,594 
     Navient Corp.     
 1,305,000   5.000%, 03/15/27   1,245,505 
 655,000   4.875%, 03/15/28   595,762 
 780,000   Necessity Retail REIT, Inc. / American Finance Operating Partner, LP*     
     4.500%, 09/30/28   663,764 
 600,000   Newmark Group, Inc.*     
     7.500%, 01/12/29   613,224 
 230,000   Northern Trust Corp.‡     
     4.600%, 02/01/24     
     3 mo. LIBOR + 3.20%   220,662 
     OneMain Finance Corp.     
 900,000   9.000%, 01/15/29   948,744 
 820,000   3.875%, 09/15/28   720,632 
 599,000   7.125%, 03/15/26   607,506 
 592,000   Park Intermediate Holdings, LLC / PK Domestic Property, LLC / PK Finance Co-Issuer*     
     5.875%, 10/01/28   579,615 
 442,000   PartnerRe Finance B, LLC‡     
     4.500%, 10/01/50     
     5 year CMT + 3.82%   395,908 
 1,871,000   PHH Mortgage Corp.*     
     7.875%, 03/15/26   1,728,523 
     PNC Financial Services Group, Inc.‡     
 315,000   3.400%, 02/01/36     
     5 year CMT + 2.60%   272,100 
 140,000   6.200%, 02/01/36     
     5 year CMT + 3.24%   137,445 
 140,000   6.000%, 02/01/36     
     5 year CMT + 3.00%   134,183 
 275,000   Progressive Corp.‡     
     8.185%, 02/01/36     
     3 mo. USD LIBOR + 2.54%   275,121 
 280,000   QBE Insurance Group, Ltd.*‡     
     5.875%, 02/01/68     
     5 year CMT + 5.51%   275,934 
 1,355,000   RHP Hotel Properties, LP / RHP Finance Corp.*     
     4.500%, 02/15/29   1,260,597 
     Rocket Mortgage, LLC / Rocket Mortgage Co-Issuer, Inc.*     
 560,000   3.875%, 03/01/31   492,145 
 555,000   3.625%, 03/01/29   495,354 
 275,000   2.875%, 10/15/26   255,219 
 1,225,000   StoneX Group, Inc.*     
     8.625%, 06/15/25   1,239,002 
     Truist Financial Corp.‡     
 295,000   4.800%, 02/01/36     
     5 year CMT + 3.00%   282,182 
 285,000   4.950%, 02/01/36     
     5 year CMT + 4.61%   277,747 
 108,000   5.100%, 02/01/36     
     10 year CMT + 4.35%   100,106 
 320,000   U.S. Bancorp‡     
     5.300%, 02/01/36     
     3 mo. SOFR + 3.18%   301,229 
     United Wholesale Mortgage, LLC*     
 1,383,000   5.500%, 04/15/29   1,307,875 
 600,000   5.750%, 06/15/27   589,734 
     Uniti Group, LP / Uniti Group Finance, Inc. / CSL Capital, LLC*     
 600,000   10.500%, 02/15/28   610,590 
 600,000   6.500%, 02/15/29   423,420 
 1,340,000   VZ Secured Financing, BV*     
     5.000%, 01/15/32   1,171,776 
     Wells Fargo & Company‡     
 620,000   3.900%, 02/01/36     
     5 year CMT + 3.45%   581,541 
 560,000   7.625%, 02/01/36     
     5 year CMT + 3.61   589,445 
 1,255,000   XHR, LP*     
     6.375%, 08/15/25   1,257,071 
         78,737,149 
     Health Care (1.0%)     
     Bausch Health Companies, Inc.*     
 2,370,000   11.000%, 09/30/28   1,628,972 
 469,000   14.000%, 10/15/30   265,407 
 447,000   6.125%, 02/01/27   283,706 
     CHS/Community Health Systems, Inc.*     
 2,392,000   6.125%, 04/01/30   1,584,557 
 663,000   6.875%, 04/15/29   457,642 
 655,000   8.000%, 03/15/26   645,385 
 600,000   10.875%, 01/15/32   630,378 
 149,000   5.250%, 05/15/30   123,855 
     DaVita, Inc.*     
 1,395,000   3.750%, 02/15/31   1,150,763 
 1,326,000   4.625%, 06/01/30   1,174,213 
     Embecta Corp.*     
 894,000   5.000%, 02/15/30   732,490 
 298,000   6.750%, 02/15/30   262,943 
     Encompass Health Corp.     
 600,000   4.750%, 02/01/30   564,006 
 600,000   4.500%, 02/01/28   573,990 
 1,369,000   HCA, Inc.     
     7.500%, 11/06/33   1,545,724 
 350,000   Jazz Securities DAC*     
     4.375%, 01/15/29   323,806 
     Medline Borrower, LP*     
 1,484,000   5.250%, 10/01/29   1,384,869 
 1,480,000   3.875%, 04/01/29   1,341,679 
     Organon & Company / Organon Foreign Debt Co-Issuer, BV*     
 2,200,000   5.125%, 04/30/31   1,895,058 
 500,000   4.125%, 04/30/28   457,475 
 1,251,000   Team Health Holdings, Inc.*     
     6.375%, 02/01/25   1,057,595 

 

See accompanying Notes to Schedule of Investments

 

 6

 

 

Calamos Strategic Total Return Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL        
AMOUNT      VALUE 
     Tenet Healthcare Corp.     
 2,710,000   6.250%, 02/01/27  $2,704,716 
 1,575,000   6.875%, 11/15/31   1,623,542 
     Teva Pharmaceutical Finance Netherlands III, BV     
 1,520,000   5.125%, 05/09/29^   1,467,150 
 1,100,000   4.750%, 05/09/27   1,064,250 
 535,000   3.150%, 10/01/26   499,465 
         25,443,636 
     Industrials (2.2%)     
 1,355,000   ACCO Brands Corp.*     
     4.250%, 03/15/29   1,229,757 
 1,170,000   AerCap Holdings, NV‡^     
     5.875%, 10/10/79     
     5 year CMT + 4.54%   1,162,336 
     Air Lease Corp.‡     
 1,520,000   4.125%, 02/01/36     
     5 year CMT + 3.15%   1,288,291 
 320,000   4.650%, 02/01/36     
     5 year CMT + 4.08%   295,965 
     Albertsons Companies, Inc. / Safeway, Inc. / New Albertsons, LP / Albertsons, LLC*     
 1,925,000   4.625%, 01/15/27   1,868,848 
 900,000   5.875%, 02/15/28   899,541 
 1,070,000   Allegiant Travel Company*     
     7.250%, 08/15/27   1,046,995 
 670,000   Arcosa, Inc.*     
     4.375%, 04/15/29   628,795 
 3,100,000   ARD Finance, SA*     
     6.500%, 06/30/27     
     7.250% PIK rate   1,504,368 
 937,000   Beacon Roofing Supply, Inc.*     
     4.125%, 05/15/29   849,615 
     Bombardier, Inc.*     
 600,000   8.750%, 11/15/30   631,368 
 592,000   7.875%, 04/15/27   592,817 
 1,191,000   BWX Technologies, Inc.*     
     4.125%, 04/15/29   1,105,367 
 1,220,000   Cascades, Inc. / Cascades USA, Inc.*     
     5.375%, 01/15/28   1,197,284 
 295,000   Delta Air Lines, Inc. / SkyMiles IP, Ltd.*     
     4.750%, 10/20/28   290,371 
 1,565,000   Deluxe Corp.*     
     8.000%, 06/01/29   1,409,877 
 1,194,000   Eco Material Technologies, Inc.*     
     7.875%, 01/31/27   1,195,624 
 600,000   Emerald Debt Merger Sub, LLC*     
     6.625%, 12/15/30   606,540 
     EnerSys*     
 600,000   6.625%, 01/15/32   608,664 
 575,000   4.375%, 12/15/27   544,836 
 733,000   Graham Packaging Company, Inc.*     
     7.125%, 08/15/28   658,615 
     Graphic Packaging International, LLC*     
 750,000   4.750%, 07/15/27   730,695 
 551,000   3.500%, 03/01/29   498,352 
 1,303,000   Great Lakes Dredge & Dock Corp.*^     
     5.250%, 06/01/29   1,131,669 
 2,775,000   H&E Equipment Services, Inc.*     
     3.875%, 12/15/28   2,521,920 
 1,492,000   Hawaiian Brand Intellectual Property, Ltd. / HawaiianMiles Loyalty, Ltd.*     
     5.750%, 01/20/26   1,403,226 
 1,500,000   Herc Holdings, Inc.*     
     5.500%, 07/15/27   1,474,365 
 1,385,000   IEA Energy Services, LLC*     
     6.625%, 08/15/29   1,303,534 
     JELD-WEN, Inc.*     
 721,000   4.625%, 12/15/25   705,152 
 625,000   4.875%, 12/15/27^   596,913 
 1,940,000   Ken Garff Automotive, LLC*     
     4.875%, 09/15/28   1,812,911 
 1,200,000   Knife River Holding Company*     
     7.750%, 05/01/31   1,262,472 
 298,000   MasTec, Inc.*^     
     4.500%, 08/15/28   280,004 
 722,000   Moog, Inc.*     
     4.250%, 12/15/27   676,976 
 1,472,000   Newfold Digital Holdings Group, Inc.*     
     6.000%, 02/15/29   1,114,981 
 1,140,000   Novelis Corp.*     
     4.750%, 01/30/30   1,058,752 
 450,000   OI European Group, BV*     
     4.750%, 02/15/30   416,934 
 1,375,000   Pactiv Evergreen Group Issuer, Inc. / Pactiv Evergreen Group Issuer, LLC*     
     4.000%, 10/15/27   1,283,769 
     Sealed Air Corp.*     
 933,000   6.125%, 02/01/28   938,094 
 298,000   5.000%, 04/15/29   287,448 
 300,000   Sealed Air Corp./Sealed Air Corp. U.S.*     
     7.250%, 02/15/31   314,724 
 650,000   Sensata Technologies, BV*     
     4.000%, 04/15/29   595,400 
 593,000   Sensata Technologies, Inc.*     
     3.750%, 02/15/31   516,574 
     Sinclair Television Group, Inc.*     
 891,000   4.125%, 12/01/30   689,313 
 600,000   5.500%, 03/01/30   462,720 
 1,165,000   Standard Industries, Inc.*     
     5.000%, 02/15/27   1,133,230 
 100,000   Stanley Black & Decker, Inc.‡     
     4.000%, 03/15/60     
     5 year CMT + 2.66%   87,403 
 957,000   Stericycle, Inc.*     
     3.875%, 01/15/29   871,272 
 879,000   STL Holding Company, LLC*     
     7.500%, 02/15/26   895,323 
 300,000   Summit Materials LLC / Summit Materials Finance Corp.*     
     7.250%, 01/15/31   312,030 
     TransDigm, Inc.     
 1,295,000   6.875%, 12/15/30*   1,331,843 
 900,000   6.750%, 08/15/28*   915,903 
 875,000   7.500%, 03/15/27   877,879 
 649,000   6.250%, 03/15/26*   645,930 
 450,000   7.125%, 12/01/31*   469,463 
 1,188,000   Tronox, Inc.*     
     4.625%, 03/15/29   1,050,287 

 

See accompanying Notes to Schedule of Investments

 

7 

 

 

Calamos Strategic Total Return Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL        
AMOUNT      VALUE 
 439,547   United Airlines Pass Through Trust Series 2019-2, Class B     
     3.500%, 11/01/29  $401,979 
 1,191,000   Vertiv Group Corp.*     
     4.125%, 11/15/28   1,109,262 
 1,251,000   Wabash National Corp.*     
     4.500%, 10/15/28   1,140,849 
 1,050,000   Waste Pro USA, Inc.*     
     5.500%, 02/15/26   1,020,295 
     Williams Scotsman, Inc.*     
 703,000   4.625%, 08/15/28   663,780 
 600,000   7.375%, 10/01/31   629,118 
         55,248,618 
     Information Technology (0.7%)     
 296,000   Booz Allen Hamilton, Inc.*     
     4.000%, 07/01/29   278,039 
 692,000   Coherent Corp.*     
     5.000%, 12/15/29   648,148 
 601,000   CommScope Technologies, LLC*     
     6.000%, 06/15/25   478,336 
 1,100,000   CommScope, Inc.*     
     4.750%, 09/01/29   728,409 
 733,000   Dell International, LLC / EMC Corp.     
     6.020%, 06/15/26   749,170 
 596,000   Dun & Bradstreet Corp.*^     
     5.000%, 12/15/29   554,697 
 586,000   Fair Isaac Corp.*     
     4.000%, 06/15/28   546,263 
 1,315,000   KBR, Inc.*     
     4.750%, 09/30/28   1,213,245 
     MPH Acquisition Holdings, LLC*     
 1,300,000   5.750%, 11/01/28   1,035,099 
 595,000   5.500%, 09/01/28   529,098 
 600,000   NCL Corp., Ltd.*     
     8.125%, 01/15/29   629,880 
 589,000   NCR Voyix Corp.*     
     5.125%, 04/15/29   554,644 
 886,000   ON Semiconductor Corp.*     
     3.875%, 09/01/28   813,436 
     Open Text Corp.*     
 855,000   3.875%, 02/15/28   794,834 
 600,000   6.900%, 12/01/27   623,706 
 447,000   3.875%, 12/01/29   403,681 
 447,000   Open Text Holdings, Inc.*     
     4.125%, 12/01/31   395,783 
 1,105,000   Playtika Holding Corp.*     
     4.250%, 03/15/29   958,797 
 1,645,000   TTM Technologies, Inc.*     
     4.000%, 03/01/29   1,488,676 
     Twilio, Inc.     
 830,000   3.625%, 03/15/29   750,478 
 298,000   3.875%, 03/15/31   262,806 
 450,000   UKG, Inc.*     
     6.875%, 02/01/31   455,553 
 1,475,000   Viavi Solutions, Inc.*     
     3.750%, 10/01/29   1,285,698 
 1,355,000   ZoomInfo Technologies, LLC / ZoomInfo Finance Corp.*     
     3.875%, 02/01/29   1,207,305 
         17,385,781 
     Materials (0.7%)     
 623,000   ArcelorMittal, SA     
     7.000%, 10/15/39   680,173 
 600,000   ATI, Inc.     
     5.875%, 12/01/27   590,802 
 295,000   Carpenter Technology Corp.     
     7.625%, 03/15/30   305,284 
 895,000   Chemours Company*     
     4.625%, 11/15/29   783,510 
 1,880,000   Clearwater Paper Corp.*     
     4.750%, 08/15/28   1,765,301 
 900,000   Cleveland-Cliffs, Inc.*     
     6.750%, 04/15/30   908,298 
     Commercial Metals Company     
 596,000   4.125%, 01/15/30   545,471 
 298,000   4.375%, 03/15/32   266,767 
 1,375,000   Constellium, SE*^     
     3.750%, 04/15/29   1,239,672 
 590,000   HB Fuller Company     
     4.250%, 10/15/28   550,387 
 600,000   INEOS Finance, PLC*     
     6.750%, 05/15/28   587,238 
 900,000   JW Aluminum Continuous Cast Company*     
     10.250%, 06/01/26   910,062 
 1,050,000   Kaiser Aluminum Corp.*     
     4.625%, 03/01/28   968,258 
 297,000   LSF11 A5 HoldCo, LLC*     
     6.625%, 10/15/29   253,216 
     Mercer International, Inc.     
 1,566,000   5.125%, 02/01/29   1,344,521 
 600,000   12.875%, 10/01/28*   645,222 
 1,175,000   OCI, NV*     
     6.700%, 03/16/33   1,174,812 
     Owens-Brockway Glass Container, Inc.*     
 900,000   7.250%, 05/15/31   908,550 
 590,000   6.625%, 05/13/27   590,732 
 1,328,000   Silgan Holdings, Inc.     
     4.125%, 02/01/28   1,251,135 
 589,000   Trinseo Materials Operating SCA / Trinseo Materials Finance, Inc.*     
     5.125%, 04/01/29   231,465 
         16,500,876 
     Other (0.1%)     
     Gen Digital, Inc.*     
 625,000   7.125%, 09/30/30^   648,581 
 625,000   6.750%, 09/30/27   635,463 
         1,284,044 
     Real Estate (0.2%)     
 953,000   EPR Properties     
     3.750%, 08/15/29   849,809 
     Forestar Group, Inc.*     
 862,000   5.000%, 03/01/28   819,917 
 630,000   3.850%, 05/15/26   599,174 
 1,341,000   MIWD Holdco II, LLC / MIWD Finance Corp.*     
     5.500%, 02/01/30   1,222,054 
 550,000   Service Properties Trust     
     5.250%, 02/15/26   532,983 
         4,023,937 
     Special Purpose Acquisition Companies (0.1%)     
     Fertitta Entertainment, LLC / Fertitta Entertainment Finance Company, Inc.*     
 1,195,000   6.750%, 01/15/30   1,075,727 

 

See accompanying Notes to Schedule of Investments

 

 8

 

 

Calamos Strategic Total Return Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL        
AMOUNT      VALUE 
 596,000   4.625%, 01/15/29  $549,351 
         1,625,078 
     Utilities (0.2%)     
 340,000   Algonquin Power & Utilities Corp.‡     
     4.750%, 01/18/82     
     5 year CMT + 3.25%   295,640 
 85,000   American Electric Power Company, Inc.‡     
     3.875%, 02/15/62     
     5 year CMT + 2.68   74,608 
 235,000   CMS Energy Corp.‡     
     4.750%, 06/01/50     
     5 year CMT + 4.12%   212,313 
     Dominion Energy, Inc.‡     
 250,000   4.650%, 02/01/36     
     5 year CMT + 2.99%   241,915 
 133,000   4.350%, 02/01/36     
     5 year CMT + 3.20%   121,078 
     Duke Energy Corp.‡     
 330,000   4.875%, 02/01/36     
     5 year CMT + 3.39%   327,525 
 132,000   3.250%, 01/15/82     
     5 year CMT + 2.32%   108,021 
 285,000   Emera, Inc.‡     
     6.750%, 06/15/76     
     3 mo. LIBOR + 5.44   281,207 
     National Rural Utilities Cooperative Finance Corp.‡     
 288,000   7.125%, 09/15/53   298,532 
 150,000   5.250%, 04/20/46     
     3 mo. LIBOR + 3.63%   145,203 
 320,000   NextEra Energy Capital Holdings, Inc.‡     
     3.800%, 03/15/82     
     5 year CMT + 2.55%   281,296 
 591,000   PPL Capital Funding, Inc.‡     
     8.275%, 03/30/67     
     3 mo. LIBOR + 2.67%   567,130 
     Sempra‡     
 220,000   4.875%, 02/01/36     
     5 year CMT + 4.55%   216,011 
 85,000   4.125%, 04/01/52     
     5 year CMT + 2.87%   75,419 
     Southern Company‡     
 442,000   4.000%, 01/15/51     
     5 year CMT + 3.73%   425,394 
 95,000   3.750%, 09/15/51     
     5 year CMT + 2.92%   88,839 
     Vistra Corp.*‡     
 625,000   7.000%, 02/01/68     
     5 year CMT + 5.74%   610,125 
 340,000   8.000%, 02/01/68     
     5 year CMT + 6.93%   341,574 
 80,000   WEC Energy Group, Inc.‡     
     7.754%, 05/15/67     
     3 mo. LIBOR + 2.11%   75,805 
         4,787,635 
     Total Corporate Bonds     
     (Cost $416,348,507)   402,052,214 
           
Convertible Bonds (21.0%)
     Communication Services (1.7%)     
 1,203,000   Cable One, Inc.     
     0.000%, 03/15/26   1,033,509 
     Liberty Media Corp.*     
 7,025,000   3.750%, 03/15/28   8,715,636 
 5,970,000   2.375%, 09/30/53   6,267,008 
 8,895,000   Liberty Media Corp.-Liberty Formula One     
     2.250%, 08/15/27   9,270,547 
 17,095,000   Live Nation Entertainment, Inc.     
     2.000%, 02/15/25   17,954,537 
         43,241,237 
     Consumer Discretionary (2.7%)     
 8,205,000   Airbnb, Inc.     
     0.000%, 03/15/26   7,459,166 
 9,550,000   Booking Holdings, Inc.     
     0.750%, 05/01/25   17,830,518 
     DISH Network Corp.     
 1,803,000   0.000%, 12/15/25   1,290,497 
 1,183,000   2.375%, 03/15/24   1,159,872 
 14,650,000   Ford Motor Company     
     0.000%, 03/15/26   14,279,794 
 5,415,000   Rivian Automotive, Inc.*     
     4.625%, 03/15/29   5,767,950 
 3,765,000   Royal Caribbean Cruises, Ltd.     
     6.000%, 08/15/25   9,860,761 
 400,000   Tesla, Inc.     
     2.000%, 05/15/24   3,631,100 
 2,370,000   Wayfair, Inc.     
     3.250%, 09/15/27   2,616,978 
 3,850,000   Winnebago Industries, Inc.*     
     3.250%, 01/15/30   3,961,727 
         67,858,363 
     Energy (0.3%)     
 6,615,000   Northern Oil & Gas, Inc.     
     3.625%, 04/15/29   7,369,838 
           
     Financials (0.8%)     
 3,000,000   Ares Capital Corp.     
     4.625%, 03/01/24   3,140,730 
 4,115,000   Federal Realty OP, LP*     
     3.250%, 01/15/29   4,064,797 
 11,275,000   Morgan Stanley Finance, LLC     
     1.000%, 11/23/27   13,121,845 
         20,327,372 
     Health Care (1.6%)     
 13,555,000   Dexcom, Inc.     
     0.250%, 11/15/25   14,033,898 
 2,718,000   Envista Holdings Corp.*     
     1.750%, 08/15/28   2,482,377 
 4,085,000   Exact Sciences Corp.*     
     2.000%, 03/01/30   4,537,332 
 7,895,000   Integer Holdings Corp.*     
     2.125%, 02/15/28   10,286,632 
 7,755,000   Jazz Investments I, Ltd.     
     2.000%, 06/15/26   7,820,297 
         39,160,536 

 

See accompanying Notes to Schedule of Investments

 

9 

 

 

Calamos Strategic Total Return Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL        
AMOUNT      VALUE 
     Industrials (3.2%)     
 4,215,000   Axon Enterprise, Inc.     
     0.500%, 12/15/27  $5,181,457 
 7,500,000   Fluor Corp.*^     
     1.125%, 08/15/29   7,946,475 
 13,520,000   John Bean Technologies Corp.     
     0.250%, 05/15/26   12,245,605 
 13,805,000   Middleby Corp.     
     1.000%, 09/01/25   16,312,402 
 8,835,000   Tetra Tech, Inc.*     
     2.250%, 08/15/28   8,984,842 
     Uber Technologies, Inc.     
 14,800,000   0.000%, 12/15/25   15,298,760 
 12,000,000   0.875%, 12/01/28*   13,405,080 
         79,374,621 
     Information Technology (6.7%)     
 5,910,000   Advanced Energy Industries, Inc.*     
     2.500%, 09/15/28   6,125,360 
     Akamai Technologies, Inc.     
 14,080,000   1.125%, 02/15/29*   15,652,173 
 4,230,000   0.375%, 09/01/27   4,846,353 
     BILL Holdings, Inc.     
 7,838,000   0.000%, 04/01/27   6,585,566 
 3,535,000   0.000%, 12/01/25   3,314,098 
 17,000,000   CyberArk Software, Ltd.     
     0.000%, 11/15/24   25,580,920 
     Enphase Energy, Inc.     
 12,325,000   0.000%, 03/01/28   10,461,583 
 3,525,000   0.000%, 03/01/26   3,166,296 
 7,605,000   Nutanix, Inc.     
     0.250%, 10/01/27   8,731,529 
 17,315,000   ON Semiconductor Corp.*     
     0.500%, 03/01/29   16,818,059 
 2,520,000   Palo Alto Networks, Inc.     
     0.375%, 06/01/25   8,572,990 
 5,970,000   Rapid7, Inc.     
     1.250%, 03/15/29   6,536,493 
 13,100,000   Seagate HDD Cayman*     
     3.500%, 06/01/28   15,775,937 
 8,400,000   SK Hynix, Inc.     
     1.750%, 04/11/30   11,075,652 
 5,850,000   Tyler Technologies, Inc.     
     0.250%, 03/15/26   5,937,458 
 7,415,000   Western Digital Corp.*     
     3.000%, 11/15/28   9,631,640 
 5,670,000   Wolfspeed, Inc.     
     1.875%, 12/01/29   3,269,946 
 5,970,000   Workiva, Inc.*     
     1.250%, 08/15/28   5,751,677 
         167,833,730 
     Materials (0.3%)     
 5,800,000   Glencore Funding, LLC     
     0.000%, 03/27/25   5,985,716 
           
     Other (0.0%)     
 590,000   Multiplan Corp.*     
     6.000%, 10/15/27   413,248 
           
     Real Estate (1.1%)     
 15,115,000   Pebblebrook Hotel Trust     
     1.750%, 12/15/26   13,560,271 
 12,285,000   Welltower OP, LLC*     
     2.750%, 05/15/28   13,338,807 
         26,899,078 
     Utilities (2.6%)     
 11,920,000   Alliant Energy Corp.*     
     3.875%, 03/15/26   11,735,955 
 16,655,000   CMS Energy Corp.*     
     3.375%, 05/01/28   16,339,388 
 7,245,000   PG&E Corp.*     
     4.250%, 12/01/27   7,385,481 
 20,355,000   PPL Capital Funding, Inc.*     
     2.875%, 03/15/28   19,420,909 
 10,540,000   Southern Company*     
     3.875%, 12/15/25   10,500,475 
         65,382,208 
     Total Convertible Bonds     
     (Cost $516,699,204)   523,845,947 
           
Bank Loans (5.4%) ¡
     Airlines (0.1%)     
 841,500   American Airlines, Inc.‡     
     10.329%, 04/20/28     
     3 mo. SOFR + 4.75%   863,530 
 854,000   Mileage Plus Holdings, LLC‡     
     10.770%, 06/21/27     
     3 mo. SOFR + 5.25%   881,311 
         1,744,841 
     Communication Services (0.6%)     
 2,000,000   APi Group DE, Inc.‡     
     7.951%, 01/03/29     
     1 mo. SOFR + 2.25%   2,002,810 
 3,282,857   Charter Communications Operating LLC‡     
     7.083%, 02/01/27     
     1 mo. SOFR + 1.75%   3,276,292 
 153,499   Clear Channel Outdoor Holdings, Inc.‡     
     9.074%, 08/21/26     
     3 mo. SOFR + 3.50%   151,978 
 1,050,000   DirecTV Financing, LLC!     
     0.000%, 08/02/29   1,050,877 
 1,755,000   Entercom Media Corp.‡&     
     8.145%, 11/18/24     
     3 mo. SOFR + 2.50%   985,406 
 1,990,000   Go Daddy Operating Company, LLC‡     
     7.333%, 11/09/29     
     1 mo. SOFR + 2.00%   1,992,388 
 2,000,000   Match Group, Inc.‡     
     7.270%, 02/13/27     
     3 mo. SOFR + 1.75%   1,996,260 
 2,000,000   Nexstar Broadcasting, Inc.‡     
     7.951%, 09/18/26     
     1 mo. SOFR + 2.50%   2,000,490 
 600,000   Telesat Canada‡     
     8.400%, 12/07/26     
     3 mo. SOFR + 2.75%   368,325 
 2,000,000   Virgin Media Bristol, LLC‡     
     7.948%, 01/31/28     
     1 mo. SOFR + 2.50%   1,967,350 
         15,792,176 

 

See accompanying Notes to Schedule of Investments

 

 10

 

 

Calamos Strategic Total Return Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL        
AMOUNT      VALUE 
     Consumer Discretionary (1.1%)     
 768,000   American Axle & Manufacturing, Inc.‡     
     8.936%, 12/13/29     
     1 mo. SOFR + 3.50%  $769,444 
 1,990,000   Aramark Services, Inc.‡     
     7.947%, 06/22/30     
     1 mo. SOFR + 2.50%   1,988,766 
 1,191,000   Caesars Entertainment, Inc.‡     
     8.663%, 02/06/30     
     3 mo. SOFR + 3.25%   1,191,953 
 3,193,950   Carnival Corp.‡     
     8.336%, 08/08/27     
     1 mo. SOFR + 3.00%   3,199,539 
 1,396,438   Carnival Corp.‡     
     8.697%, 10/18/28     
     1 mo. SOFR + 3.25%   1,398,400 
 1,191,000   Hanesbrands, Inc.‡     
     9.083%, 03/08/30     
     1 mo. SOFR + 3.75%   1,186,534 
 2,000,000   Hilton Domestic Operating Company, Inc.‡     
     7.436%, 11/08/30     
     1 mo. SOFR + 2.00%   2,002,630 
 2,188,747   KFC Holding Company‡     
     7.196%, 03/15/28     
     1 mo. SOFR + 1.75%   2,190,717 
 722,390   Life Time Fitness, Inc.‡     
     9.824%, 01/15/26     
     3 mo. SOFR + 4.25%   727,446 
 1,989,770   Murphy USA, Inc.‡     
     7.217%, 01/31/28     
     1 mo. SOFR + 1.75%   1,995,988 
 1,989,899   PENN Entertainment, Inc.‡     
     8.183%, 05/03/29     
     1 mo. SOFR + 2.75%   1,987,750 
 730,603   Petco Health & Wellness Company, Inc.‡     
     8.860%, 03/03/28     
     3 mo. SOFR + 3.25%   687,764 
 2,941,152   PetSmart, Inc.‡     
     9.183%, 02/11/28     
     1 mo. SOFR + 3.75%   2,931,667 
 1,989,539   Station Casinos, LLC‡     
     7.683%, 02/08/27     
     1 mo. SOFR + 2.25%   1,987,440 
 744,389   TKC Holdings, Inc.‡     
     10.947%, 05/15/28     
     1 mo. SOFR + 5.50%   721,871 
 1,199,250   Windsor Holdings III, LLC‡     
     9.848%, 08/01/30     
     1 mo. SOFR + 4.50%   1,202,416 
         26,170,325 
     Consumer Staples (0.3%)     
 2,559,262   Amneal Pharmaceuticals, LLC‡     
     10.833%, 05/04/28     
     1 mo. SOFR + 5.50%   2,546,465 
 4,140,331   Jazz Financing Lux Sarl‡     
     8.447%, 05/05/28     
     1 mo. SOFR + 3.00%   4,142,919 
 1,225,000   Star Parent, Inc.‡     
     9.348%, 09/27/30     
     3 mo. SOFR + 4.00%   1,198,203 
 543,918   United Natural Foods, Inc.‡     
     8.697%, 10/22/25     
     1 mo. SOFR + 3.25%   543,551 
         8,431,138 
     Energy (0.1%)     
 955,000   Buckeye Partners, LP‡     
     7.833%, 11/22/30     
     1 mo. SOFR + 2.25%   955,798 
 575,000   New Fortress Energy, Inc.‡     
     10.317%, 10/27/28     
     3 mo. SOFR + 5.00%   576,150 
 1,490,246   Par Petroleum, LLC‡     
     9.738%, 02/28/30     
     3 mo. SOFR + 4.25%   1,491,550 
         3,023,498 
     Financials (0.5%)     
 300,000   Advisor Group, Inc.‡     
     9.833%, 08/17/28     
     1 mo. SOFR + 4.50%   300,095 
 998,774   Alliant Holdings Intermediate LLC‡     
     8.833%, 11/06/30     
     1 mo. SOFR + 3.50%   1,001,990 
 910,431   Amynta Agency Borrower, Inc.‡     
     9.583%, 02/28/28     
     1 mo. SOFR + 4.25%   911,892 
 1,170,113   AssuredPartners, Inc.‡     
     8.833%, 02/12/27     
     1 mo. SOFR + 3.50%   1,167,673 
 3,092,250   Avolon TLB Borrower 1, LLC‡     
     7.337%, 06/22/28     
     1 mo. SOFR + 2.00%   3,095,079 
 600,000   Broadstreet Partners, Inc.‡     
     9.083%, 01/27/29     
     1 mo. SOFR + 3.75%   600,375 
 1,527   Castlelake Aviation, Ltd.‡     
     8.146%, 10/22/26     
     3 mo. SOFR + 2.50%   1,527 
 616,410   Delos Aircraft Designated Activity Co.‡     
     7.348%, 10/31/27     
     3 mo. SOFR + 2.00%   618,722 
 1,200,000   HUB International, Ltd.!     
     0.000%, 06/20/30   1,202,064 
 2,930,000   Iron Mountain, Inc.‡     
     7.569%, 01/31/31     
     3 mo. SOFR + 2.25%   2,918,104 
 1,583,083   VFH Parent, LLC‡     
     8.433%, 01/13/29     
     1 mo. SOFR + 3.00%   1,582,292 
         13,399,813 
     Health Care (0.7%)     
 1,447,851   Avantor Funding, Inc.‡     
     7.683%, 11/08/27     
     1 mo. SOFR + 2.25%   1,448,575 
 2,188,472   DaVita, Inc.‡     
     7.197%, 08/12/26     
     1 mo. SOFR + 1.75%   2,186,108 
 1,988,923   Elanco Animal Health, Inc.‡     
     7.203%, 08/01/27     
     1 mo. SOFR + 1.75%   1,953,152 

 

See accompanying Notes to Schedule of Investments

 

11 

 

 

Calamos Strategic Total Return Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL        
AMOUNT      VALUE 
 1,971,215   Icon Luxembourg Sarl‡     
     7.860%, 07/03/28     
     3 mo. SOFR + 2.25%  $1,975,522 
 2,000,000   IQVIA, Inc.‡     
     7.348%, 01/02/31     
     3 mo. SOFR + 2.00%   2,006,380 
 2,000,000   Organon & Company‡     
     8.450%, 06/02/28     
     1 mo. SOFR + 3.00%   2,000,320 
 1,261,176   Padagis, LLC‡     
     10.341%, 07/06/28     
     3 mo. SOFR + 4.75%   1,223,347 
 1,994,950   Perrigo Investments, LLC‡     
     7.683%, 04/20/29     
     1 mo. SOFR + 2.25%   1,994,122 
 491,129   PRA Health Sciences, Inc.‡     
     7.860%, 07/03/28     
     3 mo. SOFR + 2.25%   492,203 
 2,870,557   Team Health Holdings, Inc.‡     
     10.563%, 03/02/27     
     3 mo. SOFR + 5.25%   2,400,504 
 8,209   Team Health Holdings, Inc.‡     
     10.583%, 03/02/27     
     1 mo. SOFR + 5.25%   6,864 
         17,687,097 
     Industrials (1.0%)     
 615,700   ACProducts, Inc.!     
     0.000%, 05/17/28   534,191 
 585,000   ACProducts, Inc.‡     
     9.860%, 05/17/28     
     3 mo. SOFR + 4.25%   507,555 
 733,825   Air Canada‡     
     9.139%, 08/11/28     
     3 mo. SOFR + 3.50%   735,487 
 1,989,796   Beacon Roofing Supply, Inc.‡     
     7.947%, 05/19/28     
     1 mo. SOFR + 2.25%   1,995,437 
 2,125,715   Berry Global, Inc.‡     
     7.202%, 07/01/29     
     1 mo. SOFR + 1.75%   2,123,302 
 3,131,015   ChampionX Corp.‡     
     8.187%, 06/07/29     
     1 mo. SOFR + 2.75%   3,144,713 
 2,751,353   Emrld Borrower, LP‡     
     8.313%, 05/31/30     
     1 mo. SOFR + 3.00%   2,755,314 
 1,989,975   H.B. Fuller Company‡     
     7.857%, 02/15/30     
     1 mo. SOFR + 2.25%   1,993,079 
 1,989,796   Jeld-Wen, Inc.‡     
     7.447%, 07/28/28     
     1 mo. SOFR + 2.00%   1,989,547 
 3,368,899   Light and Wonder International, Inc.‡     
     8.083%, 04/14/29     
     1 mo. SOFR + 3.00%   3,368,899 
 1,989,975   TransDigm, Inc.‡     
     8.598%, 08/24/28     
     3 mo. SOFR + 3.25%   1,994,214 
 1,200,000   TransDigm, Inc.‡     
     8.598%, 02/14/31     
     3 mo. SOFR + 3.25%   1,202,886 
 2,951,839   United Airlines, Inc.‡     
     9.201%, 04/21/28     
     1 mo. SOFR + 3.75%   2,961,300 
         25,305,924 
     Information Technology (0.5%)     
 1,626,696   Banff Merger Sub, Inc.‡     
     9.583%, 12/29/28     
     1 mo. SOFR + 4.25%   1,630,763 
 927,390   Camelot Finance SA‡     
     8.337%, 10/30/26     
     1 mo. SOFR + 3.00%   927,853 
 1,132,750   Central Parent, Inc.‡     
     9.348%, 07/06/29     
     3 mo. SOFR + 4.00%   1,136,290 
 2,974,370   II-VI, Inc.‡     
     8.087%, 07/02/29     
     1 mo. SOFR + 2.75%   2,966,191 
 1,849,779   Open Text Corp.‡     
     8.183%, 01/31/30     
     1 mo. SOFR + 2.75%   1,852,563 
 1,179,826   SS&C Technologies, Inc.‡     
     7.683%, 03/22/29     
     1 mo. SOFR + 2.25%   1,181,195 
 607,061   SS&C Technologies, Inc.‡     
     7.683%, 03/22/29     
     1 mo. SOFR + 2.25%   607,765 
 1,278,575   TTM Technologies, Inc.‡     
     8.103%, 05/30/30     
     1 mo. SOFR + 2.75%   1,280,173 
         11,582,793 
     Materials (0.4%)     
 2,011,630   Axalta Coating Systems U.S. Holdings, Inc.‡     
     7.848%, 12/20/29     
     3 mo. SOFR + 2.50%   2,015,402 
 2,613,450   Chemours Company‡     
     8.833%, 08/18/28     
     1 mo. SOFR + 3.50%   2,610,837 
 1,194,000   Ineos US Finance, LLC‡     
     8.837%, 02/18/30     
     1 mo. SOFR + 3.50%   1,182,430 
 940,522   Innophos, Inc.‡     
     8.697%, 02/05/27     
     1 mo. SOFR + 3.25%   929,748 
 1,507,425   LSF11 A5 Holdco, LLC‡     
     9.683%, 10/15/28     
     1 mo. SOFR + 4.25%   1,509,317 
 914,601   Trinseo Materials Operating SCA‡     
     8.150%, 05/03/28     
     3 mo. SOFR + 2.50%   702,263 
 1,169,660   W.R. Grace & Co.-Conn.‡     
     9.360%, 09/22/28     
     3 mo. SOFR + 3.75%   1,172,484 
         10,122,481 
     Special Purpose Acquisition Companies (0.1%)     
 586,075   Clydesdale Acquisition Holdings, Inc.‡     
     9.108%, 04/13/29     
     1 mo. SOFR + 3.67%   583,051 
 294,750   Fertitta Entertainment, LLC‡     
     9.333%, 01/27/29     
     1 mo. SOFR + 4.00%   294,296 

 

See accompanying Notes to Schedule of Investments

 

 12

 

 

Calamos Strategic Total Return Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL        
AMOUNT      VALUE 
 1,185,000   Patagonia Holdco, LLC‡     
     11.116%, 08/01/29     
     3 mo. SOFR + 5.75%  $1,089,607 
         1,966,954 
     Total Bank Loans     
     (Cost $136,390,736)   135,227,040 
           
U.S. Government and Agency Security (1.5%)
     Other (1.5%)     
 36,945,000   U.S. Treasury Note^     
     2.250%, 03/31/24     
     (Cost $36,932,396)   36,761,718 

 

NUMBER OF        
SHARES      VALUE 
         
Convertible Preferred Stocks (1.5%)
     Energy (0.0%)     
 6,300   Equitrans Midstream Corp.     
     9.750%, 02/15/24   138,600 
 28   Gulfport Energy Corp.#     
     10.000%, 03/04/24     
     15.000% PIK rate   259,000 
         397,600 
     Financials (0.9%)     
 80,250   AMG Capital Trust II     
     5.150%, 10/15/37   3,899,669 
 300,410   Apollo Global Management, Inc.     
     6.750%, 07/31/26   17,549,952 
         21,449,621 
     Industrials (0.1%)     
 46,187   Chart Industries, Inc.     
     6.750%, 12/15/25   2,301,036 
           
     Real Estate (0.0%)     
 3,000   Realty Income Corp.     
     6.000%, 03/01/24   74,700 
           
     Utilities (0.5%)     
 84,885   CenterPoint Energy, Inc. (Warner Media, LLC, Charter Communications Time, Inc.)#§**     
     3.369%, 09/15/29   3,218,585 
 262,050   NextEra Energy, Inc.^     
     6.926%, 09/01/25   9,750,880 
         12,969,465 
     Total Convertible Preferred Stocks     
     (Cost $40,137,889)   37,192,422 
           
Common Stocks (96.2%)
     Communication Services (10.4%)     
 661,840   Alphabet, Inc. - Class A#   92,723,784 
 199,700   Alphabet, Inc. - Class C^#   28,317,460 
 25,095   Altice USA, Inc. - Class A#   61,232 
 264,885   AT&T, Inc.   4,685,816 
 411,425   Comcast Corp. - Class Aµ   19,147,719 
 8,434   Cumulus Media, Inc. - Class Aµ#   38,796 
 2   Frontier Communications Parent, Inc.^#   49 
 146,450   Meta Platforms, Inc. - Class A^#   57,136,003 
 32,360   Netflix, Inc.#   18,254,600 
 205,085EUR  Orange, SA   2,438,855 
 135,860   T-Mobile U.S., Inc.   21,904,708 
 149,335   Walt Disney Company^   14,343,627 
         259,052,649 
     Consumer Discretionary (10.2%)     
 688,315   Amazon.com, Inc.^#   106,826,488 
 137,124   Aptiv, PLC#   11,152,295 
 59,260   Carnival Corp.µ#   982,531 
 243,463   General Motors Company   9,446,364 
 52,240   Home Depot, Inc.   18,438,630 
 294,980   Las Vegas Sands Corp.   14,430,422 
 54,670   Lowe's Companies, Inc.   11,635,963 
 62,500   McDonald's Corp.   18,295,000 
 162,800   NIKE, Inc. - Class B   16,529,084 
 107,325   Starbucks Corp.   9,984,445 
 144,100   Tesla, Inc.#   26,988,489 
 104,675   TJX Cos., Inc.   9,934,704 
         254,644,415 
     Consumer Staples (6.2%)     
 58,750   Altria Group, Inc.µ   2,357,050 
 329,140   Coca-Cola Company^   19,580,539 
 31,575   Costco Wholesale Corp.   21,940,836 
 47,280   Estee Lauder Companies, Inc. - Class A   6,240,487 
 7,965   Mallinckrodt, PLC#   304,661 
 113,665   Mondelez International, Inc. - Class A^   8,555,565 
 149,110   Monster Beverage Corp.#   8,204,032 
 90,260   PepsiCo, Inc.   15,211,518 
 179,035   Philip Morris International, Inc.^   16,265,330 
 203,745   Procter & Gamble Company^   32,016,489 
 52,650   Walgreens Boots Alliance, Inc.   1,188,310 
 130,790   Walmart, Inc.   21,613,047 
         153,477,864 
     Energy (4.5%)     
 475,000   BP, PLC (ADR)   16,672,500 
 1,730   Chesapeake Energy Corp.   133,400 
 77,130   Chevron Corp.   11,371,276 
 64,470   ConocoPhillips^   7,212,259 
 82,935   Energy Transfer, LP   1,185,970 
 49,155   Enterprise Products Partners, LP   1,315,388 
 7,920   EP Energy Corp.#&   23,760 
 94,234   EQT Corp.   3,335,884 
 317,920   Exxon Mobil Corp.   32,685,355 
 34   Gulfport Energy Corp.#    
 56,105   Hess Corp.   7,884,436 
 80,370   Marathon Petroleum Corp.   13,309,272 
 10,578   ONEOK, Inc.^   721,948 
 24,975   Pioneer Natural Resources Company   5,740,004 
 219,710   Schlumberger, NV   10,699,877 
         112,291,329 
     Financials (13.2%)     
 35,430   Affiliated Managers Group, Inc.   5,273,401 
 59,230   American Express Company^   11,889,830 
 346,890   American International Group, Inc.   24,112,324 
 29,983   Assurant, Inc.^   5,035,645 

