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, 2008 | |
DATE OF REPORTING PERIOD: | January 31, 2008 |
Principal | |||||||||
Amount | Value | ||||||||
Corporate Bonds (12.5%) | |||||||||
Consumer Discretionary (3.8%) |
|||||||||
$ | 2,000,000 | Boyd Gaming Corp. |
|||||||
7.125%, 02/01/16 |
$ | 1,730,000 | |||||||
2,000,000 | D.R. Horton, Inc. |
||||||||
9.750%, 09/15/10 |
1,962,500 | ||||||||
2,000,000 | EchoStar Communications Corp. |
||||||||
7.125%, 02/01/16 |
2,007,500 | ||||||||
2,000,000 | Ford Motor Company |
||||||||
9.875%, 08/10/11 |
1,920,330 | ||||||||
2,000,000 | General Motors Corp. |
||||||||
7.200%, 01/15/11 |
1,835,000 | ||||||||
2,000,000 | Goodyear Tire & Rubber
Company |
||||||||
7.857%, 08/15/11 |
2,025,000 | ||||||||
2,000,000 | Hanesbrands, Inc. |
||||||||
8.204%, 12/15/14 |
1,820,000 | ||||||||
1,725,000 | Idearc, Inc. |
||||||||
8.000%, 11/15/16 |
1,552,500 | ||||||||
2,000,000 | Interpublic Group of Companies,
Inc. |
||||||||
6.250%, 11/15/14 |
1,660,000 | ||||||||
2,000,000 | Jarden Corp. |
||||||||
7.500%, 05/01/17 |
1,720,000 | ||||||||
2,000,000 | Liberty Media Corp. |
||||||||
8.500%, 07/15/29 |
1,906,122 | ||||||||
2,000,000 | MGM Mirageµ |
||||||||
7.500%, 06/01/16 |
1,930,000 | ||||||||
2,000,000 | Pulte Homes, Inc. |
||||||||
7.875%, 08/01/11 |
1,942,500 | ||||||||
2,210,000 | Royal Caribbean Cruises, Ltd.µ |
||||||||
7.500%, 10/15/27 |
2,020,470 | ||||||||
2,000,000 | Service Corp. Internationalµ |
||||||||
6.750%, 04/01/15 |
1,990,000 | ||||||||
2,000,000 | Warnaco Group, Inc.µ |
||||||||
8.875%, 06/15/13 |
2,045,000 | ||||||||
30,066,922 | |||||||||
Consumer Staples (1.2%) |
|||||||||
1,000,000 | Alliance One International, Inc. |
||||||||
8.500%, 05/15/12 |
935,000 | ||||||||
2,000,000 | Del Monte Foods Company |
||||||||
8.625%, 12/15/12 |
2,030,000 | ||||||||
1,300,000 | Dole Food Company, Inc.µ |
||||||||
8.875%, 03/15/11 |
1,163,500 | ||||||||
2,000,000 | NBTY, Inc. |
||||||||
7.125%, 10/01/15 |
1,870,000 | ||||||||
2,000,000 | Pilgrims Pride Corp. |
||||||||
7.625%, 05/01/15 |
1,905,000 | ||||||||
2,000,000 | Smithfield Foods, Inc. |
||||||||
7.750%, 07/01/17 |
1,900,000 | ||||||||
9,803,500 | |||||||||
Energy (1.5%) |
|||||||||
2,000,000 | Arch Western Financial, LLC |
||||||||
6.750%, 07/01/13 |
1,945,000 | ||||||||
2,000,000 | Complete Production Services,
Inc. |
||||||||
8.000%, 12/15/16 |
1,950,000 | ||||||||
2,000,000 | Dresser-Rand Group, Inc. |
||||||||
7.375%, 11/01/14 |
1,970,000 | ||||||||
2,000,000 | GulfMark Offshore, Inc. |
||||||||
7.750%, 07/15/14 |
2,040,000 | ||||||||
2,000,000 | Superior Energy Services, Inc. |
||||||||
6.875%, 06/01/14 |
1,940,000 | ||||||||
2,000,000 | Williams Companies, Inc. |
||||||||
7.750%, 06/15/31 |
2,180,000 | ||||||||
12,025,000 | |||||||||
Financials (0.4%) |
|||||||||
Leucadia National Corp. |
|||||||||
2,000,000 | 7.000%, 08/15/13 |
1,945,000 | |||||||
880,000 | 8.125%, 09/15/15 |
880,000 | |||||||
2,825,000 | |||||||||
Health Care (1.6%) |
|||||||||
2,000,000 | Bio-Rad Laboratories, Inc.µ |
||||||||
7.500%, 08/15/13 |
2,030,000 | ||||||||
3,000,000 | Community Health Systems, Inc. |
||||||||
8.875%, 07/15/15 |
3,033,750 | ||||||||
1,000,000 | DaVita, Inc. |
||||||||
7.250%, 03/15/15 |
1,000,000 | ||||||||
3,000,000 | HCA, Inc. |
||||||||
9.250%, 11/15/16 |
3,153,750 | ||||||||
2,000,000 | Psychiatric Solutions, Inc.µ |
||||||||
7.750%, 07/15/15 |
1,980,000 | ||||||||
995,000 | Valeant
Pharmaceuticals International |
||||||||
7.000%, 12/15/11 |
962,662 | ||||||||
12,160,162 | |||||||||
Industrials (1.7%) |
|||||||||
