INVESTMENT COMPANY ACT FILE NUMBER: | 333-144660 |
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 |
REGISTRANTS TELEPHONE NUMBER, INCLUDING AREA CODE: | (630) 245-7200 |
DATE OF FISCAL YEAR END: | October 31, 2007 |
DATE OF REPORTING PERIOD: | July 31, 2007 |
Principal | ||||||||
Amount | Value | |||||||
Corporate Bonds (8.0%) | ||||||||
Consumer Discretionary (1.7%) |
||||||||
$ | 2,000,000 | EchoStar Communications Corp. |
||||||
7.125%, 02/01/16 |
$ | 1,900,000 | ||||||
2,000,000 | Ford Motor Company |
|||||||
9.875%, 08/10/11 |
2,026,918 | |||||||
2,000,000 | General Motors Corp.~ |
|||||||
7.200%, 01/15/11 |
1,805,000 | |||||||
2,000,000 | Goodyear Tire & Rubber
Company |
|||||||
7.857%, 08/15/11 |
1,990,000 | |||||||
2,000,000 | Hanesbrands, Inc. |
|||||||
8.784%, 12/15/14 |
1,970,000 | |||||||
2,000,000 | Idearc, Inc. |
|||||||
8.000%, 11/15/16 |
1,905,000 | |||||||
2,000,000 | Jarden Corp. |
|||||||
7.500%, 05/01/17 |
1,810,000 | |||||||
1,000,000 | MGM Mirage |
|||||||
7.500%, 06/01/16 |
925,000 | |||||||
14,331,918 | ||||||||
Consumer Staples (1.0%) |
||||||||
1,000,000 | Alliance One International, Inc.* |
|||||||
8.500%, 05/15/12 |
990,000 | |||||||
2,000,000 | Del Monte Corp. |
|||||||
8.625%, 12/15/12 |
2,020,000 | |||||||
1,000,000 | Dole Food Company, Inc. |
|||||||
8.875%, 03/15/11 |
935,000 | |||||||
1,000,000 | NBTY, Inc. |
|||||||
7.125%, 10/01/15 |
975,000 | |||||||
2,000,000 | Pilgrims Pride Corp. |
|||||||
7.625%, 05/01/15 |
1,940,000 | |||||||
2,000,000 | Smithfield Foods, Inc. |
|||||||
7.750%, 07/01/17 |
1,940,000 | |||||||
8,800,000 | ||||||||
Energy (1.3%) |
||||||||
2,000,000 | Arch Western Financial, LLC |
|||||||
6.750%, 07/01/13 |
1,830,000 | |||||||
2,000,000 | Dresser-Rand Group, Inc. |
|||||||
7.375%, 11/01/14 |
1,930,000 | |||||||
1,000,000 | GulfMark Offshore, Inc. |
|||||||
7.750%, 07/15/14 |
985,000 | |||||||
2,000,000 | Hanover Compressor Company |
|||||||
9.000%, 06/01/14 |
2,215,000 | |||||||
2,000,000 | Superior Energy Services, Inc. |
|||||||
6.875%, 06/01/14 |
1,870,000 | |||||||
2,000,000 | Williams Companies, Inc. |
|||||||
7.750%, 06/15/31 |
2,027,500 | |||||||
10,857,500 | ||||||||
Financials (0.5%) |
||||||||
2,000,000 | E*TRADE Financial Corp. |
|||||||
8.000%, 06/15/11 |
2,050,000 | |||||||
2,000,000 | Leucadia National Corp. |
|||||||
7.000%, 08/15/13 |
1,890,000 | |||||||
3,940,000 | ||||||||
Principal | ||||||||
Amount | Value | |||||||
Health Care (1.2%) |
||||||||
$ | 1,000,000 | Bio-Rad Laboratories, Inc.~ |
||||||
7.500%, 08/15/13 |
$ | 990,000 | ||||||
3,000,000 | Community Health Systems, Inc.* |
|||||||
8.875%, 07/15/15 |
2,928,750 | |||||||
1,000,000 | DaVita, Inc. |
|||||||
7.250%, 03/15/15 |
952,500 | |||||||
3,000,000 | HCA, Inc.* |
|||||||
9.250%, 11/15/16 |
2,985,000 | |||||||
2,000,000 | Psychiatric Solutions, Inc. |
|||||||
7.750%, 07/15/15 |
1,910,000 | |||||||
9,766,250 | ||||||||
Industrials (0.8%) |
||||||||
1,000,000 | Belden CDT, Inc.* |
|||||||
7.000%, 03/15/17 |
950,000 | |||||||
2,000,000 | General Cable Corp.* |
|||||||
7.125%, 04/01/17 |
1,950,000 | |||||||
1,000,000 | Manitowoc Company, Inc. |
|||||||
7.125%, 11/01/13 |
970,000 | |||||||
2,000,000 | Terex Corp. |
|||||||
7.375%, 01/15/14 |
1,970,000 | |||||||
500,000 | Westinghouse Air Brake
Technologies Corp. |
|||||||
6.875%, 07/31/13 |
487,500 | |||||||
6,327,500 | ||||||||
Information Technology (0.3%) |
||||||||
2,000,000 | Amkor Tech, Inc. |
|||||||
9.250%, 06/01/16 |
1,930,000 | |||||||
1,000,000 | SunGard Data Systems, Inc. |
|||||||
9.125%, 08/15/13 |
997,500 | |||||||
2,927,500 | ||||||||
Materials (0.3%) |
||||||||
2,305,000 | Terra Industries, Inc. |
|||||||