 

See accompanying Notes to Schedule of Investments

 

13 

 

 

Calamos Strategic Total Return Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

NUMBER OF        
SHARES      VALUE 
 663,370   Bank of America Corp.^~µ  $22,561,214 
 71,870   Bank of New York Mellon Corp.   3,985,910 
 10,715   BlackRock, Inc.   8,296,732 
 76,155   Chubb, Ltd.   18,657,975 
 231,670   Citigroup, Inc.   13,012,904 
 27,300   Goldman Sachs Group, Inc.^   10,483,473 
 212,020   JPMorgan Chase & Company^   36,967,807 
 120,287   KKR & Company, Inc.µ   10,414,448 
 76,915   Marsh & McLennan Cos., Inc.   14,909,204 
 72,315   Mastercard, Inc. - Class A^   32,486,067 
 221,340   Morgan Stanley^   19,309,702 
 97,225   PayPal Holdings, Inc.#   5,964,754 
 26,315   S&P Global, Inc.   11,798,330 
 157,631   Starwood Property Trust, Inc.^   3,204,638 
 178,525   Visa, Inc. - Class A^   48,783,742 
 411,130   Wells Fargo & Company^   20,630,503 
         327,778,603 
     Health Care (12.7%)     
 82,820   Abbott Laboratories~µ   9,371,083 
 118,475   AbbVie, Inc.   19,477,290 
 124,060   Alcon, Inc.^   9,318,147 
 267,298   Boston Scientific Corp.^#   16,909,272 
 107,005   Bristol-Myers Squibb Company^   5,229,334 
 85,885   Danaher Corp.   20,604,670 
 71,605   Dexcom, Inc.#   8,689,267 
 23,435   Elevance Health, Inc.   11,563,766 
 74,890   Eli Lilly & Company^   48,349,733 
 34,856   GE Healthcare, Inc.   2,557,036 
 200,940   Johnson & Johnson   31,929,366 
 20,020   McKesson Corp.   10,007,798 
 142,050   Medtronic, PLC   12,435,057 
 219,485   Merck & Company, Inc.   26,509,398 
 314,685   Pfizer, Inc.   8,521,670 
 20,295   Stryker Corp.   6,808,567 
 30,260   Thermo Fisher Scientific, Inc.~µ   16,309,535 
 72,460   UnitedHealth Group, Inc.^   37,080,680 
 112,720   Zimmer Biomet Holdings, Inc.^   14,157,632 
         315,829,301 
     Industrials (5.9%)     
 47,290   Boeing Company#   9,980,082 
 777,890   CSX Corp.   27,770,673 
 230,090   Delta Air Lines, Inc.   9,005,723 
 104,568   General Electric Company^   13,846,894 
 104,790   Honeywell International, Inc.   21,194,825 
 79,505   JB Hunt Transport Services, Inc.   15,978,915 
 28,435   Northrop Grumman Corp.   12,703,621 
 50,835   Parker-Hannifin Corp.   23,612,857 
 145,750   RTX Corp.   13,280,740 
 8,988   Veralto Corp.   689,290 
         148,063,620 
     Information Technology (28.6%)     
 56,335   Accenture, PLC - Class A   20,499,180 
 21,770   Adobe, Inc.^#   13,449,070 
 92,130   Advanced Micro Devices, Inc.^#   15,449,280 
 1,010,925   Apple, Inc.^~µ   186,414,570 
 59,580   Applied Materials, Inc.   9,788,994 
 35,949   Broadcom, Inc.µ   42,419,820 
 247,515   Cisco Systems, Inc.^   12,420,303 
 58,910   Fidelity National Information Services, Inc.^   3,667,737 
 10,330   Intuit, Inc.   6,521,639 
 16,960   Lam Research Corp.   13,994,883 
 143,195   Micron Technology, Inc.^   12,278,971 
 574,150   Microsoft Corp.^   228,270,557 
 1,520,000   Nokia Oyj (ADR)^   5,472,000 
 161,290   NVIDIA Corp.^   99,236,898 
 81,370   Oracle Corp.   9,089,029 
 59,985   Salesforce, Inc.#   16,861,184 
 21,845   ServiceNow, Inc.#   16,720,163 
         712,554,278 
     Materials (2.8%)     
 255,945   Freeport-McMoRan, Inc.   10,158,457 
 56,835   Linde, PLC   23,008,513 
 126,910   PPG Industries, Inc.   17,899,386 
 19,725   Sherwin-Williams Companyµ   6,003,896 
 50,490   Vulcan Materials Company   11,411,245 
         68,481,497 
     Real Estate (0.7%)     
 70,930   American Tower Corp.   13,877,455 
 119,195   Invitation Homes, Inc.   3,925,091 
         17,802,546 
     Special Purpose Acquisition Company (0.0%)     
 14,052   Intelsat Emergence, SA#&   382,917 
           
     Utilities (1.0%)     
 77,480   CMS Energy Corp.   4,428,757 
 176,574   DTE Energy Company   18,614,431 
 32,149   NextEra Energy, Inc.   1,884,896 
         24,928,084 
     Total Common Stocks     
     (Cost $1,591,485,925)   2,395,287,103 
           
Warrants (0.0%) #    
     Energy (0.0%)     
 57,470   Mcdermott International, Ltd.&     
     06/30/27, Strike $15.98   6 
 51,723   Mcdermott International, Ltd.&     
     06/30/27, Strike $12.33   5 
 16,676   Tidewater, Inc.&     
     11/14/42, Strike $0.01   2 
     Total Warrants     
     (Cost $369,524)   13 
           
Exchange-Traded Funds (0.3%)      
     Other (0.3%)     
 56,295   iShares Biotechnology ETF^   7,564,922 
 11,975   iShares Preferred & Income Securities ETF   383,919 
     Total Exchange-Traded Funds     
     (Cost $8,140,902)   7,948,841 
           
Preferred Stocks (0.3%)      
     Communication Services (0.1%)     
 8,482   AT&T, Inc.     
     4.750%, 02/18/25   178,801 
 3,485   AT&T, Inc.     
     5.350%, 11/01/66   83,640 

 

See accompanying Notes to Schedule of Investments

 

 14

 

 

Calamos Strategic Total Return Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

NUMBER OF        
SHARES      VALUE 
 14,625   Qwest Corp.     
     6.500%, 09/01/56  $136,012 
 9,521   Telephone & Data Systems, Inc.     
     6.000%, 09/30/26   157,001 
 24,420   United States Cellular Corp.     
     5.500%, 03/01/70   452,014 
 23,445   United States Cellular Corp.     
     5.500%, 06/01/70   430,216 
         1,437,684 
     Consumer Discretionary (0.1%)     
 2,835   Ford Motor Company     
     6.200%, 06/01/59   71,867 
 2,764   Ford Motor Company     
     6.500%, 08/15/62   68,685 
 8,177   Guitar Center, Inc.#&   670,514 
 1,355   Qurate Retail, Inc.^     
     8.000%, 03/15/31   53,604 
 4,100   QVC, Inc.     
     6.250%, 11/26/68   49,323 
         913,993 
     Energy (0.1%)     
 12,420   Energy Transfer, LP‡     
     10.364%, 02/09/24     
     3 mo. LIBOR + 4.74%   317,828 
 43,730   NuStar Energy, LP‡     
     11.282%, 03/01/24     
     3 mo. LIBOR + 5.64%   1,123,861 
 9,119   NuStar Energy, LP‡     
     12.405%, 03/01/24     
     3 mo. LIBOR + 6.77%   235,452 
 55,760   NuStar Logistics, LP‡     
     12.310%, 01/15/43     
     3 mo. LIBOR + 6.73%   1,441,954 
         3,119,095 
     Financials (0.0%)     
 5,970   Annaly Capital Management, Inc.‡     
     10.585%, 06/01/25     
     3 mo. LIBOR + 4.99%   152,354 
 1,350   Capital One Financial Corp.     
     4.800%, 06/01/25   26,177 
 10,725   CNO Financial Group, Inc.     
     5.125%, 11/25/60   185,006 
 1,732   Cullen/Frost Bankers, Inc.     
     4.450%, 12/15/25   32,042 
 3,401   First Citizens BancShares, Inc.^     
     5.625%, 01/04/27   77,883 
 1,374   Goldman Sachs Group, Inc.‡     
     6.375%, 05/10/24     
     3 mo. SOFR + 3.81%   35,326 
 11,100   Reinsurance Group of America, Inc.‡     
     7.125%, 10/15/52     
     5 year CMT + 3.46%   291,486 
 6,214   Selective Insurance Group, Inc.     
     4.600%, 12/15/25   112,411 
         912,685 
     Industrials (0.0%)     
 5,043   WESCO International, Inc.‡     
     10.625%, 06/22/25     
     5 year CMT + 10.33%   135,203 
           
     Real Estate (0.0%)     
 8,773   Brookfield Property Partners, LP     
     5.750%, 03/31/25   101,679 
 5,000   Brookfield Property Partners, LP     
     6.375%, 09/30/24   63,500 
 3,625   Global Net Lease, Inc.     
     6.875%, 11/26/24   75,074 
 1,951   Global Net Lease, Inc.     
     0.000%, 03/26/24   42,278 
         282,531 
     Utilities (0.0%)     
 6,000   Brookfield Renewable Partners, LP     
     5.250%, 03/31/25   105,000 
 5,100   DTE Energy Company^     
     5.250%, 12/01/77   120,666 
         225,666 
     Total Preferred Stocks     
     (Cost $7,581,933)   7,026,857 

 

NUMBER OF        
CONTRACTS/        
NOTIONAL        
AMOUNT      VALUE 
         
Purchased Options (0.0%) #
     Other (0.0%)     
     Invesco QQQ Trust Series 1     
 1,550         
 64,630,350   Put, 02/16/24, Strike $385.78   72,075 
 375         
 15,636,375   Put, 02/16/24, Strike $399.78   46,687 
 2,700   iShares Russell 2000 ETF     
 52,077,600   Call, 03/15/24, Strike $200.00   853,200 
     Total Purchased Options     
     (Cost $3,185,691)   971,962 
TOTAL INVESTMENTS (142.4%)    
(Cost $2,758,155,466)  3,547,192,874 
     
MANDATORY REDEEMABLE PREFERRED SHARES, AT LIQUIDATION VALUE (-13.0%)  (323,500,000)
     
LIABILITIES, LESS OTHER ASSETS (-29.4%)  (733,043,613)
     
NET ASSETS (100.0%) $2,490,649,261 

 

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 Funds. 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.
Variable rate security. The rate shown is the rate in effect at January 31, 2024.

 

See accompanying Notes to Schedule of Investments

 

15 

 

 

Calamos Strategic Total Return Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

^ Security, or portion of security, is on loan.
~ Security, or portion of security, is segregated as collateral (or potential collateral for future transactions) for written options. The aggregate value of such securities is $4,505,709.
µ Security, or portion of security, is held in a segregated account as collateral for note payable aggregating a total value of $80,022,648.
¡ 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.
# Non-income producing security.
§ Securities exchangeable or convertible into securities of one or more entities that are different than the issuer. Each entity is identified in the parenthetical.
** Step coupon security. Coupon changes periodically based upon a predetermined schedule. The rate shown is the rate in effect at January 31, 2024.
& Illiquid security.

 

ABBREVIATION
ADR American Depositary Receipt.
 
FOREIGN CURRENCY ABBREVIATION
EUR European Monetary Unit

 

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.

 

The following table summarizes the Fund's investments and derivative financial instruments categorized in the fair value hierarchy as of January 31, 2024 (see Note 2):

 

   LEVEL 1   LEVEL 2   LEVEL 3   TOTAL 
Assets:                    
Asset Backed Securities  $   $878,757   $   $878,757 
Corporate Bonds       402,052,214        402,052,214 
Convertible Bonds       523,845,947        523,845,947 
Bank Loans       135,227,040        135,227,040 
U.S. Government and Agency Security       36,761,718        36,761,718 
Convertible Preferred Stocks   29,676,568    7,515,854        37,192,422 
Common Stocks   2,392,136,910    3,150,193        2,395,287,103 
Warrants       13        13 
Exchange-Traded Funds   7,948,841            7,948,841 
Preferred Stocks   6,356,343    670,514        7,026,857 
Purchased Options   971,962            971,962 
Total  $2,437,090,624   $1,110,102,250   $   $3,547,192,874 

 

See accompanying Notes to Schedule of Investments

 

 16

 

 

Calamos Dynamic Convertible and Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL
AMOUNT
     VALUE 
        
Asset Backed Security (0.0%)
Other (0.0%)
215,000  SVC ABS, LLC Series 2023-1A, Class C*      
   6.700%, 02/20/53      
  (Cost $198,736)  $197,835 
         
Corporate Bonds (16.3%)
Airlines (0.2%)
237,099  Alaska Airlines Pass Through Trust Series 2020-1, Class A*µ     
   4.800%, 02/15/29   230,157 
112,023  Alaska Airlines Pass Through Trust Series 2020-1, Class B*     
   8.000%, 02/15/27   113,179 
273,340  American Airlines Pass Through Trust Series 2021-1, Class B     
   3.950%, 01/11/32   243,866 
147,000  American Airlines, Inc. / AAdvantage Loyalty IP, Ltd.*     
   5.500%, 04/20/26   145,667 
258,895  British Airways Pass Through Trust Series 2021-1, Class B*     
   3.900%, 03/15/33   234,898 
209,530  JetBlue Pass Through Trust Series 2020-1, Class B     
   7.750%, 05/15/30   211,336 
       1,179,103 
Communication Services (1.7%)
200,000  Altice France Holding, SA*     
   10.500%, 05/15/27   115,570 
300,000  Altice France, SA*     
   5.500%, 10/15/29   221,583 
320,000  APi Group DE, Inc.*^     
   4.750%, 10/15/29   299,654 
280,000  Ashtead Capital, Inc.*     
   2.450%, 08/12/31   228,175 
   Audacy Capital Corp.*@     
336,000  6.750%, 03/31/29   13,564 
131,000  6.500%, 05/01/27   5,590 
242,000  Cincinnati Bell Telephone Company, LLC     
   6.300%, 12/01/28   214,642 
80,000  Clear Channel Outdoor Holdings, Inc.*     
   9.000%, 09/15/28   83,599 
371,000  Consolidated Communications, Inc.*^     
   6.500%, 10/01/28   323,256 
   CSC Holdings, LLC*     
400,000  5.375%, 02/01/28   344,284 
400,000  4.625%, 12/01/30   207,000 
400,000  4.500%, 11/15/31   287,468 
370,000  5.500%, 04/15/27   332,671 
200,000  5.750%, 01/15/30   106,206 
   Diamond Sports Group, LLC / Diamond Sports Finance Company*@     
210,000  6.625%, 08/15/27   14,370 
146,000  5.375%, 08/15/26   10,305 
341,000  Directv Financing, LLC / Directv Financing Co-Obligor, Inc.*     
   5.875%, 08/15/27   324,247 
275,000  Frontier California, Inc.     
   6.750%, 05/15/27   265,972 
   Frontier Communications Holdings, LLC*     
169,000  5.000%, 05/01/28   156,153 
65,000  8.750%, 05/15/30   66,606 
289,000  Frontier Florida, LLC@     
   6.860%, 02/01/28   278,483 
400,000  Frontier North, Inc.@     
   6.730%, 02/15/28   383,720 
   Go Daddy Operating Company, LLC / GD Finance Company, Inc.*     
235,000  3.500%, 03/01/29   212,844 
69,000  5.250%, 12/01/27   67,791 
   iHeartCommunications, Inc.     
165,000  8.375%, 05/01/27   103,222 
100,000  5.250%, 08/15/27*   77,753 
330,000  LCPR Senior Secured Financing DAC*     
   6.750%, 10/15/27   320,001 
198,330  Ligado Networks, LLC*     
   15.500%, 11/01/23     
   PIK rate   34,152 
   Lumen Technologies, Inc.     
200,000  7.600%, 09/15/39   53,226 
135,000  4.000%, 02/15/27*^   71,472 
67,000  7.650%, 03/15/42   18,473 
130,000  Match Group Holdings II, LLC*^     
   3.625%, 10/01/31   111,354 
220,000  Nexstar Media, Inc.*     
   5.625%, 07/15/27   214,179 
260,000  Paramount Global     
   4.900%, 08/15/44   205,686 
94,000  Qwest Corp.     
   7.250%, 09/15/25   92,144 
   Scripps Escrow II, Inc.*     
136,000  3.875%, 01/15/29   118,302 
68,000  5.375%, 01/15/31   52,281 
225,000  Scripps Escrow, Inc.*     
   5.875%, 07/15/27   203,063 
   Sirius XM Radio, Inc.*     
345,000  5.500%, 07/01/29   328,371 
268,000  4.000%, 07/15/28   243,499 
130,000  3.125%, 09/01/26   121,581 
65,000  3.875%, 09/01/31   54,278 
242,000  Spanish Broadcasting System, Inc.*     
   9.750%, 03/01/26   128,693 
680,000  Sprint, LLCµ     
   7.125%, 06/15/24   683,346 
300,000  Stagwell Global, LLC*     
   5.625%, 08/15/29   275,409 
260,000  Telesat Canada / Telesat, LLC*     
   4.875%, 06/01/27   154,172 
105,000  Time Warner Cable, LLC     
   7.300%, 07/01/38   110,203 
300,000  United States Cellular Corp.     
   6.700%, 12/15/33   309,321 
202,000  Univision Communications, Inc.*     
   8.000%, 08/15/28   205,586 

 

See accompanying Notes to Schedule of Investments

 

1 

 

 

Calamos Dynamic Convertible and Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL      
AMOUNT     VALUE 
135,000  Viasat, Inc.*^     
   5.625%, 04/15/27  $126,739 
       8,980,259 
  Consumer Discretionary (3.4%)     
320,000  Abercrombie & Fitch Management Company*     
   8.750%, 07/15/25   325,853 
265,000  Adams Homes, Inc.*     
   9.250%, 10/15/28   271,604 
330,000  Adient Global Holdings Company*^     
   8.250%, 04/15/31   348,850 
213,000  American Axle & Manufacturing, Inc.     
   6.875%, 07/01/28   208,406 
   Ashton Woods USA, LLC / Ashton Woods Finance Company*     
228,000  4.625%, 08/01/29   207,754 
204,000  6.625%, 01/15/28   202,380 
325,000  At Home Group, Inc.*     
   4.875%, 07/15/28   143,699 
   Bath & Body Works, Inc.     
355,000  6.694%, 01/15/27   360,918 
195,000  6.875%, 11/01/35   195,111 
   Caesars Entertainment, Inc.*     
168,000  4.625%, 10/15/29^   153,560 
132,000  8.125%, 07/01/27   135,579 
   Carnival Corp.*     
134,000  4.000%, 08/01/28   124,290 
133,000  7.625%, 03/01/26^   135,157 
16,000  7.000%, 08/15/29^   16,661 
   Carvana Company*     
52,000  14.000%, 06/01/31   46,420 
44,000  13.000%, 06/01/30   39,233 
29,000  12.000%, 12/01/28   25,754 
   CCO Holdings, LLC / CCO Holdings Capital Corp.*     
575,000  5.125%, 05/01/27   554,996 
315,000  4.500%, 08/15/30   273,798 
300,000  6.375%, 09/01/29   292,239 
300,000  4.750%, 03/01/30   266,742 
266,000  4.250%, 02/01/31   224,533 
130,000  5.000%, 02/01/28   122,811 
130,000  4.750%, 02/01/32   111,632 
130,000  CDI Escrow Issuer, Inc.*     
   5.750%, 04/01/30   125,922 
207,000  Cedar Fair, LP     
   5.250%, 07/15/29   198,134 
132,000  Churchill Downs, Inc.*     
   6.750%, 05/01/31   133,894 
   Dana, Inc.     
220,000  4.250%, 09/01/30^   192,577 
195,000  4.500%, 02/15/32   167,934 
   DISH DBS Corp.     
300,000  5.125%, 06/01/29   111,876 
190,000  5.250%, 12/01/26*   150,041 
168,000  7.375%, 07/01/28   74,353 
135,000  5.750%, 12/01/28*   91,067 
115,000  7.750%, 07/01/26   68,052 
265,000  DISH Network Corp.*     
   11.750%, 11/15/27   276,774 
400,000  Empire Resorts, Inc.*     
   7.750%, 11/01/26   370,956 
296,000  Everi Holdings, Inc.*     
   5.000%, 07/15/29   272,364 
275,000  Ford Motor Company     
   6.100%, 08/19/32   275,179 
   Ford Motor Credit Company, LLC     
425,000  4.000%, 11/13/30   379,291 
350,000  5.113%, 05/03/29   340,190 
340,000  7.200%, 06/10/30   361,600 
240,000  7.350%, 11/04/27   252,468 
98,000  Gap, Inc.*     
   3.875%, 10/01/31   80,988 
135,000  General Motors Company     
   5.200%, 04/01/45   122,498 
   goeasy, Ltd.*     
455,000  9.250%, 12/01/28   484,934 
241,000  4.375%, 05/01/26   230,613 
140,000  Goodyear Tire & Rubber Company^     
   5.250%, 07/15/31   127,554 
114,000  Group 1 Automotive, Inc.*     
   4.000%, 08/15/28   105,273 
283,000  Guitar Center, Inc.*^     
   8.500%, 01/15/26   251,457 
145,000  International Game Technology, PLC*     
   6.250%, 01/15/27   145,963 
72,024  JetBlue Pass Through Trust Series 2019-2, Class B     
   8.000%, 11/15/27   72,614 
233,000  Kohl's Corp.     
   5.550%, 07/17/45   159,004 
265,000  LCM Investments Holdings II, LLC*     
   8.250%, 08/01/31   272,113 
265,000  Liberty Interactive, LLC     
   8.250%, 02/01/30   141,579 
256,000  Life Time, Inc.*^     
   8.000%, 04/15/26   258,965 
135,000  Light & Wonder International, Inc.*     
   7.500%, 09/01/31   140,682 
100,000  Lindblad Expeditions Holdings, Inc.*     
   9.000%, 05/15/28   104,010 
168,000  Lindblad Expeditions, LLC*     
   6.750%, 02/15/27   168,128 
175,000  M/I Homes, Inc.     
   3.950%, 02/15/30   156,951 
   Macy's Retail Holdings, LLC     
305,000  6.700%, 07/15/34*   256,673 
265,000  4.300%, 02/15/43   201,212 
332,000  Midwest Gaming Borrower, LLC / Midwest Gaming Finance Corp.*     
   4.875%, 05/01/29   308,235 
160,000  Newell Brands, Inc.     
   5.200%, 04/01/26   155,814 
   Nordstrom, Inc.     
130,000  5.000%, 01/15/44   93,937 
123,000  4.250%, 08/01/31   102,698 
399,000  Patrick Industries, Inc.*^     
   4.750%, 05/01/29   368,002 
305,000  PENN Entertainment, Inc.*^     
   4.125%, 07/01/29   262,352 
250,000  PetSmart, Inc. / PetSmart Finance Corp.*     
   4.750%, 02/15/28   233,690 
365,000  Premier Entertainment Sub, LLC / Premier Entertainment Finance Corp.*^     
   5.625%, 09/01/29   275,122 

 

See accompanying Notes to Schedule of Investments

 

 2

 

 

Calamos Dynamic Convertible and Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED) 

 

PRINCIPAL      
AMOUNT     VALUE 
135,000  QVC, Inc.     
   5.450%, 08/15/34  $89,714 
130,000  Raising Cane's Restaurants, LLC*     
   9.375%, 05/01/29   139,420 
529,000  Rite Aid Corp.*@     
   8.000%, 11/15/26   401,876 
132,000  Royal Caribbean Cruises, Ltd.*     
   7.250%, 01/15/30   137,647 
370,000  Simmons Foods, Inc. / Simmons Prepared Foods, Inc. / Simmons Pet Food, Inc. / Simmons Feed*     
   4.625%, 03/01/29   318,992 
395,000  Six Flags Entertainment Corp.*^     
   7.250%, 05/15/31   403,366 
303,000  Sonic Automotive, Inc.*^     
   4.625%, 11/15/29   274,460 
193,000  Speedway Motorsports, LLC / Speedway Funding II, Inc.*     
   4.875%, 11/01/27   183,219 
545,000  Station Casinos, LLC*     
   4.500%, 02/15/28   514,278 
   STL Holding Company, LLC*     
200,000  7.500%, 02/15/26   203,714 
65,000  8.750%, 02/15/29   66,191 
162,000  Taylor Morrison Communities, Inc.*     
   5.750%, 01/15/28   161,461 
65,000  Viking Cruises, Ltd.*     
   9.125%, 07/15/31   69,649 
300,000  Vista Outdoor, Inc.*^     
   4.500%, 03/15/29   294,999 
265,000  ZF North America Capital, Inc.*     
   7.125%, 04/14/30   279,697 
       17,450,396 
Consumer Staples (0.8%)
303,000  1375209 B.C., Ltd.*^     
   9.000%, 01/30/28   294,331 
395,000  Arrow Bidco, LLC*     
   10.750%, 06/15/25   409,224 
255,000  B&G Foods, Inc.*     
   8.000%, 09/15/28   266,248 
305,000  Central Garden & Pet Company*     
   4.125%, 04/30/31   270,105 
304,000  Edgewell Personal Care Company*     
   4.125%, 04/01/29   278,312 
   Energizer Holdings, Inc.*     
370,000  4.375%, 03/31/29   335,050 
66,000  6.500%, 12/31/27   65,789 
   JBS USA LUX, SA / JBS USA Food Company / JBS USA Finance, Inc.     
390,000  5.500%, 01/15/30   381,802 
175,000  5.125%, 02/01/28µ   173,640 
100,000  5.750%, 04/01/33   99,160 
177,000  New Albertsons, LP     
   7.750%, 06/15/26   181,675 
261,000  Performance Food Group, Inc.*     
   4.250%, 08/01/29   239,363 
210,000  Pilgrim's Pride Corp.     
   4.250%, 04/15/31   189,464 
115,000  Post Holdings, Inc.*     
   5.750%, 03/01/27   114,651 
252,000  Prestige Brands, Inc.*     
   3.750%, 04/01/31   219,686 
240,000  United Natural Foods, Inc.*^     
   6.750%, 10/15/28   201,960 
413,000  Vector Group, Ltd.*     
   5.750%, 02/01/29   381,443 
       4,101,903 
Energy (2.1%)
132,000  Antero Resources Corp.*     
   5.375%, 03/01/30   126,075 
268,000  Apache Corp.     
   5.100%, 09/01/40   230,480 
135,000  Buckeye Partners, LP     
   5.850%, 11/15/43   111,510 
365,000  Callon Petroleum Company*^     
   7.500%, 06/15/30   384,768 
129,000  Cheniere Energy, Inc.µ     
   4.625%, 10/15/28   125,004 
198,000  Chesapeake Energy Corp.*     
   6.750%, 04/15/29   200,420 
371,000  Civitas Resources, Inc.*     
   8.750%, 07/01/31   395,965 
   Continental Resources, Inc.*     
200,000  2.875%, 04/01/32   163,368 
135,000  5.750%, 01/15/31   134,414 
202,000  DT Midstream, Inc.*     
   4.125%, 06/15/29   185,757 
   Earthstone Energy Holdings, LLC*     
256,000  8.000%, 04/15/27   265,308 
100,000  9.875%, 07/15/31   111,125 
150,000  Enbridge, Inc.‡     
   7.375%, 01/15/83     
   5 year CMT + 3.71%   150,264 
   Energy Transfer, LP‡     
390,000  8.586%, 11/01/66     
   3 mo. SOFR + 3.28%   348,391 
197,000  6.500%, 02/01/36     
   5 year CMT + 5.69%   190,534 
   EnLink Midstream Partners, LP     
340,000  9.756%, 02/01/36‡     
   3 mo. USD LIBOR + 4.11%   321,395 
285,000  4.850%, 07/15/26   280,055 
168,000  Enlink Midstream, LLC*     
   6.500%, 09/01/30   172,141 
430,000  EQM Midstream Partners, LP*     
   7.500%, 06/01/27   442,530 
   Genesis Energy, LP / Genesis Energy Finance Corp.     
196,000  8.875%, 04/15/30   205,190 
109,000  6.250%, 05/15/26   108,576 
   Gulfport Energy Corp.     
255,000  8.000%, 05/17/26*   257,499 
79,696  8.000%, 05/17/26   80,477 
365,000  Hilcorp Energy I, LP / Hilcorp Finance Company*     
   6.000%, 04/15/30   354,660 
196,000  Howard Midstream Energy Partners, LLC*     
   6.750%, 01/15/27   196,604 
114,000  Kodiak Gas Services, LLC*     
   7.250%, 02/15/29   115,343 
262,000  Magnolia Oil & Gas Operating, LLC / Magnolia Oil & Gas Finance Corp.*     
   6.000%, 08/01/26   259,126 

 

See accompanying Notes to Schedule of Investments

 

3 

 

 

Calamos Dynamic Convertible and Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED) 

 

PRINCIPAL      
AMOUNT     VALUE 
   Moss Creek Resources Holdings, Inc.*     
145,000  10.500%, 05/15/27  $149,343 
130,000  7.500%, 01/15/26^   129,588 
   Nabors Industries, Inc.*     
200,000  7.375%, 05/15/27   197,878 
100,000  9.125%, 01/31/30   102,039 
200,000  Nabors Industries, Ltd.*^     
   7.500%, 01/15/28   183,248 
272,000  New Fortress Energy, Inc.*     
   6.750%, 09/15/25   268,826 
198,000  Oceaneering International, Inc.     
   6.000%, 02/01/28   194,117 
280,000  Parkland Corp.*     
   5.875%, 07/15/27   277,967 
138,000  Patterson-UTI Energy, Inc.^     
   5.150%, 11/15/29   133,347 
66,000  Permian Resources Operating LLC*     
   7.000%, 01/15/32   68,196 
270,000  Plains All American Pipeline, LP‡     
   9.751%, 02/01/36     
   3 mo. USD LIBOR + 4.11%   267,519 
365,000  Rockcliff Energy II, LLC*     
   5.500%, 10/15/29   340,114 
130,000  Southwestern Energy Company     
   4.750%, 02/01/32   120,506 
375,250  Transocean, Inc.*     
   8.750%, 02/15/30   392,628 
   Venture Global Calcasieu Pass, LLC*     
165,000  6.250%, 01/15/30   165,457 
65,000  4.125%, 08/15/31   57,582 
65,000  3.875%, 08/15/29   58,102 
   Venture Global LNG, Inc.*     
330,000  8.375%, 06/01/31   334,366 
200,000  8.125%, 06/01/28   202,548 
135,000  9.875%, 02/01/32   142,016 
135,000  9.500%, 02/01/29   143,533 
   Vital Energy, Inc.     
168,000  9.750%, 10/15/30   178,631 
165,000  7.750%, 07/31/29*^   163,008 
275,000  VOC Escrow, Ltd.*     
   5.000%, 02/15/28   263,414 
327,000  Weatherford International, Ltd.*     
   8.625%, 04/30/30   334,897 
       10,785,849 
Financials (2.7%)
420,000  Acrisure, LLC / Acrisure Finance, Inc.*     
   8.250%, 02/01/29   421,529 
400,000  Aethon United BR, LP / Aethon United Finance Corp.*     
   8.250%, 02/15/26   399,020 
187,000  AG Issuer, LLC*     
   6.250%, 03/01/28   184,862 
   Alliant Holdings Intermediate, LLC / Alliant Holdings Co-Issuer*     
460,000  6.750%, 10/15/27   450,611 
35,000  7.000%, 01/15/31   35,441 
   Ally Financial, Inc.     
427,000  4.700%, 02/01/36    
   7 year CMT + 3.48%‡   340,975 
110,000  8.000%, 11/01/31   121,822 
533,000  AmWINS Group, Inc.*     
   4.875%, 06/30/29   498,190 
198,000  Aviation Capital Group, LLC*µ     
   3.500%, 11/01/27   184,603 
398,000  BroadStreet Partners, Inc.*     
   5.875%, 04/15/29   377,877 
315,000  Brookfield Property REIT, Inc. / BPR Cumulus, LLC / BPR Nimbus, LLC / GGSI Sellco, LLC*     
   4.500%, 04/01/27   279,355 
200,000  Burford Capital Global Financial, LLC*     
   6.875%, 04/15/30   195,096 
   Credit Acceptance Corp.     
255,000  6.625%, 03/15/26^   255,337 
180,000  9.250%, 12/15/28*   189,673 
265,000  Cushman & Wakefield U.S. Borrower LLC*^     
   8.875%, 09/01/31   278,335 
344,000  Enact Holdings, Inc.*µ     
   6.500%, 08/15/25   343,436 
300,000  GGAM Finance, Ltd.*     
   8.000%, 02/15/27   309,609 
333,000  Global Net Lease, Inc. / Global Net Lease Operating Partnership, LP*     
   3.750%, 12/15/27   284,772 
275,000  GTCR W-2 Merger Sub, LLC*     
   7.500%, 01/15/31   286,751 
145,000  HAT Holdings I LLC / HAT Holdings II LLC*     
   8.000%, 06/15/27   150,401 
   HUB International, Ltd.*     
398,000  5.625%, 12/01/29   375,784 
130,000  7.375%, 01/31/32   133,060 
202,000  Icahn Enterprises, LP / Icahn Enterprises Finance Corp.     
   4.375%, 02/01/29   169,019 
360,000  ILFC E-Capital Trust II*‡     
   7.436%, 12/21/65     
   3 mo. USD LIBOR + 1.80%   285,343 
550,000  Iron Mountain, Inc.*     
   5.250%, 03/15/28   533,786 
540,000  Jefferies Finance, LLC / JFIN Co-Issuer Corp.*     
   5.000%, 08/15/28   487,566 
   Ladder Capital Finance Holdings, LLLP / Ladder Capital Finance Corp.*     
522,000  5.250%, 10/01/25   513,674 
280,000  4.750%, 06/15/29   250,785 
245,000  LD Holdings Group, LLC*^     
   6.125%, 04/01/28   199,915 
   Level 3 Financing, Inc.*     
280,000  4.250%, 07/01/28   94,150 
135,000  4.625%, 09/15/27   71,272 
200,000  LPL Holdings, Inc.*     
   4.000%, 03/15/29   184,446 
265,000  Macquarie Airfinance Holdings, Ltd.*     
   8.125%, 03/30/29   275,192 
129,027  Mallinckrodt International Finance, SA / Mallinckrodt CB, LLC*^     
   14.750%, 11/14/28   140,700 
417,000  MetLife, Inc.     
   6.400%, 12/15/66   426,040 

 

See accompanying Notes to Schedule of Investments

 

 4

 

 

Calamos Dynamic Convertible and Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL       
AMOUNT     VALUE 
365,000  Nationstar Mortgage Holdings, Inc.*     
   5.500%, 08/15/28  $347,732 
   Navient Corp.     
288,000  5.000%, 03/15/27   274,870 
145,000  4.875%, 03/15/28   131,886 
170,000  Necessity Retail REIT, Inc. / American Finance Operating Partner, LP*     
   4.500%, 09/30/28   144,667 
130,000  Newmark Group, Inc.*     
   7.500%, 01/12/29   132,865 
   OneMain Finance Corp.     
185,000  9.000%, 01/15/29   195,020 
180,000  3.875%, 09/15/28   158,188 
127,000  7.125%, 03/15/26^   128,803 
132,000  Park Intermediate Holdings, LLC / PK Domestic Property, LLC / PK Finance Co-Issuer*     
   5.875%, 10/01/28   129,238 
416,000  PHH Mortgage Corp.*     
   7.875%, 03/15/26   384,322 
300,000  RHP Hotel Properties, LP / RHP Finance Corp.*     
   4.500%, 02/15/29   279,099 
   Rocket Mortgage, LLC / Rocket Mortgage Co-Issuer, Inc.*     
125,000  3.625%, 03/01/29   111,566 
120,000  3.875%, 03/01/31   105,460 
65,000  2.875%, 10/15/26   60,324 
269,000  StoneX Group, Inc.*     
   8.625%, 06/15/25   272,075 
   United Wholesale Mortgage, LLC*     
310,000  5.500%, 04/15/29^   293,161 
130,000  5.750%, 06/15/27   127,776 
   Uniti Group, LP / Uniti Group Finance, Inc. / CSL Capital, LLC*     
135,000  6.500%, 02/15/29^   95,269 
132,000  10.500%, 02/15/28   134,330 
300,000  VZ Secured Financing, BV*     
   5.000%, 01/15/32   262,338 
280,000  XHR, LP*^     
   6.375%, 08/15/25   280,462 
       13,777,878 
Health Care (1.1%)
   Bausch Health Companies, Inc.*     
539,000  11.000%, 09/30/28   370,471 
105,000  14.000%, 10/15/30   59,420 
98,000  6.125%, 02/01/27   62,200 
   CHS/Community Health Systems, Inc.*     
533,000  6.125%, 04/01/30   353,081 
151,000  8.000%, 03/15/26   148,783 
146,000  6.875%, 04/15/29   100,778 
130,000  10.875%, 01/15/32   136,582 
33,000  5.250%, 05/15/30   27,431 
   DaVita, Inc.*     
313,000  3.750%, 02/15/31   258,200 
291,000  4.625%, 06/01/30   257,689 
   Embecta Corp.*     
195,000  5.000%, 02/15/30   159,771 
67,000  6.750%, 02/15/30   59,118 
   Encompass Health Corp.     
130,000  4.750%, 02/01/30   122,201 
130,000  4.500%, 02/01/28   124,365 
282,000  HCA, Inc.     
   7.500%, 11/06/33   318,403 
200,000  Jazz Securities DAC*     
   4.375%, 01/15/29   185,032 
   Medline Borrower, LP*     
336,000  5.250%, 10/01/29   313,555 
335,000  3.875%, 04/01/29   303,691 
   Organon & Company / Organon Foreign Debt Co-Issuer, BV*     
490,000  5.125%, 04/30/31   422,081 
200,000  4.125%, 04/30/28   182,990 
302,000  Team Health Holdings, Inc.*     
   6.375%, 02/01/25   255,311 
   Tenet Healthcare Corp.     
625,000  6.250%, 02/01/27   623,781 
375,000  6.875%, 11/15/31   386,558 
   Teva Pharmaceutical Finance Netherlands III, BV     
335,000  5.125%, 05/09/29   323,352 
200,000  4.750%, 05/09/27   193,500 
130,000  3.150%, 10/01/26   121,365 
       5,869,709 
Industrials (2.3%)
300,000  ACCO Brands Corp.*^     
   4.250%, 03/15/29   272,271 
300,000  AerCap Holdings, NV^‡     
   5.875%, 10/10/79     
   5 year CMT + 4.54%   298,035 
265,000  Air Lease Corp.‡     
   4.125%, 02/01/36     
   5 year CMT + 3.15%   224,603 
   Albertsons Companies, Inc. / Safeway, Inc. / New Albertsons, LP / Albertsons, LLC*     
440,000  4.625%, 01/15/27   427,165 
195,000  5.875%, 02/15/28   194,901 
233,000  Allegiant Travel Company*     
   7.250%, 08/15/27   227,991 
146,000  Arcosa, Inc.*     
   4.375%, 04/15/29   137,021 
700,000  ARD Finance, SA*     
   6.500%, 06/30/27     
   7.250% PIK Rate   339,696 
206,000  Beacon Roofing Supply, Inc.*     
   4.125%, 05/15/29   186,788 
   Bombardier, Inc.*     
135,000  7.875%, 04/15/27   135,186 
130,000  8.750%, 11/15/30   136,796 
261,000  BWX Technologies, Inc.*     
   4.125%, 04/15/29   242,234 
273,000  Cascades, Inc. / Cascades USA, Inc.*     
   5.375%, 01/15/28   267,917 
68,000  Delta Air Lines, Inc. / SkyMiles IP, Ltd.*µ     
   4.750%, 10/20/28   66,933 
350,000  Deluxe Corp.*     
   8.000%, 06/01/29   315,308 
260,000  Eco Material Technologies, Inc.*     
   7.875%, 01/31/27   260,354 
132,000  Emerald Debt Merger Sub, LLC*     
   6.625%, 12/15/30   133,439 
   EnerSys*     
145,000  4.375%, 12/15/27   137,393 
135,000  6.625%, 01/15/32   136,949 

 

See accompanying Notes to Schedule of Investments

 

5 

 

 

Calamos Dynamic Convertible and Income Fund

 

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL       
AMOUNT     VALUE 
161,000  Graham Packaging Company, Inc.*     
   7.125%, 08/15/28  $144,662 
   Graphic Packaging International, LLC*     
175,000  4.750%, 07/15/27^   170,496 
125,000  3.500%, 03/01/29   113,056 
290,000  Great Lakes Dredge & Dock Corp.*^     
   5.250%, 06/01/29   251,868 
623,000  H&E Equipment Services, Inc.*     
   3.875%, 12/15/28   566,182 
337,000  Hawaiian Brand Intellectual Property, Ltd. / HawaiianMiles Loyalty, Ltd.*     
   5.750%, 01/20/26   316,948 
350,000  Herc Holdings, Inc.*     
   5.500%, 07/15/27   344,018 
310,000  IEA Energy Services, LLC*     
   6.625%, 08/15/29   291,766 
   JELD-WEN, Inc.*     
160,000  4.625%, 12/15/25   156,483 
135,000  4.875%, 12/15/27^   128,933 
445,000  Ken Garff Automotive, LLC*     
   4.875%, 09/15/28   415,848 
265,000  Knife River Holding Company*     
   7.750%, 05/01/31   278,796 
69,000  MasTec, Inc.*µ     
   4.500%, 08/15/28   64,833 
170,000  Moog, Inc.*     
   4.250%, 12/15/27   159,399 
323,000  Newfold Digital Holdings Group, Inc.*     
   6.000%, 02/15/29   244,660 
272,000  Novelis Corp.*     
   4.750%, 01/30/30   252,615 
100,000  OI European Group, BV*^     
   4.750%, 02/15/30   92,652 
310,000  Pactiv Evergreen Group Issuer, Inc. / Pactiv Evergreen Group Issuer, LLC*^     
   4.000%, 10/15/27   289,432 
   Sealed Air Corp.*     
206,000  6.125%, 02/01/28   207,125 
65,000  5.000%, 04/15/29^   62,698 
65,000  Sealed Air Corp./Sealed Air Corp. U.S.*     
   7.250%, 02/15/31   68,190 
247,000  Sensata Technologies, Inc.*     
   3.750%, 02/15/31   215,167 
   Sinclair Television Group, Inc.*     
201,000  4.125%, 12/01/30   155,502 
135,000  5.500%, 03/01/30   104,112 
270,000  Standard Industries, Inc.*     
   5.000%, 02/15/27   262,637 
216,000  Stericycle, Inc.*     
   3.875%, 01/15/29   196,651 
65,000  Summit Materials LLC / Summit Materials Finance Corp.*     
   7.250%, 01/15/31   67,607 
   TransDigm, Inc.     
285,000  6.875%, 12/15/30*   293,108 
205,000  7.500%, 03/15/27   205,674 
200,000  6.750%, 08/15/28*   203,534 
151,000  6.250%, 03/15/26*   150,286 
100,000  7.125%, 12/01/31*   104,325 
266,000  Tronox, Inc.*     
   4.625%, 03/15/29   235,165 
99,329  United Airlines Pass Through Trust Series 2019-2, Class B     
   3.500%, 11/01/29   90,840 
265,000  Vertiv Group Corp.*     
   4.125%, 11/15/28   246,813 
274,000  Wabash National Corp.*     
   4.500%, 10/15/28   249,874 
240,000  Waste Pro USA, Inc.*     
   5.500%, 02/15/26   233,210 
   Williams Scotsman, Inc.*     
157,000  4.625%, 08/15/28   148,241 
130,000  7.375%, 10/01/31   136,309 
       12,060,695 
Information Technology (0.8%)
66,000  Booz Allen Hamilton, Inc.*     
   4.000%, 07/01/29   61,995 
153,000  Coherent Corp.*     
   5.000%, 12/15/29   143,304 
185,000  CommScope Technologies, LLC*^     
   6.000%, 06/15/25   147,241 
245,000  CommScope, Inc.*     
   4.750%, 09/01/29   162,237 
162,000  Dell International, LLC / EMC Corp.µ     
   6.020%, 06/15/26   165,574 
130,000  Dun & Bradstreet Corp.*^     
   5.000%, 12/15/29   120,991 
138,000  Fair Isaac Corp.*     
   4.000%, 06/15/28   128,642 
300,000  KBR, Inc.*     
   4.750%, 09/30/28   276,786 
   MPH Acquisition Holdings, LLC*     
300,000  5.750%, 11/01/28^   238,869 
130,000  5.500%, 09/01/28   115,601 
132,000  NCL Corp., Ltd.*     
   8.125%, 01/15/29   138,574 
130,000  NCR Voyix Corp.*     
   5.125%, 04/15/29   122,417 
198,000  ON Semiconductor Corp.*     
   3.875%, 09/01/28   181,784 
   Open Text Corp.*     
204,000  3.875%, 02/15/28   189,645 
135,000  6.900%, 12/01/27   140,334 
98,000  3.875%, 12/01/29   88,503 
98,000  Open Text Holdings, Inc.*^     
   4.125%, 12/01/31   86,771 
245,000  Playtika Holding Corp.*     
   4.250%, 03/15/29   212,584 
370,000  TTM Technologies, Inc.*     
   4.000%, 03/01/29   334,839 
   Twilio, Inc.     
185,000  3.625%, 03/15/29   167,275 
66,000  3.875%, 03/15/31   58,205 
97,000  UKG, Inc.*     
   6.875%, 02/01/31   98,197 
325,000  Viavi Solutions, Inc.*     
   3.750%, 10/01/29   283,289 
300,000  ZoomInfo Technologies, LLC / ZoomInfo Finance Corp.*     
   3.875%, 02/01/29   267,300 
       3,930,957 

