EXACT NAME OF REGISTRANT AS SPECIFIED IN CHARTER:
|
Calamos Global Dynamic Income Fund |
ADDRESS OF PRINCIPAL EXECUTIVE OFFICES:
|
2020 Calamos Court, Naperville Illinois 60563 |
|
NAME AND ADDRESS OF AGENT FOR SERVICE:
|
John P. Calamos Sr., President Calamos Advisors LLC, 2020 Calamos Court, Naperville, Illinois 60563 |
ITEM 1. | SCHEDULE OF INVESTMENTS JULY 31, 2010 (UNAUDITED) |
PRINCIPAL |
||||||||
AMOUNT | VALUE | |||||||
CORPORATE BONDS
(23.9%)
|
||||||||
Consumer Discretionary (4.4%) | ||||||||
2,000,000 |
Boyd Gaming Corp. 7.125%, 02/01/16 |
$ | 1,725,000 | |||||
2,000,000 |
DISH Network Corp. 7.125%, 02/01/16 |
2,065,000 | ||||||
2,000,000 |
General Motors Corp. 7.200%, 01/15/11 |
690,000 | ||||||
2,000,000 |
Hanesbrands,
Inc. 4.121%, 12/15/14 |
1,910,000 | ||||||
1,000,000 |
Interpublic Group of Companies, Inc. 6.250%, 11/15/14 |
1,037,500 | ||||||
2,000,000 |
Jarden Corp. 8.000%, 05/01/16 |
2,110,000 | ||||||
2,000,000 |
Liberty Media Corp. 8.500%, 07/15/29 |
1,900,000 | ||||||
1,000,000 |
Live Nation Entertainment, Inc.* 8.125%, 05/15/18 |
955,000 | ||||||
2,000,000 |
MGM Resorts International 7.500%, 06/01/16 |
1,670,000 | ||||||
1,000,000 |
NetFlix, Inc. 8.500%, 11/15/17 |
1,090,000 | ||||||
70,000 |
Phillips-Van Heusen Corp. 7.375%, 05/15/20 |
73,325 | ||||||
2,210,000 |
Royal Caribbean Cruises, Ltd. 7.500%, 10/15/27 |
1,977,950 | ||||||
2,000,000 |
Service Corp. International 8.000%, 11/15/21 |
2,095,000 | ||||||
1,000,000 |
Sothebysµ 7.750%, 06/15/15 |
1,025,000 | ||||||
1,000,000 |
Speedway Motorsports, Inc. 8.750%, 06/01/16 |
1,066,250 | ||||||
350,000 |
Wynn Las Vegas,
LLC* 7.750%, 08/15/20 |
356,563 | ||||||
21,746,588 | ||||||||
Consumer Staples (0.8%) | ||||||||
230,000 |
Del Monte Foods Company 7.500%, 10/15/19 |
243,512 | ||||||
1,500,000 |
NBTY,
Inc.~ 7.125%, 10/01/15 |
1,560,000 | ||||||
2,000,000 |
Smithfield Foods, Inc. 7.750%, 07/01/17 |
1,962,500 | ||||||
50,000 |
TreeHouse Foods, Inc. 7.750%, 03/01/18 |
52,938 | ||||||
3,818,950 | ||||||||
Energy (6.6%) | ||||||||
2,000,000 |
Berry Petroleum Companyµ 8.250%, 11/01/16 |
2,025,000 | ||||||
2,000,000 |
Bristow Group, Inc. 7.500%, 09/15/17 |
2,000,000 | ||||||
2,000,000 |
Chesapeake Energy Corp. 9.500%, 02/15/15 |
2,255,000 | ||||||
2,000,000 |
Complete Production Services,
Inc.~ 8.000%, 12/15/16 |
2,035,000 | ||||||
2,850,000 |
Comstock Resources, Inc. 8.375%, 10/15/17 |
2,949,750 | ||||||
2,170,000 |
Concho Resources, Inc. 8.625%, 10/01/17 |
2,273,075 | ||||||
125,000 |
Continental Resources, Inc.* 7.375%, 10/01/20 |
127,500 | ||||||
2,000,000 |
Dresser-Rand Group, Inc. 7.375%, 11/01/14 |
2,025,000 | ||||||
1,000,000 |
Frontier Oil Corp. 8.500%, 09/15/16 |
1,025,000 | ||||||
500,000 |
GulfMark Offshore, Inc. 7.750%, 07/15/14 |
497,500 | ||||||
260,000 |
Holly Corp. 9.875%, 06/15/17 |
272,025 | ||||||
1,470,000 |
Hornbeck Offshore Services, Inc.µ 8.000%, 09/01/17 |
1,383,637 | ||||||
2,000,000 |
Mariner Energy, Inc. 11.750%, 06/30/16 |
2,530,000 | ||||||
Petroplus Holdings, AG* | ||||||||
2,000,000 | 9.375%, 09/15/19 | 1,810,000 | ||||||
1,000,000 | 6.750%, 05/01/14 | 905,000 | ||||||
2,000,000 |
Pride International, Inc. 8.500%, 06/15/19 |
2,245,000 | ||||||
2,000,000 |
SEACOR Holdings, Inc. 7.375%, 10/01/19 |
2,147,632 | ||||||
2,000,000 |
Superior Energy Services, Inc. 6.875%, 06/01/14 |
2,010,000 | ||||||
Swift Energy Company | ||||||||
1,700,000 | 8.875%, 01/15/20 | 1,742,500 | ||||||
515,000 | 7.125%, 06/01/17 | 496,975 | ||||||
32,755,594 | ||||||||
Financials (1.4%) | ||||||||
2,000,000 |
Ford Motor Credit Company, LLC 9.875%, 08/10/11 |
2,110,378 | ||||||
1,000,000 |
Janus Capital Group, Inc.µ 6.950%, 06/15/17 |
1,027,995 | ||||||
Leucadia National Corp.µ | ||||||||