7.000%, 02/01/17 |
2,189,750 | |||||||
Telecommunication Services (0.9%) |
||||||||
2,000,000 | Citizens Communications
Company |
|||||||
9.000%, 08/15/31 |
1,870,000 | |||||||
2,000,000 | Leap Wireless International, Inc. |
|||||||
9.375%, 11/01/14 |
1,982,500 | |||||||
2,000,000 | Qwest Communications
International, Inc. |
|||||||
7.750%, 02/15/31 |
1,680,000 | |||||||
2,000,000 | Windstream Corp. |
|||||||
8.625%, 08/01/16 |
2,035,000 | |||||||
7,567,500 | ||||||||
TOTAL CORPORATE BONDS |
||||||||
(Cost $68,336,793) |
66,707,918 | |||||||
Convertible Bonds (12.3%) | ||||||||
Consumer Discretionary (2.0%) |
||||||||
2,200,000 | Ford Motor Company~ |
|||||||
4.250%, 12/15/36 |
2,557,498 | |||||||
2,750,000 | General Motors Corp. |
|||||||
6.250%, 07/15/33 |
2,443,100 |
1
Principal | ||||||||
Amount | Value | |||||||
$ | 3,000,000 | Interpublic Group of Companies,
Inc.* |
||||||
4.250%, 03/15/23 |
$ | 3,307,500 | ||||||
2,000,000 | Intralot SA |
|||||||
2.250%, 12/20/13 |
3,108,437 | |||||||
1,500,000 | JAKKS Pacific, Inc. |
|||||||
4.625%, 06/15/23 |
2,017,500 | |||||||
1,175,000 | Punch Taverns Redwood Jersey
Company Ltd. |
|||||||
5.000%, 12/14/10 |
2,848,983 | |||||||
16,283,018 | ||||||||
Consumer Staples (0.2%) |
||||||||
2,000,000 | The Pantry, Inc. |
|||||||
3.000%, 11/15/12 |
1,960,000 | |||||||
Energy (0.3%) |
||||||||
2,000,000 | Grey Wolf, Inc. |
|||||||
5.310%, 04/01/24 |
2,680,000 | |||||||
Financials (0.9%) |
||||||||
2,000,000 | American Equity Investment Life
Holding Company |
|||||||
5.250%, 12/06/24 |
2,170,000 | |||||||
5,000,000 | Prudential Financial, Inc.~ |
|||||||
2.960%, 12/12/36 |
5,023,850 | |||||||
7,193,850 | ||||||||
Health Care (2.6%) |
||||||||
3,300,000 | Emdeon Corp. |
|||||||
3.125%, 09/01/25 |
3,320,625 | |||||||
2,400,000 | Henry Schein, Inc. |
|||||||
3.000%, 08/15/34 |
3,111,000 | |||||||
2,700,000 | Invitrogen Corp.~ |
|||||||
3.250%, 06/15/25 |
2,727,000 | |||||||
2,700,000 | LifePoint Hospitals, Inc. |
|||||||
3.500%, 05/15/14 |
2,379,375 | |||||||
3,000,000 | Millipore Corp. |
|||||||
3.750%, 06/01/26 |
3,285,000 | |||||||
4,850,000 | Shire, PLC |
|||||||
2.750%, 05/09/14 |
4,959,125 | |||||||
2,000,000 | SonoSite, Inc. |
|||||||
3.750%, 07/15/14 |
1,976,760 | |||||||
21,758,885 | ||||||||
Industrials (2.3%) |
||||||||
1,700,000 | Ceradyne, Inc. |
|||||||
2.875%, 12/15/35 |
2,409,750 | |||||||
1,800,000 | MTU Aero Engines Holdings, AG |
|||||||
2.750%, 02/01/12 |
2,976,752 | |||||||
3,000,000 | Q-Cells, AG |
|||||||
1.375%, 02/28/12 |
4,844,037 | |||||||
1,600,000 | Quanta Services, Inc.~ |
|||||||
3.750%, 04/30/26 |
2,254,000 | |||||||
3,000,000 | School Specialty, Inc. |
|||||||
3.750%, 11/30/26 |
2,895,000 | |||||||
3,000,000 | YRC Worldwide, Inc. |
|||||||
5.000%, 08/08/23 |
3,420,000 | |||||||
18,799,539 | ||||||||
Information Technology (3.0%) |
||||||||
212,000 | Alcatel, SA≠ |
|||||||
4.750%, 01/01/11 |
4,792,953 |
Principal | ||||||||
Amount | Value | |||||||
$ | 79,000 | Business Objects, SA≠ |
||||||
2.250%, 01/01/27 |
$ | 4,815,136 | ||||||
2,700,000 | Electronic Data Systems Corp.~ |
|||||||
3.875%, 07/15/23 |
2,767,500 | |||||||
5,500,000 | Intel Corp. |
|||||||
2.950%, 12/15/35 |
5,369,375 | |||||||
2,700,000 | Linear Technology Corp.* |
|||||||
3.125%, 05/01/27 |
2,750,625 | |||||||
3,000,000 | Mentor Graphics Corp. |
|||||||
6.250%, 03/01/26 |
3,142,500 | |||||||
1,000,000 | Veeco Instruments, Inc.~ |
|||||||
4.125%, 04/15/12 |
981,250 | |||||||
24,619,339 | ||||||||
Telecommunication Services (0.7%) |
||||||||
5,500,000 | NII Holdings, Inc. |
|||||||
3.125%, 06/15/12 |
5,541,250 | |||||||
Utilities (0.3%) |
||||||||
1,700,000 | International Power, PLC |
|||||||