 

See accompanying Notes to Schedule of Investments

 

 6

 

 

Calamos Dynamic Convertible and Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED) 

 

PRINCIPAL      
AMOUNT     VALUE 
  Materials (0.7%)     
140,000  ArcelorMittal, SA     
   7.000%, 10/15/39  $152,848 
147,000  ATI, Inc.     
   5.875%, 12/01/27   144,746 
67,000  Carpenter Technology Corp.     
   7.625%, 03/15/30   69,336 
195,000  Chemours Company*     
   4.625%, 11/15/29   170,709 
420,000  Clearwater Paper Corp.*^     
   4.750%, 08/15/28   394,376 
199,000  Cleveland-Cliffs, Inc.*     
   6.750%, 04/15/30   200,835 
   Commercial Metals Company     
130,000  4.125%, 01/15/30   118,979 
65,000  4.375%, 03/15/32   58,187 
250,000  Constellium, SE*^     
   3.750%, 04/15/29   225,395 
136,000  HB Fuller Company     
   4.250%, 10/15/28   126,869 
200,000  INEOS Finance, PLC*^     
   6.750%, 05/15/28   195,746 
215,000  JW Aluminum Continuous Cast Company*     
   10.250%, 06/01/26   217,404 
235,000  Kaiser Aluminum Corp.*     
   4.625%, 03/01/28   216,705 
63,000  LSF11 A5 HoldCo, LLC*     
   6.625%, 10/15/29   53,712 
   Mercer International, Inc.     
344,000  5.125%, 02/01/29   295,348 
133,000  12.875%, 10/01/28*   143,024 
250,000  OCI, NV*     
   6.700%, 03/16/33   249,960 
   Owens-Brockway Glass Container, Inc.*     
200,000  7.250%, 05/15/31   201,900 
130,000  6.625%, 05/13/27^   130,161 
305,000  Silgan Holdings, Inc.     
   4.125%, 02/01/28   287,347 
131,000  Trinseo Materials Operating SCA / Trinseo Materials Finance, Inc.*     
   5.125%, 04/01/29   51,480 
       3,705,067 
  Other (0.1%)     
   Gen Digital, Inc.*     
140,000  7.125%, 09/30/30^   145,282 
140,000  6.750%, 09/30/27   142,344 
       287,626 
  Real Estate (0.2%)     
210,000  EPR Properties     
   3.750%, 08/15/29   187,261 
   Forestar Group, Inc.*     
195,000  5.000%, 03/01/28   185,480 
137,000  3.850%, 05/15/26   130,297 
301,000  MIWD Holdco II, LLC / MIWD Finance Corp.*     
   5.500%, 02/01/30   274,301 
125,000  Service Properties Trust^     
   5.250%, 02/15/26   121,133 
       898,472 
  Special Purpose Acquisition Companies (0.1%)     
   Fertitta Entertainment, LLC / Fertitta Entertainment Finance Company, Inc.*     
260,000  6.750%, 01/15/30^   234,049 
131,000  4.625%, 01/15/29   120,747 
       354,796 
  Utilities (0.1%)     
97,000  PPL Capital Funding, Inc.‡     
   8.275%, 03/30/67     
   3 mo. USD LIBOR + 2.67%   93,082 
   Vistra Corp.*‡     
125,000  7.000%, 02/01/68     
   5 year CMT + 5.74%   122,025 
65,000  8.000%, 02/01/68     
   5 year CMT + 6.93%   65,301 
       280,408 
  

Total Corporate Bonds
(Cost $74,838,650)

   83,663,118 
         
Convertible Bonds (130.7%)     
  Communication Services (10.1%)     
264,000  Cable One, Inc.µ     
   0.000%, 03/15/26   226,805 
   Liberty Media Corp.*     
7,500,000  3.750%, 03/15/28   9,304,950 
7,250,000  2.375%, 09/30/53   7,610,687 
7,750,000  Liberty Media Corp.-Liberty Formula One     
   2.250%, 08/15/27   8,077,205 
4,500,000  Match Group Financeco 3, Inc.*µ     
   2.000%, 01/15/30   4,006,800 
5,250,000  Perficient, Inc.µ     
   0.125%, 11/15/26   4,470,375 
   Snap, Inc.µ     
11,000,000  0.000%, 05/01/27   8,860,830 
5,000,000  0.750%, 08/01/26   5,249,250 
3,000,000  Zillow Group, Inc.     
   1.375%, 09/01/26   4,098,390 
       51,905,292 
  Consumer Discretionary (26.5%)     
9,750,000  Airbnb, Inc.µ     
   0.000%, 03/15/26   8,863,725 
4,000,000  Booking Holdings, Inc.     
   0.750%, 05/01/25   7,468,280 
3,750,000  Carnival Corp.     
   5.750%, 12/01/27   5,709,638 
6,000,000  Chegg, Inc.µ     
   0.000%, 09/01/26   4,986,120 
   DISH Network Corp.µ     
11,400,000  0.000%, 12/15/25   8,159,550 
278,000  2.375%, 03/15/24   272,565 
11,750,000  DraftKings Holdings, Inc.µ     
   0.000%, 03/15/28   9,803,847 
11,250,000  Etsy, Inc.µ     
   0.125%, 09/01/27   9,330,525 
14,500,000  Ford Motor Company     
   0.000%, 03/15/26   14,133,585 
7,500,000  Liberty Broadband Corp.*µ     
   3.125%, 03/31/53   7,364,175 

 

See accompanying Notes to Schedule of Investments

 

7 

 

 

Calamos Dynamic Convertible and Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL      
AMOUNT     VALUE 
2,125,000  Lucid Group, Inc.*     
   1.250%, 12/15/26  $844,921 
9,000,000  Marriott Vacations Worldwide Corp.µ     
   3.250%, 12/15/27   7,959,240 
10,000,000  Rivian Automotive, Inc.*µ     
   4.625%, 03/15/29   10,651,800 
1,750,000  Royal Caribbean Cruises, Ltd.µ     
   6.000%, 08/15/25   4,583,355 
5,000,000  Shake Shack, Inc.µ     
   0.000%, 03/01/28   4,097,750 
2,750,000  Stride, Inc.     
   1.125%, 09/01/27   3,526,078 
13,250,000  Vail Resorts, Inc.µ     
   0.000%, 01/01/26   11,966,340 
11,750,000  Wayfair, Inc.µ     
   3.250%, 09/15/27   12,974,467 
3,286,000  Winnebago Industries, Inc.*µ     
   3.250%, 01/15/30   3,381,360 
       136,077,321 
  Consumer Staples (0.8%)     
4,000,000  Post Holdings, Inc.     
   2.500%, 08/15/27   4,164,360 
         
  Energy (2.6%)     
4,265,000  Nabors Industries, Inc.*µ     
   1.750%, 06/15/29   3,156,654 
3,750,000  Northern Oil & Gas, Inc.     
   3.625%, 04/15/29   4,177,913 
2,500,000  Pioneer Natural Resources Company     
   0.250%, 05/15/25   6,215,850 
9,600,000  SunEdison, Inc.*@&     
   0.250%, 01/15/49   96,000 
       13,646,417 
  Financials (1.7%)     
7,500,000  Morgan Stanley Finance, LLC     
   1.000%, 11/23/27   8,728,500 
         
  Health Care (27.3%)     
4,000,000  Alnylam Pharmaceuticals, Inc.µ     
   1.000%, 09/15/27   3,859,720 
4,750,000  Alphatec Holdings, Inc.     
   0.750%, 08/01/26   5,213,647 
4,752,000  BioMarin Pharmaceutical, Inc.µ     
   0.599%, 08/01/24   4,681,718 
8,250,000  CONMED Corp.µ     
   2.250%, 06/15/27   7,849,215 
10,500,000  CryoPort, Inc.*µ     
   0.750%, 12/01/26   8,601,705 
   Dexcom, Inc.     
13,817,000  0.250%, 11/15/25   14,305,155 
7,000,000  0.375%, 05/15/28*µ   7,055,160 
2,525,000  Enovis Corp.*^     
   3.875%, 10/15/28   3,121,683 
3,750,000  Envista Holdings Corp.*µ     
   1.750%, 08/15/28   3,424,913 
   Exact Sciences Corp.µ     
6,000,000  0.375%, 03/15/27   5,576,640 
3,250,000  2.000%, 03/01/30*   3,609,873 
6,250,000  Halozyme Therapeutics, Inc.µ     
   1.000%, 08/15/28   5,671,062 
1,772,000  Immunocore Holdings, PLC*     
   2.500%, 02/01/30   1,911,102 
3,750,000  Insmed, Inc.     
   0.750%, 06/01/28   4,087,200 
3,750,000  Insulet Corp.     
   0.375%, 09/01/26   4,016,925 
7,750,000  Integer Holdings Corp.*     
   2.125%, 02/15/28   10,097,707 
3,750,000  Ionis Pharmaceuticals, Inc.^     
   0.000%, 04/01/26   3,988,313 
8,000,000  Jazz Investments I, Ltd.     
   2.000%, 06/15/26   8,067,360 
3,189,000  Lantheus Holdings, Inc.µ     
   2.625%, 12/15/27   3,306,004 
9,000,000  NeoGenomics, Inc.µ     
   0.250%, 01/15/28   6,877,710 
7,500,000  Omnicell, Inc.µ     
   0.250%, 09/15/25   6,894,750 
7,000,000  Pacira BioSciences, Inc.µ     
   0.750%, 08/01/25   6,505,100 
3,250,000  Sarepta Therapeutics, Inc.µ     
   1.250%, 09/15/27   3,668,600 
7,250,000  Shockwave Medical, Inc.*     
   1.000%, 08/15/28   7,668,180 
       140,059,442 
  Industrials (10.0%)     
3,750,000  Axon Enterprise, Inc.     
   0.500%, 12/15/27   4,609,837 
3,625,000  Fluor Corp.*^     
   1.125%, 08/15/29   3,840,796 
6,250,000  John Bean Technologies Corp.µ     
   0.250%, 05/15/26   5,660,875 
3,750,000  Middleby Corp.     
   1.000%, 09/01/25   4,431,113 
2,750,000  Parsons Corp.     
   0.250%, 08/15/25   4,086,665 
3,500,000  Tetra Tech, Inc.*µ     
   2.250%, 08/15/28   3,559,360 
   Uber Technologies, Inc.     
17,000,000  0.000%, 12/15/25^   17,572,900 
6,758,000  0.875%, 12/01/28*µ   7,549,294 
       51,310,840 
  Information Technology (42.7%)     
3,625,000  Advanced Energy Industries, Inc.*     
   2.500%, 09/15/28   3,757,095 
   Akamai Technologies, Inc.     
7,250,000  1.125%, 02/15/29*µ   8,059,535 
3,750,000  0.375%, 09/01/27   4,296,413 
7,750,000  Bentley Systems, Inc.µ     
   0.125%, 01/15/26   7,600,735 
6,500,000  BILL Holdings, Inc.µ     
   0.000%, 12/01/25   6,093,815 
3,000,000  Camtek, Ltd.*     
   0.000%, 12/01/26   4,285,470 
7,000,000  Confluent, Inc.µ     
   0.000%, 01/15/27   5,862,010 
8,250,000  CyberArk Software, Ltd.     
   0.000%, 11/15/24   12,414,270 
4,224,000  Datadog, Inc.     
   0.125%, 06/15/25   5,978,058 
5,250,000  DigitalOcean Holdings, Inc.µ     
   0.000%, 12/01/26   4,329,203 
7,927,000  Enphase Energy, Inc.µ     
   0.000%, 03/01/26   7,120,348 
1,750,000  Five9, Inc.µ     
   0.500%, 06/01/25   1,682,415 

 

See accompanying Notes to Schedule of Investments

 

 8

 

 

Calamos Dynamic Convertible and Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL      
AMOUNT     VALUE 
1,750,000  MongoDB, Inc.     
   0.250%, 01/15/26  $3,399,253 
   NCL Corp., Ltd.     
5,250,000  1.125%, 02/15/27µ   4,673,182 
4,000,000  2.500%, 02/15/27µ   3,663,680 
2,750,000  5.375%, 08/01/25   3,316,005 
5,500,000  Nutanix, Inc.     
   0.250%, 10/01/27   6,314,715 
   Okta, Inc.µ     
6,500,000  0.125%, 09/01/25   6,006,000 
3,500,000  0.375%, 06/15/26   3,112,375 
15,000,000  ON Semiconductor Corp.*µ     
   0.500%, 03/01/29   14,569,500 
4,750,000  Palo Alto Networks, Inc.     
   0.375%, 06/01/25   16,159,405 
6,500,000  Rapid7, Inc.     
   1.250%, 03/15/29   7,116,785 
9,750,000  Repay Holdings Corp.*µ     
   0.000%, 02/01/26   8,289,060 
3,500,000  Seagate HDD Cayman*^     
   3.500%, 06/01/28   4,214,945 
12,000,000  Shift4 Payments, Inc.     
   0.000%, 12/15/25   13,239,960 
5,800,000  SK Hynix, Inc.     
   1.750%, 04/11/30   7,647,474 
8,500,000  Tyler Technologies, Inc.     
   0.250%, 03/15/26   8,627,075 
12,500,000  Unity Software, Inc.µ     
   0.000%, 11/15/26   10,398,375 
4,500,000  Western Digital Corp.*µ     
   3.000%, 11/15/28   5,845,230 
5,500,000  Wix.com, Ltd.     
   0.000%, 08/15/25   5,032,060 
   Wolfspeed, Inc.     
7,750,000  1.875%, 12/01/29   4,469,503 
4,469,000  0.250%, 02/15/28   2,647,167 
3,500,000  Workiva, Inc.*µ     
   1.250%, 08/15/28   3,372,005 
3,750,000  Zscaler, Inc.     
   0.125%, 07/01/25   5,969,025 
       219,562,146 
  Materials (2.4%)     
1,250,000  ATI, Inc.     
   3.500%, 06/15/25   3,333,563 
3,000,000  Ivanhoe Mines, Ltd.*     
   2.500%, 04/15/26   4,477,800 
5,225,000  MP Materials Corp.*µ     
   0.250%, 04/01/26   4,488,118 
       12,299,481 
  Other (0.0%)     
135,000  Multiplan Corp.*µ     
   6.000%, 10/15/27   94,557 
         
  Real Estate (0.9%)     
5,250,000  Pebblebrook Hotel Trustµ     
   1.750%, 12/15/26   4,709,985 
         
  Utilities (5.7%)     
3,750,000  CMS Energy Corp.*     
   3.375%, 05/01/28   3,678,938 
5,750,000  PG&E Corp.*µ     
   4.250%, 12/01/27   5,861,492 
13,250,000  PPL Capital Funding, Inc.*^     
   2.875%, 03/15/28   12,641,957 
7,000,000  Southern Company*     
   3.875%, 12/15/25   6,973,750 
       29,156,137 
   Total Convertible Bonds
(Cost $695,181,112)
   671,714,478 
         
Bank Loans (2.5%) ¡     
  Airlines (0.1%)     
191,250  American Airlines, Inc.‡     
   10.329%, 04/20/28     
   3 mo. SOFR + 4.75%   196,257 
189,000  Mileage Plus Holdings, LLC‡     
   10.770%, 06/21/27     
   3 mo. SOFR + 5.25%   195,044 
       391,301 
  Communication Services (0.1%)     
34,111  Clear Channel Outdoor Holdings, Inc.‡     
   9.074%, 08/21/26     
   3 mo. SOFR + 3.50%   33,773 
220,000  DirecTV Financing, LLC!     
   0.000%, 08/02/29   220,184 
420,000  Entercom Media Corp.‡     
   8.145%, 11/18/24     
   3 mo. SOFR + 2.50%   235,824 
140,000  Telesat Canada‡     
   8.400%, 12/07/26     
   3 mo. SOFR + 2.75%   85,942 
       575,723 
  Consumer Discretionary (0.5%)     
206,400  American Axle & Manufacturing, Inc.‡     
   8.936%, 12/13/29     
   1 mo. SOFR + 3.50%   206,788 
263,013  Caesars Entertainment, Inc.‡     
   8.663%, 02/06/30     
   3 mo. SOFR + 3.25%   263,223 
304,224  Carnival Corp.‡     
   8.697%, 10/18/28     
   1 mo. SOFR + 3.25%   304,651 
263,675  Carnival Corp.‡     
   8.336%, 08/08/27     
   1 mo. SOFR + 3.00%   264,137 
263,013  Hanesbrands, Inc.‡     
   9.083%, 03/08/30     
   1 mo. SOFR + 3.75%   262,026 
153,526  Life Time Fitness, Inc.‡     
   9.824%, 01/15/26     
   3 mo. SOFR + 4.25%   154,601 
160,732  Petco Health & Wellness Company, Inc.‡     
   8.860%, 03/03/28     
   3 mo. SOFR + 3.25%   151,307 
550,936  PetSmart, Inc.‡     
   9.183%, 02/11/28     
   1 mo. SOFR + 3.75%   549,159 
172,141  TKC Holdings, Inc.‡     
   10.947%, 05/15/28     
   1 mo. SOFR + 5.50%   166,933 

 

See accompanying Notes to Schedule of Investments

 

9 

 

 

Calamos Dynamic Convertible and Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL      
AMOUNT     VALUE 
264,838  Windsor Holdings III, LLC‡    
   9.848%, 08/01/30     
   1 mo. SOFR + 4.50%  $265,537 
       2,588,362 
  Consumer Staples (0.2%)     
558,106  Amneal Pharmaceuticals, LLC‡     
   10.833%, 05/04/28     
   1 mo. SOFR + 5.50%   555,316 
373,246  Jazz Financing Lux Sarl‡     
   8.447%, 05/05/28     
   1 mo. SOFR + 3.00%   373,479 
275,000  Star Parent, Inc.‡     
   9.348%, 09/27/30     
   3 mo. SOFR + 4.00%   268,984 
120,336  United Natural Foods, Inc.‡     
   8.697%, 10/22/25     
   1 mo. SOFR + 3.25%   120,255 
       1,318,034 
  Energy (0.1%)     
210,000  Buckeye Partners, LP‡     
   7.833%, 11/22/30     
   1 mo. SOFR + 2.50%   210,175 
125,000  New Fortress Energy, Inc.‡     
   10.317%, 10/27/28     
   3 mo. SOFR + 5.00%   125,250 
337,799  Par Petroleum, LLC‡     
   9.738%, 02/28/30     
   3 mo. SOFR + 4.25%   338,095 
       673,520 
  Financials (0.4%)     
65,000  Advisor Group, Inc.‡     
   9.833%, 08/17/28     
   1 mo. SOFR + 4.50%   65,020 
216,061  Alliant Holdings Intermediate LLC‡     
   8.833%, 11/06/30     
   1 mo. SOFR + 3.50%   216,757 
203,976  Amynta Agency Borrower, Inc.‡     
   9.583%, 02/28/28     
   1 mo. SOFR + 4.25%   204,304 
271,545  AssuredPartners, Inc.‡     
   8.833%, 02/12/27     
   1 mo. SOFR + 3.50%   270,979 
204,488  Avolon TLB Borrower 1, LLC‡     
   7.337%, 06/22/28     
   1 mo. SOFR + 2.00%   204,675 
150,000  Broadstreet Partners, Inc.‡     
   9.083%, 01/27/29     
   1 mo. SOFR + 3.75%   150,094 
260,000  HUB International, Ltd.!     
   0.000%, 06/20/30   260,447 
195,000  Iron Mountain, Inc.‡     
   7.569%, 01/31/31     
   3 mo. SOFR + 2.25%   194,208 
350,197  VFH Parent, LLC‡     
   8.433%, 01/13/29     
   1 mo. SOFR + 3.00%   350,022 
       1,916,506 
  Health Care (0.2%)     
132,143  Icon Luxembourg Sarl‡     
   7.860%, 07/03/28     
   3 mo. SOFR + 2.25%   132,431 
282,353  Padagis, LLC‡     
   10.341%, 07/06/28     
   3 mo. SOFR + 4.75%   273,884 
32,923  PRA Health Sciences, Inc.‡     
   7.860%, 07/03/28     
   3 mo. SOFR + 2.25%   32,995 
676,725  Team Health Holdings, Inc.‡     
   10.563%,     
   3 mo. SOFR + 5.25%   565,912 
1,935  Team Health Holdings, Inc.‡     
   10.583%, 03/02/27     
   1 mo. SOFR + 5.25%   1,618 
       1,006,840 
  Industrials (0.3%)     
136,500  ACProducts, Inc.‡     
   9.860%, 05/17/28     
   3 mo. SOFR + 4.25%   118,430 
128,500  ACProducts, Inc.!     
   0.000%, 05/17/28   111,489 
167,450  Air Canada‡     
   9.139%, 08/11/28     
   3 mo. SOFR + 3.50%   167,829 
251,781  ChampionX Corp.‡     
   8.187%, 06/07/29     
   1 mo. SOFR + 2.75%   252,883 
177,336  Emrld Borrower, LP‡     
   8.313%, 05/31/30     
   1 mo. SOFR + 3.00%   177,591 
256,100  Light and Wonder International, Inc.‡     
   8.083%, 04/14/29     
   1 mo. SOFR + 3.00%   256,100 
270,000  TransDigm, Inc.‡     
   8.598%, 02/14/31     
   3 mo. SOFR + 3.25%   270,649 
263,170  United Airlines, Inc.‡     
   9.201%, 04/21/28     
   1 mo. SOFR + 3.75%   264,014 
       1,618,985 
  Information Technology (0.2%)     
369,559  Banff Merger Sub, Inc.‡     
   9.583%, 12/29/28     
   1 mo. SOFR + 4.25%   370,483 
204,988  Camelot US Acquisition, LLC‡     
   8.337%, 10/30/26     
   1 mo. SOFR + 3.00%   205,090 
249,513  Central Parent, Inc.‡     
   9.348%, 07/06/29     
   3 mo. SOFR + 4.00%   250,292 
237,467  II-VI, Inc.‡     
   8.087%, 07/02/29     
   1 mo. SOFR + 2.75%   236,814 
       1,062,679 
  Materials (0.3%)     
199,500  Chemours Company‡     
   8.833%, 08/18/28     
   1 mo. SOFR + 3.50%   199,301 

 

See accompanying Notes to Schedule of Investments

 

 10

 

 

Calamos Dynamic Convertible and Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL      
AMOUNT     VALUE 
273,625  Ineos US Finance, LLC‡    
   8.837%, 02/18/30     
   1 mo. SOFR + 3.50%  $270,974 
196,112  Innophos, Inc.‡     
   8.697%, 02/05/27     
   1 mo. SOFR + 3.25%   193,865 
333,325  LSF11 A5 Holdco, LLC‡     
   9.683%, 10/15/28     
   1 mo. SOFR + 4.25%   333,743 
193,816  Trinseo Materials Operating SCA‡     
   8.150%, 05/03/28     
   3 mo. SOFR + 2.50%   148,819 
252,763  W.R. Grace & Co.-Conn.‡     
   9.360%, 09/22/28     
   3 mo. SOFR + 3.75%   253,373 
       1,400,075 
  Special Purpose Acquisition Companies (0.1%)     
137,900  Clydesdale Acquisition Holdings, Inc.‡     
   9.108%, 04/13/29     
   1 mo. SOFR + 3.67%   137,188 
63,863  Fertitta Entertainment, LLC‡     
   9.333%, 01/27/29     
   1 mo. SOFR + 4.00%   63,764 
256,750  Patagonia Holdco, LLC‡     
   11.116%, 08/01/29     
   3 mo. SOFR + 5.75%   236,082 
       437,034 
  

Total Bank Loans
(Cost $13,238,072)

   12,989,059 

 

NUMBER OF      
SHARES     VALUE 
        
Convertible Preferred Stocks (4.3%)
  Energy (0.0%)
7  Gulfport Energy Corp.#     
   10.000%, 03/04/24     
   15.000% PIK rate   64,750 
         
  Financials (2.5%)     
72,795  Apollo Global Management, Inc.~     
   6.750%, 07/31/26   4,252,684 
7,055  Bank of America Corp.~‡‡     
   7.250%   8,591,931 
       12,844,615 
  Industrials (0.7%)     
65,985  Chart Industries, Inc.~     
   6.750%, 12/15/25   3,287,373 
         
  Utilities (1.1%)     
156,300  NextEra Energy, Inc.^~     
   6.926%, 09/01/25   5,815,923 
  

Total Convertible Preferred Stocks

(Cost $24,915,213)

   22,012,661 
         
Common Stocks (0.2%)     
  Communication Services (0.0%)     
5,620  Altice USA, Inc. - Class A#   13,713 
1,888  Cumulus Media, Inc. - Class Aµ#   8,685 
       22,398 
  Consumer Staples (0.0%)     
1,926  Mallinckrodt, PLC#   73,669 
         
  Energy (0.2%)     
380  Chesapeake Energy Corp.µ   29,302 
18,535  Energy Transfer, LP   265,050 
11,035  Enterprise Products Partners, LP   295,297 
1,881  EP Energy Corp.#&   5,643 
8  Gulfport Energy Corp.#   1,015 
2,374  ONEOK, Inc.^   162,026 
       758,333 
  Special Purpose Acquisition Company (0.0%)     
3,168  Intelsat Emergence, SA#&   86,328 
  

Total Common Stocks

(Cost $1,223,701)

   940,728 
         
Preferred Stocks (0.2%)     
  Communication Services (0.0%)     
   United States Cellular Corp.µ     
3,265  5.500%, 06/01/70   59,913 
3,130  5.500%, 03/01/70   57,936 
       117,849 
  Consumer Discretionary (0.1%)     
1,722  Guitar Center, Inc.#&   141,204 
         
  Energy (0.1%)     
8,160  NuStar Energy, LP‡     
   11.282%,     
   3 mo. USD LIBOR + 5.64%   209,712 
2,000  NuStar Energy, LP‡     
   12.405%, 03/01/24     
   3 mo. SOFR + 7.03%   51,640 
12,000  NuStar Logistics, LP‡~     
   12.310%, 01/15/43     
   3 mo. SOFR + 6.98%   310,320 
       571,672 
   Total Preferred Stocks
(Cost $840,192)
   830,725 
         
Warrants (0.0%) #     
  Energy (0.0%)     
13,522  Mcdermott International, Ltd.&     
   06/30/27, Strike $15.98   2 
12,170  Mcdermott International, Ltd.&     
   06/30/27, Strike $12.33   1 
   TOTAL WARRANTS
(Cost $5,195)
   3 

 

See accompanying Notes to Schedule of Investments

 

11 

 

 

Calamos Dynamic Convertible and Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

NUMBER OF      
CONTRACTS/       
NOTIONAL       
AMOUNT     VALUE 
        
Purchased Option (0.1%) #
    Information Technology (0.1%)
325  Zscaler, Inc.     
7,659,275  Put, 06/21/24, Strike $200.00      
  (Cost $443,046)  $334,750 
TOTAL INVESTMENTS (154.3%)
(Cost $810,883,917)
   792,683,357 
MANDATORY REDEEMABLE PREFERRED SHARES, AT LIQUIDATION VALUE (-17.9%)   (92,000,000)
      
LIABILITIES, LESS OTHER ASSETS (-36.4%)   (186,980,920)
      
NET ASSETS (100.0%)  $513,702,437 

 

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 Funds. Any resale of these securities must generally be effected through a sale that is registered under the Act or otherwise exempted from such registration requirements.
µ Security, or portion of security, is held in a segregated account as collateral for note payable aggregating a total value of $339,836,299.
^ Security, or portion of security, is on loan.
@ In default status and considered non-income producing.
Variable rate security. The rate shown is the rate in effect at January 31, 2024.
¡ 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.
# Non-income producing security.
~ Security, or portion of security, is segregated as collateral (or collateral for potential future transactions) for written options. The aggregate value of such securities is $4,100,438.
‡‡ Perpetual maturity.
& Illiquid security.

 

Note:  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

 

 12

 

 

Calamos Dynamic Convertible and Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

The following table summarizes the Fund's investments and derivative financial instruments categorized in the fair value hierarchy as of January 31, 2024 (see Note 2):

 

   LEVEL 1   LEVEL 2   LEVEL 3   TOTAL 
Assets:                    
Asset Backed Securities  $   $197,835   $   $197,835 
Corporate Bonds       83,663,118        83,663,118 
Convertible Bonds       671,714,478        671,714,478 
Bank Loans       12,989,059        12,989,059 
Convertible Preferred Stocks   21,947,911    64,750        22,012,661 
Common Stocks   774,073    166,655        940,728 
Preferred Stocks   689,521    141,204        830,725 
Warrants       3        3 
Purchased Options   334,750            334,750 
Total  $23,746,255   $768,937,102   $   $792,683,357 

 

See accompanying Notes to Schedule of Investments

 

13 

 

 

Calamos Global Dynamic Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL      
AMOUNT     VALUE 
        
Asset Backed Security (0.0%)     
  Other (0.0%)     
170,000  SVC ABS, LLC Series 2023-1A, Class C*~     
   6.700%, 02/20/53     
   (Cost $157,140)  $156,428 
         
Corporate Bonds (16.3%)     
   Airlines (0.2%)     
198,857  Alaska Airlines Pass Through Trust Series 2020-1, Class A*     
   4.800%, 02/15/29   193,035 
96,284  Alaska Airlines Pass Through Trust Series 2020-1, Class B*     
   8.000%, 02/15/27   97,278 
222,305  American Airlines Pass Through Trust Series 2021-1, Class B     
   3.950%, 01/11/32   198,334 
126,750  American Airlines, Inc. / AAdvantage Loyalty IP, Ltd.*     
   5.500%, 04/20/26   125,600 
212,209  British Airways Pass Through Trust Series 2021-1, Class B*     
   3.900%, 03/15/33   192,539 
168,998  JetBlue Pass Through Trust Series 2020-1, Class B     
   7.750%, 05/15/30   170,455 
       977,241 
   Communication Services (1.6%)     
250,000  Altice France, SA*     
   5.500%, 10/15/29   184,653 
260,000  APi Group DE, Inc.*     
   4.750%, 10/15/29   243,469 
225,000  Ashtead Capital, Inc.*     
   2.450%, 08/12/31   183,355 
   Audacy Capital Corp.*@     
273,000  6.750%, 03/31/29   11,021 
100,000  6.500%, 05/01/27   4,267 
195,000  Cincinnati Bell Telephone Company, LLC     
   6.300%, 12/01/28   172,955 
205,000  Clear Channel Outdoor Holdings, Inc.*     
   9.000%, 09/15/28   214,223 
304,000  Consolidated Communications, Inc.*     
   6.500%, 10/01/28   264,878 
   CSC Holdings, LLC*     
400,000  4.625%, 12/01/30   207,000 
335,000  5.375%, 02/01/28   288,338 
300,000  5.750%, 01/15/30   159,309 
200,000  5.500%, 04/15/27   179,822 
200,000  4.500%, 11/15/31   143,734 
   Diamond Sports Group, LLC / Diamond Sports Finance Company*@     
180,000  6.625%, 08/15/27   12,317 
151,000  5.375%, 08/15/26   10,658 
277,000  Directv Financing, LLC / Directv Financing Co-Obligor, Inc.*     
   5.875%, 08/15/27   263,391 
225,000  Frontier California, Inc.     
   6.750%, 05/15/27   217,613 
   Frontier Communications Holdings, LLC*     
140,000  5.000%, 05/01/28   129,357 
54,000  8.750%, 05/15/30   55,334 
242,000  Frontier Florida, LLC@     
   6.860%, 02/01/28   233,194 
330,000  Frontier North, Inc.@     
   6.730%, 02/15/28   316,569 
   Go Daddy Operating Company, LLC / GD Finance Company, Inc.*     
195,000  3.500%, 03/01/29   176,615 
69,000  5.250%, 12/01/27   67,791 
   iHeartCommunications, Inc.     
135,000  8.375%, 05/01/27   84,455 
80,000  5.250%, 08/15/27*   62,202 
265,000  LCPR Senior Secured Financing DAC*     
   6.750%, 10/15/27   256,971 
167,354  Ligado Networks, LLC*     
   15.500%, 11/01/23     
   15.500% PIK rate   28,818 
   Lumen Technologies, Inc.     
160,000  7.600%, 09/15/39   42,581 
100,000  4.000%, 02/15/27*   52,942 
52,000  7.650%, 03/15/42   14,338 
109,000  Match Group Holdings II, LLC*     
   3.625%, 10/01/31   93,366 
175,000  Nexstar Media, Inc.*     
   5.625%, 07/15/27   170,370 
205,000  Paramount Global     
   4.900%, 08/15/44   162,176 
73,000  Qwest Corp.     
   7.250%, 09/15/25   71,558 
   Scripps Escrow II, Inc.*     
111,000  3.875%, 01/15/29   96,556 
56,000  5.375%, 01/15/31   43,055 
210,000  Scripps Escrow, Inc.*     
   5.875%, 07/15/27   189,525 
   Sirius XM Radio, Inc.*     
225,000  5.500%, 07/01/29   214,155 
217,000  4.000%, 07/15/28   197,162 
110,000  3.125%, 09/01/26   102,876 
54,000  3.875%, 09/01/31   45,092 
202,000  Spanish Broadcasting System, Inc.*     
   9.750%, 03/01/26   107,422 
245,000  Stagwell Global, LLC*     
   5.625%, 08/15/29   224,917 
219,000  Telesat Canada / Telesat, LLC*     
   4.875%, 06/01/27   129,860 
85,000  Time Warner Cable, LLC     
   7.300%, 07/01/38   89,212 
245,000  United States Cellular Corp.     
   6.700%, 12/15/33   252,612 
160,000  Univision Communications, Inc.*     
   8.000%, 08/15/28   162,840 
105,000  Viasat, Inc.*     
   5.625%, 04/15/27   98,575 
       6,733,499 

 

See accompanying Notes to Schedule of Investments

 

1 

 

 

Calamos Global Dynamic Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL      
AMOUNT     VALUE 
   Consumer Discretionary (3.2%)     
265,000  Abercrombie & Fitch Management Company*     
   8.750%, 07/15/25  $269,847 
210,000  Adams Homes, Inc.*     
   9.250%, 10/15/28   215,233 
260,000  Adient Global Holdings Company*^     
   8.250%, 04/15/31   274,851 
175,000  American Axle & Manufacturing, Inc.     
   6.875%, 07/01/28   171,225 
   Ashton Woods USA, LLC / Ashton Woods Finance Company*     
190,000  4.625%, 08/01/29   173,128 
139,000  6.625%, 01/15/28   137,896 
267,000  At Home Group, Inc.*     
   4.875%, 07/15/28   118,054 
   Bath & Body Works, Inc.     
292,000  6.694%, 01/15/27   296,868 
165,000  6.875%, 11/01/35   165,094 
   Caesars Entertainment, Inc.*     
136,000  4.625%, 10/15/29   124,311 
112,000  8.125%, 07/01/27   115,036 
   Carnival Corp.*     
108,000  7.625%, 03/01/26   109,752 
105,000  4.000%, 08/01/28   97,392 
13,000  7.000%, 08/15/29   13,537 
   Carvana Company*     
44,000  14.000%, 06/01/31   39,278 
37,000  13.000%, 06/01/30   32,991 
25,000  12.000%, 12/01/28   22,202 
   CCO Holdings, LLC / CCO Holdings Capital Corp.*     
470,000  5.125%, 05/01/27   453,649 
250,000  6.375%, 09/01/29   243,532 
245,000  4.750%, 03/01/30   217,839 
215,000  4.250%, 02/01/31   181,484 
125,000  5.000%, 02/01/28   118,087 
125,000  4.500%, 08/15/30   108,650 
108,000  4.750%, 02/01/32   92,741 
108,000  CDI Escrow Issuer, Inc.*     
   5.750%, 04/01/30   104,612 
137,000  Cedar Fair, LP     
   5.250%, 07/15/29   131,132 
105,000  Churchill Downs, Inc.*     
   6.750%, 05/01/31   106,507 
   Dana, Inc.     
175,000  4.250%, 09/01/30   153,186 
164,000  4.500%, 02/15/32   141,237 
   DISH DBS Corp.     
220,000  5.125%, 06/01/29   82,042 
170,000  5.250%, 12/01/26*   134,247 
133,000  7.375%, 07/01/28   58,863 
129,000  7.750%, 07/01/26   76,337 
100,000  5.750%, 12/01/28*   67,457 
220,000  DISH Network Corp.*     
   11.750%, 11/15/27   229,775 
200,000  Empire Resorts, Inc.*     
   7.750%, 11/01/26   185,478 
238,000  Everi Holdings, Inc.*     
   5.000%, 07/15/29   218,996 
220,000  Ford Motor Company^     
   6.100%, 08/19/32   220,143 
   Ford Motor Credit Company, LLC     
350,000  4.000%, 11/13/30   312,357 
300,000  5.113%, 05/03/29   291,591 
275,000  7.200%, 06/10/30   292,471 
200,000  7.350%, 11/04/27   210,390 
82,000  Gap, Inc.*     
   3.875%, 10/01/31   67,766 
110,000  General Motors Company     
   5.200%, 04/01/45   99,813 
   goeasy, Ltd.*     
365,000  9.250%, 12/01/28   389,013 
208,000  4.375%, 05/01/26   199,035 
110,000  Goodyear Tire & Rubber Company^     
   5.250%, 07/15/31   100,221 
93,000  Group 1 Automotive, Inc.*     
   4.000%, 08/15/28   85,881 
226,000  Guitar Center, Inc.*&     
   8.500%, 01/15/26   200,810 
145,000  International Game Technology, PLC*     
   6.250%, 01/15/27   145,963 
57,985  JetBlue Pass Through Trust Series 2019-2, Class B     
   8.000%, 11/15/27   58,461 
180,000  Kohl's Corp.     
   5.550%, 07/17/45   122,836 
210,000  LCM Investments Holdings II, LLC*     
   8.250%, 08/01/31   215,636 
220,000  Liberty Interactive, LLC     
   8.250%, 02/01/30   117,537 
204,000  Life Time, Inc.*     
   8.000%, 04/15/26   206,362 
105,000  Light & Wonder International, Inc.*     
   7.500%, 09/01/31   109,419 
80,000  Lindblad Expeditions Holdings, Inc.*     
   9.000%, 05/15/28   83,208 
139,000  Lindblad Expeditions, LLC*     
   6.750%, 02/15/27   139,106 
140,000  M/I Homes, Inc.     
   3.950%, 02/15/30   125,560 
   Macy's Retail Holdings, LLC     
261,000  6.700%, 07/15/34*   219,645 
215,000  4.300%, 02/15/43   163,247 
287,000  Midwest Gaming Borrower, LLC / Midwest Gaming Finance Corp.*     
   4.875%, 05/01/29   266,457 
125,000  Newell Brands, Inc.     
   5.200%, 04/01/26   121,730 
   Nordstrom, Inc.     
110,000  5.000%, 01/15/44   79,485 
105,000  4.250%, 08/01/31   87,669 
327,000  Patrick Industries, Inc.*     
   4.750%, 05/01/29   301,595 
250,000  PENN Entertainment, Inc.*^     
   4.125%, 07/01/29   215,042 
250,000  PetSmart, Inc. / PetSmart Finance Corp.*     
   4.750%, 02/15/28   233,690 
305,000  Premier Entertainment Sub, LLC / Premier Entertainment Finance Corp.*     
   5.625%, 09/01/29   229,897 
110,000  QVC, Inc.     
   5.450%, 08/15/34   73,101 
105,000  Raising Cane's Restaurants, LLC*     
   9.375%, 05/01/29   112,608 

 

See accompanying Notes to Schedule of Investments

 

2 

 

 