1,980,000 | 8.125%, 09/15/15 | 2,069,100 | ||||||
400,000 | 7.000%, 08/15/13 | 416,000 | ||||||
1,050,000 |
OMEGA Healthcare Investors,
Inc.*~ 7.500%, 02/15/20 |
1,094,625 | ||||||
6,718,098 | ||||||||
Health Care (2.2%) | ||||||||
2,000,000 |
Bio-Rad Laboratories, Inc. 8.000%, 09/15/16 |
2,150,000 | ||||||
500,000 |
Community Health Systems, Inc. 8.875%, 07/15/15 |
525,000 | ||||||
2,000,000 |
HCA, Inc. 9.125%, 11/15/14 |
2,110,000 |
PRINCIPAL |
||||||||
AMOUNT | VALUE | |||||||
Mylan, Inc.* | ||||||||
740,000 | 7.625%, 07/15/17 | $ | 789,950 | |||||
500,000 | 7.875%, 07/15/20 | 537,500 | ||||||
630,000 |
Omnicare, Inc. 7.750%, 06/01/20 |
674,100 | ||||||
2,000,000 |
Talecris Biotherapeutics Holdings Corp. 7.750%, 11/15/16 |
2,160,000 | ||||||
1,500,000 |
Valeant Pharmaceuticals International* 7.625%, 03/15/20 |
1,792,500 | ||||||
10,739,050 | ||||||||
Industrials (3.9%) | ||||||||
1,000,000 |
Belden, Inc.µ 7.000%, 03/15/17 |
1,005,000 | ||||||
1,000,000 |
Clean Harbors, Inc. 7.625%, 08/15/16 |
1,037,500 | ||||||
2,500,000 |
Deluxe Corp. 7.375%, 06/01/15 |
2,568,750 | ||||||
2,000,000 |
General Cable Corp.µ 7.125%, 04/01/17 |
2,025,000 | ||||||
1,000,000 |
Interline Brands, Inc. 8.125%, 06/15/14 |
1,030,000 | ||||||
1,105,000 |
Kansas City Southern 13.000%, 12/15/13 |
1,338,431 | ||||||
2,000,000 |
Manitowoc Company, Inc. 7.125%, 11/01/13 |
2,020,000 | ||||||
Oshkosh Corp. | ||||||||
1,290,000 | 8.500%, 03/01/20 | 1,357,725 | ||||||
210,000 | 8.250%, 03/01/17 | 220,500 | ||||||
2,000,000 |
SPX Corp. 7.625%, 12/15/14 |
2,105,000 | ||||||
2,000,000 |
Terex Corp. 7.375%, 01/15/14 |
2,045,000 | ||||||
2,000,000 |
Trinity Industries, Inc. 6.500%, 03/15/14 |
2,027,500 | ||||||
680,000 |
Triumph Group, Inc. 8.000%, 11/15/17 |
678,300 | ||||||
19,458,706 | ||||||||
Information Technology (2.6%) | ||||||||
Advanced Micro Devices, Inc. | ||||||||
1,000,000 | 7.750%, 08/01/20* | 1,015,000 | ||||||
640,000 | 8.125%, 12/15/17 | 675,200 | ||||||
2,000,000 |
Amkor Technology, Inc. 9.250%, 06/01/16 |
2,140,000 | ||||||
400,000 |
Equinix, Inc.µ 8.125%, 03/01/18 |
419,000 | ||||||
100,000 |
Fidelity National Information Services, Inc.* 7.625%, 07/15/17 |
104,500 | ||||||
2,500,000 |
Jabil Circuit, Inc.µ 8.250%, 03/15/18 |
2,737,500 | ||||||
1,000,000 |
Lender Processing Services, Inc.µ 8.125%, 07/01/16 |
1,065,000 | ||||||
1,000,000 |
SunGard Data Systems, Inc. 9.125%, 08/15/13 |
1,027,500 | ||||||
1,000,000 |
ViaSat, Inc. 8.875%, 09/15/16 |
1,077,500 | ||||||
2,500,000 |
Xerox Corp. 8.000%, 02/01/27 |
2,529,010 | ||||||
12,790,210 | ||||||||
Materials (0.6%) | ||||||||
1,000,000 |
Southern Copper Corp. 7.500%, 07/27/35 |
1,129,636 | ||||||
Steel Dynamics, Inc.µ | ||||||||
1,675,000 | 7.750%, 04/15/16 | 1,750,375 | ||||||
325,000 | 7.625%, 03/15/20* | 334,344 | ||||||
3,214,355 | ||||||||
Telecommunication Services (1.3%) | ||||||||
2,000,000 |
Frontier Communications Corp. 9.000%, 08/15/31 |
2,060,000 | ||||||
500,000 |
New Communications Holdings, Inc.* 8.250%, 04/15/17 |
536,250 | ||||||
2,000,000 |
Qwest Communications International,
Inc.~ 7.750%, 02/15/31 |
1,940,000 | ||||||
2,000,000 |
Windstream
Corp.~ 8.625%, 08/01/16 |
2,095,000 | ||||||
6,631,250 | ||||||||
Utilities (0.1%) | ||||||||
1,000,000 |
Edison Mission Energy 7.750%, 06/15/16 |
717,500 | ||||||
TOTAL CORPORATE BONDS (Cost $114,272,185) |
118,590,301 | |||||||
CONVERTIBLE BONDS
(13.8%)
|
||||||||
Consumer Discretionary (1.3%) | ||||||||
4,250,000 |
General Motors Corp. - Series Cµ 6.250%, 07/15/33 |
1,316,225 | ||||||
5,000,000 |
Interpublic Group of Companies, Inc.µ 4.250%, 03/15/23 |
5,281,250 | ||||||
6,597,475 | ||||||||
Consumer Staples (0.3%) | ||||||||
1,500,000 |
Smithfield Foods,
Inc.~ 4.000%, 06/30/13 |