3.250%, 07/20/13 |
2,941,092 | |||||||
TOTAL CONVERTIBLE
BONDS |
||||||||
(Cost $105,561,505) |
101,776,973 | |||||||
Number of | ||||||||
Shares | Value | |||||||
Convertible Preferred Stocks (18.0%) | ||||||||
Consumer Discretionary (3.6%) |
||||||||
185,400 | Credit Suisse (Sony Corp.)*∞ |
|||||||
15.000% |
9,993,060 | |||||||
160,000 | Deutsche Bank AG (Apollo
Group, Inc.)*∞ |
|||||||
12.000% |
9,606,400 | |||||||
145,603 | Morgan Stanley (Amazon.com,
Inc.)*∞ |
|||||||
12.000% |
10,575,874 | |||||||
30,175,334 | ||||||||
Energy (1.2%) |
||||||||
267,380 | Lehman Brothers Holding (Pride
International, Inc.)*∞ |
|||||||
12.000% |
9,631,027 | |||||||
Financials (2.0%) |
||||||||
6,500 | Alleghany Corp. |
|||||||
5.750 % |
2,511,438 | |||||||
160,000 | MetLife, Inc. |
|||||||
6.375 % |
4,780,800 | |||||||
5,500,000 | Swiss Re |
|||||||
6.000% |
4,710,559 | |||||||
90,000 | Washington Mutual, Inc. |
|||||||
5.375 % |
4,612,500 | |||||||
16,615,297 | ||||||||
Health Care (1.2%) |
||||||||
181,650 | Wachovia Bank (Biogen Idec,
Inc.)*∞ |
|||||||
12.000% |
10,175,960 | |||||||
2
Number of | ||||||||
Shares | Value | |||||||
Industrials (1.2%) |
||||||||
182,823 | Credit Suisse (CNH Global,
NV)∞ |
|||||||
12.000% |
$ | 9,703,331 | ||||||
Information Technology (7.1%) |
||||||||
379,363 | Lehman Brothers Holding (Intel
Corp.)*∞ |
|||||||
12.000% |
9,533,392 | |||||||
198,217 | Morgan Stanley (Infosys
Technologies, Ltd.)*∞ |
|||||||
12.000% |
9,885,082 | |||||||
187,337 | Morgan Stanley (SAP, AG)*∞ |
|||||||
12.000% |
10,045,947 | |||||||
341,297 | Deutsche Bank (Nokia Corp.)*∞ |
|||||||
15.000% |
9,803,756 | |||||||
297,225 | Wachovia Bank (eBay, Inc.)*∞ |
|||||||
12.000% |
9,781,675 | |||||||
196,700 | Wachovia Bank NA (Electronic
Arts, Inc.)*∞ |
|||||||
12.000% |
9,894,010 | |||||||
58,943,862 | ||||||||
Materials (1.5%) |
||||||||
2,250,000 | Bayer, AG |
|||||||
6.625% |
4,435,115 | |||||||
21,000 | Freeport-McMoRan Copper &
Gold, Inc. |
|||||||
6.750% |
2,972,550 | |||||||
5,600,000 | Givaudan SA |
|||||||
5.375% |
4,824,956 | |||||||
12,232,621 | ||||||||
Utilities (0.2%) |
||||||||
30,000 | Entergy Corp. |
|||||||
7.625% |
1,860,000 | |||||||
TOTAL CONVERTIBLE
PREFERRED STOCKS |
||||||||
(Cost $152,078,892) |
149,337,432 | |||||||
Common Stocks (50.5%) | ||||||||
Consumer Discretionary (6.5%) |
||||||||
41,000 | Adidas, AG |
2,493,519 | ||||||
11,750 | Amazon.com, Inc.~# |
922,845 | ||||||
10,000 | Carnival Corp.~ |
443,100 | ||||||
30,000 | CBS Corp.~ |
951,600 | ||||||
9,000 | Coach, Inc.~# |
409,140 | ||||||
47,500 | Comcast Corp.~# |
1,247,825 | ||||||
12,500 | Compagnie Generale des
Etablissements Michelin |
1,650,363 | ||||||
27,000 | Compagnie Generale Richemont,
SA |
1,692,185 | ||||||
37,500 | Daimler-Benz, AG |
3,396,470 | ||||||
68,000 | Esprit Holdings, Ltd. |
908,737 | ||||||
29,350 | Hennes & Mauritz AB |
1,686,517 | ||||||
22,000 | Home Depot, Inc. |
817,740 | ||||||
47,400 | Honda Motor Company, Ltd. |
1,721,069 | ||||||
28,500 | Industria de Diseno Textil, SA |
1,704,787 | ||||||
10,000 | Kohls Corp.~# |
608,000 | ||||||
27,000 | Lowes Companies, Inc.~ |
756,270 | ||||||
39,000 | Makita Corp. |
1,802,115 | ||||||
33,000 | McDonalds Corp.~ |
1,579,710 | ||||||
72,000 | News Corp., Class B~ |
1,631,520 |
Number of | ||||||||
Shares | Value | |||||||
16,600 | Nike, Inc.~ |
$ | 937,070 | |||||
87,000 | Nikon Corp. |
2,755,307 | ||||||
48,500 | Nokian Renkaat Oyj |
1,598,515 | ||||||
7,000 | Nordstrom, Inc.~ |
333,060 | ||||||
8,000 | Omnicom Group, Inc.~ |
414,960 | ||||||
54,500 | Paddy Power, PLC |
1,738,930 | ||||||
900 | Porsche Holding GmbH |
1,633,164 | ||||||
40,000 | Royal Philips Electronics, NV |