Calamos Global Dynamic Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL      
AMOUNT     VALUE 
448,000  Rite Aid Corp.*@     
   8.000%, 11/15/26  $340,341 
105,000  Royal Caribbean Cruises, Ltd.*     
   7.250%, 01/15/30   109,492 
320,000  Simmons Foods, Inc. / Simmons Prepared Foods, Inc. / Simmons Pet Food, Inc. / Simmons Feed*     
   4.625%, 03/01/29   275,885 
320,000  Six Flags Entertainment Corp.*     
   7.250%, 05/15/31   326,778 
241,000  Sonic Automotive, Inc.*^     
   4.625%, 11/15/29   218,300 
131,000  Speedway Motorsports, LLC / Speedway Funding II, Inc.*     
   4.875%, 11/01/27   124,361 
455,000  Station Casinos, LLC*     
   4.500%, 02/15/28   429,352 
53,000  Stl Holding Company, LLC*     
   8.750%, 02/15/29   53,000 
128,000  Taylor Morrison Communities, Inc.*     
   5.750%, 01/15/28   127,574 
55,000  Viking Cruises, Ltd.*     
   9.125%, 07/15/31   58,934 
260,000  Vista Outdoor, Inc.*     
   4.500%, 03/15/29   255,666 
210,000  ZF North America Capital, Inc.*     
   7.125%, 04/14/30   221,647 
       13,921,621 
    Consumer Staples (0.8%)     
224,000  1375209 B.C., Ltd.*^     
   9.000%, 01/30/28   217,591 
310,000  Arrow Bidco, LLC*     
   10.750%, 06/15/25   321,163 
205,000  B&G Foods, Inc.*     
   8.000%, 09/15/28   214,043 
251,000  Central Garden & Pet Company*     
   4.125%, 04/30/31   222,283 
245,000  Edgewell Personal Care Company*     
   4.125%, 04/01/29   224,297 
   Energizer Holdings, Inc.*     
307,000  4.375%, 03/31/29   278,001 
54,000  6.500%, 12/31/27   53,827 
   JBS USA LUX, SA / JBS USA Food Company / JBS USA Finance, Inc.     
320,000  5.500%, 01/15/30   313,274 
135,000  5.125%, 02/01/28   133,951 
80,000  5.750%, 04/01/33   79,328 
138,952  Mallinckrodt International Finance SA / Mallinckrodt CB, LLC*     
   14.750%, 11/14/28   151,523 
174,000  New Albertsons, LP     
   7.750%, 06/15/26   178,595 
217,000  Performance Food Group, Inc.*     
   4.250%, 08/01/29   199,011 
165,000  Pilgrim's Pride Corp.     
   4.250%, 04/15/31   148,865 
110,000  Post Holdings, Inc.*     
   5.750%, 03/01/27   109,667 
209,000  Prestige Brands, Inc.*     
   3.750%, 04/01/31   182,200 
195,000  United Natural Foods, Inc.*^     
   6.750%, 10/15/28   164,092 
342,000  Vector Group, Ltd.*     
   5.750%, 02/01/29   315,868 
       3,507,579 
    Energy (2.0%)     
106,000  Antero Resources Corp.*     
   5.375%, 03/01/30   101,242 
223,000  Apache Corp.     
   5.100%, 09/01/40   191,780 
135,000  Buckeye Partners, LP     
   5.850%, 11/15/43   111,510 
305,000  Callon Petroleum Company*     
   7.500%, 06/15/30   321,519 
112,000  Cheniere Energy, Inc.     
   4.625%, 10/15/28   108,530 
167,000  Chesapeake Energy Corp.*     
   6.750%, 04/15/29   169,041 
297,000  Civitas Resources, Inc.*     
   8.750%, 07/01/31   316,985 
   Continental Resources, Inc.*     
165,000  2.875%, 04/01/32   134,779 
100,000  5.750%, 01/15/31   99,566 
169,000  DT Midstream, Inc.*     
   4.125%, 06/15/29   155,411 
   Earthstone Energy Holdings, LLC*     
207,000  8.000%, 04/15/27   214,526 
80,000  9.875%, 07/15/31   88,900 
120,000  Enbridge, Inc.‡     
   7.375%, 01/15/83     
   5 year CMT + 3.71%   120,211 
   Energy Transfer, LP‡     
320,000  8.586%, 11/01/66     
   3 mo. SOFR + 3.28%   285,859 
162,000  6.500%, 11/15/26     
   5 year CMT + 5.69%   156,683 
   EnLink Midstream Partners, LP     
240,000  9.756%, 03/04/24‡     
   3 mo. SOFR + 4.37%   226,867 
224,000  4.850%, 07/15/26   220,114 
132,000  Enlink Midstream, LLC*     
   6.500%, 09/01/30   135,254 
355,000  EQM Midstream Partners, LP*     
   7.500%, 06/01/27   365,345 
   Genesis Energy, LP / Genesis Energy Finance Corp.     
138,000  8.875%, 04/15/30   144,471 
88,000  6.250%, 05/15/26   87,658 
   Gulfport Energy Corp.     
205,000  8.000%, 05/17/26*   207,009 
65,902  8.000%, 05/17/26   66,548 
305,000  Hilcorp Energy I, LP / Hilcorp Finance Company*     
   6.000%, 04/15/30   296,359 
163,000  Howard Midstream Energy Partners, LLC*     
   6.750%, 01/15/27   163,502 
92,000  Kodiak Gas Services, LLC*     
   7.250%, 02/15/29   93,084 
217,000  Magnolia Oil & Gas Operating, LLC / Magnolia Oil & Gas Finance Corp.*     
   6.000%, 08/01/26   214,619 
   Moss Creek Resources Holdings, Inc.*     
135,000  10.500%, 05/15/27   139,043 
90,000  7.500%, 01/15/26   

89,715 

 

 

See accompanying Notes to Schedule of Investments

 

3 

 

 

Calamos Global Dynamic Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL      
AMOUNT     VALUE 
   Nabors Industries, Inc.*     
160,000  7.375%, 05/15/27  $158,302 
80,000  9.125%, 01/31/30   81,631 
160,000  Nabors Industries, Ltd.*     
   7.500%, 01/15/28   146,598 
221,000  New Fortress Energy, Inc.*     
   6.750%, 09/15/25   218,421 
158,000  Oceaneering International, Inc.     
   6.000%, 02/01/28   154,902 
230,000  Parkland Corp.*     
   5.875%, 07/15/27   228,330 
112,000  Patterson-UTI Energy, Inc.     
   5.150%, 11/15/29   108,223 
52,000  Permian Resources Operating LLC*     
   7.000%, 01/15/32   53,731 
270,000  Plains All American Pipeline, LP‡     
   9.751%, 03/04/24     
   3 mo. SOFR + 4.37%   267,519 
305,000  Rockcliff Energy II, LLC*     
   5.500%, 10/15/29   284,205 
109,000  Southwestern Energy Company     
   4.750%, 02/01/32   101,040 
301,150  Transocean, Inc.*     
   8.750%, 02/15/30   315,096 
   Venture Global Calcasieu Pass, LLC*     
130,000  6.250%, 01/15/30   130,360 
55,000  4.125%, 08/15/31   48,723 
55,000  3.875%, 08/15/29   49,163 
   Venture Global LNG, Inc.*     
265,000  8.375%, 06/01/31   268,506 
155,000  8.125%, 06/01/28   156,975 
105,000  9.875%, 02/01/32   110,457 
105,000  9.500%, 02/01/29   111,637 
   Vital Energy, Inc.     
134,000  9.750%, 10/15/30   142,480 
100,000  7.750%, 07/31/29*   98,793 
190,000  VOC Escrow, Ltd.*     
   5.000%, 02/15/28   181,995 
262,000  Weatherford International, Ltd.*     
   8.625%, 04/30/30   268,327 
       8,711,544 
    Financials (2.6%)     
340,000  Acrisure, LLC / Acrisure Finance, Inc.*     
   8.250%, 02/01/29   341,238 
323,000  Aethon United BR, LP / Aethon United Finance Corp.*     
   8.250%, 02/15/26   322,209 
153,000  AG Issuer, LLC*     
   6.250%, 03/01/28   151,251 
   Alliant Holdings Intermediate, LLC / Alliant Holdings Co-Issuer*     
370,000  6.750%, 10/15/27   362,448 
30,000  7.000%, 01/15/31   30,378 
   Ally Financial, Inc.     
245,000  4.700%, 05/15/26‡     
   5 year CMT + 3.87%   199,050 
100,000  4.700%, 05/15/28‡     
   7 year CMT + 3.48%   76,492 
90,000  8.000%, 11/01/31   99,672 
439,000  AmWINS Group, Inc.*     
   4.875%, 06/30/29   410,329 
168,000  Aviation Capital Group, LLC*     
   3.500%, 11/01/27   156,633 
329,000  BroadStreet Partners, Inc.*     
   5.875%, 04/15/29   312,366 
255,000  Brookfield Property REIT, Inc. / BPR Cumulus, LLC / BPR Nimbus, LLC / GGSI Sellco, LLC*     
   4.500%, 04/01/27   226,144 
200,000  Burford Capital Global Financial, LLC*     
   6.875%, 04/15/30   195,096 
   Credit Acceptance Corp.     
205,000  6.625%, 03/15/26^   205,271 
140,000  9.250%, 12/15/28*   147,524 
210,000  Cushman & Wakefield U.S. Borrower LLC*^     
   8.875%, 09/01/31   220,567 
283,000  Enact Holdings, Inc.*     
   6.500%, 08/15/25   282,536 
235,000  GGAM Finance, Ltd.*     
   8.000%, 02/15/27   242,527 
278,000  Global Net Lease, Inc. / Global Net Lease Operating Partnership, LP*     
   3.750%, 12/15/27   237,737 
225,000  GTCR W-2 Merger Sub, LLC*     
   7.500%, 01/15/31   234,614 
120,000  HAT Holdings I LLC / HAT Holdings II LLC*     
   8.000%, 06/15/27   124,470 
   HUB International, Ltd.*     
324,000  5.625%, 12/01/29   305,914 
105,000  7.375%, 01/31/32   107,472 
164,000  Icahn Enterprises, LP / Icahn Enterprises Finance Corp.     
   4.375%, 02/01/29   137,224 
275,000  ILFC E-Capital Trust II*‡     
   7.436%, 12/21/65     
   3 mo. SOFR + 2.06%   217,971 
435,000  Iron Mountain, Inc.*     
   5.250%, 03/15/28   422,176 
600,000  Jefferies Finance, LLC / JFIN Co-Issuer Corp.*     
   5.000%, 08/15/28   541,740 
   Ladder Capital Finance Holdings, LLLP / Ladder Capital Finance Corp.*     
387,000  5.250%, 10/01/25   380,827 
224,000  4.750%, 06/15/29   200,628 
205,000  LD Holdings Group, LLC*     
   6.125%, 04/01/28   167,276 
   Level 3 Financing, Inc.*     
235,000  4.250%, 07/01/28   79,019 
105,000  4.625%, 09/15/27   55,434 
162,000  LPL Holdings, Inc.*     
   4.000%, 03/15/29   149,401 
210,000  Macquarie Airfinance Holdings, Ltd.*     
   8.125%, 03/30/29   218,077 
344,000  MetLife, Inc.     
   6.400%, 12/15/66   351,458 
300,000  Nationstar Mortgage Holdings, Inc.*     
   5.500%, 08/15/28   285,807 
   Navient Corp.     
228,000  5.000%, 03/15/27   217,605 
115,000  4.875%, 03/15/28   104,599 

 

See accompanying Notes to Schedule of Investments

 

4 

 

 

Calamos Global Dynamic Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL       
AMOUNT     VALUE 
150,000  Necessity Retail REIT, Inc. / American Finance Operating Partner, LP*     
   4.500%, 09/30/28  $127,647 
105,000  Newmark Group, Inc.*     
   7.500%, 01/12/29   107,314 
   OneMain Finance Corp.     
150,000  3.875%, 09/15/28   131,823 
145,000  9.000%, 01/15/29   152,853 
108,000  7.125%, 03/15/26   109,534 
110,000  Park Intermediate Holdings, LLC / PK Domestic Property, LLC / PK Finance Co-Issuer*     
   5.875%, 10/01/28   107,699 
341,000  PHH Mortgage Corp.*     
   7.875%, 03/15/26   315,033 
260,000  RHP Hotel Properties, LP / RHP Finance Corp.*     
   4.500%, 02/15/29   241,886 
   Rocket Mortgage, LLC / Rocket Mortgage Co-Issuer, Inc.*     
100,000  3.875%, 03/01/31   87,883 
100,000  3.625%, 03/01/29   89,253 
50,000  2.875%, 10/15/26   46,404 
227,000  StoneX Group, Inc.*     
   8.625%, 06/15/25   229,595 
   United Wholesale Mortgage, LLC*     
258,000  5.500%, 04/15/29   243,985 
105,000  5.750%, 06/15/27   103,203 
   Uniti Group, LP / Uniti Group Finance, Inc. / CSL Capital, LLC*     
110,000  6.500%, 02/15/29   77,627 
105,000  10.500%, 02/15/28   106,853 
250,000  VZ Secured Financing, BV*     
   5.000%, 01/15/32   218,615 
237,000  XHR, LP*     
  6.375%, 08/15/25   237,391 
       11,255,778 
    Health Care (1.1%)     
   Bausch Health Companies, Inc.*     
398,000  11.000%, 09/30/28   273,557 
81,000  6.125%, 02/01/27   51,410 
78,000  14.000%, 10/15/30   44,140 
   CHS/Community Health Systems, Inc.*     
435,000  6.125%, 04/01/30   288,161 
127,000  6.875%, 04/15/29   87,663 
114,000  8.000%, 03/15/26   112,327 
105,000  10.875%, 01/15/32   110,316 
27,000  5.250%, 05/15/30   22,443 
   DaVita, Inc.*     
258,000  3.750%, 02/15/31   212,829 
233,000  4.625%, 06/01/30   206,329 
   Embecta Corp.*     
162,000  5.000%, 02/15/30   132,733 
52,000  6.750%, 02/15/30   45,883 
   Encompass Health Corp.     
110,000  4.750%, 02/01/30   103,401 
110,000  4.500%, 02/01/28   105,232 
300,000  HCA, Inc.     
   7.500%, 11/06/33   338,727 
200,000  Jazz Securities DAC*     
   4.375%, 01/15/29   185,032 
   Medline Borrower, LP*     
270,000  3.875%, 04/01/29   244,766 
267,000  5.250%, 10/01/29   249,164 
400,000  Organon & Company / Organon Foreign Debt Co-Issuer, BV*     
   5.125%, 04/30/31   344,556 
305,000  Team Health Holdings, Inc.*     
   6.375%, 02/01/25   257,847 
   Tenet Healthcare Corp.     
430,000  6.250%, 02/01/27   429,162 
295,000  6.875%, 11/15/31   304,092 
   Teva Pharmaceutical Finance Netherlands III, BV     
270,000  5.125%, 05/09/29^   260,612 
200,000  4.750%, 05/09/27   193,500 
100,000  3.150%, 10/01/26   93,358 
       4,697,240 
    Industrials (3.0%)     
260,000  ACCO Brands Corp.*     
   4.250%, 03/15/29   235,968 
235,000  AerCap Holdings, NV^‡     
   5.875%, 10/10/79     
   5 year CMT + 4.54%   233,461 
200,000  Air Lease Corp.‡     
   4.125%, 12/15/26     
   5 year CMT + 3.15%   169,512 
   Albertsons Companies, Inc. / Safeway, Inc. / New Albertsons, LP / Albertsons, LLC*     
365,000  4.625%, 01/15/27   354,353 
155,000  5.875%, 02/15/28   154,921 
195,000  Allegiant Travel Company*     
   7.250%, 08/15/27   190,807 
127,000  Arcosa, Inc.*     
   4.375%, 04/15/29   119,189 
475,000  ARD Finance, SA*     
   6.500%, 06/30/27     
   7.250% PIK rate   230,508 
178,000  Beacon Roofing Supply, Inc.*     
   4.125%, 05/15/29   161,400 
   Bombardier, Inc.*     
105,000  8.750%, 11/15/30   110,489 
105,000  7.875%, 04/15/27   105,145 
226,000  BWX Technologies, Inc.*     
   4.125%, 04/15/29   209,751 
215,000  Cascades, Inc. / Cascades USA, Inc.*     
   5.375%, 01/15/28   210,997 
56,000  Delta Air Lines, Inc. / SkyMiles IP, Ltd.*     
   4.750%, 10/20/28   55,121 
282,000  Deluxe Corp.*     
   8.000%, 06/01/29   254,048 
213,000  Eco Material Technologies, Inc.*     
   7.875%, 01/31/27   213,290 
105,000  Emerald Debt Merger Sub, LLC*     
   6.625%, 12/15/30   106,144 
   EnerSys*     
140,000  4.375%, 12/15/27   132,656 
110,000  6.625%, 01/15/32   111,588 
135,000  Graham Packaging Company, Inc.*     
   7.125%, 08/15/28   121,300 
   Graphic Packaging International, LLC*     
102,000  3.500%, 03/01/29   92,254 
85,000  4.750%, 07/15/27   82,812 

 

See accompanying Notes to Schedule of Investments

 

5 

 

 

Calamos Global Dynamic Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL
AMOUNT
      VALUE 
 236,000   Great Lakes Dredge & Dock Corp.*     
     5.250%, 06/01/29  $204,968 
 516,000   H&E Equipment Services, Inc.*     
     3.875%, 12/15/28   468,941 
 269,000   Hawaiian Brand Intellectual Property, Ltd. / HawaiianMiles Loyalty, Ltd.*     
     5.750%, 01/20/26   252,994 
 270,000   Herc Holdings, Inc.*     
     5.500%, 07/15/27   265,386 
 255,000   IEA Energy Services, LLC*     
     6.625%, 08/15/29   240,001 
     JELD-WEN, Inc.*     
 154,000   4.625%, 12/15/25   150,615 
 110,000   4.875%, 12/15/27^   105,057 
 360,000   Ken Garff Automotive, LLC*     
     4.875%, 09/15/28   336,416 
 210,000   Knife River Holding Company*     
     7.750%, 05/01/31   220,933 
 55,000   MasTec, Inc.*     
     4.500%, 08/15/28   51,679 
 135,000   Moog, Inc.*     
     4.250%, 12/15/27   126,581 
 275,000   Newfold Digital Holdings Group, Inc.*     
     6.000%, 02/15/29   208,301 
 232,000   Novelis Corp.*     
     4.750%, 01/30/30   215,465 
 80,000   OI European Group, BV*     
     4.750%, 02/15/30   74,122 
 255,000   Pactiv Evergreen Group Issuer, Inc. / Pactiv Evergreen Group Issuer, LLC*     
     4.000%, 10/15/27   238,081 
     Sealed Air Corp.*     
 163,000   6.125%, 02/01/28   163,890 
 54,000   5.000%, 04/15/29   52,088 
 50,000   Sealed Air Corp./Sealed Air Corp. U.S.*     
     7.250%, 02/15/31   52,454 
 210,000   Sensata Technologies, Inc.*     
     3.750%, 02/15/31   182,935 
     Sinclair Television Group, Inc.*     
 167,000   4.125%, 12/01/30   129,198 
 100,000   5.500%, 03/01/30   77,120 
 225,000   Standard Industries, Inc.*     
     5.000%, 02/15/27   218,864 
 176,000   Stericycle, Inc.*     
     3.875%, 01/15/29   160,234 
 166,000   STL Holding Company, LLC*     
     7.500%, 02/15/26   169,083 
 55,000   Summit Materials LLC / Summit Materials Finance Corp.*     
     7.250%, 01/15/31   57,206 
     TransDigm, Inc.     
 225,000   6.875%, 12/15/30*   231,401 
 205,000   7.500%, 03/15/27   205,674 
 155,000   6.750%, 08/15/28*   157,739 
 89,000   6.250%, 03/15/26*   88,579 
 80,000   7.125%, 12/01/31*   83,460 
 215,000   Tronox, Inc.*     
     4.625%, 03/15/29   190,077 
 2,800,000   Uber Technologies, Inc.*     
     8.000%, 11/01/26   2,852,220 
 83,865   United Airlines Pass Through Trust Series 2019-2, Class B     
     3.500%, 11/01/29   76,697 
 217,000   Vertiv Group Corp.*     
     4.125%, 11/15/28   202,107 
 228,000   Wabash National Corp.*     
     4.500%, 10/15/28   207,925 
 170,000   Waste Pro USA, Inc.*     
     5.500%, 02/15/26   165,191 
     Williams Scotsman, Inc.*     
 128,000   4.625%, 08/15/28   120,859 
 105,000   7.375%, 10/01/31   110,096 
         12,770,351 
       Information Technology (0.7%)   
 54,000   Booz Allen Hamilton, Inc.*     
     4.000%, 07/01/29   50,723 
 126,000   Coherent Corp.*     
     5.000%, 12/15/29   118,015 
 115,000   CommScope Technologies, LLC*     
     6.000%, 06/15/25   91,529 
 200,000   CommScope, Inc.*     
     4.750%, 09/01/29   132,438 
 110,000   Dell International, LLC / EMC Corp.     
     6.020%, 06/15/26   112,427 
 108,000   Dun & Bradstreet Corp.*^     
     5.000%, 12/15/29   100,516 
 93,000   Fair Isaac Corp.*     
     4.000%, 06/15/28   86,694 
 245,000   KBR, Inc.*     
     4.750%, 09/30/28   226,042 
     MPH Acquisition Holdings, LLC*     
 245,000   5.750%, 11/01/28   195,076 
 110,000   5.500%, 09/01/28   97,816 
 105,000   NCL Corp., Ltd.*     
     8.125%, 01/15/29   110,229 
 113,000   NCR Voyix Corp.*     
     5.125%, 04/15/29   106,409 
 167,000   ON Semiconductor Corp.*     
     3.875%, 09/01/28   153,323 
     Open Text Corp.*     
 139,000   3.875%, 02/15/28   129,219 
 110,000   6.900%, 12/01/27   114,346 
 81,000   3.875%, 12/01/29   73,150 
 81,000   Open Text Holdings, Inc.*     
     4.125%, 12/01/31   71,719 
 206,000   Playtika Holding Corp.*     
     4.250%, 03/15/29   178,744 
 315,000   TTM Technologies, Inc.*     
     4.000%, 03/01/29   285,066 
     Twilio, Inc.     
 150,000   3.625%, 03/15/29   135,628 
 57,000   3.875%, 03/15/31   50,268 
 79,000   UKG, Inc.*     
     6.875%, 02/01/31   79,975 
 240,000   Viavi Solutions, Inc.*     
     3.750%, 10/01/29   209,198 
 260,000   ZoomInfo Technologies, LLC / ZoomInfo Finance Corp.*     
     3.875%, 02/01/29   231,660 
         3,140,210 
       Materials (0.7%)    
 130,000   ArcelorMittal, SA     
     7.000%, 10/15/39   141,930 

 

See accompanying Notes to Schedule of Investments

 

6 

 

 

Calamos Global Dynamic Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL
AMOUNT
      VALUE 
 85,000   ATI, Inc.     
     5.875%, 12/01/27  $83,697 
 55,000   Carpenter Technology Corp.     
     7.625%, 03/15/30   56,917 
 165,000   Chemours Company*     
     4.625%, 11/15/29   144,446 
 355,000   Clearwater Paper Corp.*     
     4.750%, 08/15/28   333,341 
 157,000   Cleveland-Cliffs, Inc.*     
     6.750%, 04/15/30   158,447 
     Commercial Metals Company     
 108,000   4.125%, 01/15/30   98,844 
 54,000   4.375%, 03/15/32   48,340 
 250,000   Constellium, SE*     
     3.750%, 04/15/29   225,395 
 111,000   HB Fuller Company     
     4.250%, 10/15/28   103,547 
 215,000   JW Aluminum Continuous Cast Company*     
     10.250%, 06/01/26   217,404 
 190,000   Kaiser Aluminum Corp.*     
     4.625%, 03/01/28   175,208 
 58,000   LSF11 A5 HoldCo, LLC*     
     6.625%, 10/15/29   49,450 
     Mercer International, Inc.     
 284,000   5.125%, 02/01/29   243,834 
 107,000   12.875%, 10/01/28*   115,065 
 200,000   OCI, NV*     
     6.700%, 03/16/33   199,968 
     Owens-Brockway Glass Container, Inc.*     
 160,000   7.250%, 05/15/31   161,520 
 115,000   6.625%, 05/13/27   115,143 
 200,000   Silgan Holdings, Inc.     
     4.125%, 02/01/28   188,424 
 113,000   Trinseo Materials Operating SCA / Trinseo Materials Finance, Inc.*     
     5.125%, 04/01/29   44,407 
         2,905,327 
        Other (0.0%)
     Gen Digital, Inc.*     
 100,000   7.125%, 09/30/30^   103,773 
 100,000   6.750%, 09/30/27   101,674 
         205,447 
        Real Estate (0.2%)
 174,000   EPR Properties     
     3.750%, 08/15/29   155,159 
     Forestar Group, Inc.*     
 187,000   5.000%, 03/01/28   177,871 
 110,000   3.850%, 05/15/26   104,618 
 248,000   MIWD Holdco II, LLC / MIWD Finance Corp.*     
     5.500%, 02/01/30   226,002 
 105,000   Service Properties Trust     
     5.250%, 02/15/26   101,751 
         765,401 
        Special Purpose Acquisition Companies (0.1%)
     Fertitta Entertainment, LLC / Fertitta Entertainment Finance Company, Inc.*     
 220,000   6.750%, 01/15/30   198,042 
 107,000   4.625%, 01/15/29   98,625 
         296,667 
        Utilities (0.1%)
 79,000   PPL Capital Funding, Inc.‡     
     8.275%, 03/30/67     
     3 mo. SOFR + 2.93%   75,809 
     Vistra Corp.*‡     
 105,000   7.000%, 12/15/26     
     5 year CMT + 5.74%   102,501 
 50,000   8.000%, 10/15/26     
     5 year CMT + 6.93%   50,232 
         228,542 
     Total Corporate Bonds
(Cost $68,938,450)
   70,116,447 
           
Convertible Bonds (33.0%)
        Communication Services (2.2%)
 325,000   Bharti Airtel, Ltd.*     
     1.500%, 02/17/25   626,522 
 209,000   Cable One, Inc.µ     
     0.000%, 03/15/26   179,554 
 20,000,000JPY  CyberAgent, Inc.     
     0.000%, 02/19/25   134,264 
 2,185,000   Liberty Media Corp.-Liberty Formula One     
     2.250%, 08/15/27   2,277,251 
     Sea, Ltd.     
 5,311,000   2.375%, 12/01/25   5,069,190 
 604,000   0.250%, 09/15/26   509,341 
 538,000   Snap, Inc.µ     
     0.125%, 03/01/28   426,134 
 157,000   Zillow Group, Inc.     
     1.375%, 09/01/26   214,482 
         9,436,738 
        Consumer Discretionary (7.2%)
 203,000   Airbnb, Inc.µ     
     0.000%, 03/15/26   184,547 
 145,000   Booking Holdings, Inc.     
     0.750%, 05/01/25   270,725 
 353,000   Burlington Stores, Inc.     
     2.250%, 04/15/25   380,096 
 200,000,000JPY  Daiwa House Ind Company, Ltd. 03/30/29   1,388,314 
     DISH Network Corp.µ     
 608,000   0.000%, 12/15/25   435,176 
 213,000   2.375%, 03/15/24   208,836 
 410,000   DraftKings Holdings, Inc.µ     
     0.000%, 03/15/28   342,092 
     Etsy, Inc.     
 229,000   0.125%, 10/01/26   239,630 
 161,000   0.125%, 09/01/27   133,530 
 251,000   Farfetch, Ltd.     
     3.750%, 05/01/27   5,540 
     Flight Centre Travel Group, Ltd.     
 2,600,000AUD  2.500%, 11/17/27   2,025,026 
 200,000AUD  1.625%, 11/01/28   127,536 
 11,210,000   Ford Motor Company~     
     0.000%, 03/15/26   10,926,723 
 2,740,000   IMAX Corp.µ     
     0.500%, 04/01/26   2,439,778 
 161,000   Liberty Broadband Corp.*     
     3.125%, 03/31/53   158,084 

 

See accompanying Notes to Schedule of Investments

 

7 

 

 

Calamos Global Dynamic Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL
AMOUNT
      VALUE 
 214,000   Lucid Group, Inc.*     
     1.250%, 12/15/26  $85,089 
 296,000   MakeMyTrip, Ltd.     
     0.000%, 02/15/28   444,838 
 725,000   Marriott Vacations Worldwide Corp.µ     
     0.000%, 01/15/26   643,133 
 400,000   Meituan     
     0.000%, 04/27/28   347,288 
 40,000,000JPY  Mercari, Inc.     
     0.000%, 07/14/28   210,471 
 160,000   NIO, Inc.*     
     4.625%, 10/15/30   124,200 
     Ocado Group, PLCµ     
 100,000GBP  0.875%, 12/09/25   111,307 
 100,000GBP  0.750%, 01/18/27   98,156 
     Rivian Automotive, Inc.*     
 230,000   4.625%, 03/15/29   244,991 
 145,000   3.625%, 10/15/30   132,832 
 194,000   Royal Caribbean Cruises, Ltd.     
     6.000%, 08/15/25   508,098 
 40,000,000JPY  Sanrio Company, Ltd.     
     0.000%, 12/14/28   303,397 
 100,000EUR  Shop Apotheke Europe, NVµ     
     0.000%, 01/21/28   101,628 
 162,000   Stride, Inc.     
     1.125%, 09/01/27   207,718 
 17,000   Tesla, Inc.     
     2.000%, 05/15/24   154,322 
     Wayfair, Inc.     
 318,000   0.625%, 10/01/25µ   290,986 
 302,000   3.500%, 11/15/28*   407,159 
 168,000   1.000%, 08/15/26µ   145,216 
 1,900,000GBP  WH Smith, PLCµ     
     1.625%, 05/07/26   2,174,307 
 1,272,000   Winnebago Industries, Inc.*     
     3.250%, 01/15/30   1,308,913 
 3,011,000   Wynn Macau, Ltd.*     
     4.500%, 03/07/29   3,005,580 
 5,000,000HKD  Zhongsheng Group Holdings, Ltd.     
     0.000%, 05/21/25   685,212 
         31,000,474 
       Consumer Staples (1.5%)      
 2,500,000EUR  Fomento Economico Mexicano SAB de CV     
     2.625%, 02/24/26   2,707,452 
 20,000,000JPY  Nippn Corp.     
     0.000%, 06/20/25   148,781 
 4,975,000CAD  Premium Brands Holdings Corp.     
     4.200%, 09/30/27   3,432,970 
         6,289,203 
       Energy (1.6%)    
 4,400,000EUR  Eni S.p.A     
     2.950%, 09/14/30   4,954,319 
 1,650,000   Nabors Industries, Inc.*µ     
     1.750%, 06/15/29   1,221,214 
 306,000   Northern Oil & Gas, Inc.     
     3.625%, 04/15/29   340,918 
 100,000   Pioneer Natural Resources Company     
     0.250%, 05/15/25   248,634 
     SunEdison, Inc.@     
 2,261,000   0.250%, 01/15/49   22,610 
 275,000   0.000%, 10/01/49   2,750 
         6,790,445 
       Financials (2.0%)    
 223,000   Affirm Holdings, Inc.µ     
     0.000%, 11/15/26   178,124 
 41,000,000HKD  Citigroup Global Markets Funding Luxembourg SCAµ     
     0.000%, 07/25/24   5,106,415 
 192,000   Coinbase Global, Inc.µ     
     0.500%, 06/01/26   168,689 
 64,817EUR  Corestate Capital Holding, SA     
     8.000%, 12/31/26     
     9.000% PIK rate   35,459 
 100,000GBP  Cornwall Jersey, Ltd.     
     0.750%, 04/16/26   76,804 
 3,440,000EUR  Edenred     
     0.000%, 09/06/24   2,288,895 
 200,000EUR  JPMorgan Chase Financial Company, LLC (Voya Financial, Inc.)§     
     0.000%, 01/14/25   221,567 
 200,000EUR  LEG Immobilien, SE     
     0.875%, 09/01/25   210,464 
 314,000   Morgan Stanley Finance, LLC     
     1.000%, 11/23/27   365,433 
         8,651,850 
       Health Care (1.4%)    
 164,000   Alnylam Pharmaceuticals, Inc.     
     1.000%, 09/15/27   158,249 
 1,768,000   BioMarin Pharmaceutical, Inc.µ     
     0.599%, 08/01/24   1,741,851 
 135,000   Coherus Biosciences, Inc.     
     1.500%, 04/15/26   85,838 
 172,000   CONMED Corp.     
     2.250%, 06/15/27   163,644 
     Dexcom, Inc.     
 156,000   0.375%, 05/15/28*   157,229 
 142,000   0.250%, 11/15/25   147,017 
 154,000   Enovis Corp.*     
     3.875%, 10/15/28   190,392 
 161,000   Envista Holdings Corp.*µ     
     1.750%, 08/15/28   147,043 
 100,000EUR  GN Store Nord ASµ     
     0.000%, 05/21/24   106,314 
 205,000   Haemonetics Corp.µ     
     0.000%, 03/01/26   181,985 
     Halozyme Therapeutics, Inc.     
 206,000   0.250%, 03/01/27µ   176,913 
 170,000   1.000%, 08/15/28   154,253 
 81,000   Immunocore Holdings, PLC*     
     2.500%, 02/01/30   82,260 
 73,000   Innoviva, Inc.     
     2.500%, 08/15/25   79,478 
 158,000   Insmed, Inc.     
     0.750%, 06/01/28   172,207 
 162,000   Integer Holdings Corp.*     
     2.125%, 02/15/28   211,075 
 167,000   Integra LifeSciences Holdings Corp.µ     
     0.500%, 08/15/25   157,461 
 163,000   Ionis Pharmaceuticals, Inc.     
     0.000%, 04/01/26   173,359 
 156,000   Jazz Investments I, Ltd.     
     2.000%, 06/15/26   157,314 

 

See accompanying Notes to Schedule of Investments

 

8 

 

 

Calamos Global Dynamic Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL
AMOUNT
      VALUE 
 101,000   Lantheus Holdings, Inc.     
     2.625%, 12/15/27  $104,706 
 30,000,000JPY  Menicon Company, Ltd.µ     
     0.000%, 01/29/25   203,306 
 181,000   NeoGenomics, Inc.µ     
     0.250%, 01/15/28   138,318 
 165,000   NuVasive, Inc.µ     
     0.375%, 03/15/25   154,598 
 145,000   Omnicell, Inc.µ     
     0.250%, 09/15/25   133,298 
 135,000   Pacira BioSciences, Inc.µ     
     0.750%, 08/01/25   125,455 
 163,000   Sarepta Therapeutics, Inc.     
     1.250%, 09/15/27   183,994 
 242,000   Shockwave Medical, Inc.*     
     1.000%, 08/15/28   255,959 
 156,000   TransMedics Group, Inc.*^     
     1.500%, 06/01/28   186,983 
         5,930,499 
       Industrials (6.2%)    
 40,000,000JPY  Daifuku Co., Ltd.     
     0.000%, 09/13/30   298,163 
 100,000EUR  Duerr, AG     
     0.750%, 01/15/26   100,854 
 196,000   John Bean Technologies Corp.µ     
     0.250%, 05/15/26   177,525 
 200,000   L&F Company Ltd.     
     2.500%, 04/26/30   126,624 
 161,000   Middleby Corp.     
     1.000%, 09/01/25   190,242 
 2,700,000EUR  Prysmian S.p.A     
     0.000%, 02/02/26   3,230,776 
     Rheinmetall, AG     
 6,100,000EUR  1.875%, 02/07/28   7,820,543 
 100,000EUR  2.250%, 02/07/30   131,347 
 2,319,600EUR  Schneider Electric, SE     
     0.000%, 06/15/26   4,959,112 
 1,400,000EUR  SPIE, SA     
     2.000%, 01/17/28   1,643,127 
 1,232,000   Tetra Tech, Inc.*     
     2.250%, 08/15/28   1,252,895 
 6,230,000   Uber Technologies, Inc.*~     
     0.875%, 12/01/28   6,959,471 
         26,890,679 
       Information Technology (7.7%)    
     Akamai Technologies, Inc.     
 2,990,000   1.125%, 02/15/29*~   3,323,863 
 190,000   0.125%, 05/01/25   250,515 
     BILL Holdings, Inc.µ     
 208,000   0.000%, 04/01/27   174,764 
 94,000   0.000%, 12/01/25   88,126 
 3,175,000   Block, Inc.µ     
     0.125%, 03/01/25   3,063,049 
 210,000   Cloudflare, Inc.µ     
     0.000%, 08/15/26   188,206 
 213,000   Confluent, Inc.µ     
     0.000%, 01/15/27   178,373 
 162,000   CyberArk Software, Ltd.     
     0.000%, 11/15/24   243,771 
 3,306,000   Datadog, Inc.     
     0.125%, 06/15/25   4,678,850 
 447,000   DigitalOcean Holdings, Inc.µ     
     0.000%, 12/01/26   368,601 
 207,000   Dropbox, Inc.     
     0.000%, 03/01/28   216,611 
 381,000CAD  Dye & Durham, Ltd.*µ     
     3.750%, 03/01/26   249,939 
 411,000   Fastly, Inc.µ     
     0.000%, 03/15/26   366,912 
 357,000   Five9, Inc.µ     
     0.500%, 06/01/25   343,213 
 2,300,000EUR  GlobalWafers GmbH     
     1.500%, 01/23/29   2,531,321 
 17,000,000HKD  Kingsoft Corp, Ltd.     
     0.625%, 04/29/25   2,165,698 
 175,000   LivePerson, Inc.     
     0.000%, 12/15/26   116,949 
 451,000   Microchip Technology, Inc.     
     0.125%, 11/15/24   472,612 
 418,000   MicroStrategy, Inc.µ     
     0.000%, 02/15/27   337,999 
 447,000   NCL Corp., Ltd.µ     
     1.125%, 02/15/27   397,888 
 200,000EUR  Nexi S.p.Aµ     
     1.750%, 04/24/27   202,409 
 162,000   Nice, Ltd.     
     0.000%, 09/15/25   155,821 
 413,000   Okta, Inc.µ     
     0.125%, 09/01/25   381,612 
     ON Semiconductor Corp.     
 319,000   0.500%, 03/01/29*   309,845 
 202,000   0.000%, 05/01/27   291,896 
 148,000   Palo Alto Networks, Inc.     
     0.375%, 06/01/25   503,493 
 173,000   Pegasystems, Inc.µ     
     0.750%, 03/01/25   163,803 
 1,381,000   Rapid7, Inc.     
     1.250%, 03/15/29   1,512,043 
 296,000   Repay Holdings Corp.*µ     
     0.000%, 02/01/26   251,647 
 320,000   RingCentral, Inc.µ     
     0.000%, 03/15/26   280,384 
 360,000,000JPY  Rohm Company, Ltd.     
     0.000%, 12/05/24   2,492,825 
 40,000,000JPY  SCREEN Holdings Company, Ltd.     
     0.000%, 06/11/25   669,004 
 320,000   Seagate HDD Cayman*     
     3.500%, 06/01/28   385,366 
 139,000   Shift4 Payments, Inc.     
     0.000%, 12/15/25   153,363 
 3,200,000   SK Hynix, Inc.     
     1.750%, 04/11/30   4,219,296 
 148,300EUR  SOITEC     
     0.000%, 10/01/25   283,160 
 200,000   Tyler Technologies, Inc.     
     0.250%, 03/15/26   202,990 
 223,000   Unity Software, Inc.µ     
     0.000%, 11/15/26   185,507 
 318,000   Wix.com, Ltd.     
     0.000%, 08/15/25   290,945 
     Workiva, Inc.     
 240,000   1.250%, 08/15/28*   231,223 
 34,000   1.125%, 08/15/26   43,846 
 265,000   Xero Investments, Ltd.     
     0.000%, 12/02/25   240,837 
 145,000   Zscaler, Inc.     
     0.125%, 07/01/25   230,802 
         33,439,377 

 

See accompanying Notes to Schedule of Investments

 

9 

 

 

Calamos Global Dynamic Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL
AMOUNT
      VALUE 
       Materials (1.9%)  
 214,000   Amyris, Inc.@     
     1.500%, 11/15/26  $7,588 
 3,600,000   Glencore Funding, LLC     
     0.000%, 03/27/25   3,715,272 
 2,700,000   LG Chem, Ltd.     
     1.250%, 07/18/28   2,563,974 
 1,976,000   Lithium Americas Corp.     
     1.750%, 01/15/27   1,371,087 
 20,000,000JPY  Nippon Steel Corp.     
     0.000%, 10/05/26   196,614 
 400,000EUR  POSCO Holdings, Inc.     
     0.000%, 09/01/26   462,397 
         8,316,932 
        Other (0.0%)
 110,000   Multiplan Corp.*µ     
     6.000%, 10/15/27     
     7.000% PIK rate   77,046 
         
        Real Estate (0.8%)
 2,900,000EUR  ANLLIAN Capital, Ltd.     
     0.000%, 02/05/25   3,050,007 
 330,000   Redfin Corp.µ     
     0.000%, 10/15/25   281,791 
 200,000   Vingroup, JSC     
     3.000%, 04/20/26   196,074 
         3,527,872 
        Utilities (0.5%)
 318,000   American Water Capital Corp.*     
     3.625%, 06/15/26   313,097 
 1,466,000   CMS Energy Corp.*     
     3.375%, 05/01/28   1,438,219 
 320,000   PPL Capital Funding, Inc.*     
     2.875%, 03/15/28   305,315 
 160,000   Southern Company*     
     3.875%, 12/15/25   159,400 
         2,216,031 
     Total Convertible Bonds
(Cost $154,912,167)
   142,567,146 
 
Bank Loans (13.0%) ¡
        Airlines (0.1%)
 161,500   American Airlines, Inc.‡     
     10.329%, 04/20/28     
     3 mo. SOFR + 4.75%   165,728 
 154,000   Mileage Plus Holdings, LLC‡     
     10.770%, 06/21/27     
     3 mo. SOFR + 5.25%   158,925 
         324,653 
        Communication Services (2.0%)
 1,250,000   APi Group DE, Inc.‡     
     7.951%, 01/03/29     
     1 mo. SOFR + 2.50%   1,251,756 
 1,830,442   Charter Communications Operating, LLC‡     
     7.083%, 02/01/27     
     1 mo. SOFR + 1.75%   1,826,781 
 34,111   Clear Channel Outdoor Holdings, Inc.‡     
     9.074%, 08/21/26     
     3 mo. SOFR + 3.50%   33,773 
 347,247   DirecTV Financing, LLC!     
     0.000%, 08/02/29   347,537 
 320,000   Entercom Media Corp.‡&     
     8.145%, 11/18/24     
     3 mo. SOFR + 2.50%   179,675 
 1,243,750   Go Daddy Operating Company, LLC‡     
     7.333%, 11/09/29     
     1 mo. SOFR + 2.00%   1,245,243 
 1,250,000   Match Group, Inc.‡     
     7.270%, 02/13/27     
     3 mo. SOFR + 1.75%   1,247,663 
 1,250,000   Nexstar Broadcasting, Inc.‡     
     7.951%, 09/18/26     
     1 mo. SOFR + 2.50%   1,250,306 
 110,000   Telesat Canada‡     
     8.400%, 12/07/26     
     3 mo. SOFR + 2.75%   67,526 
 1,250,000   Virgin Media Bristol, LLC‡     
     7.948%, 01/31/28     
     1 mo. SOFR + 2.50%   1,229,594 
         8,679,854 
        Consumer Discretionary (2.3%)
 153,600   American Axle & Manufacturing, Inc.‡     
     8.936%, 12/13/29     
     1 mo. SOFR + 3.50%   153,889 
 1,243,750   Aramark Services, Inc.‡     
     7.947%, 06/22/30     
     1 mo. SOFR + 2.50%   1,242,979 
 208,425   Caesars Entertainment, Inc.‡     
     8.663%, 02/06/30     
     3 mo. SOFR + 3.25%   208,592 
 1,457,675   Carnival Corp.‡     
     8.336%, 08/08/27     
     1 mo. SOFR + 3.00%   1,460,226 
 234,402   Carnival Corp.‡     
     8.697%, 10/18/28     
     1 mo. SOFR + 3.25%   234,731 
 208,425   Hanesbrands, Inc.‡     
     9.083%, 03/08/30     
     1 mo. SOFR + 3.75%   207,643 
 1,492,327   KFC Holding Company‡     
     7.196%, 03/15/28     
     1 mo. SOFR + 1.75%   1,493,671 
 122,430   Life Time Fitness, Inc.‡     
     9.824%, 01/15/26     
     3 mo. SOFR + 4.25%   123,287 
 1,243,606   Murphy USA, Inc.‡     
     7.217%, 01/31/28     
     1 mo. SOFR + 1.75%   1,247,492 
 1,243,687   PENN Entertainment, Inc.‡     
     8.183%, 05/03/29     
     1 mo. SOFR + 2.75%   1,242,344 
 125,661   Petco Health & Wellness Company, Inc.‡     
     8.860%, 03/03/28     
     3 mo. SOFR + 3.25%   118,293 
 380,116   PetSmart, Inc.‡     
     9.183%, 02/11/28     
     1 mo. SOFR + 3.75%   378,890 

 