1,456,875 | ||||||
Energy (0.6%) | ||||||||
1,800,000 |
Acergy, SA 2.250%, 10/11/13 |
1,856,575 | ||||||
1,000,000 |
Subsea 7, Inc. 3.500%, 10/13/14 |
1,190,878 | ||||||
3,047,453 | ||||||||
Financials (1.5%) | ||||||||
1,300,000 | GBP |
Aberdeen Asset Management, PLC 3.500%, 12/17/14 |
2,078,652 | |||||
3,000,000 |
Affiliated Managers Group, Inc. 3.950%, 08/15/38 |
2,985,000 |
PRINCIPAL |
||||||||
AMOUNT | VALUE | |||||||
2,250,000 |
Health Care REIT, Inc. 3.000%, 12/01/29 |
$ | 2,334,375 | |||||
7,398,027 | ||||||||
Health Care (1.8%) | ||||||||
6,500,000 |
Shire, PLCµ 2.750%, 05/09/14 |
6,498,360 | ||||||
2,000,000 |
Teva Pharmaceutical Industries, Ltd.µ 1.750%, 02/01/26 |
2,242,500 | ||||||
8,740,860 | ||||||||
Industrials (0.5%) | ||||||||
1,800,000 | EUR |
MTU Aero Engines Holdings, AGµ 2.750%, 02/01/12 |
2,526,702 | |||||
Information Technology (3.5%) | ||||||||
3,550,000 | GBP |
Autonomy Corp., PLC 3.250%, 03/04/15 |
6,091,350 | |||||
2,850,000 | EUR |
Cap Gemini, SA 1.000%, 01/01/12 |
1,621,924 | |||||
5,500,000 |
Intel Corp.µ 2.950%, 12/15/35 |
5,479,375 | ||||||
4,000,000 |
Mentor Graphics Corp. 6.250%, 03/01/26 |
4,035,000 | ||||||
17,227,649 | ||||||||
Materials (3.5%) | ||||||||
1,200,000 |
Anglo American, PLC 4.000%, 05/07/14 |
1,880,642 | ||||||
1,500,000 |
AngloGold Ashanti, Ltd. 3.500%, 05/22/14 |
1,686,059 | ||||||
5,450,000 |
Goldcorp, Inc.µ 2.000%, 08/01/14 |
6,219,812 | ||||||
3,560,000 |
Sino-Forest Corp.*µ 4.250%, 12/15/16 |
3,386,450 | ||||||
2,860,000 |
Sterlite Industries, Ltd.µ 4.000%, 10/30/14 |
2,781,350 | ||||||
1,400,000 |
Xstrata, PLC 4.000%, 08/14/17 |
1,585,500 | ||||||
17,539,813 | ||||||||
Telecommunication Services (0.3%) | ||||||||
1,350,000 |
NII Holdings, Inc. 2.750%, 08/15/25 |
1,355,063 | ||||||
Utilities (0.5%) | ||||||||
1,700,000 | EUR |
International Power, PLC 3.250%, 07/20/13 |
2,394,542 | |||||
TOTAL CONVERTIBLE BONDS (Cost $74,104,328) |
68,284,459 | |||||||
U.S. GOVERNMENT AND AGENCY SECURITIES (1.2%)
|
||||||||
United States Treasury Note~ | ||||||||
3,250,000 | 1.500%, 10/31/10 | 3,260,793 | ||||||
2,650,000 | 0.875%, 02/28/11 | 2,660,248 | ||||||
TOTAL U.S. GOVERNMENT AND AGENCY SECURITIES (Cost $5,918,971) |
5,921,041 | |||||||
SOVEREIGN BONDS (1.2%)
|
||||||||
2,000,000 | AUD |
Commonwealth of Australia 6.250%, 06/15/14 |
1,908,285 | |||||
350,000 | BRL |
Federal Republic of Brazil 10.000%, 01/01/12 |
1,966,482 | |||||
2,500,000 | NZD |
Government of New Zealand 6.000%, 04/15/15 |
1,919,643 | |||||
TOTAL SOVEREIGN BONDS (Cost $5,847,034) |
5,794,410 | |||||||
NUMBER OF |
||||||||
SHARES | VALUE | |||||||
CONVERTIBLE PREFERRED STOCKS
(4.3%)
|
||||||||
Consumer Staples (0.9%) | ||||||||
49,000 |
Archer-Daniels-Midland
Company~ 6.250% |
1,882,090 | ||||||
5,500 |
Bunge, Ltd. 5.125% |
2,750,000 | ||||||
4,632,090 | ||||||||
Energy (0.7%) | ||||||||
61,300 |
Apache Corp. 6.000% |
3,356,175 | ||||||
Financials (1.3%) | ||||||||
65,000 |
Affiliated Managers Group, Inc.µ 5.150% |
2,246,563 | ||||||
2,800 |
Bank of America Corp.µ 7.250% |
2,576,000 | ||||||
1,600 |
Wells Fargo & Companyµ 7.500% |
1,560,000 | ||||||
6,382,563 | ||||||||
Health Care (1.0%) | ||||||||
5,000 |
Mylan, Inc.µ 6.500% |
5,298,750 | ||||||
Materials (0.4%) | ||||||||
23,600 |
Vale, SA 6.750% |
1,881,864 | ||||||
TOTAL CONVERTIBLE PREFERRED STOCKS (Cost $21,074,745) |
21,551,442 | |||||||
NUMBER OF |
||||||||
UNITS | VALUE | |||||||
STRUCTURED EQUITY-LINKED SECURITIES (7.3%)+*
|
||||||||
Consumer Discretionary (0.5%) | ||||||||
10,000 |
Credit Suisse Group (Priceline.com, Inc.) 11.000%, 10/19/10 |
$ | 2,244,600 | |||||
Energy (2.8%) | ||||||||
76,000 |
BNP Paribas, SA (ENSCO, PLC) 11.000%, 11/22/10 |
3,249,760 | ||||||
37,500 |