1,616,931 | ||||||
94,000 | Sharp Corp. |
1,619,974 | ||||||
50,000 | Sony Corp. |
2,669,535 | ||||||
31,000 | Swatch Group, AG |
1,808,369 | ||||||
35,000 | Target Corp.~ |
2,119,950 | ||||||
150,000 | Time Warner, Inc.~ |
2,889,000 | ||||||
41,000 | Toyota Motor Corp. |
2,492,499 | ||||||
10,000 | Volkswagen, AG |
1,802,935 | ||||||
25,000 | Walt Disney Company~ |
825,000 | ||||||
53,678,711 | ||||||||
Consumer Staples (4.8%) |
||||||||
50,000 | Altria Group, Inc.~ |
3,323,500 | ||||||
15,250 | Anheuser-Busch Companies,
Inc.~ |
743,742 | ||||||
75,000 | British American Tobacco, PLC |
2,423,677 | ||||||
20,000 | Carlsberg A/S |
2,565,772 | ||||||
60,000 | Coca-Cola Company~ |
3,126,600 | ||||||
12,250 | Colgate-Palmolive Company~ |
808,500 | ||||||
66,000 | Heineken, NV |
4,182,677 | ||||||
44,000 | InBev, NV |
3,543,220 | ||||||
160 | Japan Tobacco, Inc. |
813,140 | ||||||
30,000 | Kroger Company |
778,800 | ||||||
625 | Lindt & Spruengli, AG |
1,678,078 | ||||||
6,800 | Nestle Holdings, Inc. |
2,612,408 | ||||||
20,000 | PepsiCo, Inc.~ |
1,312,400 | ||||||
35,000 | Procter & Gamble Company~ |
2,165,100 | ||||||
32,000 | Reckitt Benckiser |
1,712,187 | ||||||
13,000 | Reynolds American, Inc. |
795,210 | ||||||
53,000 | Unilever, PLC |
1,652,996 | ||||||
225,000 | Wal-Mart de Mexico SA de CV |
818,148 | ||||||
72,000 | Wal-Mart Stores, Inc.~ |
3,308,400 | ||||||
18,500 | Walgreen Company~ |
817,330 | ||||||
37,000 | Woolworths, Ltd. |
852,794 | ||||||
40,034,679 | ||||||||
Energy (4.4%) |
||||||||
424,000 | BP, PLC |
4,911,782 | ||||||
38,000 | Canadian Natural Resources, Ltd. |
2,607,780 | ||||||
40,000 | Chevron Corp.~ |
3,410,400 | ||||||
25,000 | ConocoPhillips~ |
2,021,000 | ||||||
12,000 | Devon Energy Corp.~ |
895,320 | ||||||
47,000 | ENI S.p.A. |
1,644,835 | ||||||
70,000 | Exxon Mobil Corp.~ |
5,959,100 | ||||||
14,000 | Halliburton Company~ |
504,280 | ||||||
16,000 | Marathon Oil Corp.~ |
883,200 | ||||||
279,000 | Nippon Oil Corp. |
2,484,017 | ||||||
11,300 | PetroChina Company, Ltd. |
1,664,038 | ||||||
82,300 | Royal Dutch Shell, PLC |
3,205,080 | ||||||
15,000 | Schlumberger, Ltd.~ |
1,420,800 | ||||||
31,300 | TOTAL, SA |
2,464,920 | ||||||
8,000 | Transocean, Inc.# |
859,600 | ||||||
21,000 | Valero Energy Corp.~ |
1,407,210 | ||||||
36,343,362 | ||||||||
Financials (9.6%) |
||||||||
14,950 | Allianz SE |
3,179,026 |
3
Number of | ||||||||
Shares | Value | |||||||
13,000 | Allstate Corp.~ |
$ | 690,950 | |||||
13,000 | American Express Company~ |
761,020 | ||||||
45,000 | American International Group,
Inc.~ |
2,888,100 | ||||||
24,000 | Aon Corp.~ |
960,960 | ||||||
62,000 | Australian Stock Exchange, Ltd. |
2,560,382 | ||||||
65,000 | Babcock & Brown, Ltd. |
1,539,058 | ||||||
75,000 | Banco Espirito Santo, SA |
1,759,890 | ||||||
135,000 | Banco Santander Central Hispano,
SA |
2,571,028 | ||||||
65,000 | Bank of America Corp.~ |
3,082,300 | ||||||
15,000 | Bank of New York Company,
Inc.~ |
638,250 | ||||||
120,000 | Barclays, PLC |
1,685,517 | ||||||
18,700 | BNP Paribas |
2,055,594 | ||||||
88,000 | Citigroup, Inc.~ |
4,098,160 | ||||||
18,000 | Commerzbank, AG |
774,350 | ||||||
36,500 | Commonwealth Bank of Australia |
1,674,347 | ||||||
23,800 | Credit Suisse Group# |
1,552,520 | ||||||
11,800 | Deutsche Bank, AG# |
1,598,328 | ||||||
24,000 | EFG obank Ergasias |
852,500 | ||||||
12,000 | Federal National Mortgage
Association~ |
718,080 | ||||||
8,000 | Franklin Resources, Inc.~ |
1,018,960 | ||||||
16,000 | Goldman Sachs Group, Inc.~ |
3,013,440 | ||||||
5,000 | Hartford Financial Services
Group, Inc.~ |
459,350 | ||||||
535,000 | Henderson Group, PLC |
1,681,714 | ||||||