See accompanying Notes to Schedule of Investments

 

10 

 

 

Calamos Global Dynamic Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL
AMOUNT
      VALUE 
 1,243,462   Station Casinos, LLC‡   
     7.683%, 02/08/27     
     1 mo. SOFR + 2.25%  $1,242,150 
 138,635   TKC Holdings, Inc.‡     
     10.947%, 05/15/28     
     1 mo. SOFR + 5.50%   134,441 
 224,863   Windsor Holdings III, LLC‡     
     9.848%, 08/01/30     
     1 mo. SOFR + 4.50%   225,456 
         9,714,084 
       Consumer Staples (0.5%)    
 448,755   Amneal Pharmaceuticals, LLC‡     
     10.833%, 05/04/28     
     1 mo. SOFR + 5.50%   446,511 
 1,506,391   Jazz Financing Lux Sarl‡     
     8.447%, 05/05/28     
     1 mo. SOFR + 3.00%   1,507,333 
 215,000   Star Parent, Inc.‡     
     9.348%, 09/27/30     
     3 mo. SOFR + 4.00%   210,297 
 105,896   United Natural Foods, Inc.‡     
     8.697%, 10/22/25     
     1 mo. SOFR + 3.25%   105,824 
         2,269,965 
     Energy (0.1%)    
 160,000   Buckeye Partners, LP‡     
     7.833%, 11/22/30     
     1 mo. SOFR + 2.50%   160,134 
 100,000   New Fortress Energy, Inc.‡     
     10.317%, 10/27/28     
     3 mo. SOFR + 5.00%   100,200 
 258,324   Par Petroleum, LLC‡     
     9.738%, 02/28/30     
     3 mo. SOFR + 4.25%   258,550 
         518,884 
       Financials (0.7%)    
 171,218   Alliant Holdings Intermediate LLC‡     
     8.833%, 11/06/30     
     1 mo. SOFR + 3.50%   171,770 
 164,176   Amynta Agency Borrower, Inc.‡     
     9.583%, 02/28/28     
     1 mo. SOFR + 4.25%   164,440 
 212,299   AssuredPartners, Inc.‡     
     8.833%, 02/12/27     
     1 mo. SOFR + 3.50%   211,856 
 1,660,838   Avolon TLB Borrower 1, LLC‡     
     7.337%, 06/22/28     
     1 mo. SOFR + 2.00%   1,662,357 
 100,000   Broadstreet Partners, Inc.‡     
     9.083%, 01/27/29     
     1 mo. SOFR + 3.75%   100,063 
 280   Castlelake Aviation, Ltd.‡     
     8.146%, 10/22/26     
     3 mo. SOFR + 2.50%   280 
 210,000   Hub International, Ltd.!     
     0.000%, 06/20/30   210,361 
 160,000   Iron Mountain, Inc.‡     
     7.569%, 01/31/31     
     3 mo. SOFR + 2.25%   159,350 
 55,000   Osaic Holdings, Inc.‡     
     9.833%, 08/17/28     
     1 mo. SOFR + 4.50%   55,017 
 283,036   VFH Parent, LLC‡     
     8.433%, 01/13/29     
     1 mo. SOFR + 3.00%   282,895 
         3,018,389 
       Health Care (2.3%)    
 904,907   Avantor Funding, Inc.‡     
     7.683%, 11/08/27     
     1 mo. SOFR + 2.25%   905,359 
 1,492,140   DaVita, Inc.‡     
     7.197%, 08/12/26     
     1 mo. SOFR + 1.75%   1,490,529 
 1,243,077   Elanco Animal Health, Inc.‡     
     7.203%, 08/01/27     
     1 mo. SOFR + 1.75%   1,220,720 
 2,404,442   Icon Luxembourg Sarl‡     
     7.860%, 07/03/28     
     3 mo. SOFR + 2.25%   2,409,696 
 1,250,000   Organon & Company‡     
     8.450%, 06/02/28     
     1 mo. SOFR + 3.00%   1,250,200 
 235,294   Padagis, LLC‡     
     10.341%, 07/06/28     
     3 mo. SOFR + 4.75%   228,237 
 1,246,843   Perrigo Investments, LLC‡     
     7.683%, 04/20/29     
     1 mo. SOFR + 2.25%   1,246,326 
 599,068   PRA Health Sciences, Inc.‡     
     7.860%, 07/03/28     
     3 mo. SOFR + 2.25%   600,377 
 630,605   Team Health Holdings, Inc.‡     
     10.563%, 03/02/27     
     3 mo. SOFR + 5.25%   527,343 
 1,803   Team Health Holdings, Inc.‡     
     10.583%, 03/02/27     
     1 mo. SOFR + 5.25%   1,508 
         9,880,295 
       Industrials (2.9%)    
 107,250   ACProducts, Inc.‡     
     9.860%, 05/17/28     
     3 mo. SOFR + 4.25%   93,052 
 104,500   ACProducts, Inc.!     
     0.000%, 05/17/28   90,666 
 137,900   Air Canada‡     
     9.139%, 08/11/28     
     3 mo. SOFR + 3.50%   138,212 
 1,243,622   Beacon Roofing Supply, Inc.‡     
     7.947%, 05/19/28     
     1 mo. SOFR + 2.50%   1,247,148 
 1,449,351   Berry Global, Inc.‡     
     7.202%, 07/01/29     
     1 mo. SOFR + 1.75%   1,447,706 
 1,449,305   ChampionX Corp.‡     
     8.187%, 06/07/29     
     1 mo. SOFR + 2.75%   1,455,646 
 1,380,836   Emrld Borrower, LP‡     
     8.313%, 05/31/30     
     1 mo. SOFR + 3.00%   1,382,824 
 1,243,734   H.B. Fuller Company‡     
     7.587%, 02/15/30     
     1 mo. SOFR + 2.25%   1,245,675 
 1,243,622   JELD-WEN, Inc.‡     
     7.447%, 07/28/28     
     1 mo. SOFR + 2.00%   1,243,467 

 

See accompanying Notes to Schedule of Investments

 

11 

 

 

Calamos Global Dynamic Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL
AMOUNT
      VALUE  
 1,440,687   Light and Wonder International, Inc.‡   
     8.083%, 04/14/29     
     1 mo. SOFR + 3.00%  $1,440,687 
 1,243,734   TransDigm, Inc.‡     
     8.598%, 08/24/28     
     3 mo. SOFR + 3.25%   1,246,384 
 210,000   TransDigm, Inc.‡     
     8.598%, 02/14/31     
     3 mo. SOFR + 3.25%   210,505 
 1,215,484   United Airlines, Inc.‡     
     9.201%, 04/21/28     
     1 mo. SOFR + 3.75%   1,219,379 
         12,461,351 
       Information Technology (1.2%)    
 292,305   Banff Merger Sub, Inc.‡     
     9.583%, 12/29/28     
     1 mo. SOFR + 4.25%   293,035 
 161,894   Camelot Finance SA‡     
     8.337%, 10/30/26     
     1 mo. SOFR + 3.00%   161,975 
 204,625   Central Parent, Inc.‡     
     9.348%, 07/06/29     
     3 mo. SOFR + 4.00%   205,264 
 1,388,444   II-VI, Inc.‡     
     8.087%, 07/02/29     
     1 mo. SOFR + 2.75%   1,384,626 
 1,156,112   Open Text Corp.‡     
     8.183%, 01/31/30     
     1 mo. SOFR + 2.75%   1,157,852 
 737,344   SS&C Technologies, Inc.‡     
     7.683%, 03/22/29     
     1 mo. SOFR + 2.25%   738,200 
 379,402   SS&C Technologies, Inc.‡     
     7.683%, 03/22/29     
     1 mo. SOFR + 2.25%   379,842 
 796,000   TTM Technologies, Inc.‡     
     8.103%, 05/30/30     
     1 mo. SOFR + 2.75%   796,995 
         5,117,789 
       Materials (0.8%)    
 1,371,565   Axalta Coating Systems U.S. Holdings, Inc.‡     
     7.848%, 12/20/29     
     3 mo. SOFR + 2.50%   1,374,137 
 1,226,925   Chemours Company‡     
     8.833%, 08/18/28     
     1 mo. SOFR + 3.50%   1,225,698 
 213,925   Ineos US Finance, LLC‡     
     8.837%, 02/18/30     
     1 mo. SOFR + 3.50%   211,852 
 161,780   Innophos, Inc.‡     
     8.697%, 02/05/27     
     1 mo. SOFR + 3.25%   159,927 
 263,675   LSF11 A5 Holdco, LLC‡     
     9.683%, 10/15/28     
     1 mo. SOFR + 4.25%   264,006 
 159,007   Trinseo Materials Operating SCA‡     
     8.150%, 05/03/28     
     3 mo. SOFR + 2.50%   122,091 
           
 203,192   W.R. Grace & Co.-Conn.‡     
     9.360%, 09/22/28     
     3 mo. SOFR + 3.75%   203,683 
         3,561,394 
       Special Purpose Acquisition Companies (0.1%)    
 108,350   Clydesdale Acquisition Holdings, Inc.‡     
     9.108%, 04/13/29     
     1 mo. SOFR + 3.68%   107,791 
 54,038   Fertitta Entertainment, LLC‡     
     9.333%, 01/27/29     
     1 mo. SOFR + 4.00%   53,954 
 197,500   Patagonia Holdco, LLC‡     
     11.116%, 08/01/29     
     3 mo. SOFR + 5.75%   181,601 
         343,346 
     Total Bank Loans
(Cost $56,194,390)
   55,890,004 
           
NUMBER OF SHARES      VALUE 
         
Convertible Preferred Stocks (1.5%)  
       Energy (0.0%)    
 5   Gulfport Energy Corp.#     
     10.000%, 03/04/24     
     15.000% PIK rate   46,250 
           
       Financials (1.2%)    
 88,340   Apollo Global Management, Inc.~     
     6.750%, 07/31/26   5,160,823 
           
       Utilities (0.3%)    
 35,211   NextEra Energy, Inc.~     
     6.926%, 09/01/25   1,310,201 
     Total Convertible Preferred Stocks
(Cost $6,628,267)
   6,517,274 
           
Common Stocks (77.0%)      
       Communication Services (5.0%)    
 45,750   Alphabet, Inc. - Class Aµ#   6,409,575 
 4,575   Altice USA, Inc. - Class A^#   11,163 
 4,050   Baidu, Inc. (ADR)µ#   426,505 
 1,735   Cumulus Media, Inc. - Class Aµ#   7,981 
 1   Frontier Communications Parent, Inc.^#   25 
 1,770SEK  Hemnet Group, AB   47,786 
 4,600   Meta Platforms, Inc. - Class Aµ#   1,794,644 
 19,000HKD  NetEase, Inc.µ   369,324 
 8,780   NetEase, Inc. (ADR)µ   857,279 
 2,750   Netflix, Inc.µ#   1,551,302 
 96,000EUR  Orange, SAµ   1,141,625 
 525EUR  Scout24, SE*µ   38,656 
 66,700HKD  Tencent Holdings, Ltd.µ   2,315,244 
 89,070   Tencent Holdings, Ltd. (ADR)~^   3,103,199 
 22,080GBP  Trustpilot Group, PLC*#   50,284 
 1,176,545GBP  Vodafone Group, PLCµ   1,000,228 
 26,395   Walt Disney Company~   2,535,240 
 1,960GBP  YouGov, PLC   28,938 
         21,688,998 

 

See accompanying Notes to Schedule of Investments

 

12 

 

 

Calamos Global Dynamic Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

NUMBER OF
SHARES
      VALUE 
       Consumer Discretionary (11.4%)    
 124,700HKD  Alibaba Group Holding, Ltd.µ  $1,118,431 
 8,175   Alibaba Group Holding, Ltd. (ADR)~   589,990 
 20,840PLN  Allegro.eu, SA*#   157,323 
 165,500MXN  Alsea, SAB de CV#   649,346 
 89,300   Amazon.com, Inc.^µ#   13,859,360 
 26,630INR  Amber Enterprises India, Ltd.#   1,391,947 
 315,000SAR  Americana Restaurants International, PLC   267,953 
 51,097   Aptiv, PLCµ#   4,155,719 
 3,900BRL  Arezzo Industria e Comercio, SA   49,270 
 12,500CNY  BYD Company, Ltd. - Class A   298,077 
 20,700CNY  China Tourism Group Duty Free Corp., Ltd. - Class A   230,466 
 870   Chipotle Mexican Grill, Inc.µ#   2,095,630 
 65,380BRL  Cyrela Brazil Realty, SA Empreendimentos e Participacoes   295,070 
 15,655INR  Dixon Technologies India, Ltd.   1,127,940 
 3,050KRW  Hotel Shilla Company, Ltd.   132,852 
 112,532INR  Indian Hotels Company, Ltd.   666,075 
 161,219HKD  JD.com, Inc. - Class Aµ   1,817,927 
 173,000HKD  Jiumaojiu International Holdings, Ltd.*µ   101,899 
 334,330INR  Kalyan Jewellers India, Ltd.   1,418,991 
 123,000HKD  Li Ning Company, Ltd.µ   262,768 
 4,145EUR  LVMH Moet Hennessy Louis Vuitton, SEµ   3,448,883 
 32,200INR  Mahindra & Mahindra, Ltd.   642,334 
 82,410   MakeMyTrip, Ltd.µ#   4,564,690 
 3,987,300IDR  Map Aktif Adiperkasa PT   245,100 
 11,470HKD  Meituan - Class B*µ#   92,256 
 2,855   MercadoLibre, Inc.µ#   4,887,218 
 2,733,200IDR  Mitra Adiperkasa Tbk PT   338,530 
 44,620   NIO, Inc. (ADR)#   250,764 
 43,600HKD  Prada S.p.A.µ   270,376 
 17,872EUR  Prosus, NV~   528,599 
 236,800HKD  Sands China, Ltd.µ#   621,545 
 90,650INR  Tata Motors, Ltd.   965,428 
 2,100   Tesla, Inc.µ#   393,309 
 1,130INR  TVS Motor Company, Ltd.   27,161 
 10,100HKD  Yum China Holdings, Inc.µ   347,500 
 593,500INR  Zomato, Ltd.#   994,660 
         49,305,387 
       Consumer Staples (4.2%)    
 14,725CHF  Aryzta, AG#   26,430 
 77,500GBP  British American Tobacco, PLCµ   2,284,979 
 35,550   Coca-Cola Company^µ   2,114,869 
 12,300   Constellation Brands, Inc. - Class Aµ   3,014,484 
 5,100   Costco Wholesale Corp.µ   3,543,888 
 82,800MXN  Fomento Economico Mexicano, SAB de CV   1,121,238 
 2,600CNY  Kweichow Moutai Company, Ltd. - Class A   581,954 
 2,062   Mallinckrodt, PLC#   78,871 
 20,500CHF  Nestle, SAµ   2,335,986 
 95,528BRL  Raia Drogasil, SA   487,821 
 67,100JPY  Seven & i Holdings Company, Ltd.µ   2,650,102 
 106,000HKD  Smoore International Holdings, Ltd.*   64,099 
 600JPY  Toyo Suisan Kaisha, Ltd.~   31,243 
 1,800JPY  Yamazaki Baking Company, Ltd.~  42,682 
         18,378,646 
       Energy (4.5%)    
 74,600CAD  Canadian Natural Resources, Ltd.µ   4,774,134 
 305   Chesapeake Energy Corp.µ   23,519 
 17,600   Chevron Corp.~µ   2,594,768 
 14,985   Energy Transfer, LP   214,285 
 9,035   Enterprise Products Partners, LP   241,777 
 1,826   EP Energy Corp.&#   5,478 
 7   Gulfport Energy Corp.#    
 42,400   Helmerich & Payne, Inc.~µ   1,707,024 
 1,954   ONEOK, Inc.µ   133,360 
 136,900THB  PTT Exploration & Production, PCL   576,774 
 38,530INR  Reliance Industries, Ltd.   1,322,248 
 98,974   Schlumberger, NVµ   4,820,034 
 82,300GBP  Shell, PLC   2,551,490 
 20,860   TechnipFMC, PLCµ   403,432 
         19,368,323 
       Financials (9.2%)    
 373,000HKD  AIA Group, Ltd.µ   2,925,221 
 10,000   Aon, PLC - Class Aµ   2,984,300 
 188,400BRL  B3, SA - Brasil Bolsa Balcao   497,771 
 73,150BRL  Banco BTG Pactual, SA   531,823 
 8,288,700IDR  Bank Mandiri Persero, Tbk PT   3,489,670 
 189,000   Bank of America Corp.~µ   6,427,890 
 16,200JPY  Concordia Financial Group, Ltd.µ   77,200 
 111,948AED  First Abu Dhabi Bank, PJSC   446,302 
 1,400   First Citizens BancShares Inc/NC- Class Aµ   2,114,000 
 19,025KRW  Hana Financial Group, Inc.   680,285 
 224,876INR  HDFC Bank, Ltd.   3,954,908 
 1,600AUD  HUB24, Ltd.µ   38,666 
 12,575   JPMorgan Chase & Companyµ   2,192,577 
 156,300THB  Kasikornbank PCL   524,267 
 4,120,000GBP  Lloyds Banking Group, PLCµ   2,208,548 
 15,200KRW  Meritz Financial Group, Inc.#   766,254 
 44,285   Morgan Stanleyµ   3,863,423 
 260,000HKD  Ping An Insurance Group Company of China, Ltd. - Class Hµ   1,092,921 
 24,653SAR  Saudi National Bank   266,241 
 9,445AUD  Steadfast Group, Ltd.µ   36,546 
 8,600   Visa, Inc. - Class Aµ   2,350,036 
 41,825   Wells Fargo & Companyµ   2,098,779 
         39,567,628 
       Health Care (8.3%)    
 3,280INR  Alkem Laboratories, Ltd.   197,320 
 8,400INR  Apollo Hospitals Enterprise, Ltd.   639,199 
 23,100GBP  AstraZeneca, PLCµ   3,062,525 
 14,977   Danaher Corp.µ   3,593,132 
 4,738KRW  Dentium Company, Ltd.#   400,762 
 15,250   Eli Lilly & Companyµ   9,845,552 
 22,600CNY  Gan & Lee Pharmaceuticals Company, Ltd. - Class A#   115,307 
 10,104   GE Healthcare, Inc.~µ   741,229 
 23,865EUR  Gerresheimer, AGµ   2,433,012 
 4,860   Humana, Inc.µ   1,837,372 
 8,520BRL  Hypera, SA   54,566 
 1,300JPY  Jeol, Ltd.~   59,428 
 105,800   Novo Nordisk, A/S (ADR)   12,139,492 
 184,000HKD  Wuxi Biologics Cayman, Inc.*µ#   484,202 

 

See accompanying Notes to Schedule of Investments

 

13 

 

 

Calamos Global Dynamic Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

NUMBER OF
SHARES
      VALUE 
 140CHF  Ypsomed Holding, AG  $49,418 
         35,652,516 
       Industrials (7.6%)    
 37,029EUR  Alstom, SA   466,951 
 10,340GBP  Ashtead Technology Holdings, PLC   86,101 
 28,000CAD  Canadian Pacific Kansas City, Ltd.   2,253,204 
 12,780CNY  Contemporary Amperex Technology Company, Ltd. - Class A   270,083 
 1,115EUR  DO & CO, AGµ   155,443 
 850JPY  Ebara Corp.~   53,233 
 30,312   General Electric Companyµ   4,013,915 
 310KRW  HD Hyundai Electric Company, Ltd.   23,741 
 45,110INR  Hindustan Aeronautics, Ltd.   1,637,635 
 41,500JPY  Hitachi, Ltd.~   3,259,839 
 185,600JPY  INFRONEER Holdings, Inc.   1,940,164 
 2,400JPY  Japan Elevator Service Holdings Company, Ltd.µ   36,268 
 12,490INR  KEI Industries, Ltd.   479,321 
 1,400JPY  Keisei Electric Railway Company, Ltd.~   63,350 
 51,500JPY  Komatsu, Ltd.~   1,465,172 
 1,800JPY  Kyudenko Corp.~   68,468 
 12,750INR  Larsen & Toubro, Ltd.   533,820 
 3,980EUR  Leonardo S.p.Aµ   69,467 
 347,065GBP  Melrose Industries, PLC   2,586,844 
 10,080SEK  Munters Group, AB*   160,889 
 35,300CNY  Ningbo Orient Wires & Cables Company, Ltd. - Class A   173,743 
 1,137,000GBP  Rolls-Royce Holdings, PLCµ#   4,316,564 
 167,200CNY  Sany Heavy Industry Company, Ltd. - Class A   304,966 
 54,502CNY  Shanghai International Airport Company, Ltd. - Class A#   251,635 
 1,200JPY  Sojitz Corp.~   28,322 
 1,359CAD  Stantec, Inc.µ   109,199 
 56,626INR  Titagarh Rail System, Ltd.   749,937 
 4,992   Veralto Corp.µ   382,837 
 62,000   Vertiv Holdings Company - Class Aµ   3,492,460 
 16,500   Waste Management, Inc.µ   3,062,895 
 134,400CNY  Weichai Power Company, Ltd. - Class A   276,196 
         32,772,662 
       Information Technology (22.5%)    
 13,000TWD  Alchip Technologies, Ltd.   1,612,519 
 42,900   Apple, Inc.~µ   7,910,760 
 13,720   ASML Holding, NV (ADR)µ   11,933,930 
 589EUR  BE Semiconductor Industries, NV~   88,514 
 41,000TWD  E Ink Holdings, Inc.   271,900 
 372   Fabrinetµ#   79,426 
 47,200CNY  Foxconn Industrial Internet Company, Ltd. - Class A   87,359 
 1,370KRW  HPSP Company, Ltd.   45,922 
 14,500CNY  Iflytek Company, Ltd. - Class A   77,148 
 28,901   Infosys, Ltd. (ADR)   573,974 
 14,900JPY  Keyence Corp.~   6,666,228 
 270,000HKD  Kingdee International Software Group Company, Ltd.µ#   260,999 
 80,495INR  KPIT Technologies, Ltd.   1,501,606 
 25,000TWD  MediaTek, Inc.   771,440 
 33,400   Microsoft Corp.µ   13,279,172 
 675EUR  Nemetschek, SEµ   62,285 
 540,000EUR  Nokia Oyj   1,952,220 
 26,800   NVIDIA Corp.µ   16,489,236 
 35,500   Oracle Corp.µ   3,965,350 
 4,050GBP  Sage Group, PLCµ   60,296 
 29,340KRW  Samsung Electronics Company, Ltd.   1,594,243 
 800JPY  SCREEN Holdings Company, Ltd.µ   78,447 
 1,790   ServiceNow, Inc.µ#   1,370,066 
 100JPY  SHIFT, Inc.µ#   18,027 
 19,050CAD  Shopify, Inc. - Class Aµ#   1,525,049 
 13,000TWD  Silergy Corp.   159,988 
 16,600KRW  SK Hynix, Inc.   1,662,335 
 40,500HKD  Sunny Optical Technology Group Company, Ltd.µ   248,929 
 853,000TWD  Taiwan Semiconductor Manufacturing Company, Ltd.   17,075,774 
 22,825   Taiwan Semiconductor Manufacturing Company, Ltd. (ADR)~   2,578,312 
 48,250BRL  TOTVS, SA   306,968 
 900JPY  Towa Corp.~   46,431 
 60,065   Unity Software, Inc.^µ#   1,946,106 
 93,700CNY  Venustech Group, Inc. - Class A   241,474 
 303,800HKD  Xiaomi Corp. - Class B*µ#   478,645 
 7,700CNY  Zhongji Innolight Company, Ltd. - Class A   109,819 
         97,130,897 
       Materials (2.1%)    
 219,750AED  Fertiglobe, PLC   166,924 
 75,095   Freeport-McMoRan, Inc.^µ   2,980,521 
 3,550   Linde, PLCµ   1,437,146 
 521,200NOK  Norsk Hydro, ASA~   3,054,494 
 16,900ZAR  Sasol, Ltd.   146,788 
 1,945EUR  SOL S.p.A^   55,978 
 1,200JPY  Sumitomo Bakelite Company, Ltd.~   59,637 
 21,200   Vale, SA (ADR)   290,228 
 486,000HKD  Zijin Mining Group Company, Ltd.- Class Hµ   721,158 
         8,912,874 
       Real Estate (1.4%)    
 935,500PHP  Ayala Land, Inc.   565,328 
 492,165MXN  Corp. Inmobiliaria Vesta SAB de CV   1,870,121 
 104,680INR  DLF, Ltd.   1,003,474 
 181,970INR  Macrotech Developers, Ltd.   2,354,654 
 8,900JPY  Mirarth Holdings, Inc.~   29,823 
 14,680INR  Prestige Estates Projects, Ltd.   222,280 
 410EUR  VGP, NV   48,089 
         6,093,769 
       Special Purpose Acquisition Company (0.0%)#    
 2,835   Intelsat Emergence, SA&#   77,254 
            
       Utilities (0.8%)    
 45,801EUR  Engie,SA#   733,053 
 28,462   NextEra Energy, Inc.µ   1,668,727 

 

See accompanying Notes to Schedule of Investments

 

14 

 

 

Calamos Global Dynamic Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

NUMBER OF SHARES      VALUE 
 29,000EUR  RWE, AGµ  $1,070,843 
         3,472,623 
     TOTAL COMMON STOCKS
(Cost $421,883,622)
   332,421,577 
           
Preferred Stocks (0.5%)       
       Communication Services (0.0%)    
     United States Cellular Corp.µ     
 2,600   5.500%, 06/01/70   47,710 
 2,500   5.500%, 03/01/70   46,275 
         93,985 
       Consumer Discretionary (0.0%)    
 1,597   Guitar Center, Inc.&#   130,954 
           
       Energy (0.1%)    
 6,520   NuStar Energy, LP‡    
     11.282%, 03/01/24     
     3 mo. SOFR + 5.91%   167,564 
 1,600   NuStar Energy, LP‡     
     12.405%, 03/01/24     
     3 mo. SOFR + 7.03%   41,312 
 8,335   NuStar Logistics, LP‡     
     12.310%, 01/15/43     
     3 mo. SOFR + 7.00%   215,543 
          424,419 
       Financials (0.2%)    
 133,716   Itau Unibanco Holding, SA (ADR)   882,525 
            
       Industrials (0.2%)    
 304,200BRL  Randon, SA Implementos e Participacoes   718,380 
     Total Preferred Stocks
(Cost $2,234,992)
   2,250,263 
           
Warrants (0.0%) #      
       Energy (0.0%)    
 13,401   Mcdermott International, Ltd.&    
     06/30/27, Strike $15.98   1 
 12,061   Mcdermott International, Ltd.&    
     06/30/27, Strike $12.33   1 
     TOTAL WARRANTS
(Cost $5,152)
   2 
           
PRINCIPAL
AMOUNT
      VALUE 
         
U.S. Government and Agency Securities (0.1%)       
       Other (0.1%)    
     U.S. Treasury Note     
 310,000   2.250%, 03/31/24^   308,462 
 265,000   4.375%, 10/31/24   263,960 
     TOTAL U.S. GOVERNMENT AND AGENCY SECURITIES
(Cost $573,096)
   572,422 
          
NUMBER OF
CONTRACTS/
NOTIONAL
AMOUNT
      VALUE 
         
Purchased Options (0.9%) #    
       Consumer Discretionary (0.2%)    
 67   Alibaba Group Holding, Ltd.     
 483,539   Call, 06/21/24, Strike $85.00   21,105 
 1,600   Makemytrip, Ltd.     
 8,862,400   Call, 08/16/24, Strike $60.00   875,243 
         896,348 
       Health Care (0.1%)    
 450   Boston Scientific Corp.     
 2,846,700   Call, 06/21/24, Strike $62.50   191,250 
            
       Industrials (0.2%)    
 520   Uber Technologies, Inc.     
 3,394,040   Call, 01/17/25, Strike $57.50   820,300 
           
       Materials (0.0%)    
 2,050   Cemex Sab De CV     
 1,697,400   Call, 07/19/24, Strike $8.00   143,500 
           
       Other (0.4%)    
 557   Global X MSCI Argentina ETF     
 2,918,123   Call, 07/19/24, Strike $54.00   175,455 
     Invesco QQQ Trust Series 1     
 2,016        
 84,061,152   Put, 02/16/24, Strike $399.78   250,992 
 815        
 33,983,055   Put, 12/20/24, Strike $344.78   655,260 
 3,427   iShares MSCI India ETF     
 17,097,303   Put, 02/16/24, Strike $47.00   17,135 
     iShares MSCI India Small-Cap ETF     
 50        
 367,100   Put, 02/16/24, Strike $61.76   3,125 
 39        
 286,338   Put, 02/16/24, Strike $65.76   1,658 
 1,500   Petroleo Brasileiro, SA     
 2,560,500   Call, 04/19/24, Strike $17.00   171,750 
 690   SPDR S&P 500 ETF Trust     
 33,318,720   Put, 12/20/24, Strike $410.00   514,740 
 140EUR  Totalenergies, SE     
 930,770   Call, 06/21/24, Strike 60.00   50,541 
         1,840,656 
     Total Purchased Options
(Cost $6,086,391)
   3,892,054 
           
TOTAL INVESTMENTS (142.3%)
(Cost $717,613,667)
  $614,383,617 
      
MANDATORY REDEEMABLE PREFERRED SHARES, AT LIQUIDATION VALUE (-16.2%)   (70,000,000)
      
LIABILITIES, LESS OTHER ASSETS (-26.1%)   (112,662,526)
      
NET ASSETS (100.0%)  $431,721,091 

 

See accompanying Notes to Schedule of Investments

 

15 

 

 

Calamos Global Dynamic Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

NUMBER OF        
CONTRACTS/        
NOTIONAL        
AMOUNT      VALUE 
         
Written Options (-0.1%) #      
       Consumer Discretionary (-0.1%)    
 (509)  Amazon.com, Inc.     
 (7,899,680)  Call, 04/19/24, Strike $170.00  $(206,145)
            
       Financials (0.0%)    
 (100)  Aon, PLC     
 (2,984,300)  Call, 04/19/24, Strike $340.00   (14,500)
            
       Information Technology (0.0%)    
 (355)  Oracle Corp.     
 (3,965,350)  Call, 04/19/24, Strike $120.00   (93,898)
 (600)  Unity Software, Inc.     
 (1,944,000)  Call, 05/17/24, Strike $42.00   (108,300)
         (202,198)
       Other (0.0%)    
 (557)  Global X MSCI Argentina ETF     
 (2,918,123)  Call, 07/19/24, Strike $60.00   (82,157)
     Total Written Options
(Premium $459,893)
  $(505,000)

 

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 Funds. 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.
~   Security, or portion of security, is segregated as collateral (or collateral for potential future transactions) for written options. The aggregate value of such securities is $23,749,293.
@   In default status and considered non-income producing.
^   Security, or portion of security, is on loan.
&   Illiquid security.
  Variable rate security. The rate shown is the rate in effect at January 31, 2024.
µ   Security, or portion of security, is held in a segregated account as collateral for note payable aggregating a total value of $245,757,280.
§   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.
#   Non-income producing security.
 
ABBREVIATION
ADR   American Depositary Receipt.
 
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.
                     

The following table summarizes the Fund's investments and derivative financial instruments categorized in the fair value hierarchy as of January 31, 2024 (see Note 2):

 

   LEVEL 1   LEVEL 2   LEVEL 3   TOTAL 
Assets:
Asset Backed Securities  $   $156,428   $   $156,428 
Corporate Bonds       70,116,447        70,116,447 
Convertible Bonds       142,567,146        142,567,146 
Bank Loans       55,890,004        55,890,004 
Convertible Preferred Stocks   6,471,024    46,250        6,517,274 
Common Stocks   210,154,352    122,267,225        332,421,577 
Preferred Stocks   2,119,309    130,954        2,250,263 
Warrants       2        2 
U.S. Government and Agency Securities       572,422        572,422 
Purchased Options   3,892,054            3,892,054 
Total  $222,636,739   $391,746,878   $   $614,383,617 
Liabilities:                    
Written Options  $505,000   $   $   $505,000 
Total  $505,000   $   $   $505,000 

 

See accompanying Notes to Schedule of Investments

 

16 

 

 

Calamos Global Dynamic Income Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

CURRENCY EXPOSURE JANUARY 31, 2024
 
   Value   % of Total
Investments
 
US Dollar  $417,457,938    68.0%
European Monetary Unit   47,385,310    7.7%
Japanese Yen   22,719,203    3.7%
Indian Rupee   21,830,938    3.5%
Hong Kong Dollar   21,550,769    3.5%
British Pound Sterling   20,697,371    3.4%
New Taiwan Dollar   19,891,621    3.2%
Canadian Dollar   12,344,495    2.0%
South Korean Won   5,306,394    0.9%
Indonesian Rupiah   4,073,300    0.7%
Mexican Peso   3,640,705    0.6%
Norwegian Krone   3,054,494    0.5%
Chinese Yuan Renminbi   3,018,227    0.5%
Brazilian Real   2,941,669    0.5%
Swiss Franc   2,411,834    0.4%
Australian Dollar   2,227,774    0.4%
Thai Baht   1,101,041    0.2%
UAE Dirham   613,226    0.1%
Philippine Peso   565,328    0.1%
Saudi Riyal   534,194    0.1%
Swedish Krona   208,675    %
Polish Zloty   157,323    %
South African Rand   146,788    %
Total Investments Net of Written Options  $613,878,617    100.0%

 

Currency exposure may vary over time.                

 

See accompanying Notes to Schedule of Investments

 

17 

 

 

Calamos Global Total Return Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL       
AMOUNT     VALUE 
        
Corporate Bonds (14.7%)      
    Airlines (0.2%)
42,066  Alaska Airlines Pass Through Trust Series 2020-1, Class A*     
   4.800%, 02/15/29  $40,834 
21,757  Alaska Airlines Pass Through Trust Series 2020-1, Class B*     
   8.000%, 02/15/27   21,981 
47,575  American Airlines Pass Through Trust Series 2021-1, Class B     
   3.950%, 01/11/32   42,445 
24,750  American Airlines, Inc. / AAdvantage Loyalty IP, Ltd.*     
   5.500%, 04/20/26   24,526 
42,442  British Airways Pass Through Trust Series 2021-1, Class B*     
   3.900%, 03/15/33   38,508 
37,784  JetBlue Pass Through Trust Series 2020-1, Class B     
   7.750%, 05/15/30   38,110 
       206,404 
    Communication Services (1.4%)     
55,000  APi Group DE, Inc.*     
   4.750%, 10/15/29   51,503 
   Audacy Capital Corp.*@     
57,000  6.750%, 03/31/29   2,301 
27,000  6.500%, 05/01/27   1,152 
36,000  Cincinnati Bell Telephone Company, LLC     
   6.300%, 12/01/28   31,930 
40,000  Clear Channel Outdoor Holdings, Inc.*     
   9.000%, 09/15/28   41,800 
65,000  Consolidated Communications, Inc.*^     
   6.500%, 10/01/28   56,635 
200,000  CSC Holdings, LLC*     
   5.500%, 04/15/27   179,822 
   Diamond Sports Group, LLC / Diamond Sports Finance Company*@     
45,000  6.625%, 08/15/27&   3,079 
27,000  5.375%, 08/15/26   1,906 
78,000  Directv Financing, LLC / Directv Financing Co-Obligor, Inc.*     
   5.875%, 08/15/27   74,168 
45,000  Frontier California, Inc.     
   6.750%, 05/15/27   43,523 
   Frontier Communications Holdings, LLC*     
28,000  5.000%, 05/01/28   25,871 
11,000  8.750%, 05/15/30   11,272 
65,000  Frontier Florida, LLC@     
   6.860%, 02/01/28   62,635 
65,000  Frontier North, Inc.@     
   6.730%, 02/15/28   62,354 
   Go Daddy Operating Company, LLC / GD Finance Company, Inc.*     
40,000  3.500%, 03/01/29   36,229 
13,000  5.250%, 12/01/27   12,772 
   iHeartCommunications, Inc.     
25,000  8.375%, 05/01/27   15,640 
15,000  5.250%, 08/15/27*   11,663 
37,759  Ligado Networks, LLC*     
   15.500%, 11/01/23     
   PIK rate   6,502 
   Lumen Technologies, Inc.     
35,000  7.600%, 09/15/39   9,315 
20,000  4.000%, 02/15/27*   10,588 
10,000  7.650%, 03/15/42   2,757 
22,000  Match Group Holdings II, LLC*     
   3.625%, 10/01/31   18,845 
35,000  Nexstar Media, Inc.*     
   5.625%, 07/15/27   34,074 
45,000  Paramount Global     
   4.900%, 08/15/44   35,600 
14,000  Qwest Corp.     
   7.250%, 09/15/25   13,724 
   Scripps Escrow II, Inc.*     
23,000  3.875%, 01/15/29   20,007 
11,000  5.375%, 01/15/31   8,457 
40,000  Scripps Escrow, Inc.*^     
   5.875%, 07/15/27   36,100 
   Sirius XM Radio, Inc.*     
65,000  5.500%, 07/01/29   61,867 
43,000  4.000%, 07/15/28   39,069 
20,000  3.125%, 09/01/26   18,705 
11,000  3.875%, 09/01/31   9,185 
41,000  Spanish Broadcasting System, Inc.*     
   9.750%, 03/01/26   21,803 
110,000  Sprint, LLC     
   7.125%, 06/15/24   110,541 
45,000  Stagwell Global, LLC*     
   5.625%, 08/15/29   41,311 
42,000  Telesat Canada / Telesat, LLC*     
   4.875%, 06/01/27   24,905 
15,000  Time Warner Cable, LLC     
   7.300%, 07/01/38   15,743 
54,000  United States Cellular Corp.     
   6.700%, 12/15/33   55,678 
45,000  Univision Communications, Inc.*     
   8.000%, 08/15/28   45,799 
20,000  Viasat, Inc.*^     
   5.625%, 04/15/27   18,776 
       1,385,606 
   Consumer Discretionary (2.8%)     
53,000  Abercrombie & Fitch Management Company*     
   8.750%, 07/15/25   53,969 
40,000  Adams Homes, Inc.*     
   9.250%, 10/15/28   40,997 
55,000  Adient Global Holdings Company*^     
   8.250%, 04/15/31   58,142 
36,000  American Axle & Manufacturing, Inc.     
   6.875%, 07/01/28   35,223 
   Ashton Woods USA, LLC / Ashton Woods Finance Company*     
39,000  6.625%, 01/15/28   38,690 
38,000  4.625%, 08/01/29   34,626 
53,000  At Home Group, Inc.*     
   4.875%, 07/15/28   23,434 
   Bath & Body Works, Inc.     
57,000  6.694%, 01/15/27   57,950 

 

See accompanying Notes to Schedule of Investments

 

1

 

  

Calamos Global Total Return Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL       
AMOUNT     VALUE 
35,000  6.875%, 11/01/35  $35,020 
   Caesars Entertainment, Inc.*     
28,000  4.625%, 10/15/29   25,593 
21,000  8.125%, 07/01/27   21,569 
   Carnival Corp.*     
22,000  4.000%, 08/01/28   20,406 
21,000  7.625%, 03/01/26   21,341 
3,000  7.000%, 08/15/29^   3,124 
   Carvana Company*     
8,000  14.000%, 06/01/31   7,141 
6,000  13.000%, 06/01/30   5,350 
4,000  12.000%, 12/01/28   3,552 
   CCO Holdings, LLC / CCO Holdings Capital Corp.*     
95,000  5.125%, 05/01/27   91,695 
90,000  4.500%, 08/15/30   78,228 
50,000  6.375%, 09/01/29   48,706 
50,000  4.750%, 03/01/30   44,457 
46,000  4.250%, 02/01/31   38,829 
22,000  4.750%, 02/01/32   18,892 
20,000  5.000%, 02/01/28   18,894 
22,000  CDI Escrow Issuer, Inc.*     
   5.750%, 04/01/30   21,310 
39,000  Cedar Fair, LP^     
   5.250%, 07/15/29   37,330 
23,000  Churchill Downs, Inc.*     
   6.750%, 05/01/31   23,330 
   Dana, Inc.     
40,000  4.250%, 09/01/30   35,014 
32,000  4.500%, 02/15/32   27,558 
   DISH DBS Corp.     
45,000  5.125%, 06/01/29   16,781 
30,000  7.375%, 07/01/28   13,277 
30,000  5.250%, 12/01/26*   23,691 
26,000  7.750%, 07/01/26   15,386 
25,000  5.750%, 12/01/28*   16,864 
46,000  DISH Network Corp.*     
   11.750%, 11/15/27   48,044 
47,000  Everi Holdings, Inc.*     
   5.000%, 07/15/29   43,247 
175,000  Ford Motor Company^     
   6.100%, 08/19/32   175,114 
200,000  Ford Motor Credit Company, LLC     
   2.900%, 02/16/28   180,092 
16,000  Gap, Inc.*     
   3.875%, 10/01/31   13,223 
20,000  General Motors Company     
   5.200%, 04/01/45   18,148 
   goeasy, Ltd.*     
75,000  9.250%, 12/01/28   79,934 
40,000  4.375%, 05/01/26   38,276 
20,000  Goodyear Tire & Rubber Company     
   5.250%, 07/15/31   18,222 
19,000  Group 1 Automotive, Inc.*     
   4.000%, 08/15/28   17,546 
45,000  Guitar Center, Inc.*^&     
   8.500%, 01/15/26   39,984 
11,597  JetBlue Pass Through Trust Series 2019-2, Class B     
   8.000%, 11/15/27   11,692 
35,000  Kohl's Corp.     
   5.550%, 07/17/45   23,885 
45,000  LCM Investments Holdings II, LLC*     
   8.250%, 08/01/31   46,208 
45,000  Liberty Interactive, LLC     
   8.250%, 02/01/30   24,042 
43,000  Life Time, Inc.*^     
   8.000%, 04/15/26   43,498 
20,000  Light & Wonder International, Inc.*     
   7.500%, 09/01/31   20,842 
15,000  Lindblad Expeditions Holdings, Inc.*     
   9.000%, 05/15/28   15,601 
28,000  Lindblad Expeditions, LLC*     
   6.750%, 02/15/27   28,021 
30,000  M/I Homes, Inc.     
   3.950%, 02/15/30   26,906 
   Macy's Retail Holdings, LLC     
53,000  6.700%, 07/15/34*   44,602 
45,000  4.300%, 02/15/43   34,168 
55,000  Midwest Gaming Borrower, LLC / Midwest Gaming Finance Corp.*     
   4.875%, 05/01/29   51,063 
25,000  Newell Brands, Inc.     
   5.200%, 04/01/26   24,346 
   Nordstrom, Inc.     
23,000  4.250%, 08/01/31   19,204 
20,000  5.000%, 01/15/44   14,452 
67,000  Patrick Industries, Inc.*     
   4.750%, 05/01/29   61,795 
50,000  PENN Entertainment, Inc.*^     
   4.125%, 07/01/29   43,008 
60,000  Premier Entertainment Sub, LLC / Premier Entertainment Finance Corp.*^     
   5.625%, 09/01/29   45,226 
20,000  QVC, Inc.     
   5.450%, 08/15/34   13,291 
20,000  Raising Cane's Restaurants, LLC*     
   9.375%, 05/01/29   21,449 
91,000  Rite Aid Corp.*@     
   8.000%, 11/15/26   69,132 
23,000  Royal Caribbean Cruises, Ltd.*     
   7.250%, 01/15/30   23,984 
63,000  Simmons Foods, Inc. / Simmons Prepared Foods, Inc. / Simmons Pet Food, Inc. / Simmons Feed*     
   4.625%, 03/01/29   54,315 
65,000  Six Flags Entertainment Corp.*     
   7.250%, 05/15/31   66,377 
50,000  Sonic Automotive, Inc.*     
   4.625%, 11/15/29   45,290 
36,000  Speedway Motorsports, LLC / Speedway Funding II, Inc.*     
   4.875%, 11/01/27   34,175 
90,000  Station Casinos, LLC*     
   4.500%, 02/15/28   84,927 
   STL Holding Company, LLC*     
35,000  7.500%, 02/15/26   35,650 
11,000  8.750%, 02/15/29   11,202 
31,000  Taylor Morrison Communities, Inc.*     
   5.750%, 01/15/28   30,897 
10,000  Viking Cruises, Ltd.*     
   9.125%, 07/15/31   10,715 
50,000  Vista Outdoor, Inc.*     
   4.500%, 03/15/29   49,166 
       2,857,328 