Deutsche Bank, AG (Apache Corp.) 12.000%, 12/21/10 |
3,516,000 | ||||||
46,297 |
JPMorgan Chase & Company (Devon Energy Corp.) 12.000%, 02/02/11 |
2,878,284 | ||||||
182,971 |
JPMorgan Chase & Company (Pride International,
Inc.) 12.000%, 08/10/10 |
4,343,732 | ||||||
13,987,776 | ||||||||
Information Technology (3.4%) | ||||||||
55,386 |
Barclays Capital, Inc. (Lexmark International, Inc.) 11.000%, 11/12/10 |
2,014,389 | ||||||
130,000 |
Barclays Capital, Inc. (QUALCOMM, Inc.) 12.000%, 01/22/11 |
4,945,200 | ||||||
55,824 |
Barclays Capital, Inc. (VMware, Inc.) 10.000%, 10/16/10 |
3,266,262 | ||||||
113,400 |
Deutsche Bank, AG (SanDisk Corp.) 12.000%, 01/24/11 |
4,920,426 | ||||||
137,000 |
Deutsche Bank, AG (Seagate Technology) 11.000%, 08/31/10 |
1,735,790 | ||||||
16,882,067 | ||||||||
Materials (0.6%) | ||||||||
78,000 |
Credit Suisse Group (Barrick Gold Corp.) 11.000%, 11/16/10 |
3,192,540 | ||||||
TOTAL STRUCTURED EQUITY-LINKED SECURITIES (Cost $38,011,793) |
36,306,983 | |||||||
NUMBER OF |
||||||||
SHARES | VALUE | |||||||
COMMON STOCKS (83.4%)
|
||||||||
Consumer Discretionary (6.6%) | ||||||||
41,000 | EUR | Adidas, AGµ | 2,223,958 | |||||
23,750 | Amazon.com, Inc.µ# | 2,799,888 | ||||||
7,500 | Apollo Group, Inc. - Class Aµ# | 345,975 | ||||||
145,000 | GBP | British Sky Broadcasting Group, PLCµ | 1,617,584 | |||||
38,500 | Carnival Corp.µ | 1,335,180 | ||||||
30,000 | CBS Corp.µ | 443,400 | ||||||
400,000 | AUD | Harvey Norman Holdings, Ltd.µ | 1,266,475 | |||||
39,000 | JPY | Makita Corp.µ | 1,121,714 | |||||
72,000 | News Corp. - Class Bµ | 1,064,880 | ||||||
38,000 | Nike, Inc. - Class Bµ | 2,798,320 | ||||||
140,000 | JPY | Nikon Corp.µ | 2,438,469 | |||||
83,000 | JPY | Panasonic Corp.µ | 1,096,739 | |||||
9,000 | EUR | Porsche Automobil Holding, SEµ | 457,784 | |||||
9,500 | EUR | Puma, AG Rudolf Dassler Sport | 2,782,524 | |||||
110,000 | JPY | Suzuki Motor Corp.µ | 2,302,426 | |||||
85,000 | CHF | Swatch Group, AG | 4,779,993 | |||||
8,000 | Target Corp.µ | 410,560 | ||||||
31,000 | JPY | Toyota Motor Corp.µ | 1,088,222 | |||||
67,500 | Walt Disney Companyµ | 2,274,075 | ||||||
32,648,166 | ||||||||
Consumer Staples (8.8%) | ||||||||
96,000 | JPY | Asahi Breweries, Ltd.µ | 1,699,282 | |||||
40,000 | Avon Products, Inc.µ | 1,245,200 | ||||||
53,000 | EUR | Beiersdorf, AGµ | 3,139,094 | |||||
37,500 | Coca-Cola Companyµ | 2,066,625 | ||||||
355,000 | GBP | Diageo, PLCµ | 6,160,816 | |||||
160 | JPY | Japan Tobacco, Inc.µ | 514,938 | |||||
12,000 | Kimberly-Clark Corp.µ | 769,440 | ||||||
225,000 | CHF | Nestlé, SA | 11,121,069 | |||||
23,000 | PepsiCo, Inc.µ | 1,492,930 | ||||||
45,000 | Procter & Gamble Companyµ | 2,752,200 | ||||||
52,000 | GBP | Reckitt Benckiser Group, PLCµ | 2,549,619 | |||||
122,000 | SEK | Swedish Match, AB | 2,879,852 | |||||
30,750 | Sysco Corp.µ | 952,328 | ||||||
53,000 | GBP | Unilever, PLCµ | 1,505,801 | |||||
1,140,000 | MXN | Wal-Mart de Mexico, SAB de CV | 2,688,605 | |||||
42,000 | Wal-Mart Stores, Inc.µ | 2,149,980 | ||||||
43,687,779 | ||||||||
Energy (7.8%) | ||||||||
185,000 | GBP | AMEC, PLCµ | 2,533,213 | |||||
10,000 | Apache Corp.µ | 955,800 | ||||||
875,000 | GBP | BP, PLCµ | 5,595,702 | |||||
26,000 | Chevron Corp.µ | 1,981,460 | ||||||
40,000 | ConocoPhillipsµ | 2,208,800 | ||||||
23,500 | Devon Energy Corp.µ | 1,468,515 | ||||||
95,000 | EUR | ENI S.p.A.µ | 1,941,306 | |||||
82,500 | Exxon Mobil Corp.µ | 4,923,600 | ||||||
46,500 | Halliburton Companyµ | 1,389,420 | ||||||
31,000 | Marathon Oil Corp.µ | 1,036,950 | ||||||
24,000 | Noble Corp.# | 780,000 | ||||||
15,000 | Occidental Petroleum Corp.µ | 1,168,950 | ||||||
57,500 | NOK | Petroleum Geo-Services ASAµ# | 514,600 | |||||