187,000 | HSBC Holdings, PLC# |
3,465,119 | ||||||
45,000 | JPMorgan Chase & Company~ |
1,980,450 | ||||||
17,000 | Loews Corp. |
805,800 | ||||||
11,400 | Macquarie Bank, Ltd. |
786,899 | ||||||
145,000 | Man Group, PLC |
1,649,029 | ||||||
9,500 | Merrill Lynch & Company, Inc.~ |
704,900 | ||||||
30,000 | MetLife, Inc.~ |
1,806,600 | ||||||
40,000 | Millea Holdings, Inc. |
1,591,164 | ||||||
40,000 | Morgan Stanley~ |
2,554,800 | ||||||
45,000 | Nomura Holdings, Inc. |
854,159 | ||||||
47,000 | Piraeus Bank, SA |
1,666,482 | ||||||
15,000 | Prudential Financial, Inc.~ |
1,329,450 | ||||||
33,000 | QBE Insurance Group, Ltd. |
833,344 | ||||||
135,000 | Royal Bank of Scotland, PLC |
1,607,278 | ||||||
65,500 | Schroders, PLC |
1,621,085 | ||||||
387,000 | Singapore Exchange, Ltd. |
2,443,663 | ||||||
12,000 | St. Paul Travelers Companies,
Inc.~ |
609,360 | ||||||
16,000 | T Rowe Price Group, Inc. |
834,080 | ||||||
32,000 | U.S. Bancorp~ |
958,400 | ||||||
28,500 | UBS, AG |
1,577,797 | ||||||
67,000 | Wachovia Corp.~ |
3,163,070 | ||||||
18,500 | Washington Mutual, Inc.~ |
694,305 | ||||||
40,000 | Wells Fargo & Company~ |
1,350,800 | ||||||
8,300 | Zurich Financial Services, AG |
2,418,554 | ||||||
79,120,412 | ||||||||
Health Care (4.5%) |
||||||||
55,000 | Abbott Laboratories~ |
2,787,950 | ||||||
25,500 | Alcon, Inc. |
3,480,750 | ||||||
39,000 | Astellas Pharma, Inc. |
1,602,241 | ||||||
55,000 | Bristol-Myers Squibb Company~ |
1,562,550 | ||||||
11,350 | CSL, Ltd. |
850,428 | ||||||
14,250 | Eli Lilly and Company~ |
770,783 | ||||||
55,000 | Johnson & Johnson~ |
3,327,500 | ||||||
70,000 | Merck & Company, Inc.~ |
3,475,500 |
Number of | ||||||||
Shares | Value | |||||||
8,000 | Nobel Biocare Holding, AG |
$ | 2,405,937 | |||||
32,000 | Novartis International, AG |
1,726,072 | ||||||
15,600 | Novo Nordisk, AS B Shares |
1,636,753 | ||||||
66,000 | OLYMPUS Corp.~ |
2,705,343 | ||||||
135,000 | Pfizer, Inc.~ |
3,173,850 | ||||||
9,650 | Roche Holding, AG |
1,709,076 | ||||||
60,000 | Schering-Plough Corp.~ |
1,712,400 | ||||||
27,000 | Takeda Chemical Industries |
1,758,815 | ||||||
42,000 | UnitedHealth Group, Inc.~ |
2,034,060 | ||||||
17,000 | Wyeth~ |
824,840 | ||||||
37,544,848 | ||||||||
Industrials (6.6%) |
||||||||
19,000 | 3M Company |
1,689,480 | ||||||
106,700 | Abb, Ltd. |
2,566,001 | ||||||
26,000 | Alfa Laval AB |
1,632,914 | ||||||
10,000 | Alstom |
1,798,161 | ||||||
19,000 | ARIS, NV |
1,768,400 | ||||||
22,000 | Boeing Company~ |
2,275,460 | ||||||
6,000 | Burlington Northern Santa Fe
Corp.~ |
492,840 | ||||||
170,000 | Capita Group, PLC |
2,463,341 | ||||||
12,000 | Compagnie de Saint-Gobain |
1,324,290 | ||||||
7,000 | Danaher Corp.~ |
522,760 | ||||||
18,000 | Emerson Electric Company~ |
847,260 | ||||||
63,000 | FirstGroup, PLC |
804,752 | ||||||
10,000 | General Dynamics Corp.~ |
785,600 | ||||||
130,000 | General Electric Company~ |
5,038,800 | ||||||
30,000 | Honeywell International, Inc.~ |
1,725,300 | ||||||
200,000 | Invensys, PLC# |
1,512,428 | ||||||
92,000 | JGC Corp. |
1,893,128 | ||||||
39,500 | KCI Konecranes Oyj |
1,598,706 | ||||||
29,000 | Komatsu, Ltd. |
915,270 | ||||||
24,000 | Leighton Holdings, Ltd. |
789,733 | ||||||
10,000 | Lockheed Martin Corp.~ |
984,800 | ||||||
17,000 | MAN, AG |
2,456,256 | ||||||
150,000 | Michael Page International, PLC |
1,645,212 | ||||||
66,000 | Mitsubishi Corp. |
1,949,042 | ||||||
135,000 | Mitsubishi Heavy Industries, Ltd. |
948,458 | ||||||
137,000 | Mitsui Marine & Fire Insurance
Company of America |
1,581,200 | ||||||
90,000 | Mitsui Sumitomo Insurance Co.,
Ltd. |
2,115,048 | ||||||
10,000 | Norfolk Southern Corp.~ |
537,800 | ||||||