 

See accompanying Notes to Schedule of Investments

 

2

 

 

Calamos Global Total Return Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL       
AMOUNT     VALUE 
   Consumer Staples (0.7%)     
52,000  1375209 B.C., Ltd.*^     
   9.000%, 01/30/28  $50,512 
67,000  Arrow Bidco, LLC*     
   10.750%, 06/15/25   69,413 
40,000  B&G Foods, Inc.*     
   8.000%, 09/15/28   41,764 
51,000  Central Garden & Pet Company*     
   4.125%, 04/30/31   45,165 
53,000  Edgewell Personal Care Company*     
   4.125%, 04/01/29   48,522 
   Energizer Holdings, Inc.*     
59,000  4.375%, 03/31/29   53,427 
10,000  6.500%, 12/31/27   9,968 
   JBS USA LUX, SA / JBS USA Food Company / JBS USA Finance, Inc.     
65,000  5.500%, 01/15/30   63,634 
25,000  5.125%, 02/01/28   24,806 
15,000  5.750%, 04/01/33   14,874 
33,000  New Albertsons, LP     
   7.750%, 06/15/26   33,872 
43,000  Performance Food Group, Inc.*     
   4.250%, 08/01/29   39,435 
35,000  Pilgrim's Pride Corp.     
   4.250%, 04/15/31   31,577 
21,000  Post Holdings, Inc.*     
   5.750%, 03/01/27   20,936 
42,000  Prestige Brands, Inc.*     
   3.750%, 04/01/31   36,614 
35,000  United Natural Foods, Inc.*     
   6.750%, 10/15/28   29,453 
70,000  Vector Group, Ltd.*     
   5.750%, 02/01/29   64,651 
       678,623 
   Energy (1.8%)      
24,000  Antero Resources Corp.*     
   5.375%, 03/01/30   22,923 
45,000  Apache Corp.     
   5.100%, 09/01/40   38,700 
25,000  Buckeye Partners, LP     
   5.850%, 11/15/43   20,650 
60,000  Callon Petroleum Company*     
   7.500%, 06/15/30   63,250 
23,000  Cheniere Energy, Inc.^     
   4.625%, 10/15/28   22,287 
32,000  Chesapeake Energy Corp.*     
   6.750%, 04/15/29   32,391 
58,000  Civitas Resources, Inc.*     
   8.750%, 07/01/31   61,903 
   Continental Resources, Inc.*     
35,000  2.875%, 04/01/32   28,589 
25,000  5.750%, 01/15/31   24,892 
32,000  DT Midstream, Inc.*     
   4.125%, 06/15/29   29,427 
   Earthstone Energy Holdings, LLC*     
39,000  8.000%, 04/15/27   40,418 
15,000  9.875%, 07/15/31   16,669 
25,000  Enbridge, Inc.‡     
   7.375%, 01/15/83    
   5 year CMT + 3.71%   25,044 
   Energy Transfer, LP‡     
65,000  8.586%, 11/01/66    
   3 mo. USD Term SOFR + 3.28%   58,065 
32,000  6.500%, 02/01/36     
   5 year CMT + 5.69%   30,950 
   EnLink Midstream Partners, LP     
60,000  9.756%, 02/01/36‡     
   3 mo. USD LIBOR + 4.11%   56,717 
50,000  4.850%, 07/15/26   49,133 
31,000  Enlink Midstream, LLC*     
   6.500%, 09/01/30   31,764 
70,000  EQM Midstream Partners, LP*     
   7.500%, 06/01/27   72,040 
   Genesis Energy, LP / Genesis Energy Finance Corp.     
31,000  8.875%, 04/15/30   32,454 
18,000  6.250%, 05/15/26   17,930 
   Gulfport Energy Corp.     
40,000  8.000%, 05/17/26*   40,392 
13,792  8.000%, 05/17/26   13,927 
60,000  Hilcorp Energy I, LP / Hilcorp Finance Company*     
   6.000%, 04/15/30   58,300 
32,000  Howard Midstream Energy Partners, LLC*     
   6.750%, 01/15/27   32,099 
19,000  Kodiak Gas Services, LLC*     
   7.250%, 02/15/29   19,224 
44,000  Magnolia Oil & Gas Operating, LLC / Magnolia Oil & Gas Finance Corp.*     
   6.000%, 08/01/26   43,517 
   Moss Creek Resources Holdings, Inc.*     
25,000  10.500%, 05/15/27   25,749 
25,000  7.500%, 01/15/26   24,921 
   Nabors Industries, Inc.*     
35,000  7.375%, 05/15/27   34,629 
15,000  9.125%, 01/31/30   15,306 
35,000  Nabors Industries, Ltd.*     
   7.500%, 01/15/28   32,068 
40,000  New Fortress Energy, Inc.*     
   6.750%, 09/15/25   39,533 
30,000  Oceaneering International, Inc.     
   6.000%, 02/01/28   29,412 
45,000  Parkland Corp.*     
   5.875%, 07/15/27   44,673 
23,000  Patterson-UTI Energy, Inc.^     
   5.150%, 11/15/29   22,224 
12,000  Permian Resources Operating LLC*     
   7.000%, 01/15/32   12,399 
50,000  Plains All American Pipeline, LP‡     
   9.751%, 02/01/36     
   3 mo. USD LIBOR + 4.11%   49,540 
60,000  Rockcliff Energy II, LLC*     
   5.500%, 10/15/29   55,909 
21,000  Southwestern Energy Company     
   4.750%, 02/01/32   19,466 
61,750  Transocean, Inc.*     
   8.750%, 02/15/30   64,610 
   Venture Global Calcasieu Pass, LLC*     
30,000  6.250%, 01/15/30   30,083 
10,000  4.125%, 08/15/31   8,859 
10,000  3.875%, 08/15/29   8,939 
   Venture Global LNG, Inc.*     
55,000  8.375%, 06/01/31   55,728 
35,000  8.125%, 06/01/28   35,446 
20,000  9.875%, 02/01/32   21,039 

 

See accompanying Notes to Schedule of Investments

 

3

 

 

Calamos Global Total Return Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL       
AMOUNT     VALUE 
20,000  9.500%, 02/01/29  $21,264 
   Vital Energy, Inc.     
25,000  9.750%, 10/15/30   26,582 
25,000  7.750%, 07/31/29*^   24,698 
45,000  VOC Escrow, Ltd.*     
   5.000%, 02/15/28   43,104 
50,000  Weatherford International, Ltd.*     
   8.625%, 04/30/30   51,207 
       1,781,043 
   Financials (2.1%)     
65,000  Acrisure, LLC / Acrisure Finance, Inc.*     
   8.250%, 02/01/29   65,237 
67,000  Aethon United BR, LP / Aethon United Finance Corp.*     
   8.250%, 02/15/26   66,836 
30,000  AG Issuer, LLC*     
   6.250%, 03/01/28   29,657 
   Alliant Holdings Intermediate, LLC / Alliant Holdings Co-Issuer*     
75,000  6.750%, 10/15/27   73,469 
50,000  7.000%, 01/15/31   50,631 
   Ally Financial, Inc.     
49,000  4.700%, 02/01/36‡ ‡‡     
   5 year CMT + 3.87%   39,810 
20,000  8.000%, 11/01/31   22,149 
20,000  4.700%, 02/01/36‡     
   7 year CMT + 3.48%   15,298 
86,000  AmWINS Group, Inc.*     
   4.875%, 06/30/29   80,383 
33,000  Aviation Capital Group, LLC*     
   3.500%, 11/01/27   30,767 
68,000  BroadStreet Partners, Inc.*     
   5.875%, 04/15/29   64,562 
50,000  Brookfield Property REIT, Inc. / BPR Cumulus, LLC / BPR Nimbus, LLC / GGSI Sellco, LLC*     
   4.500%, 04/01/27   44,342 
   Credit Acceptance Corp.     
40,000  6.625%, 03/15/26^   40,053 
30,000  9.250%, 12/15/28*   31,612 
45,000  Cushman & Wakefield U.S. Borrower LLC*     
   8.875%, 09/01/31   47,264 
58,000  Enact Holdings, Inc.*     
   6.500%, 08/15/25   57,905 
50,000  GGAM Finance, Ltd.*     
   8.000%, 02/15/27   51,601 
56,000  Global Net Lease, Inc. / Global Net Lease Operating Partnership, LP*     
   3.750%, 12/15/27   47,890 
25,000  HAT Holdings I LLC / HAT Holdings II LLC*     
   8.000%, 06/15/27   25,931 
   HUB International, Ltd.*     
66,000  5.625%, 12/01/29   62,316 
23,000  7.375%, 01/31/32   23,541 
31,000  Icahn Enterprises, LP / Icahn Enterprises Finance Corp.     
   4.375%, 02/01/29   25,939 
100,000  ILFC E-Capital Trust II*‡     
   7.436%, 12/21/65     
   3 mo. USD LIBOR + 1.80%   79,262 
90,000  Iron Mountain, Inc.*     
   5.250%, 03/15/28   87,347 
   Ladder Capital Finance Holdings, LLLP / Ladder Capital Finance Corp.*     
88,000  5.250%, 10/01/25   86,596 
47,000  4.750%, 06/15/29   42,096 
40,000  LD Holdings Group, LLC*     
   6.125%, 04/01/28   32,639 
   Level 3 Financing, Inc.*     
45,000  4.250%, 07/01/28   15,131 
20,000  4.625%, 09/15/27   10,559 
30,000  LPL Holdings, Inc.*     
   4.000%, 03/15/29   27,667 
40,000  Macquarie Airfinance Holdings, Ltd.*     
   8.125%, 03/30/29   41,538 
70,000  MetLife, Inc.     
   6.400%, 12/15/66   71,518 
60,000  Nationstar Mortgage Holdings, Inc.*     
   5.500%, 08/15/28   57,161 
   Navient Corp.     
50,000  5.000%, 03/15/27   47,721 
20,000  4.875%, 03/15/28^   18,191 
30,000  Necessity Retail REIT, Inc. / American Finance Operating Partner, LP*     
   4.500%, 09/30/28   25,529 
20,000  Newmark Group, Inc.*     
   7.500%, 01/12/29   20,441 
   OneMain Finance Corp.     
30,000  9.000%, 01/15/29   31,625 
30,000  3.875%, 09/15/28   26,365 
22,000  7.125%, 03/15/26   22,312 
23,000  Park Intermediate Holdings, LLC / PK Domestic Property, LLC / PK Finance Co-Issuer*     
   5.875%, 10/01/28   22,519 
73,000  PHH Mortgage Corp.*     
   7.875%, 03/15/26   67,441 
50,000  RHP Hotel Properties, LP / RHP Finance Corp.*     
   4.500%, 02/15/29   46,517 
   Rocket Mortgage, LLC / Rocket Mortgage Co-Issuer, Inc.*     
20,000  3.875%, 03/01/31   17,577 
20,000  3.625%, 03/01/29   17,851 
10,000  2.875%, 10/15/26   9,281 
43,000  StoneX Group, Inc.*     
   8.625%, 06/15/25   43,491 
   United Wholesale Mortgage, LLC*     
52,000  5.500%, 04/15/29   49,175 
20,000  5.750%, 06/15/27   19,658 
   Uniti Group, LP / Uniti Group Finance, Inc. / CSL Capital, LLC*     
25,000  6.500%, 02/15/29   17,643 
22,000  10.500%, 02/15/28   22,388 
47,000  XHR, LP*     
   6.375%, 08/15/25   47,078 
       2,121,510 
   Health Care (1.3%)     
   Bausch Health Companies, Inc.*     
95,000  11.000%, 09/30/28   65,296 
16,000  14.000%, 10/15/30   9,054 

 

See accompanying Notes to Schedule of Investments

 

4

 

 

Calamos Global Total Return Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL       
AMOUNT     VALUE 
16,000  6.125%, 02/01/27  $10,155 
   CHS/Community Health Systems, Inc.*     
88,000  6.125%, 04/01/30   58,295 
30,000  8.000%, 03/15/26   29,560 
25,000  10.875%, 01/15/32   26,266 
25,000  6.875%, 04/15/29   17,256 
5,000  5.250%, 05/15/30   4,156 
   DaVita, Inc.*     
52,000  3.750%, 02/15/31   42,896 
49,000  4.625%, 06/01/30   43,391 
   Embecta Corp.*     
33,000  5.000%, 02/15/30   27,038 
11,000  6.750%, 02/15/30   9,706 
   Encompass Health Corp.     
20,000  4.750%, 02/01/30   18,800 
20,000  4.500%, 02/01/28   19,133 
52,000  HCA, Inc.     
   7.500%, 11/06/33   58,713 
200,000  Jazz Securities DAC*     
   4.375%, 01/15/29   185,032 
   Medline Borrower, LP*     
55,000  3.875%, 04/01/29   49,860 
53,000  5.250%, 10/01/29   49,460 
200,000  Organon & Company / Organon Foreign Debt Co-Issuer, BV*     
   5.125%, 04/30/31   172,278 
62,000  Team Health Holdings, Inc.*     
   6.375%, 02/01/25   52,415 
   Tenet Healthcare Corp.     
120,000  6.250%, 02/01/27   119,766 
70,000  6.875%, 11/15/31   72,157 
190,000  Teva Pharmaceutical Finance Netherlands III, BV     
   3.150%, 10/01/26   177,380 
       1,318,063 
   Industrials (2.8%)     
50,000  ACCO Brands Corp.*     
   4.250%, 03/15/29   45,379 
50,000  Air Lease Corp.‡     
   4.125%, 02/01/36    
   5 year CMT + 3.15%   42,378 
   Albertsons Companies, Inc. / Safeway, Inc. / New Albertsons, LP / Albertsons, LLC*     
75,000  4.625%, 01/15/27   72,812 
30,000  5.875%, 02/15/28   29,985 
40,000  Allegiant Travel Company*     
   7.250%, 08/15/27   39,140 
25,000  Arcosa, Inc.*     
   4.375%, 04/15/29   23,463 
200,000  ARD Finance, SA*     
   6.500%, 06/30/27    
   7.250% PIK rate   97,056 
34,000  Beacon Roofing Supply, Inc.*     
   4.125%, 05/15/29   30,829 
   Bombardier, Inc.*     
25,000  8.750%, 11/15/30   26,307 
23,000  7.875%, 04/15/27   23,032 
44,000  BWX Technologies, Inc.*     
   4.125%, 04/15/29   40,836 
48,000  Cascades, Inc. / Cascades USA, Inc.*     
   5.375%, 01/15/28   47,106 
11,000  Delta Air Lines, Inc. / SkyMiles IP, Ltd.*     
   4.750%, 10/20/28   10,827 
58,000  Deluxe Corp.*     
   8.000%, 06/01/29   52,251 
43,000  Eco Material Technologies, Inc.*     
   7.875%, 01/31/27   43,058 
68,000  Emerald Debt Merger Sub, LLC*     
   6.625%, 12/15/30   68,741 
   EnerSys*     
25,000  4.375%, 12/15/27   23,689 
20,000  6.625%, 01/15/32   20,289 
25,000  Graham Packaging Company, Inc.*     
   7.125%, 08/15/28   22,463 
   Graphic Packaging International, LLC*     
30,000  4.750%, 07/15/27   29,228 
20,000  3.500%, 03/01/29   18,089 
51,000  Great Lakes Dredge & Dock Corp.*     
   5.250%, 06/01/29   44,294 
101,000  H&E Equipment Services, Inc.*     
   3.875%, 12/15/28   91,789 
59,000  Hawaiian Brand Intellectual Property, Ltd. / HawaiianMiles Loyalty, Ltd.*     
   5.750%, 01/20/26   55,489 
65,000  Herc Holdings, Inc.*     
   5.500%, 07/15/27   63,889 
50,000  IEA Energy Services, LLC*     
   6.625%, 08/15/29   47,059 
   JELD-WEN, Inc.*     
34,000  4.625%, 12/15/25   33,253 
25,000  4.875%, 12/15/27^   23,877 
70,000  Ken Garff Automotive, LLC*     
   4.875%, 09/15/28   65,414 
45,000  Knife River Holding Company*     
   7.750%, 05/01/31   47,343 
11,000  MasTec, Inc.*^     
   4.500%, 08/15/28   10,336 
33,000  Moog, Inc.*     
   4.250%, 12/15/27   30,942 
55,000  Newfold Digital Holdings Group, Inc.*     
   6.000%, 02/15/29   41,660 
52,000  Novelis Corp.*     
   4.750%, 01/30/30   48,294 
15,000  OI European Group, BV*     
   4.750%, 02/15/30   13,898 
50,000  Pactiv Evergreen Group Issuer, Inc. / Pactiv Evergreen Group Issuer, LLC*^     
   4.000%, 10/15/27   46,682 
   Sealed Air Corp.*     
35,000  6.125%, 02/01/28   35,191 
11,000  5.000%, 04/15/29^   10,610 
10,000  Sealed Air Corp./Sealed Air Corp. U.S.*^     
   7.250%, 02/15/31   10,491 
40,000  Sensata Technologies, Inc.*     
   3.750%, 02/15/31   34,845 
   Sinclair Television Group, Inc.*     
33,000  4.125%, 12/01/30   25,530 
20,000  5.500%, 03/01/30   15,424 
50,000  Standard Industries, Inc.*     
   5.000%, 02/15/27   48,636 

 

See accompanying Notes to Schedule of Investments

 

5

 

 

Calamos Global Total Return Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL       
AMOUNT     VALUE 
35,000  Stericycle, Inc.*     
   3.875%, 01/15/29  $31,865 
10,000  Summit Materials LLC / Summit Materials Finance Corp.*     
   7.250%, 01/15/31   10,401 
   TransDigm, Inc.     
97,000  6.250%, 03/15/26*   96,541 
45,000  6.875%, 12/15/30*   46,280 
35,000  6.750%, 08/15/28*   35,618 
32,000  7.500%, 03/15/27   32,105 
15,000  7.125%, 12/01/31*   15,649 
45,000  Tronox, Inc.*     
   4.625%, 03/15/29   39,784 
725,000  Uber Technologies, Inc.*     
   8.000%, 11/01/26   738,521 
17,249  United Airlines Pass Through Trust Series 2019-2, Class B     
   3.500%, 11/01/29   15,775 
44,000  Vertiv Group Corp.*     
   4.125%, 11/15/28   40,980 
46,000  Wabash National Corp.*     
   4.500%, 10/15/28   41,950 
35,000  Waste Pro USA, Inc.*     
   5.500%, 02/15/26   34,010 
   Williams Scotsman, Inc.*     
27,000  4.625%, 08/15/28   25,494 
20,000  7.375%, 10/01/31   20,971 
       2,877,848 
   Information Technology (0.8%)     
11,000  Booz Allen Hamilton, Inc.*     
   4.000%, 07/01/29   10,332 
80,000  Clarivate Science Holdings Corp.*     
   3.875%, 07/01/28   73,810 
39,000  Clear Channel Worldwide Holdings, Inc.*^     
   5.125%, 08/15/27   36,814 
23,000  Coherent Corp.*     
   5.000%, 12/15/29   21,542 
40,000  CommScope Technologies, LLC*     
   6.000%, 06/15/25   31,836 
40,000  CommScope, Inc.*     
   4.750%, 09/01/29   26,488 
29,000  Dell International, LLC / EMC Corp.     
   6.020%, 06/15/26   29,640 
22,000  Dun & Bradstreet Corp.*^     
   5.000%, 12/15/29   20,475 
26,000  Fair Isaac Corp.*     
   4.000%, 06/15/28   24,237 
50,000  KBR, Inc.*     
   4.750%, 09/30/28   46,131 
   MPH Acquisition Holdings, LLC*     
50,000  5.750%, 11/01/28   39,811 
20,000  5.500%, 09/01/28   17,785 
20,000  NCL Corp., Ltd.*     
   8.125%, 01/15/29   20,996 
22,000  NCR Voyix Corp.*     
   5.125%, 04/15/29   20,717 
34,000  ON Semiconductor Corp.*     
   3.875%, 09/01/28   31,215 
   Open Text Corp.*     
39,000  3.875%, 02/15/28   36,256 
20,000  6.900%, 12/01/27   20,790 
16,000  3.875%, 12/01/29   14,449 
16,000  Open Text Holdings, Inc.*^     
   4.125%, 12/01/31   14,167 
40,000  Playtika Holding Corp.*     
   4.250%, 03/15/29   34,708 
60,000  TTM Technologies, Inc.*     
   4.000%, 03/01/29   54,298 
   Twilio, Inc.     
30,000  3.625%, 03/15/29   27,126 
11,000  3.875%, 03/15/31   9,701 
17,000  UKG, Inc.*     
   6.875%, 02/01/31   17,210 
55,000  Viavi Solutions, Inc.*     
   3.750%, 10/01/29   47,941 
50,000  ZoomInfo Technologies, LLC / ZoomInfo Finance Corp.*     
   3.875%, 02/01/29   44,550 
       773,025 
   Materials (0.5%)     
25,000  ArcelorMittal, SA     
   7.000%, 10/15/39   27,294 
27,000  ATI, Inc.     
   5.875%, 12/01/27   26,586 
12,000  Carpenter Technology Corp.     
   7.625%, 03/15/30   12,418 
35,000  Chemours Company*     
   4.625%, 11/15/29   30,640 
65,000  Clearwater Paper Corp.*     
   4.750%, 08/15/28   61,034 
34,000  Cleveland-Cliffs, Inc.*     
   6.750%, 04/15/30   34,313 
   Commercial Metals Company     
22,000  4.125%, 01/15/30   20,135 
11,000  4.375%, 03/15/32   9,847 
23,000  HB Fuller Company     
   4.250%, 10/15/28   21,456 
40,000  JW Aluminum Continuous Cast Company*     
   10.250%, 06/01/26   40,447 
40,000  Kaiser Aluminum Corp.*     
   4.625%, 03/01/28   36,886 
10,000  LSF11 A5 HoldCo, LLC*     
   6.625%, 10/15/29   8,526 
   Mercer International, Inc.     
58,000  5.125%, 02/01/29   49,797 
20,000  12.875%, 10/01/28*   21,507 
   Owens-Brockway Glass Container, Inc.*     
35,000  7.250%, 05/15/31   35,333 
25,000  6.625%, 05/13/27^   25,031 
56,000  Silgan Holdings, Inc.     
   4.125%, 02/01/28   52,759 
21,000  Trinseo Materials Operating SCA / Trinseo Materials Finance, Inc.*     
   5.125%, 04/01/29   8,253 
       522,262 
   Other (0.1%)     
   Gen Digital, Inc.*     
25,000  7.125%, 09/30/30^   25,943 
25,000  6.750%, 09/30/27   25,419 
       51,362 
   Real Estate (0.1%)     
34,000  EPR Properties     
   3.750%, 08/15/29   30,319 

 

See accompanying Notes to Schedule of Investments

 

6

 

 

Calamos Global Total Return Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL        
AMOUNT      VALUE 
    Forestar Group, Inc.*     
38,000   5.000%, 03/01/28  $36,145 
21,000   3.850%, 05/15/26   19,972 
50,000   MIWD Holdco II, LLC / MIWD Finance Corp.*     
    5.500%, 02/01/30   45,565 
20,000   Service Properties Trust^     
    5.250%, 02/15/26   19,381 
        151,382 
    Special Purpose Acquisition Companies (0.1%)     
    Fertitta Entertainment, LLC / Fertitta Entertainment Finance Company, Inc.*     
45,000   6.750%, 01/15/30   40,508 
23,000   4.625%, 01/15/29   21,200 
50,000   W.R. Grace Holding, LLC*^     
    7.375%, 03/01/31   50,946 
        112,654 
    Utilities (0.0%)     
16,000   PPL Capital Funding, Inc.‡     
    8.275%, 03/30/67    
    3 mo. USD LIBOR + 2.67%   15,354 
    Vistra Corp.*‡     
20,000   7.000%, 02/01/68     
    5 year CMT + 5.74%   19,524 
10,000   8.000%, 02/01/68     
    5 year CMT + 6.93%   10,046 
        44,924 
    Total Corporate Bonds     
    (Cost $15,976,226)   14,882,034 
          
Convertible Bonds (31.4%)     
    Communication Services (2.0%)     
44,000   Cable One, Inc.µ 03/15/26   37,801 
580,000   Liberty Media Corp.-Liberty Formula One     
    2.250%, 08/15/27   604,488 
1,484,000   Sea, Ltd.     
    2.375%, 12/01/25   1,416,433 
        2,058,722 
    Consumer Discretionary (7.1%)     
145,000   Burlington Stores, Inc.     
    2.250%, 04/15/25   156,130 
50,000,000 JPY Daiwa House Ind Company, Ltd.     
    0.000%, 03/30/29   347,078 
    DISH Network Corp.µ     
63,000   0.000%, 12/15/25   45,092 
53,000   2.375%, 03/15/24   51,964 
800,000 AUD Flight Centre Travel Group, Ltd.     
    2.500%, 11/17/27   623,085 
3,160,000   Ford Motor Company 03/15/26   3,080,147 
730,000   IMAX Corp.µ     
    0.500%, 04/01/26   650,014 
685,000   Marriott Vacations Worldwide Corp.µ 01/15/26   607,650 
500,000 GBP WH Smith, PLCµ     
    1.625%, 05/07/26   572,186 
328,000   Winnebago Industries, Inc.*     
    3.250%, 01/15/30   337,518 
734,000   Wynn Macau, Ltd.*     
    4.500%, 03/07/29   732,679 
        7,203,543 
    Consumer Staples (1.4%)     
700,000 EUR Fomento Economico Mexicano SAB de CV     
    2.625%, 02/24/26   758,086 
915,000 CAD Premium Brands Holdings Corp.     
    4.200%, 09/30/27   631,391 
        1,389,477 
    Energy (2.1%)     
1,600,000 EUR Eni S.p.A     
    2.950%, 09/14/30   1,801,570 
400,000   Nabors Industries, Inc.*µ     
    1.750%, 06/15/29   296,052 
        2,097,622 
    Financials (2.1%)     
12,000,000 HKD Citigroup Global Markets Funding Luxembourg SCAµ     
    0.000%, 07/25/24   1,494,561 
930,000 EUR Edenred     
    0.000%, 09/06/24   618,800 
        2,113,361 
    Health Care (0.4%)     
437,000   BioMarin Pharmaceutical, Inc.     
    0.599%, 08/01/24   430,537 
          
    Industrials (6.6%)     
700,000 EUR Prysmian S.p.A 02/02/26   837,609 
1,600,000 EUR Rheinmetall, AG     
    1.875%, 02/07/28   2,051,290 
560,000 EUR Schneider Electric, SE 06/15/26   1,197,233 
500,000 EUR SPIE, SA     
    2.000%, 01/17/28   586,831 
329,000   Tetra Tech, Inc.*     
    2.250%, 08/15/28   334,580 
1,545,000   Uber Technologies, Inc.*~     
    0.875%, 12/01/28   1,725,904 
        6,733,447 
    Information Technology (6.6%)     
730,000   Akamai Technologies, Inc.*     
    1.125%, 02/15/29   811,512 
835,000   Block, Inc.µ     
    0.125%, 03/01/25   805,558 
817,000   Datadog, Inc.     
    0.125%, 06/15/25   1,156,268 
600,000 EUR GlobalWafers GmbH     
    1.500%, 01/23/29   660,345 
7,000,000 HKD Kingsoft Corp, Ltd.     
    0.625%, 04/29/25   891,758 
360,000   Rapid7, Inc.     
    1.250%, 03/15/29   394,160 
100,000,000 JPY Rohm Company, Ltd.     
    0.000%, 12/05/24   692,451 
1,000,000   SK Hynix, Inc.     
    1.750%, 04/11/30   1,318,530 
        6,730,582 
    Materials (1.9%)     
1,000,000   Glencore Funding, LLC 03/27/25   1,032,020 

  

See accompanying Notes to Schedule of Investments

 

7

 

 

Calamos Global Total Return Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL          
AMOUNT       VALUE  
600,000   LG Chem, Ltd.        
    1.250%, 07/18/28   $ 569,772  
476,000   Lithium Americas Corp.^        
    1.750%, 01/15/27     330,282  
          1,932,074  
    Other (0.0%)        
20,000   Multiplan Corp.*µ        
    6.000%, 10/15/27     14,008  
             
    Real Estate (0.8%)        
800,000 EUR ANLLIAN Capital, Ltd. 02/05/25     841,381  
             
    Utilities (0.4%)        
350,000   CMS Energy Corp.*        
    3.375%, 05/01/28     343,368  
    Total Convertible Bonds        
    (Cost $33,465,299)     31,888,122  
             
Bank Loans (9.3%) ¡      
    Airlines (0.0%)        
31,500   Mileage Plus Holdings, LLC‡        
    10.770%, 06/21/27        
    3 mo. SOFR + 5.25%     32,507  
             
    Communication Services (1.6%)        
250,000   APi Group DE, Inc.‡        
    7.951%, 01/03/29        
    1 mo. SOFR + 2.50%     250,351  
358,130   Charter Communications Operating LLC‡        
    7.083%, 02/01/27        
    1 mo. SOFR + 1.75%     357,414  
43,000   Entercom Media Corp.‡        
    8.149%, 11/18/24        
    3 mo. SOFR + 2.50%     24,144  
248,750   Go Daddy Operating Company, LLC‡        
    7.333%, 11/09/29        
    1 mo. SOFR + 2.00%     249,049  
250,000   Match Group, Inc.‡        
    7.270%, 02/13/27        
    3 mo. SOFR + 1.75%     249,532  
250,000   Nexstar Broadcasting, Inc.‡        
    7.951%, 09/18/26        
    1 mo. SOFR + 2.50%     250,061  
250,000   Virgin Media Bristol, LLC‡        
    7.948%, 01/31/28        
    1 mo. SOFR + 2.50%     245,919  
          1,626,470  
    Consumer Discretionary (1.5%)        
248,750   Aramark Services, Inc.‡        
    7.947%, 06/22/30        
    1 mo. SOFR + 2.50%     248,596  
248,750   Carnival Corp.‡        
    8.336%, 08/08/27        
    1 mo. SOFR + 3.00%     249,185  
298,465   KFC Holding Company‡        
    7.196%, 03/15/28        
    1 mo. SOFR + 1.75%     298,734  
248,721   Murphy USA, Inc.‡        
    7.217%, 01/31/28        
    1 mo. SOFR + 1.75%     249,498  
248,737   PENN Entertainment, Inc.‡        
    8.183%, 05/03/29        
    1 mo. SOFR + 2.75%     248,469  
248,692   Station Casinos, LLC!        
    7.683%, 02/08/27        
    1 mo. SOFR + 2.25%     248,430  
          1,542,912  
    Consumer Staples (0.3%)        
248,585   Jazz Financing Lux Sarl‡        
    8.447%, 05/05/28        
    1 mo. SOFR + 3.00%     248,740   
             
    Financials (0.3%)        
10,000   Advisor Group, Inc.‡        
    9.833%, 08/17/28        
    1 mo. SOFR + 4.50%     10,003  
299,250   Avolon TLB Borrower 1 LLC‡        
    7.337%, 06/22/28        
    1 mo. SOFR + 2.00%     299,524  
          309,527  
    Health Care (2.0%)        
180,981   Avantor Funding, Inc.‡        
    7.683%, 11/08/27        
    1 mo. SOFR + 2.25%     181,072  
298,428   DaVita, Inc.‡        
    7.197%, 08/12/26        
    1 mo. SOFR + 1.75%     298,106  
248,615   Elanco Animal Health, Inc.‡        
    7.203%, 08/01/27        
    1 mo. SOFR + 1.75%     244,144  
597,885   ICON Luxembourg Sarl!        
    7.860%, 07/03/28        
    3 mo. SOFR + 2.25%     599,192  
250,000   Organon & Company‡        
    8.450%, 06/02/28        
    1 mo. SOFR + 3.00%     250,040  
249,369   Perrigo Investments, LLC‡        
    7.683%, 04/20/29        
    1 mo. SOFR + 2.25%     249,265  
148,964   PRA Health Sciences, Inc.‡        
    7.860%, 07/03/28        
    3 mo. SOFR + 2.25%     149,289  
          1,971,108  
    Industrials (2.2%)        
248,724   Beacon Roofing Supply, Inc.‡        
    7.947%, 05/19/28        
    1 mo. SOFR + 2.25%     249,430  
289,870   Berry Global, Inc.‡        
    7.202%, 07/01/29        
    1 mo. SOFR + 1.75%     289,541  
249,375   ChampionX Corp.‡        
    8.187%, 06/07/29        
    1 mo. SOFR + 2.75%     250,466  
249,375   Emrld Borrower, LP‡        
    8.313%, 05/31/30        
    1 mo. SOFR + 3.00%     249,734  
248,747   H.B. Fuller Company‡        
    7.587%, 02/15/30        
    1 mo. SOFR + 2.25%     249,135  
248,724   Jeld-Wen, Inc.‡        
    7.447%, 07/28/28        
    1 mo. SOFR + 2.00%     248,693  

 

See accompanying Notes to Schedule of Investments

 

8

 

 

Calamos Global Total Return Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL          
AMOUNT       VALUE  
248,737   Light and Wonder International, Inc.‡        
    8.083%, 04/14/29        
    1 mo. SOFR + 3.00%   $ 248,737  
248,747   TransDigm, Inc.‡        
    8.598%, 08/24/28        
    3 mo. SOFR + 3.25%     249,277  
198,977   United Airlines, Inc.‡        
    9.201%, 04/21/28        
    1 mo. SOFR + 3.75%     199,615  
          2,234,628  
    Information Technology (0.9%)        
45,845   Banff Merger Sub, Inc.‡        
    9.583%, 12/29/28        
    1 mo. SOFR + 4.25%     45,959  
241,818   II-VI, Inc.‡        
    8.087%, 07/02/29        
    1 mo. SOFR + 2.75%     241,153  
231,222   Open Text Corp.‡        
    8.183%, 01/31/30        
    1 mo. SOFR + 2.75%     231,570  
147,488   SS&C Technologies, Inc.‡        
    7.683%, 03/22/29        
    1 mo. SOFR + 2.25%     147,660  
75,789   SS&C Technologies, Inc.‡        
    7.683%, 03/22/29        
    1 mo. SOFR + 2.25%     75,877  
159,200   TTM Technologies, Inc.‡        
    8.103%, 05/30/30        
    1 mo. SOFR + 2.75%     159,399  
          901,618  
    Materials (0.5%)        
274,313   Axalta Coating Systems U.S. Holdings, Inc.‡        
    7.848%, 12/20/29        
    3 mo. SOFR + 2.50%     274,828  
244,388   Chemours Company‡        
    8.833%, 08/18/28        
    1 mo. SOFR + 3.50%     244,143  
          518,971  
    Total Bank Loans        
    (Cost $9,421,899)     9,386,481  
             
NUMBER OF            
SHARES         VALUE  
             
Warrants (0.0%) #        
    Energy (0.0%)        
2,607   Mcdermott International, Ltd.&        
    06/30/27, Strike $15.98      
2,347   Mcdermott International, Ltd.&        
    06/30/27, Strike $12.33      
    Total Warrants        
    (Cost $1,002)      
             
Common Stocks (81.7%)          
    Communication Services (5.2%)        
11,800   Alphabet, Inc. - Class Aµ#     1,653,180  
925   Altice USA, Inc. - Class A^#     2,257  
1,050   Baidu, Inc. (ADR)µ#     110,575  
310   Cumulus Media, Inc. - Class Aµ#     1,426  
970 SEK Hemnet Group, AB     26,188  
1,250   Meta Platforms, Inc. - Class Aµ#     487,675  
4,900 HKD NetEase, Inc.µ     95,247  
2,270   NetEase, Inc. (ADR)µ     221,643  
715   Netflix, Inc.µ#     403,339  
288 EUR Scout24, SE*     21,206  
27,000 HKD Tencent Holdings, Ltd.µ     937,205  
15,060   Tencent Holdings, Ltd. (ADR)^     524,690  
12,080 GBP Trustpilot Group, PLC*#     27,510  
7,610   Walt Disney Companyµ~     730,940  
1,120 GBP YouGov, PLC     16,536  
          5,259,617  
    Consumer Discretionary (12.7%)        
37,500 HKD Alibaba Group Holding, Ltd.µ     336,337  
1,745   Alibaba Group Holding, Ltd. (ADR)     125,937  
5,360 PLN Allegro.eu, SA*#     40,463  
45,850 MXN Alsea, SAB de CV#     179,894  
25,200   Amazon.com, Inc.^µ~#     3,911,040  
7,290 INR Amber Enterprises India, Ltd.#     381,048  
83,000 AED Americana Restaurants International, PLC     70,279  
9,604   Aptiv, PLCµ#     781,093  
975 BRL Arezzo Industria e Comercio, SA     12,317  
3,400 CNY BYD Company, Ltd. - Class A     81,077  
5,700 CNY China Tourism Group Duty Free Corp., Ltd. - Class A     63,462  
225   Chipotle Mexican Grill, Inc.µ#     541,973  
16,920 BRL Cyrela Brazil Realty, SA Empreendimentos e Participacoes     76,363  
4,300 INR Dixon Technologies India, Ltd.     309,814  
790 KRW Hotel Shilla Company, Ltd.     34,411  
28,821 INR Indian Hotels Company, Ltd.     170,591  
45,700 HKD JD.com, Inc. - Class Aµ     515,319  
48,000 HKD Jiumaojiu International Holdings, Ltd.*µ     28,273  
90,020 INR Kalyan Jewellers India, Ltd.     382,070  
33,500 HKD Li Ning Company, Ltd.     71,567  
1,110 EUR LVMH Moet Hennessy Louis Vuitton, SEµ     923,585  
8,310 INR Mahindra & Mahindra, Ltd.     165,770  
21,655   MakeMyTrip, Ltd.^µ#     1,199,470  
1,175,400 IDR Map Aktif Adiperkasa PT     72,252  
4,780 HKD Meituan - Class B*µ#     38,447  
745   MercadoLibre, Inc.µ#     1,275,298  
70,800 IDR Mitra Adiperkasa Tbk PT     8,769  
11,570   NIO, Inc. (ADR)#     65,023  
11,200 HKD Prada S.p.A.µ     69,454  
4,871 EUR Prosus, NV     144,069  
64,000 HKD Sands China, Ltd.#     167,985  
23,500 INR Tata Motors, Ltd.     250,277  
625 INR TVS Motor Company, Ltd.     15,023  
3,250 HKD Yum China Holdings, Inc.µ     111,819  
23,000 HKD Zhongsheng Group Holdings, Ltd.     38,825  
154,520 INR Zomato, Ltd.#     258,964  
          12,918,358  
    Consumer Staples (4.9%)        
8,035 CHF Aryzta, AG#     14,422  
20,850 GBP British American Tobacco, PLC     614,733  
9,400   Coca-Cola Companyµ~     559,206  
3,200   Constellation Brands, Inc. - Class Aµ     784,256  
1,360   Costco Wholesale Corp.µ     945,037  

 

See accompanying Notes to Schedule of Investments

 

9

 

 

Calamos Global Total Return Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

NUMBER OF        
SHARES      VALUE 
21,400 MXN Fomento Economico Mexicano, SAB de CV  $289,789 
700 CNY Kweichow Moutai Company, Ltd. - Class A   156,680 
44   Mallinckrodt, PLC#   1,683 
5,900 CHF Nestle, SAµ   672,308 
24,592 BRL Raia Drogasil, SA   125,581 
18,000 JPY Seven & i Holdings Company, Ltd.   710,907 
26,000 HKD Smoore International Holdings, Ltd.*   15,722 
300 JPY Toyo Suisan Kaisha, Ltd.   15,621 
1,000 JPY Yamazaki Baking Company, Ltd.   23,712 
        4,929,657 
    Energy (4.1%)     
11,650 GBP BP, PLC   68,041 
24,200 CAD Canadian Natural Resources, Ltd.µ   1,548,714 
61   Chesapeake Energy Corp.µ   4,704 
8,810   Chevron Corp.µ   1,298,858 
3,045   Energy Transfer, LP   43,543 
1,815   Enterprise Products Partners, LP   48,569 
341   EP Energy Corp.&#   1,023 
1   Gulfport Energy Corp.#   127 
11,400   Helmerich & Payne, Inc.^µ   458,964 
390   ONEOK, Inc.µ   26,618 
46,000 THB PTT Exploration & Production, PCL   193,803 
9,900 INR Reliance Industries, Ltd.   339,742 
8,495   TechnipFMC, PLCµ   164,293 
        4,196,999 
    Financials (10.5%)     
116,000 HKD AIA Group, Ltd.   909,720 
3,000   Aon, PLC - Class Aµ   895,290 
49,400 BRL B3, SA - Brasil Bolsa Balcao   130,520 
19,180 BRL Banco BTG Pactual, SA   139,445 
2,194,740 IDR Bank Mandiri Persero, Tbk PT   924,019 
53,325   Bank of America Corp.µ~   1,813,583 
8,800 JPY Concordia Financial Group, Ltd.   41,936 
29,304 AED First Abu Dhabi Bank, PJSC   116,826 
360   First Citizens BancShares Inc/NC- Class Aµ   543,600 
5,095 KRW Hana Financial Group, Inc.   182,184 
39,340 INR HDFC Bank, Ltd.   691,875 
875 AUD HUB24, Ltd.   21,145 
35,025   Itau Unibanco Holding, SA (ADR)   231,165 
3,425   JPMorgan Chase & Companyµ   597,183 
42,800 THB Kasikornbank PCL   143,561 
1,170,000 GBP Lloyds Banking Group, PLC   627,185 
3,900 KRW Meritz Financial Group, Inc.#   200,165 
11,725   Morgan Stanleyµ   1,022,889 
48,500 HKD Ping An Insurance Group Company of China, Ltd. - Class H   203,872 
5,180 AUD Steadfast Group, Ltd.   20,043 
2,206   Visa, Inc. - Class Aµ   602,812 
10,945   Wells Fargo & Companyµ   549,220 
        10,608,238 
    Health Care (9.1%)     
850 INR Alkem Laboratories, Ltd.   51,135 
2,100 INR Apollo Hospitals Enterprise, Ltd.   159,800 
6,125 GBP AstraZeneca, PLC   812,033 
3,900   Danaher Corp.µ   935,649 
1,250 KRW Dentium Company, Ltd.#   105,731 
3,900   Eli Lilly & Companyµ   2,517,879 
7,400 CNY Gan & Lee Pharmaceuticals Company, Ltd. - Class A#   37,755 
6,800 EUR Gerresheimer, AG   693,253 
1,310   Humana, Inc.µ   495,258 
4,510 BRL Hypera, SA   28,884 
700 JPY Jeol, Ltd.µ   32,000 
28,100   Novo Nordisk, A/S (ADR)   3,224,194 
48,000 HKD Wuxi Biologics Cayman, Inc.*µ#   126,313 
77 CHF Ypsomed Holding, AG   27,180 
        9,247,064 
    Industrials (7.8%)     
5,660 GBP Ashtead Technology Holdings, PLC   47,131 
7,450 CAD Canadian Pacific Kansas City, Ltd.   599,513 
2,340 CNY Contemporary Amperex Technology Company, Ltd. - Class A   49,452 
615 EUR DO & CO, AGµ   85,737 
450 JPY Ebara Corp.µ   28,182 
170 KRW HD Hyundai Electric Company, Ltd.   13,019 
12,120 INR Hindustan Aeronautics, Ltd.   439,994 
10,800 JPY Hitachi, Ltd.µ   848,344 
50,700 JPY INFRONEER Holdings, Inc.   529,991 
1,300 JPY Japan Elevator Service Holdings Company, Ltd.   19,645 
3,600 INR KEI Industries, Ltd.   138,155 
800 JPY Keisei Electric Railway Company, Ltd.µ   36,200 
20,400 JPY Komatsu, Ltd.µ   580,379 
1,000 JPY Kyudenko Corp.µ   38,038 
3,240 INR Larsen & Toubro, Ltd.   135,653 
2,180 EUR Leonardo S.p.Aµ   38,050 
94,900 GBP Melrose Industries, PLC   707,336 
5,510 SEK Munters Group, AB*   87,946 
8,700 CNY Ningbo Orient Wires & Cables Company, Ltd. - Class A   42,821 
293,500 GBP Rolls-Royce Holdings, PLCµ#   1,114,258 
44,100 CNY Sany Heavy Industry Company, Ltd. - Class A   80,437 
14,700 CNY Shanghai International Airport Company, Ltd. - Class A#   67,870 
700 JPY Sojitz Corp.   16,521 
743 CAD Stantec, Inc.µ   59,702 
15,710 INR Titagarh Rail System, Ltd.   208,058 
1,300   Veralto Corp.   99,697 
16,500   Vertiv Holdings Companyµ   929,445 
4,250   Waste Management, Inc.µ   788,927 
49,700 CNY Weichai Power Company, Ltd. - Class A   102,135 
        7,932,636 
    Information Technology (23.7%)     
5,200 JPY Advantest Corp.   206,949 
3,545 TWD Alchip Technologies, Ltd.   439,722 
11,495   Apple, Inc.µ   2,119,678 
3,710   ASML Holding, NV (ADR)µ   3,227,032 
322 EUR BE Semiconductor Industries, NV   48,390 
10,000 TWD E Ink Holdings, Inc.   66,317 
203   Fabrinetµ#   43,343 
12,700 CNY Foxconn Industrial Internet Company, Ltd. - Class A   23,505 
750 KRW HPSP Company, Ltd.   25,140 
4,100 CNY Iflytek Company, Ltd. - Class A   21,814 