82,300 | GBP | Royal Dutch Shell, PLCµ | 2,266,568 | |||||
22,000 | Schlumberger, Ltd. | 1,312,520 | ||||||
40,000 | CAD | Suncor Energy, Inc.µ | 1,318,613 | |||||
18,000 | EUR | Technip, SA | 1,198,233 | |||||
134,000 | NOK | TGS Nopec Geophysical Company, ASA# | 1,773,928 |
NUMBER OF |
||||||||
SHARES | VALUE | |||||||
74,000 | EUR | TOTAL, SA | $ | 3,735,634 | ||||
16,500 | Transocean, Ltd.# | 762,465 | ||||||
38,866,277 | ||||||||
Financials (9.9%) | ||||||||
27,500 | Aflac, Inc.µ | 1,352,725 | ||||||
4,000 | American International Group, Inc.µ# | 153,880 | ||||||
95,000 | AUD | ASX, Ltd.µ | 2,487,888 | |||||
135,000 | EUR | Banco Santander, SAµ | 1,753,800 | |||||
105,000 | Bank of America Corp.µ | 1,474,200 | ||||||
41,000 | Bank of New York Mellon Corp.µ | 1,027,870 | ||||||
18,700 | EUR | BNP Paribas, SAµ | 1,278,287 | |||||
189,615 | Citigroup, Inc.µ# | 777,422 | ||||||
29,000 | EUR | Deutsche Börse, AGµ | 2,032,012 | |||||
201,020 | EUR | EFG Eurobank Ergasias, SAµ# | 1,547,570 | |||||
12,000 | Franklin Resources, Inc.µ | 1,206,960 | ||||||
80,000 | CHF | GAM Holding, Ltd.µ# | 925,407 | |||||
8,500 | Goldman Sachs Group, Inc.µ | 1,281,970 | ||||||
19,000 |
Hartford Financial Services Group, Inc.µ |
444,790 | ||||||
100,000 | HKD |
Hong Kong Exchanges and Clearing, Ltd. |
1,646,870 | |||||
77,500 | JPMorgan Chase & Companyµ | 3,121,700 | ||||||
80,000 | CHF | Julius Baer Group, Ltd.µ | 2,797,387 | |||||
99,000 | Manulife Financial Corp.µ | 1,575,090 | ||||||
16,000 | MetLife, Inc.µ | 672,960 | ||||||
360,000 | JPY | Mizuho Financial Group, Inc. | 583,577 | |||||
48,000 | EUR | Piraeus Bank, SAµ# | 317,572 | |||||
98,000 | CAD | Power Financial Corp.µ | 2,686,290 | |||||
8,500 | Prudential Financial, Inc.µ | 486,965 | ||||||
238,500 | GBP | Schroders, PLCµ | 4,814,889 | |||||
387,000 | SGD | Singapore Exchange, Ltd.µ | 2,184,608 | |||||
167,000 | GBP | Standard Chartered, PLCµ | 4,824,928 | |||||
23,000 | JPY | Sumitomo Mitsui Financial Group, Inc.µ | 708,842 | |||||
23,500 | T. Rowe Price Group, Inc.µ | 1,133,405 | ||||||
14,000 | Travelers Companies, Inc.µ | 706,300 | ||||||
37,250 | Wells Fargo & Companyµ | 1,032,942 | ||||||
8,300 | CHF | Zurich Financial Services, AGµ | 1,937,030 | |||||
48,976,136 | ||||||||
Health Care (11.9%) | ||||||||
15,000 | Abbott Laboratoriesµ | 736,200 | ||||||
60,000 | Alcon, Inc.µ | 9,304,800 | ||||||
83,000 | Bristol-Myers Squibb Companyµ | 2,068,360 | ||||||
62,000 | AUD | Cochlear, Ltd.µ | 3,963,916 | |||||
150,000 | AUD | CSL, Ltd.µ | 4,497,147 | |||||
88,000 | SEK | Elekta, AB - Class Bµ | 2,552,268 | |||||
34,250 | Eli Lilly and Companyµ | 1,219,300 | ||||||
80,000 | Johnson & Johnsonµ | 4,647,200 | ||||||
42,000 | Medtronic, Inc.µ | 1,552,740 | ||||||
144,533 | Merck & Company, Inc.µ | 4,980,607 | ||||||
79,600 | DKK | Novo Nordisk, A/S - Class B | 6,810,791 | |||||
98,000 | JPY | OLYMPUS Corp.µ | 2,628,075 | |||||
190,000 | Pfizer, Inc.µ | 2,850,000 | ||||||
25,000 | CHF | Roche Holding, AGµ | 3,250,651 | |||||
140,000 | GBP | Shire, PLC | 3,202,237 | |||||
225,000 | GBP | Smith & Nephew, PLC | 1,957,811 | |||||
18,500 | Stryker Corp.µ | 861,545 | ||||||
42,000 | UnitedHealth Group, Inc.µ | 1,278,900 | ||||||
17,000 | Zimmer Holdings, Inc.µ# | 900,830 | ||||||
59,263,378 | ||||||||
Industrials (11.2%) | ||||||||
27,000 | 3M Companyµ | 2,309,580 | ||||||
350,000 | CHF | ABB, Ltd.µ# | 7,065,028 | |||||
54,000 | EUR | ALSTOMµ | 2,824,781 | |||||
610,000 | GBP | BAE Systems, PLCµ | 2,990,706 | |||||
28,000 | Boeing Companyµ | 1,907,920 | ||||||
35,000 | EUR | Bouygues, SAµ | 1,477,160 | |||||
14,000 | Danaher Corp.µ | 537,740 | ||||||
10,000 | Eaton Corp.µ | 784,600 | ||||||
14,500 | General Dynamics Corp.µ | 888,125 | ||||||