4,200 | R.R. Donnelley & Sons
Company~ |
177,492 | ||||||
11,000 | Raytheon Company~ |
608,960 | ||||||
78,000 | Sandvik, AB# |
1,568,078 | ||||||
24,000 | Siemens, AG |
3,037,563 | ||||||
45,000 | Sumitomo Corp. |
871,513 | ||||||
8,400 | Union Pacific Corp.~ |
1,000,776 | ||||||
14,000 | United Technologies Corp.~ |
1,021,580 | ||||||
77,000 | Volvo, AB A Shares# |
1,424,056 | ||||||
54,372,458 | ||||||||
Information Technology (8.6%) |
||||||||
22,000 | Apple, Inc.#~ |
2,898,720 | ||||||
60,000 | Canon, Inc. |
3,171,259 | ||||||
75,000 | Cisco Systems, Inc.~# |
2,168,250 | ||||||
28,000 | Dell, Inc.~# |
783,160 | ||||||
18,000 | Electronic Data Systems Corp.~ |
485,820 | ||||||
2,750 | Google, Inc.~# |
1,402,500 | ||||||
60,000 | Hewlett-Packard Company~ |
2,761,800 |
4
Number of | ||||||||
Shares | Value | |||||||
196,000 | Hon Hai Precision Industry
Company, Ltd. |
$ | 1,611,568 | |||||
50,000 | Infosys Technologies, Ltd. |
2,480,000 | ||||||
135,000 | Intel Corp.~ |
3,188,700 | ||||||
25,000 | International Business Machines
Corp.~ |
2,766,250 | ||||||
113,000 | Konica Minolta Holdings, Inc. |
1,670,684 | ||||||
16,200 | Kyocera Corp.# |
1,574,645 | ||||||
160,000 | Microsoft Corp.~ |
4,638,400 | ||||||
45,000 | Motorola, Inc.~ |
764,550 | ||||||
23,600 | Murata Manufacturing Company,
Ltd. |
1,763,232 | ||||||
14,000 | Nintendo Company, Ltd. |
6,749,808 | ||||||
183,000 | Nokia Corp. |
5,227,670 | ||||||
150,000 | Oracle Corp.#~ |
2,868,000 | ||||||
47,000 | QUALCOMM, Inc.~ |
1,957,550 | ||||||
76,000 | Ricoh Company, Ltd. |
1,647,414 | ||||||
34,000 | SAP, AG |
1,840,870 | ||||||
65,000 | Satyam Computer Services, Ltd. |
1,732,900 | ||||||
38,000 | Taiyo Yuden Company, Inc. |
819,962 | ||||||
72,000 | Tandberg ASA |
1,630,830 | ||||||
56,000 | TDK Corp. |
4,773,740 | ||||||
43,000 | Texas Instruments, Inc.~ |
1,513,170 | ||||||
381,000 | Toshiba Corp. |
3,573,306 | ||||||
103,000 | Vtech Holdings |
912,648 | ||||||
56,000 | Yamatake Corp. |
1,701,294 | ||||||
71,078,700 | ||||||||
Materials (2.3%) |
||||||||
20,000 | Akzo Nobel, NV |
1,647,151 | ||||||
26,000 | Anglo American, PLC |
1,509,515 | ||||||
27,000 | ArcelorMittal |
1,655,744 | ||||||
19,750 | BASF, AG |
2,554,391 | ||||||
23,000 | Bayer, AG |
1,628,094 | ||||||
83,700 | BHP Billton, Ltd. |
2,665,980 | ||||||
30,000 | BHP Billton, PLC |
880,210 | ||||||
22,000 | E.I. du Pont de Nemours and
Company~ |
1,028,060 | ||||||
14,000 | JFE Holdings, Inc. |
960,121 | ||||||
14,000 | Nucor Corp. |
702,800 | ||||||
17,000 | Rio Tinto Group |
1,226,481 | ||||||
23,000 | Shin-Etsu Chemical Co., Ltd. |
1,698,307 | ||||||
25,000 | The Dow Chemical Company~ |
1,087,000 | ||||||
19,243,854 | ||||||||
Telecommunication Services (2.2%) |
||||||||
55,000 | America Movil, SA de CV |
3,293,400 | ||||||
65,000 | AT&T, Inc.~ |
2,545,400 | ||||||
265,000 | BT Group, PLC# |
1,679,497 | ||||||
15,700 | China Mobile, Ltd. |
901,023 | ||||||
235 | KDDI Corp. |
1,558,918 | ||||||
42,600 | Telefonos de Mexico, SA de CV |
1,455,642 | ||||||
83,000 | Verizon Communications, Inc.~ |
3,537,460 | ||||||
1,035,000 | Vodafone Group, PLC |
3,111,363 | ||||||
18,082,703 | ||||||||
Utilities (1.0%) |
||||||||
47,500 | Duke Energy Corp. |
808,925 | ||||||
21,000 | E.ON, AG |
3,304,491 | ||||||
21,000 | Exelon Corp.~ |
1,473,150 | ||||||
17,000 | FPL Goup, Inc.~ |
981,410 | ||||||
14,500 | Gas Natural SDG, SA |
832,140 |
Number of | ||||||||
Shares | Value | |||||||
19,000 | Progress Energy, Inc. |
$ | 829,540 | |||||
8,229,656 | ||||||||
TOTAL COMMON
STOCKS |
||||||||
(Cost $432,839,151) |
417,729,383 | |||||||
Principal | ||||||||
Amount | Value | |||||||
Short-Term Investment (1.0%) | ||||||||