 

See accompanying Notes to Schedule of Investments

 

10

 

 

Calamos Global Total Return Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

NUMBER OF        
SHARES      VALUE 
3,000 JPY Keyence Corp.µ  $1,342,194 
73,000 HKD Kingdee International Software Group Company, Ltd.µ#   70,566 
23,115 INR KPIT Technologies, Ltd.   431,202 
5,000 TWD MediaTek, Inc.   154,288 
8,780   Microsoft Corp.µ   3,490,752 
370 EUR Nemetschek, SE   34,141 
6,920   NVIDIA Corp.µ   4,257,668 
9,200   Oracle Corp.µ   1,027,640 
2,000 GBP Sage Group, PLC   29,776 
5,480 KRW Samsung Electronics Company, Ltd.   297,766 
400 JPY SCREEN Holdings Company, Ltd.µ   39,224 
460   ServiceNow, Inc.µ#   352,084 
100 JPY SHIFT, Inc.#   18,027 
4,950 CAD Shopify, Inc. - Class Aµ#   396,273 
4,000 TWD Silergy Corp.   49,227 
3,010 KRW SK Hynix, Inc.   301,423 
10,600 HKD Sunny Optical Technology Group Company, Ltd.   65,152 
188,000 TWD Taiwan Semiconductor Manufacturing Company, Ltd.   3,763,477 
6,890   Taiwan Semiconductor Manufacturing Company, Ltd. (ADR)   778,294 
10,080 BRL TOTVS, SA   64,129 
500 JPY Towa Corp.   25,795 
16,000 TWD Unimicron Technology Corp.   89,764 
15,520   Unity Software, Inc.µ#   502,848 
24,000 CNY Venustech Group, Inc. - Class A   61,850 
78,600 HKD Xiaomi Corp. - Class B*µ#   123,837 
1,900 CNY Zhongji Innolight Company, Ltd. - Class A   27,098 
        24,016,385 
    Materials (1.4%)     
55,150 AED Fertiglobe, PLC   41,892 
15,350   Freeport-McMoRan, Inc.µ   609,241 
950   Linde, PLC   384,589 
5,575 ZAR Sasol, Ltd.   48,423 
1,065 EUR SOL S.p.A^   30,651 
700 JPY Sumitomo Bakelite Company, Ltd.   34,788 
5,250   Vale, SA (ADR)   71,873 
158,000 HKD Zijin Mining Group Company, Ltd.- Class H   234,451 
        1,455,908 
    Real Estate (1.9%)     
179,500 PHP Ayala Land, Inc.   108,473 
135,535 MXN Corp. Inmobiliaria Vesta SAB de CV   515,004 
27,090 INR DLF, Ltd.   259,688 
68,470 INR Macrotech Developers, Ltd.*   885,988 
4,900 JPY Mirarth Holdings, Inc.   16,419 
4,465 INR Prestige Estates Projects, Ltd.   67,607 
225 EUR VGP, NV   26,390 
        1,879,569 
    Special Purpose Acquisition Company (0.0%)     
518   Intelsat Emergence, SA&#   14,115 
          
  Utilities (0.4%)     
6,836   NextEra Energy, Inc.µ   400,795 
    Total Common Stocks     
    (Cost $92,923,707)   82,859,341 
          
Preferred Stocks (0.3%)  
  Communication Services (0.0%)     
    United States Cellular Corp.µ     
530   5.500%, 06/01/70   9,725 
505   5.500%, 03/01/70   9,348 
        19,073 
  Consumer Discretionary (0.0%)     
305   Guitar Center, Inc.&#   25,010 
          
    Energy (0.1%)     
1,325   NuStar Energy, LP‡     
    11.282%, 03/01/24     
    3 mo. USD LIBOR + 5.64%   34,052 
325   NuStar Energy, LP‡     
    12.405%, 03/01/24     
    3 mo. USD LIBOR + 6.77%   8,392 
2,270   NuStar Logistics, LP‡     
    12.310%, 01/15/43     
    3 mo. USD Term SOFR + 7.00%   58,702 
        101,146 
    Industrials (0.2%)     
83,730 BRL Randon, SA Implementos e Participacoes‡     
    4.972%   197,732 
    Total Preferred Stocks     
    (Cost $365,579)   342,961 
          
Exchange-Traded Funds (1.2%)     
    Other (1.2%)     
45,865   Invesco Senior Loan ETF   963,624 
6,150   iShares MSCI Saudi Arabia ETF^   256,147 
    Total Exchange-Traded Funds     
    (Cost $1,322,412)   1,219,771 
          
Convertible Preferred Stocks (1.6%)    
    Energy (0.0%)     
1   Gulfport Energy Corp.&#     
    10.000%,     
    15.000% PIK rate   9,250 
          
    Financials (1.3%)     
21,400   Apollo Global Management, Inc.~     
    6.750%, 07/31/26   1,250,188 
          
    Utilities (0.3%)     
8,700   NextEra Energy, Inc.     
    6.926%, 09/01/25   323,727 
    Total Convertible Preferred Stocks     
    (Cost $1,532,459)   1,583,165 

  

See accompanying Notes to Schedule of Investments

 

11

 

 

Calamos Global Total Return Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

NUMBER OF       
CONTRACTS/       
NOTIONAL       
AMOUNT     VALUE 
Purchased Options (0.9%) #     
   Consumer Discretionary (0.2%)     
410  MakeMyTrip, Ltd.     
2,270,990  Call, 08/16/24, Strike $60.00  $211,150 
         
   Energy (0.0%)     
390  Petroleo Brasileiro, SA     
665,730  Call, 04/19/24, Strike $17.00   44,655 
         
   Health Care (0.1%)     
115  Boston Scientific Corp.     
727,490  Call, 06/21/24, Strike $62.50   48,875 
         
   Industrials (0.2%)     
135  Uber Technologies, Inc.     
881,145  Call, 01/17/25, Strike $57.50   212,963 
         
   Materials (0.0%)     
525  Cemex Sab De CV     
434,700  Call, 07/19/24, Strike $8.00   36,750 
         
   Other (0.4%)     
144  Global X MSCI Argentina ETF     
754,416  Call, 07/19/24, Strike $54.00   45,360 
   Invesco QQQ Trust Series 1     
522      
21,765,834  Put, 02/16/24, Strike $399.78   64,989 
190      
7,922,430  Put, 12/20/24, Strike $344.78   152,760 
835  iShares MSCI India ETF    
4,165,815  Put, 02/16/24, Strike $47.00   4,175 
   iShares MSCI India Small-Cap ETF     
27      
198,234  Put, 02/16/24, Strike $61.76   1,687 
21      
154,182  Put, 02/16/24, Strike $65.76   893 
160  SPDR S&P 500 ETF Trust    
7,726,080  Put, 12/20/24, Strike $410.00   119,360 
       389,224 
   Total Purchased Options     
   (Cost $1,473,382)   943,617 
TOTAL INVESTMENTS (141.1%)     
(Cost $156,481,965)   143,105,492 
       
MANDATORY REDEEMABLE PREFERRED SHARES, AT LIQUIDATION VALUE (-16.8%)   (17,000,000)
      
LIABILITIES, LESS OTHER ASSETS (-24.3%)   (24,666,637)
      
NET ASSETS (100.0%)  $101,438,855 
      
Written Options (-0.1%) #
    Consumer Discretionary (-0.1%)
(148)  Amazon.com, Inc.     
(2,296,960)  Call, 04/19/24, Strike $170.00   (59,940)
         
    Financials (0.0%)
(30)  Aon, PLC     
(895,290)  Call, 04/19/24, Strike $340.00   (4,350)
         
    Information Technology (0.0%)
(92)  Oracle Corp.     
(1,027,640)  Call, 04/19/24, Strike $120.00   (24,334)
(155)  Unity Software, Inc.     
(502,200)  Call, 05/17/24, Strike $42.00   (27,978)
       (52,312)
    Other (0.0%)
(144)  Global X MSCI Argentina ETF     
(754,416)  Call, 07/19/24, Strike $60.00   (21,240)
   Total Written Options     
   (Premium $125,075)   (137,842)

 

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 Funds. 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.
^ Security, or portion of security, is on loan.
& Illiquid security.
Variable rate security. The rate shown is the rate in effect at January 31, 2024.
‡‡ Perpetual maturity.
µ Security, or portion of security, is held in a segregated account as collateral for note payable aggregating a total value of $53,902,752.
~ Security, or portion of security, is segregated as collateral (or collateral for potential future transactions) for written options. The aggregate value of such securities is $2,553,721.
¡ 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.
# Non-income producing security.
 
ABBREVIATION
ADR American Depositary Receipt

 

See accompanying Notes to Schedule of Investments

 

12

 

 

Calamos Global Total Return Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

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
PHP Philippine Peso
PLN Polish Zloty
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.

 

The following table summarizes the Fund's investments and derivative financial instruments categorized in the fair value hierarchy as of January 31, 2024 (see Note 2):

 

   LEVEL 1   LEVEL 2   LEVEL 3   TOTAL 
Assets:                                
Corporate Bonds  $   $14,882,034   $   $14,882,034 
Convertible Bonds       31,888,122        31,888,122 
Bank Loans       9,386,481        9,386,481 
Common Stocks   53,562,734    29,296,607        82,859,341 
Preferred Stocks   317,951    25,010        342,961 
Exchange-Traded Funds   1,219,771            1,219,771 
Convertible Preferred Stocks   1,573,915    9,250        1,583,165 
Purchased Options   943,617            943,617 
Total  $57,617,988   $85,487,504   $   $143,105,492 
Liabilities:                    
Written Options  $137,842   $   $   $137,842 
Total  $137,842   $   $   $137,842 

 

See accompanying Notes to Schedule of Investments

 

13

 

 

Calamos Global Total Return Fund

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

CURRENCY EXPOSURE JANUARY 31, 2024
   Value   % of Total
Investments
 
US Dollar  $94,204,105    65.9%
European Monetary Unit   11,398,617    8.0%
Hong Kong Dollar   6,546,430    4.6%
Indian Rupee   5,742,454    4.0%
Japanese Yen   5,644,401    3.9%
British Pound Sterling   4,636,725    3.2%
New Taiwan Dollar   4,562,795    3.2%
Canadian Dollar   3,235,593    2.3%
South Korean Won   1,159,839    0.8%
Indonesian Rupiah   1,005,040    0.7%
Mexican Peso   984,687    0.7%
Chinese Yuan Renminbi   815,956    0.6%
Brazilian Real   774,971    0.5%
Swiss Franc   713,910    0.5%
Australian Dollar   664,273    0.5%
Thai Baht   337,364    0.2%
UAE Dirham   228,997    0.2%
Swedish Krona   114,134    0.1%
Philippine Peso   108,473    0.1%
South African Rand   48,423    %
Polish Zloty   40,463    %
Total Investments Net of Written Options  $142,967,650    100.0%
           
Currency exposure may vary over time.          

 

See accompanying Notes to Schedule of Investments

 

14

 

 

 

Calamos Long/Short Equity & Dynamic Income Trust 

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL      
AMOUNT     VALUE 
Asset Backed Security (0.0%)
   Other (0.0%)     
145,000  SVC ABS, LLC Series 2023-1A, Class C*~     
   6.700%, 02/20/53     
   (Cost $134,032)  $133,424 
Corporate Bonds (33.2%)
    Airlines (0.2%)
172,088  Alaska Airlines Pass Through Trust Series 2020-1, Class A*     
   4.800%, 02/15/29   167,049 
80,546  Alaska Airlines Pass Through Trust Series 2020-1, Class B*~     
   8.000%, 02/15/27   81,377 
193,760  American Airlines Pass Through Trust Series 2021-1, Class B     
   3.950%, 01/11/32   172,867 
108,000  American Airlines, Inc. / AAdvantage Loyalty IP, Ltd.*~     
   5.500%, 04/20/26   107,021 
182,500  British Airways Pass Through Trust Series 2021-1, Class B*~     
   3.900%, 03/15/33   165,584 
143,580  JetBlue Pass Through Trust Series 2020-1, Class B~     
   7.750%, 05/15/30   144,817 
       838,715 
    Communication Services (2.2%)
200,000  Altice France Holding, SA*     
   10.500%, 05/15/27   115,570 
225,000  Altice France, SA*~     
   5.500%, 10/15/29   166,187 
225,000  APi Group DE, Inc.*~     
   4.750%, 10/15/29   210,695 
200,000  Ashtead Capital, Inc.*     
   2.450%, 08/12/31   162,982 
   Audacy Capital Corp.*@     
231,000  6.750%, 03/31/29   9,325 
91,000  6.500%, 05/01/27   3,883 
162,000  Cincinnati Bell Telephone Company, LLC~     
   6.300%, 12/01/28   143,686 
180,000  Clear Channel Outdoor Holdings, Inc.*     
   9.000%, 09/15/28   188,098 
262,000  Consolidated Communications, Inc.*~     
   6.500%, 10/01/28   228,283 
   CSC Holdings, LLC*~     
285,000  5.375%, 02/01/28   245,302 
240,000  5.500%, 04/15/27   215,786 
215,000  4.500%, 11/15/31   154,514 
200,000  5.750%, 01/15/30   106,206 
200,000  4.625%, 12/01/30   103,500 
   Diamond Sports Group, LLC / Diamond Sports Finance Company*@     
150,000  6.625%, 08/15/27   10,265 
115,000  5.375%, 08/15/26   8,117 
244,000  Directv Financing, LLC / Directv Financing Co-Obligor, Inc.*~     
   5.875%, 08/15/27  232,012 
195,000  Frontier California, Inc.     
   6.750%, 05/15/27   188,598 
   Frontier Communications Holdings, LLC*     
123,000  5.000%, 05/01/28   113,650 
48,000  8.750%, 05/15/30   49,186 
202,000  Frontier Florida, LLC~@     
   6.860%, 02/01/28   194,649 
280,000  Frontier North, Inc.~@     
   6.730%, 02/15/28   268,604 
165,000  Go Daddy Operating Company, LLC / GD Finance Company, Inc.*~     
   3.500%, 03/01/29   149,444 
   iHeartCommunications, Inc.     
115,000  8.375%, 05/01/27   71,943 
70,000  5.250%, 08/15/27*   54,427 
230,000  LCPR Senior Secured Financing DAC*~     
   6.750%, 10/15/27   223,031 
151,589  Ligado Networks, LLC*     
   15.500%, 11/01/23     
   PIK rate   26,104  
   Lumen Technologies, Inc.     
135,000  7.600%, 09/15/39   35,928 
90,000  4.000%, 02/15/27*   47,648 
45,000  7.650%, 03/15/42   12,407 
95,000  Match Group Holdings II, LLC*~     
   3.625%, 10/01/31   81,374 
160,000  Nexstar Media, Inc.*     
   5.625%, 07/15/27   155,766 
   Paramount Global     
711,000  6.375%, 03/30/62~‡     
   5 year CMT + 4.00%   635,371 
180,000  4.900%, 08/15/44   142,398 
63,000  Qwest Corp.     
   7.250%, 09/15/25   61,756 
595,000  Rogers Communications, Inc.*~‡     
   5.250%, 03/15/82     
   5 year CMT + 3.59%   567,493 
   Scripps Escrow II, Inc.*     
95,000  3.875%, 01/15/29~   82,638 
48,000  5.375%, 01/15/31   36,904 
195,000  Scripps Escrow, Inc.*     
   5.875%, 07/15/27   175,988 
   Sirius XM Radio, Inc.*     
195,000  5.500%, 07/01/29   185,601 
185,000  4.000%, 07/15/28~   168,087 
90,000  3.125%, 09/01/26~   84,172 
48,000  3.875%, 09/01/31~   40,082 
175,000  Spanish Broadcasting System, Inc.*     
   9.750%, 03/01/26   93,063 
165,000  Sprint, LLC     
   7.125%, 06/15/24   165,812 
210,000  Stagwell Global, LLC*~     
   5.625%, 08/15/29   192,786 
190,000  Telesat Canada / Telesat, LLC*     
   4.875%, 06/01/27   112,664 
70,000  Time Warner Cable, LLC     
   7.300%, 07/01/38   73,469 

 

See accompanying Notes to Schedule of Investments

 

1

 

 

Calamos Long/Short Equity & Dynamic Income Trust 

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL      
AMOUNT     VALUE 
230,000  United States Cellular Corp.~     
   6.700%, 12/15/33  $237,146 
135,000  Univision Communications, Inc.*~     
   8.000%, 08/15/28   137,396 
90,000  Viasat, Inc.*     
   5.625%, 04/15/27   84,493 
395,000  Vodafone Group, PLC~‡     
   7.000%, 04/04/79     
   U.S. 5 yr Swap + 4.87%   408,501 
       7,662,990 
    Consumer Discretionary (3.9%)     
228,000  Abercrombie & Fitch Management Company*~     
   8.750%, 07/15/25   232,170 
185,000  Adams Homes, Inc.*     
   9.250%, 10/15/28   189,610 
230,000  Adient Global Holdings Company*~     
   8.250%, 04/15/31   243,138 
156,000  American Axle & Manufacturing, Inc.     
   6.875%, 07/01/28   152,635 
   Ashton Woods USA, LLC / Ashton Woods Finance Company*     
167,000  4.625%, 08/01/29   152,170 
149,000  6.625%, 01/15/28   147,817 
217,000  At Home Group, Inc.*     
   4.875%, 07/15/28   95,947 
   Bath & Body Works, Inc.~     
254,000  6.694%, 01/15/27   258,234 
145,000  6.875%, 11/01/35   145,083 
200,000  Benteler International AG*~     
   10.500%, 05/15/28   214,464 
   Caesars Entertainment, Inc.*     
118,000  4.625%, 10/15/29   107,858 
93,000  8.125%, 07/01/27~   95,521 
   Carnival Corp.*     
92,000  7.625%, 03/01/26   93,492 
89,000  4.000%, 08/01/28   82,551 
12,000  7.000%, 08/15/29~   12,496 
   Carvana Company*     
39,000  14.000%, 06/01/31   34,815 
33,000  13.000%, 06/01/30   29,424 
22,000  12.000%, 12/01/28   19,538 
   CCO Holdings, LLC / CCO Holdings Capital Corp.*     
750,000  4.750%, 03/01/30~   666,855 
250,000  4.500%, 08/15/30~   217,300 
220,000  6.375%, 09/01/29~   214,309 
186,000  4.250%, 02/01/31~   157,004 
96,000  4.750%, 02/01/32   82,436 
96,000  CDI Escrow Issuer, Inc.*     
   5.750%, 04/01/30   92,988 
115,000  Cedar Fair, LP     
   5.250%, 07/15/29   110,075 
92,000  Churchill Downs, Inc.*     
   6.750%, 05/01/31   93,320 
   Dana, Inc.     
155,000  4.250%, 09/01/30   135,679 
140,000  4.500%, 02/15/32   120,568 
   DISH DBS Corp.     
190,000  5.125%, 06/01/29   70,855 
140,000  5.250%, 12/01/26*   110,557 
120,000  7.375%, 07/01/28   53,110 
115,000  7.750%, 07/01/26   68,052 
90,000  5.750%, 12/01/28*   60,711 
186,000  DISH Network Corp.*     
   11.750%, 11/15/27   194,264 
200,000  Empire Resorts, Inc.*     
   7.750%, 11/01/26   185,478 
204,000  Everi Holdings, Inc.*     
   5.000%, 07/15/29   187,711 
190,000  Ford Motor Company~     
   6.100%, 08/19/32   190,124 
   Ford Motor Credit Company, LLC~     
300,000  4.000%, 11/13/30   267,735 
270,000  5.113%, 05/03/29   262,432 
235,000  7.200%, 06/10/30   249,930 
200,000  7.350%, 11/04/27   210,390 
71,000  Gap, Inc.*     
   3.875%, 10/01/31   58,675 
90,000  General Motors Company     
   5.200%, 04/01/45   81,665 
   General Motors Financial Company, Inc.~‡     
765,000  5.700%, 09/30/30^     
   5 year CMT + 5.00%   704,947 
395,000  6.500%, 09/30/28     
   3 mo. USD LIBOR + 3.44%    369,929 
   goeasy, Ltd.*    
315,000  9.250%, 12/01/28~   335,724 
177,000  4.375%, 05/01/26   169,371 
100,000  Goodyear Tire & Rubber Company     
   5.250%, 07/15/31   91,110 
79,000  Group 1 Automotive, Inc.*~     
   4.000%, 08/15/28   72,953 
193,000  Guitar Center, Inc.*     
   8.500%, 01/15/26   171,488 
49,440  JetBlue Pass Through Trust Series 2019-2, Class B     
   8.000%, 11/15/27   49,845 
160,000  Kohl's Corp.     
   5.550%, 07/17/45   109,187 
185,000  LCM Investments Holdings II, LLC*~     
   8.250%, 08/01/31   189,965 
190,000  Liberty Interactive, LLC~     
   8.250%, 02/01/30   101,509 
179,000  Life Time, Inc.*     
   8.000%, 04/15/26   181,073 
90,000  Light & Wonder International, Inc.*~     
   7.500%, 09/01/31   93,788 
70,000  Lindblad Expeditions Holdings, Inc.*~     
   9.000%, 05/15/28   72,807 
123,000  Lindblad Expeditions, LLC*     
   6.750%, 02/15/27   123,093 
125,000  M/I Homes, Inc.     
   3.950%, 02/15/30   112,108 
   Macy's Retail Holdings, LLC     
230,000  6.700%, 07/15/34*~   193,557 
180,000  4.300%, 02/15/43   136,672 
242,000  Midwest Gaming Borrower, LLC / Midwest Gaming Finance Corp.*~     
   4.875%, 05/01/29   224,678 
110,000  Newell Brands, Inc.     
   5.200%, 04/01/26   107,122 
   Nordstrom, Inc.     
90,000  5.000%, 01/15/44~   65,033 

 

See accompanying Notes to Schedule of Investments

 

2

 

 

Calamos Long/Short Equity & Dynamic Income Trust 

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED) 

 

PRINCIPAL      
AMOUNT     VALUE 
86,000  4.250%, 08/01/31  $71,805 
285,000  Patrick Industries, Inc.*     
   4.750%, 05/01/29   262,858 
215,000  PENN Entertainment, Inc.*     
   4.125%, 07/01/29   184,937 
250,000  PetSmart, Inc. / PetSmart Finance Corp.*~     
   4.750%, 02/15/28   233,690 
265,000  Premier Entertainment Sub, LLC / Premier Entertainment Finance Corp.*~     
   5.625%, 09/01/29   199,746 
95,000  QVC, Inc.     
   5.450%, 08/15/34   63,132 
90,000  Raising Cane's Restaurants, LLC*     
   9.375%, 05/01/29   96,521 
383,000  Rite Aid Corp.*~@     
   8.000%, 11/15/26   290,961 
92,000  Royal Caribbean Cruises, Ltd.*~     
   7.250%, 01/15/30   95,936 
270,000  Simmons Foods, Inc. / Simmons Prepared Foods, Inc. / Simmons Pet Food, Inc. / Simmons Feed*~     
   4.625%, 03/01/29   232,778 
275,000  Six Flags Entertainment Corp.*~     
   7.250%, 05/15/31   280,825 
212,000  Sonic Automotive, Inc.*~     
   4.625%, 11/15/29   192,032 
147,000  Speedway Motorsports, LLC / Speedway Funding II, Inc.*     
   4.875%, 11/01/27   139,550 
450,000  Station Casinos, LLC*~     
   4.500%, 02/15/28   424,633 
   STL Holding Company, LLC*     
145,000  7.500%, 02/15/26   147,693 
46,000  8.750%, 02/15/29   46,843 
107,000  Taylor Morrison Communities, Inc.*     
   5.750%, 01/15/28   106,644 
45,000  Viking Cruises, Ltd.*     
   9.125%, 07/15/31   48,219 
220,000  Vista Outdoor, Inc.*~     
   4.500%, 03/15/29   216,333 
175,000  ZF North America Capital, Inc.*~     
   7.125%, 04/14/30   184,706 
       13,644,987 
    Consumer Staples (0.8%)     
179,000  1375209 B.C., Ltd.*~     
   9.000%, 01/30/28   173,879 
290,000  Arrow Bidco, LLC*~     
   10.750%, 06/15/25   300,443 
180,000  B&G Foods, Inc.*     
   8.000%, 09/15/28   187,940 
218,000  Central Garden & Pet Company*     
   4.125%, 04/30/31   193,059 
213,000  Edgewell Personal Care Company*     
   4.125%, 04/01/29   195,001 
   Energizer Holdings, Inc.*     
263,000  4.375%, 03/31/29~   238,157 
48,000  6.500%, 12/31/27   47,846 
   JBS USA LUX, SA / JBS USA Food Company / JBS USA Finance, Inc.     
280,000  5.500%, 01/15/30~   274,114 
120,000  5.125%, 02/01/28   119,068 
70,000  5.750%, 04/01/33   69,412 
395,000  Land O' Lakes, Inc.*~     
   7.000%, 09/18/28   300,346 
191,000  Performance Food Group, Inc.*~     
   4.250%, 08/01/29   175,166 
140,000  Pilgrim's Pride Corp.     
   4.250%, 04/15/31   126,309 
182,000  Prestige Brands, Inc.*~     
   3.750%, 04/01/31   158,662 
155,000  United Natural Foods, Inc.*     
   6.750%, 10/15/28   130,433 
293,000  Vector Group, Ltd.*~     
   5.750%, 02/01/29   270,612 
       2,960,447 
    Energy (3.4%)     
100,000  Antero Resources Corp.*     
   5.375%, 03/01/30   95,511 
192,000  Apache Corp.     
   5.100%, 09/01/40   165,120 
135,000  Buckeye Partners, LP     
   5.850%, 11/15/43   111,510 
270,000  Callon Petroleum Company*~     
   7.500%, 06/15/30   284,623 
96,000  Cheniere Energy, Inc.     
   4.625%, 10/15/28   93,026 
139,000  Chesapeake Energy Corp.*~     
   6.750%, 04/15/29   140,699 
256,000  Civitas Resources, Inc.*~     
   8.750%, 07/01/31   273,226 
   Continental Resources, Inc.*     
135,000  2.875%, 04/01/32   110,273 
95,000  5.750%, 01/15/31   94,588 
150,000  DT Midstream, Inc.*~     
   4.125%, 06/15/29   137,938 
   Earthstone Energy Holdings, LLC*~     
181,000  8.000%, 04/15/27   187,581 
70,000  9.875%, 07/15/31   77,788 
   Enbridge, Inc.~‡     
945,000  7.375%, 01/15/83     
   5 year CMT + 3.71%   946,663 
920,000  5.750%, 07/15/80     
   5 year CMT + 5.31%   862,362 
   Energy Transfer, LP     
560,000  6.500%, 11/15/26~‡     
   5 year CMT + 5.69%   541,621 
345,000  8.000%, 05/15/54~   357,241 
170,000  9.669%, 02/16/24     
   3 mo. USD LIBOR + 4.03%   167,103 
125,000  8.586%, 11/01/66‡     
   3 mo. SOFR + 3.28%   111,664 
   EnLink Midstream Partners, LP~     
835,000  9.756%, 03/04/24‡     
   3 mo. SOFR + 4.37%   789,309 
205,000  4.850%, 07/15/26   201,443 
113,000  Enlink Midstream, LLC*     
   6.500%, 09/01/30   115,785 
   Enterprise Products Operating, LLC‡     
205,000  5.250%, 08/16/77~     
   3 mo. SOFR + 3.29%   198,184 
185,000  8.638%, 08/16/77     
   3 mo. SOFR + 3.25%   184,382 

 

See accompanying Notes to Schedule of Investments

 

3

 

 

Calamos Long/Short Equity & Dynamic Income Trust 

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL       
AMOUNT     VALUE 
310,000  EQM Midstream Partners, LP*~     
   7.500%, 06/01/27  $319,033 
196,000  Genesis Energy, LP / Genesis Energy Finance Corp.~     
   8.875%, 04/15/30   205,190 
255,000  Gulfport Energy Corp.*~     
   8.000%, 05/17/26   257,499 
265,000  Hilcorp Energy I, LP / Hilcorp Finance Company*~     
   6.000%, 04/15/30   257,493 
144,000  Howard Midstream Energy Partners, LLC*     
   6.750%, 01/15/27   144,444 
81,000  Kodiak Gas Services, LLC*     
   7.250%, 02/15/29   81,954 
186,000  Magnolia Oil & Gas Operating, LLC / Magnolia Oil & Gas Finance Corp.*     
   6.000%, 08/01/26   183,960 
   Moss Creek Resources Holdings, Inc.*     
75,000  7.500%, 01/15/26   74,762 
70,000  10.500%, 05/15/27   72,097 
   Nabors Industries, Inc.*     
135,000  7.375%, 05/15/27   133,568 
70,000  9.125%, 01/31/30   71,427 
135,000  Nabors Industries, Ltd.*     
   7.500%, 01/15/28   123,692 
180,000  New Fortress Energy, Inc.*~     
   6.750%, 09/15/25   177,899 
138,000  Oceaneering International, Inc.     
   6.000%, 02/01/28   135,294 
200,000  Parkland Corp.*~     
   5.875%, 07/15/27   198,548 
99,000  Patterson-UTI Energy, Inc.     
   5.150%, 11/15/29   95,662 
46,000  Permian Resources Operating LLC*     
   7.000%, 01/15/32   47,531 
750,000  Plains All American Pipeline, LP~‡     
   9.751%, 03/04/24     
   3 mo. SOFR + 4.37%   743,107 
265,000  Rockcliff Energy II, LLC*~     
   5.500%, 10/15/29   246,932 
98,000  Southwestern Energy Company~     
   4.750%, 02/01/32   90,843 
261,250  Transocean, Inc.*~     
   8.750%, 02/15/30   273,348 
   Venture Global Calcasieu Pass, LLC*     
115,000  6.250%, 01/15/30   115,319 
45,000  4.125%, 08/15/31~   39,864 
45,000  3.875%, 08/15/29~   40,225 
   Venture Global LNG, Inc.*     
230,000  8.375%, 06/01/31   233,043 
140,000  8.125%, 06/01/28   141,784 
90,000  9.875%, 02/01/32   94,677 
90,000  9.500%, 02/01/29   95,689 
   Vital Energy, Inc.     
117,000  9.750%, 10/15/30   124,404 
115,000  7.750%, 07/31/29*   113,612 
280,000  VOC Escrow, Ltd.*~     
   5.000%, 02/15/28   268,204 
235,000  Weatherford International, Ltd.*~     
   8.625%, 04/30/30   240,675 
       11,689,419 
    Financials (14.2%)     
285,000  Acrisure, LLC / Acrisure Finance, Inc.*     
   8.250%, 02/01/29   286,037 
286,000  Aethon United BR, LP / Aethon United Finance Corp.*~     
   8.250%, 02/15/26   285,299 
128,000  AG Issuer, LLC*     
   6.250%, 03/01/28   126,537 
605,000  Aircastle, Ltd.*~‡     
   5.250%, 06/15/26     
   5 year CMT + 4.41%   532,497 
   Alliant Holdings Intermediate, LLC / Alliant Holdings Co-Issuer*     
315,000  6.750%, 10/15/27~   308,571 
25,000  7.000%, 01/15/31   25,315 
360,000  Allstate Corp.~‡     
   8.579%, 08/15/53     
   3 mo. SOFR + 3.20%   360,752 
   Ally Financial, Inc.~‡     
1,236,000  4.700%, 05/15/26     
   5 year CMT + 3.87%   1,004,188 
935,000  4.700%, 05/15/28     
   7 year CMT + 3.48%   715,200 
685,000  American International Group, Inc.~‡     
   5.750%, 04/01/48     
   3 mo. USD LIBOR + 2.87%   681,191 
379,000  AmWINS Group, Inc.*~     
   4.875%, 06/30/29   354,248 
1,160,000  Ares Finance Company III, LLC*~‡     
   4.125%, 06/30/51     
   5 year CMT + 3.24%   1,049,719 
141,000  Aviation Capital Group, LLC*~     
   3.500%, 11/01/27   131,460 
835,000  AXIS Specialty Finance, LLC~‡     
   4.900%, 01/15/40     
   5 year CMT + 3.19%   722,208 
   Bank of America Corp.~‡     
1,091,000  6.125%, 04/27/27^     
   5 year CMT + 3.23%   1,091,142 
340,000  5.125%, 06/20/24     
   3 mo. SOFR + 3.55%   338,596 
330,000  6.250%, 09/05/24     
   3 mo. SOFR + 3.97%   329,832 
330,000  6.100%, 03/17/25     
   3 mo. SOFR + 4.16%   330,746 
1,560,000  Bank of New York Mellon Corp.~‡     
   4.700%, 09/20/25     
   5 year CMT + 4.36%   1,540,188 
   BP Capital Markets, PLC~‡     
680,000  4.875%, 03/22/30     
   5 year CMT + 4.40%   645,130 
675,000  4.375%, 06/22/25     
   5 year CMT + 4.04%   661,419 
285,000  BroadStreet Partners, Inc.*~     
   5.875%, 04/15/29   270,590 
215,000  Brookfield Property REIT, Inc. / BPR Cumulus, LLC / BPR Nimbus, LLC / GGSI Sellco, LLC*     
   4.500%, 04/01/27   190,671 

 

See accompanying Notes to Schedule of Investments

 

4

 

 

Calamos Long/Short Equity & Dynamic Income Trust 

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED) 

 

PRINCIPAL       
AMOUNT     VALUE 
200,000  Burford Capital Global Financial, LLC*     
   6.875%, 04/15/30  $ 195,096 
1,098,000  Capital One Financial Corp.~‡     
   3.950%, 09/01/26     
   5 year CMT + 3.16%   952,789 
   Charles Schwab Corp.‡     
675,000  5.375%, 06/01/25~^     
   5 year CMT + 4.97%   666,994 
433,000  4.000%, 12/01/30~     
   10 year CMT + 3.08%   360,139 
320,000  4.000%, 06/01/26     
   5 year CMT + 3.17%   291,488 
   Citigroup, Inc.~‡     
1,141,000  3.875%, 02/18/26     
   5 year CMT + 3.42%   1,055,140 
445,000  4.000%, 12/10/25     
   5 year CMT + 3.60%   417,530 
395,000  4.150%, 11/15/26     
   5 year CMT + 3.00%   351,341 
350,000  7.625%, 11/15/28     
   5 year CMT + 3.21%   358,655 
335,000  5.950%, 05/15/25     
   3 mo. SOFR + 4.17%   330,538 
   Citizens Financial Group, Inc.~‡     
1,115,000  4.000%, 10/06/26     
   5 year CMT + 3.22%   979,427 
365,000  5.650%, 10/06/25     
   5 year CMT + 5.31%   357,149 
710,000  Comerica, Inc.     
   5.625%, 07/01/25     
   5 year CMT + 5.29%   689,311 
365,000  Corebridge Financial, Inc.~‡     
   6.875%, 12/15/52     
   5 year CMT + 3.85%   366,445 
   Credit Acceptance Corp.     
175,000  6.625%, 03/15/26   175,231 
125,000  9.250%, 12/15/28*   131,717 
180,000  Cushman & Wakefield U.S. Borrower LLC*     
   8.875%, 09/01/31   189,058 
500,000  Depository Trust & Clearing Corp.*~‡     
   3.375%, 06/20/26     
   5 year CMT + 2.61%   424,885 
   Discover Financial Services~‡     
660,000  6.125%, 06/23/25     
   5 year CMT + 5.78%   647,770 
650,000  5.500%, 10/30/27     
   3 mo. SOFR + 3.34%   538,109 
241,000  Enact Holdings, Inc.*~     
   6.500%, 08/15/25   240,605 
635,000  Enstar Finance, LLC~‡     
   5.500%, 01/15/42     
   5 year CMT + 4.01%   559,587 
1,500,000  Fifth Third Bancorp~‡     
   4.500%, 09/30/25     
   5 year CMT + 4.22%   1,420,020 
160,000  First Citizens BancShares, Inc.‡     
   9.618%, 01/04/27     
   3 mo. SOFR + 4.23%   163,774 
210,000  GGAM Finance, Ltd.*~     
   8.000%, 02/15/27   216,726 
238,000  Global Net Lease, Inc. / Global Net Lease Operating Partnership, LP*~     
   3.750%, 12/15/27   203,530 
   Goldman Sachs Group, Inc.~‡     
715,000  4.400%, 02/10/25     
   5 year CMT + 2.85%   681,652 
442,000  4.125%, 11/10/26     
   5 year CMT + 2.95%   402,644 
351,000  7.500%, 02/10/29     
   5 year CMT + 3.16%   368,827 
200,000  GTCR W-2 Merger Sub, LLC*~     
   7.500%, 01/15/31   208,546 
95,000  HAT Holdings I LLC / HAT Holdings II LLC*     
   8.000%, 06/15/27   98,539 
   HUB International, Ltd.*     
276,000  5.625%, 12/01/29~   260,594 
92,000  7.375%, 01/31/32   94,166 
   Huntington Bancshares, Inc.~‡     
940,000  4.450%, 10/15/27     
   7 year CMT + 4.05%   849,262 
505,000  5.625%, 07/15/30     
   10 year CMT + 4.95%   468,625 
144,000  Icahn Enterprises, LP / Icahn Enterprises Finance Corp.~     
   4.375%, 02/01/29   120,489 
510,000  ILFC E-Capital Trust II*~‡     
   7.436%, 12/21/65     
   3 mo. SOFR + 2.06%   404,236 
380,000  Iron Mountain, Inc.*~     
   5.250%, 03/15/28   368,798 
525,000  Jefferies Finance, LLC / JFIN Co-Issuer Corp.*~     
   5.000%, 08/15/28   474,022 
   JPMorgan Chase & Company‡     
2,585,000  3.650%, 06/01/26^     
   5 year CMT + 2.85%   2,387,920 
330,000  6.125%, 04/30/24     
   3 mo. SOFR + 3.59%   330,716 
430,000  KeyCorp~‡     
   5.000%, 09/15/26     
   3 mo. SOFR + 3.87%   383,779 
   Ladder Capital Finance Holdings, LLLP / Ladder Capital Finance Corp.*~     
379,000  5.250%, 10/01/25   372,955 
195,000  4.750%, 06/15/29   174,654 
175,000  LD Holdings Group, LLC*     
   6.125%, 04/01/28   142,796 
   Level 3 Financing, Inc.*     
200,000  4.250%, 07/01/28~   67,250 
90,000  4.625%, 09/15/27   47,515 
1,085,000  Liberty Mutual Group, Inc.*~‡     
   4.125%, 12/15/51     
   5 year CMT + 3.32%   950,503 
139,000  LPL Holdings, Inc.*~     
   4.000%, 03/15/29   128,190 
   M&T Bank Corp.‡     
355,000  6.450%, 05/15/24~     
   3 mo. SOFR + 3.87%   353,882 
200,000  5.125%, 11/01/26     
   3 mo. USD LIBOR + 3.52%   182,638 
200,000  5.000%, 08/01/24     
   5 year CMT + 3.17%   190,946 
185,000  Macquarie Airfinance Holdings, Ltd.*     
   8.125%, 03/30/29   192,115 
118,923  Mallinckrodt International Finance, SA / Mallinckrodt CB, LLC*     
   14.750%, 11/14/28   129,682 

 

See accompanying Notes to Schedule of Investments

 

5

 

 