242,500 | General Electric Companyµ | 3,909,100 | ||||||
60,000 | Honeywell International, Inc.µ | 2,571,600 | ||||||
25,000 | Illinois Tool Works, Inc.µ | 1,087,500 | ||||||
160,000 | JPY | Komatsu, Ltd. | 3,352,311 | |||||
44,000 | EUR | Konecranes OYJµ | 1,435,715 | |||||
47,000 | EUR | Krones AGµ# | 2,665,800 | |||||
10,000 | Lockheed Martin Corp.µ | 751,500 | ||||||
30,000 | EUR | MAN, AGµ | 2,793,547 | |||||
44,000 | EUR | MTU Aero Engines Holdings, AGµ | 2,562,581 | |||||
14,000 | EUR | Nexans, SAµ | 949,109 | |||||
10,000 | Raytheon Companyµ | 462,700 | ||||||
40,000 | EUR | Royal Philips Electronics, NVµ | 1,243,479 | |||||
24,700 | EUR | Schneider Electric, SA | 2,842,945 | |||||
28,000 | EUR | SGL Carbon, AGµ# | 972,069 | |||||
50,000 | EUR | Siemens, AGµ | 4,891,021 | |||||
32,000 | United Technologies Corp.µ | 2,275,200 | ||||||
55,551,817 | ||||||||
Information Technology (19.1%) | ||||||||
72,000 | Accenture, PLC | 2,854,080 | ||||||
25,000 | Apple, Inc.µ# | 6,431,250 | ||||||
1,350,000 | GBP | ARM Holdings, PLCµ | 6,943,302 | |||||
43,500 | EUR | ASML Holding, NV | 1,396,157 | |||||
260,000 | GBP | Autonomy Corp., PLCµ# | 6,708,717 | |||||
60,000 | JPY | Canon, Inc.µ | 2,598,945 |
NUMBER OF |
||||||||
SHARES | VALUE | |||||||
29,500 | EUR | Cap Gemini, SAµ | $ | 1,402,354 | ||||
145,000 | Cisco Systems, Inc.µ# | 3,345,150 | ||||||
132,500 | Dell, Inc.µ# | 1,754,300 | ||||||
130,000 | eBay, Inc.µ# | 2,718,300 | ||||||
65,000 | EMC Corp.µ# | 1,286,350 | ||||||
6,250 | Google, Inc.µ# | 3,030,313 | ||||||
115,762 | TWD | HTC Corp. | 2,131,665 | |||||
108,000 | Infosys Technologies, Ltd.µ | 6,531,840 | ||||||
185,000 | Intel Corp.µ | 3,811,000 | ||||||
15,000 |
International Business Machines Corp.µ |
1,926,000 | ||||||
113,000 | JPY | Konami Corp.µ | 1,740,611 | |||||
285,000 | SEK | LM Ericsson Telephone Companyµ | 3,144,737 | |||||
85,000 | CHF | Logitech International, SAµ# | 1,337,207 | |||||
72,143 | TWD | MediaTek, Inc. | 976,929 | |||||
190,000 | Microsoft Corp.µ | 4,903,900 | ||||||
45,000 | Motorola, Inc.µ# | 337,050 | ||||||
20,400 | JPY | Nintendo Company, Ltd.µ | 5,695,006 | |||||
580,000 | EUR | Nokia, OYJ# | 5,461,737 | |||||
92,000 | JPY | Nomura Research Institute, Ltd.µ | 1,826,066 | |||||
75,000 | Oracle Corp.µ | 1,773,000 | ||||||
30,393 | QUALCOMM, Inc.µ | 1,157,365 | ||||||
5,560 | KRW | Samsung Electronics Company, Ltd.µ | 3,813,641 | |||||
121,500 | EUR | SAP, AG | 5,550,698 | |||||
75,000 | Symantec Corp.µ# | 972,750 | ||||||
132,000 | EUR | Ubisoft Entertainment, SAµ# | 1,248,603 | |||||
94,809,023 | ||||||||
Materials (3.9%) | ||||||||
114,000 | GBP | Anglo American, PLCµ# | 4,507,698 | |||||
20,500 | EUR | BASF, SE | 1,198,733 | |||||
105,000 | AUD | BHP Billiton, Ltd. | 3,811,530 | |||||
60,000 | GBP | BHP Billiton, PLCµ | 1,838,071 | |||||
41,000 | Dow Chemical Companyµ | 1,120,530 | ||||||
36,000 |
E.I. du Pont de Nemours and Companyµ |
1,464,120 | ||||||
35,803 |
Freeport-McMoRan Copper & Gold, Inc.µ |
2,561,347 | ||||||
30,000 | GBP | Rio Tinto, PLCµ | 1,552,671 | |||||
37,000 | NOK | Yara International, ASAµ | 1,389,197 | |||||
19,443,897 | ||||||||
Telecommunication Services (3.2%) | ||||||||
93,500 | América Móvil, SAB de CVµ | 4,638,535 | ||||||
145,000 | AT&T, Inc.µ | 3,761,300 | ||||||
96,000 | EUR | France Telecom, SAµ | 2,007,899 | |||||
5,520 | Frontier Communications Corp. | 42,173 | ||||||
23,000 | Verizon Communications, Inc.µ | 668,380 | ||||||
2,157,000 | GBP | Vodafone Group, PLC | 5,029,462 | |||||
16,147,749 | ||||||||
Utilities (1.0%) | ||||||||
47,500 | Duke Energy Corp.µ | 812,250 | ||||||
10,500 | Exelon Corp.µ | 439,215 | ||||||
45,801 | EUR | GDF Suezµ | 1,518,226 | |||||