$ | 8,000,000 | Federal Home Loan Mortgage
Corp.µ |
||||||
5.401%, 08/10/07 |
||||||||
(Cost $7,997,320) |
7,997,360 | |||||||
Number of | ||||||||
Shares | Value | |||||||
Investment in Affiliated Fund (17.1%) | ||||||||
141,229,857 | Calamos Government Money
Market Fund Class I Shares |
|||||||
5.111% |
||||||||
(Cost $141,229,857) |
141,229,857 | |||||||
TOTAL INVESTMENTS (106.9%) | ||||||||
(Cost $908,043,518) | 884,778,923 | |||||||
LIABILITIES, LESS OTHER ASSETS (-6.9%) | (57,041,826 | ) | ||||||
NET ASSETS APPLICABLE TO COMMON SHAREHOLDERS (100.0%) | $ | 827,737,097 | ||||||
5
Number of | ||||||||
Shares | Value | |||||||
Common Stocks Sold Short (-3.2%) | ||||||||
Consumer Discretionary (-0.4) | ||||||||
(187,000 | ) | Interpublic Group of Companies, Inc.# |
$ | (1,961,630 | ) | |||
(61,500 | ) | JAKKS Pacific, Inc.# |
(1,458,165 | ) | ||||
(3,419,795 | ) | |||||||
Consumer Staples (-0.1%) | ||||||||
(28,000 | ) | The Pantry, Inc.# |
(975,520 | ) | ||||
Energy (-0.2%) | ||||||||
(250,000 | ) | Grey Wolf, Inc.# |
(1,852,500 | ) | ||||
Financials (-0.4%) | ||||||||
(5,300 | ) | Alleghany Corp.# |
(2,226,000 | ) | ||||
(100,000 | ) | American Equity Investment Life Holding Company |
(1,135,000 | ) | ||||
(3,361,000 | ) | |||||||
Health Care (-0.9%) | ||||||||
(156,500 | ) | Health Corp. |
(1,981,290 | ) | ||||
(43,100 | ) | Henry Schein, Inc.# |
(2,342,054 | ) | ||||
(23,200 | ) | Millipore Corp.# |
(1,823,752 | ) | ||||
(38,000 | ) | SonoSite, Inc.# |
(1,089,443 | ) | ||||
(7,236,539 | ) | |||||||
Industrials (-0.8%) | ||||||||
(24,500 | ) | Ceradyne, Inc.# |
(1,828,435 | ) | ||||
(62,000 | ) | Quanta Services, Inc.# |
(1,762,660 | ) | ||||
(32,500 | ) | School Specialty, Inc.# |
(1,119,300 | ) | ||||
(51,000 | ) | YRC Worldwide, Inc.# |
(1,638,120 | ) | ||||
(6,348,515 | ) | |||||||
Information Technology (-0.2%) | ||||||||
(90,000 | ) | Mentor Graphics Corp.# |
(1,080,900 | ) | ||||
(26,000 | ) | Veeco Instruments, Inc.# |
(475,800 | ) | ||||
(1,556,700 | ) | |||||||
Utilities (-0.2%) | ||||||||
(17,000 | ) | Entergy Corp. |
(1,699,320 | ) | ||||
TOTAL COMMON STOCKS SOLD SHORT |
||||||||
(Proceeds $28,473,929) |
(26,449,889 | ) | ||||||
Number of Contracts | Value | |||||||
Written Options (-0.8%) | ||||||||
Financials (-0.8%) | ||||||||
iShares MSCI EAFE Index Fund# |
||||||||
11,350 | Call, 09/22/07, Strike $83.00 |
(936,375 | ) | |||||
7,700 | Call, 09/22/07, Strike $82.00 |
(904,750 | ) | |||||
6,000 | Call, 12/22/07, Strike $82.00 |
(1,830,000 | ) | |||||
(3,671,125 | ) | |||||||
SPDR Trust Series 1# |
||||||||
3,300 | Call, 08/18/22/07, Strike $152.00 |
(165,000 | ) | |||||
650 | Call, 08/18/22/07, Strike $153.00 |
(19,500 | ) | |||||
3,400 | Call, 09/22/07, Strike $152.00 |
(637,500 | ) | |||||
1,000 | Call, 09/22/07, Strike $153.00 |
(152,500 | ) | |||||
500 | Call, 09/22/07, Strike $154.00 |
(61,250 | ) | |||||
450 | Call, 09/22/07, Strike $155.00 |
(43,875 | ) | |||||
5,500 | Call, 12/22/07, Strike $84.00 |
(1,168,750 | ) | |||||
1,800 | Call, 12/22/07, Strike $154.00 |
(693,000 | ) | |||||
(2,941,375 | ) | |||||||
TOTAL WRITTEN OPTIONS |
||||||||
(Premium $13,306,666) |
$ | (6,612,500 | ) | |||||
SWAP Counterparty | Referenced Obligation |
Buy/Sell Protection |
Fund Pays/Receives Fixed Rate |
Termination Date |
Notional Amount |
Unrealized | ||||||||||
Citibank, N.A.
|
Marsh & Mclennan Company | BUY | 71 BPS Quarterly | 9/20/2012 | $ | 5,000,000 | $ | (2,123 | ) | |||||||
Citibank, N.A.
|
Centex Corp. | BUY | 135 BPS Quarterly | 9/20/2012 | 5,000,000 | 175,441 | ||||||||||
Citibank, N.A.
|
Boston Scientific Corp. | BUY | 97 BPS Quarterly | 9/20/2012 | 5,000,000 | 133,094 | ||||||||||
Citibank, N.A.