Calamos Long/Short Equity & Dynamic Income Trust 

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL       
AMOUNT     VALUE 
670,000  Markel Corp.~‡     
   6.000%, 06/01/25     
   5 year CMT + 5.66%  $664,627 
   MetLife, Inc.~     
792,000  6.400%, 12/15/66   809,171 
605,000  3.850%, 09/15/25‡     
   5 year CMT + 3.58%   580,479 
255,000  Nationstar Mortgage Holdings, Inc.*~     
   5.500%, 08/15/28   242,936 
   Navient Corp.     
197,000  5.000%, 03/15/27   188,019 
100,000  4.875%, 03/15/28   90,956 
125,000  Necessity Retail REIT, Inc. / American Finance Operating Partner, LP*~     
   4.500%, 09/30/28   106,372 
95,000  Newmark Group, Inc.*     
   7.500%, 01/12/29   97,094 
545,000  Northern Trust Corp.~‡     
   4.600%, 10/01/26     
   3 mo. SOFR + 3.46%   522,873 
   OneMain Finance Corp.     
130,000  9.000%, 01/15/29~   137,041 
130,000  3.875%, 09/15/28~   114,247 
95,000  7.125%, 03/15/26   96,349 
98,000  Park Intermediate Holdings, LLC / PK Domestic Property, LLC / PK Finance Co-Issuer*     
   5.875%, 10/01/28   95,950 
1,148,000  PartnerRe Finance B, LLC~‡     
   4.500%, 10/01/50     
   5 year CMT + 3.82%   1,028,287 
295,000  PHH Mortgage Corp.*~     
   7.875%, 03/15/26   272,536 
   PNC Financial Services Group, Inc.~‡     
735,000  3.400%, 09/15/26     
   5 year CMT + 2.60%   634,900 
375,000  6.000%, 05/15/27     
   5 year CMT + 3.00%   359,419 
360,000  6.200%, 09/15/27     
   5 year CMT + 3.24%   353,430 
650,000  Progressive Corp.‡     
   8.185%, 02/22/24     
   3 mo. SOFR + 2.80%   650,286 
785,000  QBE Insurance Group, Ltd.*~‡     
   5.875%, 05/12/25     
   5 year CMT + 5.51%   773,602 
220,000  RHP Hotel Properties, LP / RHP Finance Corp.*~     
   4.500%, 02/15/29   204,673 
   Rocket Mortgage, LLC / Rocket Mortgage Co-Issuer, Inc.*~     
85,000  3.875%, 03/01/31   74,701 
85,000  3.625%, 03/01/29   75,865 
45,000  2.875%, 10/15/26   41,763 
199,000  StoneX Group, Inc.*~     
   8.625%, 06/15/25   201,275 
   Truist Financial Corp.~‡     
700,000  4.800%, 09/01/24     
   5 year CMT + 3.00%   669,585 
685,000  4.950%, 09/01/25     
   5 year CMT + 4.61%   667,567 
256,000  5.100%, 03/01/30     
   10 year CMT + 4.35%   237,289 
765,000  U.S. Bancorp~‡     
   5.300%, 04/15/27     
   3 mo. SOFR + 3.18%   720,125 
   United Wholesale Mortgage, LLC*~     
221,000  5.500%, 04/15/29   208,995 
90,000  5.750%, 06/15/27   88,460 
   Uniti Group, LP / Uniti Group Finance, Inc. / CSL Capital, LLC*     
93,000  10.500%, 02/15/28   94,641 
90,000  6.500%, 02/15/29~   63,513 
210,000  VZ Secured Financing, BV*~     
   5.000%, 01/15/32   183,637 
   Wells Fargo & Company~‡     
1,480,000  3.900%, 03/15/26     
   5 year CMT + 3.45%   1,388,196 
1,340,000  7.625%, 09/15/28     
   5 year CMT + 3.61%   1,410,457 
208,000  XHR, LP*~     
   6.375%, 08/15/25   208,343 
       49,458,190 
    Health Care (1.0%)     
   Bausch Health Companies, Inc.*     
318,000  11.000%, 09/30/28~   218,571 
72,000  6.125%, 02/01/27   45,698 
62,000  14.000%, 10/15/30   35,086 
   CHS/Community Health Systems, Inc.*     
377,000  6.125%, 04/01/30~   249,740 
108,000  6.875%, 04/15/29~   74,548 
104,000  8.000%, 03/15/26   102,473 
90,000  10.875%, 01/15/32   94,557 
24,000  5.250%, 05/15/30   19,950 
   DaVita, Inc.*     
222,000  3.750%, 02/15/31~   183,132 
197,000  4.625%, 06/01/30   174,449 
   Embecta Corp.*     
144,000  5.000%, 02/15/30~   117,985 
48,000  6.750%, 02/15/30   42,353 
   Encompass Health Corp.~     
100,000  4.750%, 02/01/30   94,001 
100,000  4.500%, 02/01/28   95,665 
200,000  Jazz Securities DAC*~     
   4.375%, 01/15/29   185,032 
   Medline Borrower, LP*~     
233,000  5.250%, 10/01/29   217,436 
230,000  3.875%, 04/01/29   208,504 
350,000  Organon & Company / Organon Foreign Debt Co-Issuer, BV*~     
   5.125%, 04/30/31   301,487 
470,000  Tenet Healthcare Corp.~     
   6.875%, 11/15/31   484,485 
   Teva Pharmaceutical Finance Netherlands III, BV     
230,000  5.125%, 05/09/29~   222,003 
200,000  4.750%, 05/09/27~   193,500 
115,000  3.150%, 10/01/26   107,362 
       3,468,017 
    Industrials (3.0%)     
220,000  ACCO Brands Corp.*~     
   4.250%, 03/15/29   199,665 
800,000  AerCap Holdings, NV~‡     
   5.875%, 10/10/79     
   5 year CMT + 4.54%   794,760 

 

See accompanying Notes to Schedule of Investments

 

6

 

 

Calamos Long/Short Equity & Dynamic Income Trust

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL       
AMOUNT     VALUE 
   Air Lease Corp.~‡     
885,000  4.125%, 12/15/26     
   5 year CMT + 3.15%  $750,091 
810,000  4.650%, 06/15/26     
   5 year CMT + 4.08%   749,161 
   Albertsons Companies, Inc. / Safeway, Inc. / New Albertsons, LP / Albertsons, LLC*     
315,000  4.625%, 01/15/27~   305,811 
145,000  5.875%, 02/15/28   144,926 
175,000  Allegiant Travel Company*~     
   7.250%, 08/15/27   171,237 
108,000  Arcosa, Inc.*     
   4.375%, 04/15/29   101,358 
740,000  ARD Finance, SA*~     
   6.500%, 06/30/27     
   7.250% PIK rate   359,107 
151,000  Beacon Roofing Supply, Inc.*     
   4.125%, 05/15/29   136,918 
   Bombardier, Inc.*     
90,000  8.750%, 11/15/30   94,705 
90,000  7.875%, 04/15/27   90,124 
191,000  BWX Technologies, Inc.*     
   4.125%, 04/15/29   177,267 
185,000  Cascades, Inc. / Cascades USA, Inc.*     
   5.375%, 01/15/28   181,555 
48,000  Delta Air Lines, Inc. / SkyMiles IP, Ltd.*~     
   4.750%, 10/20/28   47,247 
245,000  Deluxe Corp.*~     
   8.000%, 06/01/29   220,716 
188,000  Eco Material Technologies, Inc.*~     
   7.875%, 01/31/27   188,256 
92,000  Emerald Debt Merger Sub, LLC*     
   6.625%, 12/15/30   93,003 
   EnerSys*     
90,000  6.625%, 01/15/32   91,300 
85,000  4.375%, 12/15/27   80,541 
118,000  Graham Packaging Company, Inc.*     
   7.125%, 08/15/28   106,025 
88,000  Graphic Packaging International, LLC*     
   3.500%, 03/01/29   79,592 
203,000  Great Lakes Dredge & Dock Corp.*     
   5.250%, 06/01/29   176,308 
443,000  H&E Equipment Services, Inc.*~     
   3.875%, 12/15/28   402,598 
236,000  Hawaiian Brand Intellectual Property, Ltd. / HawaiianMiles Loyalty, Ltd.*~     
   5.750%, 01/20/26   221,958 
290,000  Herc Holdings, Inc.*~     
   5.500%, 07/15/27   285,044 
220,000  IEA Energy Services, LLC*~     
   6.625%, 08/15/29   207,060 
   JELD-WEN, Inc.*     
110,000  4.625%, 12/15/25   107,582 
95,000  4.875%, 12/15/27   90,731 
305,000  Ken Garff Automotive, LLC*~     
   4.875%, 09/15/28   285,019 
185,000  Knife River Holding Company*~     
   7.750%, 05/01/31   194,631 
51,000  MasTec, Inc.*     
   4.500%, 08/15/28   47,920 
107,000  Moog, Inc.*~     
   4.250%, 12/15/27   100,327 
230,000  Newfold Digital Holdings Group, Inc.*~     
   6.000%, 02/15/29   174,216 
172,000  Novelis Corp.*~     
   4.750%, 01/30/30   159,742 
70,000  OI European Group, BV*     
   4.750%, 02/15/30   64,856 
225,000  Pactiv Evergreen Group Issuer, Inc. / Pactiv Evergreen Group Issuer, LLC*~     
   4.000%, 10/15/27   210,071 
   Sealed Air Corp.*     
144,000  6.125%, 02/01/28   144,786 
48,000  5.000%, 04/15/29   46,300 
50,000  Sealed Air Corp./Sealed Air Corp. U.S.*     
   7.250%, 02/15/31   52,454 
98,000  Sensata Technologies, Inc.*     
   3.750%, 02/15/31   85,370 
   Sinclair Television Group, Inc.*     
141,000  4.125%, 12/01/30~   109,083 
100,000  5.500%, 03/01/30   77,120 
195,000  Standard Industries, Inc.*     
   5.000%, 02/15/27   189,682 
315,000  Stanley Black & Decker, Inc.~‡     
   4.000%, 03/15/60     
   5 year CMT + 2.66%   275,319 
150,000  Stericycle, Inc.*~     
   3.875%, 01/15/29   136,563 
45,000  Summit Materials LLC / Summit Materials Finance Corp.*     
   7.250%, 01/15/31   46,805 
   TransDigm, Inc.     
195,000  6.875%, 12/15/30*~   200,548 
140,000  6.750%, 08/15/28*   142,474 
135,000  7.500%, 03/15/27~   135,444 
103,000  6.250%, 03/15/26*   102,513 
70,000  7.125%, 12/01/31*   73,028 
186,000  Tronox, Inc.*~     
   4.625%, 03/15/29   164,439 
70,780  United Airlines Pass Through Trust Series 2019-2, Class B     
   3.500%, 11/01/29   64,730 
187,000  Vertiv Group Corp.*~     
   4.125%, 11/15/28   174,166 
201,000  Wabash National Corp.*     
   4.500%, 10/15/28   183,302 
150,000  Waste Pro USA, Inc.*     
   5.500%, 02/15/26   145,757 
   Williams Scotsman, Inc.*     
107,000  4.625%, 08/15/28~   101,030 
90,000  7.375%, 10/01/31   94,368 
       10,636,709 
Information Technology (0.8%)
46,000  Booz Allen Hamilton, Inc.*     
   4.000%, 07/01/29   43,209 
112,000  Coherent Corp.*~     
   5.000%, 12/15/29   104,903 
194,000  CommScope Technologies, LLC*     
   6.000%, 06/15/25   154,405 
175,000  CommScope, Inc.*~     
   4.750%, 09/01/29   115,883 

 

See accompanying Notes to Schedule of Investments

 

7

 

 

Calamos Long/Short Equity & Dynamic Income Trust

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL       
AMOUNT     VALUE 
96,000  Dun & Bradstreet Corp.*     
   5.000%, 12/15/29  $89,347 
56,000  Fair Isaac Corp.*     
   4.000%, 06/15/28   52,203 
210,000  KBR, Inc.*     
   4.750%, 09/30/28   193,750 
   MPH Acquisition Holdings, LLC*~     
210,000  5.750%, 11/01/28   167,208 
95,000  5.500%, 09/01/28   84,478 
93,000  NCL Corp., Ltd.*     
   8.125%, 01/15/29   97,631 
96,000  NCR Voyix Corp.*     
   5.125%, 04/15/29   90,400 
143,000  ON Semiconductor Corp.*~     
   3.875%, 09/01/28   131,288 
   Open Text Corp.*~     
129,000  3.875%, 02/15/28   119,922 
90,000  6.900%, 12/01/27   93,556 
72,000  3.875%, 12/01/29   65,023 
72,000  Open Text Holdings, Inc.*~     
   4.125%, 12/01/31   63,750 
172,000  Playtika Holding Corp.*~     
   4.250%, 03/15/29   149,243 
265,000  TTM Technologies, Inc.*~     
   4.000%, 03/01/29   239,817 
   Twilio, Inc.~     
130,000  3.625%, 03/15/29   117,545 
47,000  3.875%, 03/15/31   41,449 
69,000  UKG, Inc.*     
   6.875%, 02/01/31   69,852 
205,000  Viavi Solutions, Inc.*     
   3.750%, 10/01/29   178,690 
220,000  ZoomInfo Technologies, LLC / ZoomInfo Finance Corp.*~     
   3.875%, 02/01/29   196,020 
       2,659,572 
Materials (0.7%)
150,000  ArcelorMittal, SA~     
   7.000%, 10/15/39   163,765 
90,000  ATI, Inc.     
   5.875%, 12/01/27   88,620 
46,000  Carpenter Technology Corp.~     
   7.625%, 03/15/30   47,604 
145,000  Chemours Company*~     
   4.625%, 11/15/29   126,937 
300,000  Clearwater Paper Corp.*~     
   4.750%, 08/15/28   281,697 
139,000  Cleveland-Cliffs, Inc.*     
   6.750%, 04/15/30   140,282 
   Commercial Metals Company     
96,000  4.125%, 01/15/30   87,861 
48,000  4.375%, 03/15/32   42,969 
250,000  Constellium, SE*~     
   3.750%, 04/15/29   225,395 
96,000  HB Fuller Company     
   4.250%, 10/15/28   89,555 
165,000  Kaiser Aluminum Corp.*     
   4.625%, 03/01/28   152,155 
53,000  LSF11 A5 HoldCo, LLC*     
   6.625%, 10/15/29   45,187 
   Mercer International, Inc.     
244,000  5.125%, 02/01/29~   209,491 
90,000  12.875%, 10/01/28*   96,783 
200,000  OCI, NV*~     
   6.700%, 03/16/33   199,968 
   Owens-Brockway Glass Container, Inc.*     
135,000  7.250%, 05/15/31   136,282 
100,000  6.625%, 05/13/27   100,124 
80,000  Silgan Holdings, Inc.~     
   4.125%, 02/01/28   75,370 
96,000  Trinseo Materials Operating SCA / Trinseo Materials Finance, Inc.*     
   5.125%, 04/01/29   37,726 
       2,347,771 
Other (0.1%)
   Gen Digital, Inc.*     
90,000  7.125%, 09/30/30   93,396 
90,000  6.750%, 09/30/27   91,506 
       184,902 
Real Estate (0.2%)
152,000  EPR Properties     
   3.750%, 08/15/29   135,541 
   Forestar Group, Inc.*     
139,000  5.000%, 03/01/28   132,214 
97,000  3.850%, 05/15/26   92,254 
211,000  MIWD Holdco II, LLC / MIWD Finance Corp.*~     
   5.500%, 02/01/30   192,284 
95,000  Service Properties Trust     
   5.250%, 02/15/26   92,061 
       644,354 
Special Purpose Acquisition Companies (0.1%)
   Fertitta Entertainment, LLC / Fertitta Entertainment Finance Company, Inc.*     
185,000  6.750%, 01/15/30~   166,535 
96,000  4.625%, 01/15/29   88,486 
       255,021 
Utilities (2.6%)
910,000  Algonquin Power & Utilities Corp.~‡     
   4.750%, 01/18/82     
   5 year CMT + 3.25%   791,272 
200,000  American Electric Power Company, Inc.‡     
   3.875%, 02/15/62     
   5 year CMT + 2.68%   175,548 
590,000  CMS Energy Corp.~‡     
   4.750%, 06/01/50     
   5 year CMT + 4.12%   533,041 
   Dominion Energy, Inc.~‡     
580,000  4.650%, 12/15/24     
   5 year CMT + 2.99%   561,243 
367,000  4.350%, 01/15/27     
   5 year CMT + 3.20%   334,102 
   Duke Energy Corp.~‡     
800,000  4.875%, 09/16/24     
   5 year CMT + 3.39%   794,000 
368,000  3.250%, 01/15/82     
   5 year CMT + 2.32%   301,149 
655,000  Emera, Inc.~‡     
   6.750%, 06/15/76     
   3 mo. USD LIBOR + 5.44%   646,282 

 

See accompanying Notes to Schedule of Investments

 

8

 

 

Calamos Long/Short Equity & Dynamic Income Trust

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL       
AMOUNT     VALUE 
   National Rural Utilities Cooperative Finance Corp.~‡     
712,000  7.125%, 09/15/53     
   5 year CMT + 3.53%  $738,038 
385,000  5.250%, 04/20/46     
   3 mo. USD LIBOR + 3.63%   372,688 
770,000  NextEra Energy Capital Holdings, Inc.~‡     
   3.800%, 03/15/82     
   5 year CMT + 2.55%   676,868 
434,000  PPL Capital Funding, Inc.~‡     
   8.275%, 03/30/67     
   3 mo. SOFR + 2.93%   416,471 
   Sempra~‡     
560,000  4.875%, 10/15/25     
   5 year CMT + 4.55%   549,847 
240,000  4.125%, 04/01/52     
   5 year CMT + 2.87%   212,947 
   Southern Company~‡     
1,028,000  4.000%, 01/15/51     
   5 year CMT + 3.73%   989,378 
280,000  3.750%, 09/15/51     
   5 year CMT + 2.92%   261,842 
   Vistra Corp.*‡     
305,000  7.000%, 12/15/26~     
   5 year CMT + 5.74%   297,741 
185,000  8.000%, 10/15/26     
   5 year CMT + 6.93%   185,857 
205,000  WEC Energy Group, Inc.‡     
   7.754%, 05/15/67     
   3 mo. SOFR + 2.37%   194,250 
       9,032,564 
   Total Corporate Bonds     
   (Cost $122,567,583)   115,483,658 
         
Convertible Bonds (0.2%)
Communication Services (0.1%)
183,000  Cable One, Inc.µ     
   0.000%, 03/15/26   157,217 
         
Consumer Discretionary (0.1%)
   DISH Network Corp.µ     
166,000  2.375%, 03/15/24   162,755 
272,000  0.000%, 12/15/25   194,684 
       357,439 
Other (0.0%)
95,000  Multiplan Corp.*µ     
   6.000%, 10/15/27   66,540 
   Total Convertible Bonds     
   (Cost $596,513)   581,196 
         
Bank Loans (2.7%) ¡
Airlines (0.1%)
140,250  American Airlines, Inc.‡     
   10.329%, 04/20/28     
   3 mo. SOFR + 4.75%   143,922 
129,500  Mileage Plus Holdings, LLC‡     
   10.770%, 06/21/27     
   3 mo. SOFR + 5.25%   133,641 
       277,563 
Communication Services (0.2%)
48,730  Clear Channel Outdoor Holdings, Inc.‡     
   9.074%, 08/21/26     
   3 mo. SOFR + 3.50%  48,247 
297,432  DirecTV Financing, LLC!     
   0.000%, 08/02/29   297,681 
284,000  Entercom Media Corp.‡&     
   8.149%, 11/18/24     
   3 mo. SOFR + 2.50%   159,461 
90,000  Telesat Canada‡     
   8.400%, 12/07/26     
   3 mo. SOFR + 2.75%   55,249 
       560,638 
Consumer Discretionary (0.5%)
144,000  American Axle & Manufacturing, Inc.‡     
   8.936%, 12/13/29     
   1 mo. SOFR + 3.50%   144,271 
178,650  Caesars Entertainment, Inc.‡     
   8.663%, 02/06/30     
   3 mo. SOFR + 3.25%   178,793 
209,466  Carnival Corp.‡     
   8.697%, 10/18/28     
   1 mo. SOFR + 3.25%   209,760 
184,075  Carnival Corp.‡     
   8.336%, 08/08/27     
   1 mo. SOFR + 3.00%   184,397 
188,575  Hanesbrands, Inc.‡     
   9.083%, 03/08/30     
   1 mo. SOFR + 3.75%   187,868 
109,382  Life Time Fitness, Inc.‡     
   9.824%, 01/15/26     
   3 mo. SOFR + 4.25%   110,148 
109,050  Petco Health & Wellness Company, Inc.‡     
   8.860%, 03/03/28     
   3 mo. SOFR + 3.25%   102,656 
311,841  PetSmart, Inc.‡     
   9.183%, 02/11/28     
   1 mo. SOFR + 3.75%   310,835 
124,057  TKC Holdings, Inc.‡     
   10.947%, 05/15/28     
   1 mo. SOFR + 5.50%   120,304 
184,888  Windsor Holdings III, LLC‡     
   9.848%, 08/01/30     
   1 mo. SOFR + 4.50%   185,376 
       1,734,408 
Consumer Staples (0.2%)
382,823  Amneal Pharmaceuticals, LLC‡     
   10.833%, 05/04/28     
   1 mo. SOFR + 5.50%   380,909 
197,601  Jazz Financing Lux Sarl‡     
   8.447%, 05/05/28     
   1 mo. SOFR + 3.00%   197,724 
20,000  Shearer's Foods, Inc.‡     
   1.000%, 01/31/31   19,963 
185,000  Star Parent, Inc.‡     
   9.348%, 09/27/30     
   3 mo. SOFR + 4.00%   180,953 

 

See accompanying Notes to Schedule of Investments

 

9

 

 

Calamos Long/Short Equity & Dynamic Income Trust

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL       
AMOUNT     VALUE 
96,269  United Natural Foods, Inc.‡!     
   8.697%, 10/22/25     
   1 mo. SOFR + 3.25%  $96,204 
       875,753 
Energy (0.1%)
140,000  Buckeye Partners, LP‡     
   7.833%, 11/22/30     
   1 mo. SOFR + 2.50%   140,117 
100,000  New Fortress Energy, Inc.‡     
   10.317%, 10/27/28     
   3 mo. SOFR + 5.00%   100,200 
238,424  Par Petroleum, LLC‡     
   9.738%, 02/28/30     
   3 mo. SOFR + 4.25%   238,633 
       478,950 
Financials (0.4%)
45,000  Advisor Group, Inc.‡     
   9.833%, 08/17/28     
   1 mo. SOFR + 4.50%   45,014 
150,835  Alliant Holdings Intermediate LLC‡     
   8.833%, 11/06/30     
   1 mo. SOFR + 3.50%   151,321 
134,326  Amynta Agency Borrower, Inc.‡     
   9.583%, 02/28/28     
   1 mo. SOFR + 4.25%   134,541 
172,802  AssuredPartners, Inc.‡     
   8.833%, 02/12/27     
   1 mo. SOFR + 3.50%   172,441 
139,650  Avolon TLB Borrower 1, LLC‡     
   7.337%, 06/22/28     
   1 mo. SOFR + 2.00%   139,778 
100,000  Broadstreet Partners, Inc.‡     
   9.083%, 01/27/29     
   1 mo. SOFR + 3.75%   100,062 
180,000  HUB International, Ltd.!     
   0.000%, 06/20/30   180,310 
140,000  Iron Mountain, Inc.‡     
   7.569%, 01/31/31     
   3 mo. SOFR + 2.25%   139,432 
249,456  VFH Parent, LLC‡     
   8.433%, 01/13/29     
   1 mo. SOFR + 3.00%   249,331 
       1,312,230 
Health Care (0.3%)
96,747  Icon Luxembourg Sarl‡     
   7.860%, 07/03/28     
   3 mo. SOFR + 2.25%   96,959 
207,059  Padagis, LLC‡     
   10.341%, 07/06/28     
   3 mo. SOFR + 4.75%   200,848 
24,105  PRA Health Sciences, Inc.‡     
   7.860%, 07/03/28     
   3 mo. SOFR + 2.25%   24,157 
809,005  Team Health Holdings, Inc.‡     
   10.563%, 03/02/27     
   3 mo. SOFR + 5.25%   676,531 
2,313  Team Health Holdings, Inc.‡     
   10.583%, 03/02/27     
   1 mo. SOFR + 5.25%   1,934 
       1,000,429 
Industrials (0.3%)
97,500  ACProducts, Inc.‡     
   9.860%, 05/17/28     
   3 mo. SOFR + 4.25%   84,592 
85,300  ACProducts, Inc.!     
   0.000%, 05/17/28   74,008 
118,200  Air Canada‡     
   9.139%, 08/11/28     
   3 mo. SOFR + 3.50%   118,468 
172,804  ChampionX Corp.‡     
   8.187%, 06/07/29     
   1 mo. SOFR + 2.75%   173,560 
121,560  Emrld Borrower, LP‡     
   8.313%, 05/31/30     
   1 mo. SOFR + 3.00%   121,735 
197,000  Light and Wonder International, Inc.‡     
   8.083%, 04/14/29     
   1 mo. SOFR + 3.00%   197,000 
180,000  TransDigm, Inc.‡     
   8.598%, 02/14/31     
   3 mo. SOFR + 3.25%   180,433 
193,508  United Airlines, Inc.‡     
   9.201%, 04/21/28     
   1 mo. SOFR + 3.75%   194,128 
       1,143,924 
Information Technology (0.2%)
241,785  Banff Merger Sub, Inc.‡     
   9.583%, 12/29/28     
   1 mo. SOFR + 4.25%   242,389 
196,369  Camelot Finance SA‡     
   8.337%, 10/30/26     
   1 mo. SOFR + 3.00%   196,467 
169,663  Central Parent, Inc.‡     
   9.348%, 07/06/29     
   3 mo. SOFR + 4.00%   170,193 
171,504  II-VI, Inc.‡     
   8.087%, 07/02/29     
   1 mo. SOFR + 2.75%   171,033 
       780,082 
Materials (0.3%)
134,663  Chemours Company‡     
   8.833%, 08/18/28     
   1 mo. SOFR + 3.50%   134,528 
184,075  Ineos US Finance, LLC‡     
   8.837%, 02/18/30     
   1 mo. SOFR + 3.50%   182,291 
138,961  Innophos, Inc.‡     
   8.697%, 02/05/27     
   1 mo. SOFR + 3.25%   137,369 
233,825  LSF11 A5 Holdco, LLC‡     
   9.683%, 10/15/28     
   1 mo. SOFR + 4.25%   234,118 
134,198  Trinseo Materials Operating SCA‡     
   8.150%, 05/03/28     
   3 mo. SOFR + 2.50%   103,042 
188,306  W.R. Grace & Co.-Conn.‡     
   9.360%, 09/22/28     
   3 mo. SOFR + 3.75%   188,761 
       980,109 

 

See accompanying Notes to Schedule of Investments

 

10

 

 

Calamos Long/Short Equity & Dynamic Income Trust

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

PRINCIPAL       
AMOUNT     VALUE 
        
    Special Purpose Acquisition Companies (0.1%)
98,500  Clydesdale Acquisition Holdings, Inc.‡     
   9.108%, 04/13/29     
   1 mo. SOFR + 3.67%  $97,992 
44,213  Fertitta Entertainment, LLC‡     
   9.333%, 01/27/29     
   1 mo. SOFR + 4.00%   44,144 
177,750  Patagonia Holdco, LLC‡     
   11.116%, 08/01/29     
   3 mo. SOFR + 5.75%   163,441 
       305,577 
   Total Bank Loans     
   (Cost $9,672,716)   9,449,663 
         
Convertible Preferred Stocks (0.2%)
Energy (0.1%)
14,700  Equitrans Midstream Corp.~‡‡     
   9.750%   323,400 
         
Real Estate (0.1%)
8,025  Realty Income Corp.µ‡‡     
   6.000%   199,822 
   Total Convertible Preferred Stocks     
   (Cost $534,117)   523,222 
         
Preferred Stocks (2.6%)
Communication Services (0.6%)
21,155  AT&T, Inc.µ     
   4.750%, 02/18/25   445,947 
9,450  AT&T, Inc.µ     
   5.350%, 11/01/66   226,800 
36,510  Qwest Corp.µ     
   6.500%, 09/01/56   339,543 
22,306  Telephone & Data Systems, Inc.µ     
   6.000%, 09/30/26   367,826 
26,898  United States Cellular Corp.µ     
   5.500%, 03/01/70   497,882 
22,660  United States Cellular Corp.µ     
   5.500%, 06/01/70   415,811 
       2,293,809 
Consumer Discretionary (0.3%)
7,685  Ford Motor Company~µ     
   6.200%, 06/01/59   194,815 
7,236  Ford Motor Companyµ     
   6.500%, 08/15/62   179,815 
3,615  Guitar Center, Inc.&#     
       296,430 
3,120  Qurate Retail, Inc.µ     
   8.000%, 03/15/31   123,427 
9,600  QVC, Inc.µ     
   6.250%, 11/26/68   115,488 
       909,975 
Energy (0.5%)
31,635  Energy Transfer, LP‡     
   10.364%, 02/09/24     
   3 mo. USD LIBOR + 4.74%   809,540 
22,515  NuStar Energy, LP~‡     
   11.282%, 03/01/24     
   3 mo. SOFR + 5.90%   578,635 
17,500  NuStar Logistics, LP~‡     
   12.310%, 01/15/43     
   3 mo. SOFR + 7.00%   452,550 
       1,840,725 
Financials (0.7%)
15,560  Annaly Capital Management, Inc.‡     
   10.585%, 03/01/24     
   3 mo. USD LIBOR + 4.99%   397,091 
3,675  Capital One Financial Corp.µ     
   4.800%, 06/01/25   71,258 
27,375  CNO Financial Group, Inc.µ     
   5.125%, 11/25/60   472,219 
4,608  Cullen/Frost Bankers, Inc.µ     
   4.450%, 12/15/25   85,248 
8,134  First Citizens BancShares, Inc.µ     
   5.625%, 01/04/27   186,269 
3,288  Goldman Sachs Group, Inc.‡µ     
   6.375%, 05/10/24     
   3 mo. SOFR + 3.81%   84,534 
28,900  Reinsurance Group of America, Inc.‡µ     
   7.125%, 10/15/52     
   5 year CMT + 3.46%   758,914 
16,896  Selective Insurance Group, Inc.µ     
   4.600%, 12/15/25   305,649 
       2,361,182 
Industrials (0.1%)
12,312  WESCO International, Inc.‡µ     
   10.625%, 06/22/25     
   5 year CMT + 10.33%   330,085 
         
Real Estate (0.2%)
23,352  Brookfield Property Partners, LP~     
   5.750%, 03/31/25   270,650 
12,800  Brookfield Property Partners, LP~     
   6.375%, 09/30/24   162,560 
6,245  Global Net Lease, Inc.µ     
   6.875%, 11/26/24   129,334 
5,466  Global Net Lease, Inc.µ‡‡     
       118,448 
       680,992 
Utilities (0.2%)
14,975  Brookfield Renewable Partners, LP~     
   5.250%, 03/31/25   262,062 
13,450  DTE Energy Company~µ     
   5.250%, 12/01/77   318,227 
       580,289 
   Total Preferred Stocks     
   (Cost $10,066,112)   8,997,057 

 

See accompanying Notes to Schedule of Investments

 

11

 

 

Calamos Long/Short Equity & Dynamic Income Trust

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

Number of       
SHARES     VALUE 
        
Common Stocks (83.6%)
    Communication Services (4.5%)
111,000  Alphabet, Inc. - Class Aµ#  $15,551,100 
3,935  Altice USA, Inc. - Class A#   9,602 
1,322  Cumulus Media, Inc. - Class Aµ#   6,081 
       15,566,783 
    Consumer Discretionary (10.5%)
94,500  Amazon.com, Inc.µ#   14,666,400 
93,000  Hyatt Hotels Corp. - Class A~µ   11,938,410 
40,500  Marriott International, Inc. - Class A~   9,709,065 
       36,313,875 
    Consumer Staples (2.9%)
1,522  Mallinckrodt, PLC#   58,216 
122,500  Sysco Corp.µ   9,913,925 
       9,972,141 
    Energy (2.8%)
266,000  BP, PLC (ADR)~   9,336,600 
260  Chesapeake Energy Corp.µ   20,049 
12,950  Energy Transfer, LP~   185,185 
3,970  Enterprise Products Partners, LP   106,237 
       9,648,071 
    Financials (5.4%)
127,000  Morgan Stanley~µ   11,079,480 
153,500  Wells Fargo & Companyµ   7,702,630 
       18,782,110 
    Health Care (14.2%)
48,500  Danaher Corp.µ   11,635,635 
132,000  Medtronic, PLCµ   11,555,280 
109,000  Merck & Company, Inc.µ   13,165,020 
104,500  Zimmer Biomet Holdings, Inc.~µ   13,125,200 
       49,481,135 
    Industrials (22.1%)
34,000  3M Companyµ   3,207,900 
153,000  Air Lease Corp.µ   6,396,930 
20,000EUR  Airbus, SE   3,185,717 
559,000  American Airlines Group, Inc.~µ#   7,954,570 
375,000  CSX Corp.~µ   13,387,500 
50,000  Honeywell International, Inc.µ   10,113,000 
62,900  L3Harris Technologies, Inc.µ   13,109,618 
3,500  Lockheed Martin Corp.~   1,502,935 
30,500  Union Pacific Corp.µ   7,439,865 
254,000  United Airlines Holdings, Inc.µ#   10,510,520 
       76,808,555 
    Information Technology (21.2%)
41,800  Microsoft Corp.µ   16,618,844 
42,700  NVIDIA Corp.µ   26,272,029 
130,000  Oracle Corp.µ   14,521,000 
143,500  Taiwan Semiconductor Manufacturing Company, Ltd. (ADR)~   16,209,760 
       73,621,633 
    Special Purpose Acquisition Company (0.0%)
1,380  Intelsat Emergence, SA~&#   37,605 
   Total Common Stocks     
   (Cost $289,021,100)   290,231,908 

 

NUMBER OF            
CONTRACTS/            
NOTIONAL            
AMOUNT       VALUE  
           
Purchased Options (1.0%) #
Communication Services (0.1%)
    Alphabet, Inc.        
1,110            
11,235,420   Call, 02/09/24, Strike $143.00   $  147,630   
555            
5,617,710   Put, 02/02/24, Strike $143.00     188,700  
100   Meta Platforms, Inc.        
3,901,400   Put, 02/02/24, Strike $370.00     50,750   
          387,080  
Consumer Discretionary (0.1%)
940   Amazon.com, Inc.        
14,588,800   Call, 02/02/24, Strike $160.00     305,500  
Consumer Staples (0.0%)
1,225   Sysco Corp.        
9,913,925   Put, 02/16/24, Strike $75.00     6,125  
Financials (0.1%)
3,070   Wells Fargo & Company        
15,405,260   Call, 02/16/24, Strike $51.00     164,245  
Industrials (0.0%)
135   Eaton Corp., PLC        
3,322,080   Put, 02/16/24, Strike $240.00     56,025  
2,550   United Airlines Holdings, Inc.        
10,551,900   Call, 02/02/24, Strike $42.00     68,850  
          124,875  
Information Technology (0.4%)
378   Microsoft Corp.        
10,290,294   Call, 02/02/24, Strike $380.00     674,730  
785   Taiwan Semiconductor Manufacture        
7,068,140   Call, 02/16/24, Strike $105.00     677,062  
          1,351,792  
Other (0.3%)
    SPDR S&P 500 ETF Trust        
1,740            
84,021,120   Put, 03/15/24, Strike $465.00     489,810  
1,675            
80,882,400   Call, 02/02/24, Strike $491.00     46,063   
1,350            
65,188,800   Put, 02/02/24, Strike $487.00     607,500   
          1,143,373  
    Total Purchased Options        
    (Cost $4,182,196)     3,482,990  
    TOTAL INVESTMENTS (123.5%)        
    (Cost $436,774,369)     428,883,118  
             
LIABILITIES, LESS OTHER ASSETS (-23.5%)     (81,484,207 )
         
NET ASSETS (100.0%)   $ 347,398,911  

 

See accompanying Notes to Schedule of Investments

 

12

 

 

Calamos Long/Short Equity & Dynamic Income Trust

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

NUMBER OF       
SHARES     VALUE 
        
Common Stocks Sold Short (-12.9%) #
Consumer Discretionary (-1.3%)
(24,000 Tesla, Inc.  $(4,494,960)
         
Financials (-2.3%)
(234,000 Bank of America Corp.   (7,958,340)
         
Health Care (-0.9%)
(1,300 Mettler-Toledo International, Inc.   (1,556,347)
(9,300 ResMed, Inc.   (1,768,860)
       (3,325,207)
Industrials (-1.5%)
(80,000 Uber Technologies, Inc.   (5,221,600)
         
Information Technology (-6.9%)
(2,900 KLA Corp.   (1,722,716)
(12,000 Lam Research Corp.   (9,902,040)
(29,800 Microchip Technology, Inc.   (2,538,364)
(34,500 Salesforce, Inc.   (9,697,605)
       (23,860,725)
   Total Common Stocks Sold Short     
   (Proceeds $38,027,709)   (44,860,832)
         
Exchange-Traded Funds Sold Short (-58.0%) #
Other (-58.0%)
(385,900) SPDR S&P 500 ETF Trust   (186,343,392)
(82,000 VanEck Semiconductor ETF   (15,241,340)
         
   Total Exchange-Traded Funds Sold Short     
   (Proceeds $185,028,369)   (201,584,732)
         
TOTAL SECURITIES SOLD SHORT     
(Proceeds $223,056,078)   (246,445,564)

 
NUMBER OF            
CONTRACTS/            
NOTIONAL            
AMOUNT       VALUE  
           
Written Options (-1.5%) #
Communication Services (0.0%)
(100 )  Meta Platforms, Inc.        
(3,901,400 Put, 02/02/24, Strike $350.00     (14,150 )
             
Consumer Discretionary (-0.1%)
(475 )  Amazon.com, Inc.        
(7,372,000 )  Call, 03/15/24, Strike $180.00     (52,963 )
(465 )          
(7,216,800 Call, 02/16/24, Strike $175.00     (39,757 )
(240 Tesla, Inc.        
(4,494,960 Put, 02/09/24, Strike $190.00     (154,200 )
          (246,920 )
Consumer Staples (-0.1%)
(1,225 Sysco Corp.        
(9,913,925 Call, 03/15/24, Strike $80.00     (327,688 )
             
Energy (0.0%)
(12,700 )GBP  Lloyds Banking Group, PLC        
(5,371,973 )  Put, 02/16/24, Strike 0.40     (72,426 )
             
Financials (-0.1%)
(2,340 )  Bank Of America Corp.        
(7,958,340 ) Put, 02/16/24, Strike $32.00     (23,400 )
(1,535 )  Wells Fargo & Company        
(7,702,630 )  Call, 02/16/24, Strike $50.00     (144,290 )
          (167,690 )
Health Care (0.0%)
(265 )  Zimmer Biomet Holdings, Inc.        
(3,328,400 )  Call, 02/16/24, Strike $130.00     (64,925 )
             
Industrials (-0.1%)
(700 )  3M Company        
(6,604,500 Put, 02/16/24, Strike $92.00     (76,300 )
    Airbus, SE        
(205 )           
(3,021,522 )EUR  Put, 02/16/24, Strike 145.00     (51,841 )
(205          
(3,021,522 )EUR  Put, 02/16/24, Strike 142.00     (31,016 )
    Eaton Corp., PLC        
(135          
(3,322,080 ) Put, 02/16/24, Strike $230.00     (21,600 )
(135 )           
(3,322,080 )  Call, 03/15/24, Strike $270.00     (24,975 )
(3,400 ) United Airlines Holdings, Inc.        
(14,069,200 )  Call, 03/15/24, Strike $49.00     (81,600 )
          (287,332 )
Information Technology (-0.9%)
(497 )  Apple, Inc.        
(7,822,780 Call, 02/16/24, Strike $200.00     (24,104 )
(716 Microsoft Corp.        
(19,491,668 Call, 03/15/24, Strike $415.00     (386,640 )
(427 Nvidia Corp.        
(11,059,300 Call, 03/15/24, Strike $620.00     (1,568,158 )
(54 NVIDIA Corp.        
(1,398,600 Call, 04/19/24, Strike $700.00     (110,160 )
(785 Taiwan Semiconductor Manufacturing Company, Ltd.        
(7,068,140 Call, 02/16/24, Strike $100.00     (1,047,975 )
          (3,137,037 )
Other (-0.2%)
    SPDR S&P 500 ETF Trust        
(2,610 )           
(126,031,680 )  Put, 04/19/24, Strike $420.00     (358,875 )
(1,350          
(65,188,800 )  Put, 02/16/24, Strike $475.00     (265,950 )
          (624,825 )

 

See accompanying Notes to Schedule of Investments

 

13

 

 

Calamos Long/Short Equity & Dynamic Income Trust

SCHEDULE OF INVESTMENTS JANUARY 31, 2024 (UNAUDITED)

 

NUMBER OF            
CONTRACTS/            
NOTIONAL            
AMOUNT       VALUE  
    Real Estate (0.0%)
         
(130) Digital Realty Trust, Inc.     
(1,825,980) Call, 02/16/24, Strike $135.00  $(104,000)
   Total Written Options     
   (Premium $2,950,647)   (5,046,993)

 

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 Funds. 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.
~ Security, or portion of security, is segregated as collateral (or potential collateral for future transactions) for written options. The aggregate value of such securities is $125,181,604.
@ In default status and considered non-income producing.
Variable rate security. The rate shown is the rate in effect at January 31, 2024.
^ 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 $214,034,455.
¡ 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.
& Illiquid security.
‡‡ Perpetual maturity.
# Non-income producing security.

 

ABBREVIATION

ADR American Depositary Receipt.

 

FOREIGN CURRENCY ABBREVIATIONS

EUR European Monetary Unit
GBP British Pound Sterling

 

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.

 

The following table summarizes the Fund's investments and derivative financial instruments categorized in the fair value hierarchy as of January 31, 2024 (see Note 2):

 

   LEVEL 1   LEVEL 2   LEVEL 3   TOTAL 
Assets:                    
Asset Backed Security  $   $133,424   $   $133,424 
Corporate Bonds       115,483,658        115,483,658 
Convertible Bonds       581,196        581,196 
Bank Loans       9,449,663        9,449,663 
Convertible Preferred Stocks   199,822    323,400        523,222 
Preferred Stocks   8,700,627    296,430        8,997,057 
Common Stocks   286,950,370    3,281,538        290,231,908 
Purchased Options   3,482,990            3,482,990 
Total  $299,333,809   $129,549,309   $   $428,883,118 
                     
Liabilities:                    
Common Stocks Sold Short  $44,860,832   $   $   $44,860,832 
Exchange-traded Funds Sold Short   201,584,732            201,584,732 
Written Options   5,046,993            5,046,993 
Total  $251,535,161   $   $   $251,535,161 

 

See accompanying Notes to Schedule of Investments

 

14

 

 

Notes to Schedule of Investments (Unaudited)

 

Note 1 – Organization and Significant Accounting Policies

 

Organization. Calamos Convertible Opportunities and Income Fund (“CHI”), Calamos Convertible and High Income Fund (“CHY”), Calamos Strategic Total Return Fund (“CSQ”), Calamos Dynamic Convertible and Income Fund (“CCD”), Calamos Global Dynamic Income Fund (“CHW”), Calamos Global Total Return Fund (“CGO”), and Calamos Long/Short Equity & Dynamic Income Trust (“CPZ”) (each a “Fund”, and collectively, the “Funds”) were each organized as Delaware statutory trusts and are each registered under the Investment Company Act of 1940, as amended (the “1940 Act”) as a diversified, closed-end management investment company.

 

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 Funds 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 Funds:

 

Fund Valuation. Each Board of Trustees (“Board” or “Trustees”), including a majority of the Trustees who are not “interested persons” of each Fund, have designated Calamos Advisors LLC (“Calamos Advisors”, or the “Advisor”) to perform fair valuation determinations related to all Funds' investments under the oversight of the Board. As “valuation designee” Calamos Advisors has adopted policies and procedures to guide the determination of the net asset value (“NAV”) on any day on which each Fund's NAV is determined. The valuation of each Fund's investments is in accordance with these procedures.

 

Funds' 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 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. 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 or based on a quotation provided by the counterparty to such option under the ultimate supervision of the Board.

 

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 each 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 each Fund's NAV is not calculated.

 

If the Advisor's 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 Funds also may use fair value pricing, pursuant to policies and procedures 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 a 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 each Fund to calculate its NAV may differ from market quotations or official closing prices. There can be no assurance that each Fund could purchase or sell a portfolio security at the price used to calculate each Fund’s 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, each Fund may purchase or write (sell) put and call options. One of the risks associated with purchasing an option is that each Fund pays a premium whether or not the option is exercised. Additionally, each 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 – Fair Value Measurements

 

Various inputs are used to determine the value of each Fund's investments. These inputs are categorized into three broad levels as follows:

 

·Level 1 – Prices are determined using inputs from unadjusted quoted prices from active markets (including securities actively traded on a securities exchange) for identical assets.

 

 

 

 

·Level 2 – Prices are determined using significant observable market inputs other than unadjusted quoted prices, including quoted prices of similar securities, fair value adjustments to quoted foreign securities, interest rates, credit risk, prepayment speeds, and other relevant data.

 

·Level 3 – Prices reflect unobservable market inputs (including each Fund's own judgments about assumptions market participants would use in determining fair value) when observable inputs are unavailable.

 

Debt securities are valued based upon evaluated prices received from an independent pricing service or from a dealer or broker who makes markets in such securities. Pricing services utilize various observable market data and as such, debt securities are generally categorized as Level 2. The levels are not necessarily an indication of the risk or liquidity of each Fund's investments. The summary of the inputs used in valuing each Fund's holdings are available after each Fund's Portfolio.