29,000 | EUR | RWE, AG | 2,048,226 | |||||
4,817,917 | ||||||||
TOTAL COMMON STOCKS (Cost $580,344,132) |
414,212,139 | |||||||
NUMBER OF |
||||||||
CONTRACTS | VALUE | |||||||
PURCHASED OPTIONS
(0.0%)#
|
||||||||
Consumer Discretionary (0.0%) | ||||||||
30 |
Amazon.com, Inc. Call, 01/21/12, Strike $130.00 (Cost $96,396) |
51,975 | ||||||
NUMBER OF |
||||||||
SHARES | VALUE | |||||||
SHORT TERM INVESTMENT
(3.3%)
|
||||||||
16,362,018 |
Fidelity Prime Money Market Fund - Institutional Class (Cost $16,362,018) |
16,362,018 | ||||||
TOTAL INVESTMENTS (138.4%)
(Cost $856,031,602) |
687,074,768 | |||||||
LIABILITIES, LESS OTHER ASSETS (-38.4%) | (190,659,661 | ) | ||||||
NET ASSETS APPLICABLE TO COMMON SHAREHOLDERS (100.0%) | $ | 496,415,107 | ||||||
NUMBER OF |
||||||||
SHARES | VALUE | |||||||
COMMON STOCKS SOLD SHORT
(-1.3%)#
|
||||||||
Consumer Discretionary (-0.1%) | ||||||||
(61,200 | ) | Interpublic Group of Companies, Inc. | (559,368 | ) | ||||
Consumer Staples (-0.1%) | ||||||||
(33,000 | ) | Smithfield Foods, Inc. | (470,250 | ) | ||||
Financials (-0.1%) | ||||||||
(7,200 | ) | Affiliated Managers Group, Inc. | (509,976 | ) | ||||
Health Care (-0.9%) | ||||||||
(251,300 | ) | Mylan, Inc. | (4,372,620 | ) | ||||
Information Technology (-0.1%) | ||||||||
(44,600 | ) | Mentor Graphics Corp. | (429,052 | ) | ||||
TOTAL COMMON STOCKS SOLD SHORT (Proceeds $4,989,717) |
(6,341,266 | ) | ||||||
NUMBER OF |
||||||||
CONTRACTS | VALUE | |||||||
WRITTEN OPTIONS
(-0.5%)#
|
||||||||
Other (-0.5%) | ||||||||
6,700 |
iShares MSCI EAFE Index Fund Call, 12/18/10, Strike $52.00 |
$ | (2,261,250 | ) | ||||
1,150 |
SPDR Trust Series 1 Call, 12/18/10, Strike $119.00 |
(251,850 | ) | |||||
TOTAL WRITTEN OPTIONS (Premium $2,080,454) |
(2,513,100 | ) | ||||||
| Variable rate or step bond security. The rate shown is the rate in effect at July 31, 2010. | |
* | Securities issued and sold pursuant to a Rule 144A transaction are excepted from the registration requirement of the Securities Act of 1933, as amended. These securities may only be sold to qualified institutional buyers (QIBs), such as the fund. Any resale of these securities must generally be effected through a sale that is registered under the Act or otherwise exempted from such registration requirements. At July 31, 2010, the value of 144A securities that could not be exchanged to the registered form is $44,690,883 or 9.0% of net assets applicable to common shareholders. | |
µ | Security, or portion of security, is held in a segregated account as collateral for note payable aggregating a total value of $394,195,672. | |
| Security or a portion of the security purchased on a delayed delivery or when-issued basis. | |
~ | Security, or portion of security, is segregated as collateral (or potential collateral for future transactions) for written options, swaps, or securities sold short. The aggregate value of such securities aggregate a total value of $17,884,250. | |
+ | Structured equity-linked securities are designed to simulate the characteristics of the equity security in the parenthetical. | |
# | Non-income producing security. |
AUD
|
Australian Dollar | |
BRL
|
Brazilian Real | |
CAD
|
Canadian Dollar | |
CHF
|
Swiss Franc | |
DKK
|
Danish Krone | |
EUR
|
European Monetary Unit | |
GBP
|
British Pound Sterling | |
HKD
|
Hong Kong Dollar | |
JPY
|
Japanese Yen | |
KRW
|
South Korean Won | |
MXN
|
Mexican Peso | |
NOK
|
Norwegian Krone | |
NZD
|
New Zealand Dollar | |
SEK
|
Swedish Krona | |
SGD
|
Singapore Dollar | |
TWD
|
New Taiwanese Dollar |
Unrealized |
||||||||||||||
Fixed Rate |
Floating Rate |
Termination |
Notional |
Appreciation/ |
||||||||||
Counterparty | (Fund Pays) | (Fund Receives) | Date | Amount | (Depreciation) | |||||||||