|
Motorola, Inc. | BUY | 73 BPS Quarterly | 9/20/2017 | 5,000,000 | 75,943 | ||||||||||
Goldman Sachs
|
Jones Apparel Group USA, Inc. | BUY | 132 BPS Quarterly | 9/20/2012 | 5,000,000 | 108,891 | ||||||||||
Goldman Sachs
|
Temple-Inland, Inc. | BUY | 100 BPS Quarterly | 9/20/2012 | 5,000,000 | 251,054 | ||||||||||
Lehman Brothers Holdings
|
IAC/InterActiveCorp | BUY | 125 BPS Quarterly | 9/20/2012 | 5,000,000 | 87,066 | ||||||||||
Goldman Sachs
|
Dow Jones CDX.NA.IG.8, 3-7% | SELL | 674 BPS Quarterly | 6/20/2017 | 10,000,000 | (690,673 | ) | |||||||||
Lehman Brothers Holdings
|
Dow Jones CDX.NA.IG.8, 3-7% | SELL | 636 BPS Quarterly | 6/20/2017 | 10,000,000 | (916,629 | ) | |||||||||
Lehman Brothers Holdings
|
Dow Jones CDX.NA.IG.8, 3-7% | SELL | 640 BPS Quarterly | 6/20/2017 | 10,000,000 | (894,035 | ) | |||||||||
Citibank, N.A.
|
Dow Jones CDX.NA.IG.8, 7-10% | SELL | 196.25 BPS Quarterly | 6/20/2017 | 10,000,000 | (772,553 | ) | |||||||||
Citibank, N.A.
|
Dow Jones CDX.NA.IG.8, 7-10% | SELL | 206.5 BPS Quarterly | 6/20/2017 | 10,000,000 | (702,911 | ) | |||||||||
Goldman Sachs
|
Dow Jones CDX.NA.IG.8, 7-10% | SELL | 234 BPS Quarterly | 6/20/2017 | 10,000,000 | (499,330 | ) | |||||||||
Merrill Lynch
|
Dow Jones CDX.NA.IG.8, 7-10% | SELL | 187.25 BPS Quarterly | 6/20/2017 | 10,000,000 | (838,202 | ) | |||||||||
Merrill Lynch
|
Dow Jones CDX.NA.IG.8, 7-10% | SELL | 197.5 BPS Quarterly | 9/20/2017 | 10,000,000 | (766,034 | ) | |||||||||
Merrill Lynch
|
Dow Jones CDX.NA.IG.8, 7-10% | SELL | 239 BPS Quarterly | 6/20/2017 | 3,000,000 | (482,070 | ) | |||||||||
$ | (5,733,071 | ) | ||||||||||||||
~ | Security, or portion of security, is held in a segregated account as collateral for written options aggregating a total market value of $172,965,790. | |
| Variable rate or step bond security. The rate shown is the rate in effect at July 31, 2007. | |
* | 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 or excepted from such registration requirements. At July 31, 2007 the value of 144A securities that could not be exchanged to the registered form is $120,153,348 or 14.5% of net assets. | |
≠ | Security, or a portion of the security purchased on a delayed delivery or when-issued basis. | |
∞ | Securities exchangeable or convertible into securities of an entity different than the issuer. Such entity is identified in the parenthetical. | |
# | Non-income producing security. | |
µ | Security, or portion of security, is held in a segregated account as collateral for SWAPs aggregating a total market value of $7,997,360. |
Country | % of Portfolio | |||
United States |
50.8 | % | ||
Japan |
10.8 | |||
Germany |
7.3 | |||
United Kingdom |
7.2 | |||
Switzerland |
4.9 | |||
Netherlands |
2.9 | |||
France |
2.7 | |||
Finland |
2.6 | |||
India |
2.0 | |||
Australia |
1.8 | |||
Sweden |
0.9 | |||
Greece |
0.8 | |||
Mexico |
0.8 | |||
Spain |
0.7 | |||
Denmark |
0.6 | |||
Belgium |
0.5 | |||
Canada |
0.4 | |||
Singapore |
0.3 | |||
Bermuda |
0.3 | |||
Portugal |
0.3 | |||
Ireland |
0.2 | |||
China |
0.2 | |||
Italy |
0.2 | |||
Norway |
0.2 | |||
Taiwan |
0.2 | |||
Netherlands Antilles |
0.2 | |||
Hong Kong |
0.1 | |||
Cayman Islands |
0.1 | |||
Totals: |
100.0 | % | ||
Cost basis of investments |
$ | 908,294,647 | ||
Gross unrealized appreciation |
13,116,331 | |||
Gross unrealized depreciation |
(36,632,055 | ) | ||
Net unrealized appreciation (depreciation) |
$ | (23,515,724 | ) | |
Distributed | ||||||||||||||||||||||||
Value | Capital | Value | ||||||||||||||||||||||
June 27 | Sales | Dividend | Gains | July 31, | ||||||||||||||||||||
Affiliated Fund | 2007* | Purchases | Proceeds | Income | Distributed | 2007 | ||||||||||||||||||
Calamos
Government
Money Market
Fund |
$ | | $ | 847,085,857 | $ | 705,856,000 | $ | 1,976,826 | $ | | $ | 141,229,857 |
* | The Fund commenced operations on June 27, 2007 |
Calamos Global Dynamic Income Fund | ||||
By:
|
/s/ John P. Calamos, Sr. | |||
Name:
|
John P. Calamos, Sr. | |||
Title:
|
Principal Executive Officer | |||
Date:
|
September 25, 2007 |
Calamos Global Dynamic Income Fund | ||||
By:
|
/s/ John P. Calamos, Sr. | |||
Name:
Title:
Date:
|
John P. Calamos, Sr. Principal Executive Officer September 25, 2007 |
|||
By:
|
/s/ Patrick H. Dudasik | |||
Name:
|
Patrick H. Dudasik | |||
Title:
|
Principal Financial Officer | |||
Date:
|
September 25, 2007 |