BNP Paribas, SA
|
2.5350% quarterly | 3 month LIBOR | 03/09/14 | $ | 80,000,000 | $ | (3,919,557 | ) | ||||||
BNP Paribas, SA
|
2.0200% quarterly | 3 month LIBOR | 03/09/12 | 55,000,000 | (1,386,704 | ) | ||||||||
BNP Paribas, SA
|
1.8525% quarterly | 3 month LIBOR | 09/14/12 | 36,900,000 | (933,085 | ) | ||||||||
$ | (6,239,346 | ) | ||||||||||||
CURRENCY EXPOSURE JULY 31, 2010 (UNAUDITED) | ||||||
Value | % of Total Investments | |||||
US Dollar
|
$ | 407,065,868 | 60.0% | |||
European Monetary Unit
|
75,441,782 | 11.1% | ||||
British Pound Sterling
|
74,769,797 | 11.0% | ||||
Swiss Franc
|
33,213,772 | 4.9% | ||||
Japanese Yen
|
29,395,223 | 4.3% | ||||
Australian Dollar
|
17,935,241 | 2.7% | ||||
Swedish Krona
|
8,576,857 | 1.3% | ||||
Danish Krone
|
6,810,791 | 1.0% | ||||
Canadian Dollar
|
4,004,903 | 0.6% | ||||
South Korean Won
|
3,813,641 | 0.6% | ||||
Norwegian Krone
|
3,677,725 | 0.5% | ||||
New Taiwanese Dollar
|
3,108,594 | 0.5% | ||||
Mexican Peso
|
2,688,605 | 0.4% | ||||
Singapore Dollar
|
2,184,608 | 0.3% | ||||
Brazilian Real
|
1,966,482 | 0.3% | ||||
New Zealand Dollar
|
1,919,643 | 0.3% | ||||
Hong Kong Dollar
|
1,646,870 | 0.2% | ||||
Total Investments Net of Common Stocks Sold Short and Written
Options
|
$ | 678,220,402 | 100.0% | |||
Cost basis of Investments
|
$ | 864,021,985 | ||
Gross unrealized appreciation
|
19,173,517 | |||
Gross unrealized depreciation
|
(196,120,734 | ) | ||
Net unrealized appreciation (depreciation)
|
$ | (176,947,217 | ) | |
| Level 1 assets and liabilities use inputs from unadjusted quoted prices from active markets (including securities actively traded on a securities exchange). | |
| Level 2 assets and liabilities reflect inputs other than quoted prices, but use observable market data (including quoted prices of similar securities, interest rates, credit risk, etc.). | |
| Level 3 assets and liabilities are valued using unobservable inputs (including the Funds own judgments about assumptions market participants would use in determining fair value). |
Value of |
||||||||||||
Value of |
Investment |
Other |
||||||||||
Investment |
Securities |
Financial |
||||||||||
Valuation Inputs | Securities | Sold Short | Instruments | |||||||||
Level 1 Quoted Prices
|
||||||||||||
Common Stocks
|
$ | 170,258,693 | $ | (6,341,266 | ) | $ | | |||||
Convertible Preferred Stocks
|
13,198,704 | | | |||||||||
Written Options
|
| | (2,513,100 | ) | ||||||||
Purchased Options
|
51,975 | | | |||||||||
Short Term Investment
|
16,362,018 | | | |||||||||
Level 2 Other significant observable inputs
|
||||||||||||
Common Stocks
|
243,953,446 | | | |||||||||
Convertible Bonds
|
68,284,459 | | | |||||||||
Corporate Bonds
|
118,590,301 | | | |||||||||
U.S. Government and Agency Securities
|
5,921,041 | | | |||||||||
Sovereign Bonds
|
5,794,410 | | | |||||||||
Convertible Preferred Stocks
|
8,352,738 | | | |||||||||
Structured Equity-Linked Securities
|
36,306,983 | | | |||||||||
Interest Rate Swaps
|
| | (6,239,346 | ) | ||||||||
Total
|
$ | 687,074,768 | $ | (6,341,266 | ) | $ | (8,752,446 | ) | ||||
(a) | Certification of Principal Executive Officer. | ||
(b) | Certification of Principal Financial Officer. |
Calamos Global Dynamic Income Fund | ||||
By:
|
/s/ John P. Calamos, Sr.
|
|||
Name:
|
John P. Calamos, Sr. | |||
Title:
|
Principal Executive Officer | |||
Date:
|
September 21, 2010 |
Calamos Global Dynamic Income Fund | ||||
By:
|
/s/ John P. Calamos, Sr.
|
|||
Name:
|
John P. Calamos, Sr. | |||
Title:
|
Principal Executive Officer | |||
Date:
|
September 21, 2010 | |||
By:
|
/s/ Nimish S. Bhatt
|
|||
Name:
|
Nimish S. Bhatt | |||
Title:
|
Principal Financial Officer | |||
Date:
|
September 21, 2010 |