2,000,000 | Belden CDT, Inc.µ |
||||||||
7.000%, 03/15/17 |
1,925,000 | ||||||||
2,000,000 | Deluxe Corp. |
||||||||
7.375%, 06/01/15 |
1,975,000 | ||||||||
2,000,000 | General Cable Corp. |
||||||||
7.125%, 04/01/17 |
1,915,000 | ||||||||
1,000,000 | Interline Brands, Inc. |
||||||||
8.125%, 06/15/14 |
980,000 | ||||||||
2,000,000 | Manitowoc Company, Inc.µ |
||||||||
7.125%, 11/01/13 |
1,940,000 | ||||||||
2,000,000 | SPX Corp. |
||||||||
7.625%, 12/15/14 |
2,052,500 | ||||||||
2,000,000 | Terex Corp. |
||||||||
7.375%, 01/15/14 |
1,985,000 | ||||||||
500,000 | Westinghouse
Air Brake Technologies Corp. |
||||||||
6.875%, 07/31/13 |
492,500 | ||||||||
13,265,000 | |||||||||
Information Technology (0.8%) |
|||||||||
2,000,000 | Amkor Tech, Inc. |
||||||||
9.250%, 06/01/16 |
1,892,500 | ||||||||
2,000,000 | SunGard Data Systems, Inc.µ |
||||||||
9.125%, 08/15/13 |
2,040,000 | ||||||||
2,000,000 | Xerox Corp. |
||||||||
8.000%, 02/01/27 |
2,008,318 | ||||||||
5,940,818 | |||||||||
Materials (0.5%) |
|||||||||
2,000,000 | Century Aluminum Company |
||||||||
7.500%, 08/15/14 |
1,910,000 |
1
Principal | ||||||||||||
Amount | Value | |||||||||||
$ | 2,305,000 | Terra Industries, Inc. |
||||||||||
7.000%, 02/01/17 |
$ | 2,276,188 | ||||||||||
4,186,188 | ||||||||||||
Telecommunication Services (1.0%) |
||||||||||||
2,000,000 | Citizens Communications Company |
|||||||||||
9.000%, 08/15/31 |
1,932,500 | |||||||||||
2,000,000 | Leap Wireless International, Inc. |
|||||||||||
9.375%, 11/01/14 |
1,830,000 | |||||||||||
2,000,000 | Qwest Communications International, Inc.µ |
|||||||||||
7.750%, 02/15/31 |
1,780,000 | |||||||||||
2,000,000 | Windstream Corp.µ |
|||||||||||
8.625%, 08/01/16 |
2,080,000 | |||||||||||
7,622,500 | ||||||||||||
TOTAL CORPORATE BONDS |
||||||||||||
(Cost $100,130,018) |
97,895,090 | |||||||||||
Convertible Bonds (15.0%) | ||||||||||||
Consumer Discretionary (3.3%) |
||||||||||||
1,650,000 | EUR | Adidas, AG |
||||||||||
2.500%, 10/08/18 |
4,259,431 | |||||||||||
3,500,000 | Ford Motor Companyµ |
|||||||||||
4.250%, 12/15/36 |
3,513,125 | |||||||||||
4,250,000 | General Motors Corp.µ |
|||||||||||
7.200%, 11/15/11 |
3,587,000 | |||||||||||
5,000,000 | Interpublic Group of Companies, Inc.* |
|||||||||||
4.250%, 03/15/23 |
5,093,750 | |||||||||||
3,000,000 | EUR | Intralot SA |
||||||||||
2.250%, 12/20/13 |
4,629,687 | |||||||||||
3,750,000 | JAKKS Pacific, Inc. |
|||||||||||
4.625%, 06/15/23 |
5,020,313 | |||||||||||
26,103,306 | ||||||||||||
Consumer Staples (0.4%) |
||||||||||||
3,000,000 | General Mills, Inc. |
|||||||||||
4.301%, 04/11/37 |
3,007,500 | |||||||||||
Energy (1.0%) |
||||||||||||
3,000,000 | Grey Wolf, Inc. |
|||||||||||
4.780%, 04/01/24 |
3,438,900 | |||||||||||
4,300,000 | SeaDrill, Ltd. |
|||||||||||
3.625%, 11/08/12 |
4,128,000 | |||||||||||
7,566,900 | ||||||||||||
Financials (1.4%) |
||||||||||||
3,000,000 | American Equity Investment Life Holding Company |
|||||||||||
5.250%, 12/06/24 |
2,827,500 | |||||||||||
3,000,000 | Health Care REIT, Inc. |
|||||||||||
4.750%, 07/15/27 |
3,131,250 | |||||||||||
5,000,000 | Prudential Financial, Inc. |
|||||||||||
2.733%, 12/12/36 |
4,916,000 | |||||||||||
10,874,750 | ||||||||||||
Health Care (4.4%) |
||||||||||||
1,000,000 | Affymetrix, Inc. |
|||||||||||
3.500%, 01/15/38 |
1,018,750 | |||||||||||
3,000,000 | Bristol-Myers Squibb Company |
|||||||||||
4.491%, 09/15/23 |
3,003,600 | |||||||||||
$ | 3,300,000 | Emdeon Corp. |
||||||||||
3.125%, 09/01/25 |
3,048,375 | |||||||||||
1,000,000 | Five Star Quality Care, Inc. |
|||||||||||
3.750%, 10/15/26 |
848,750 | |||||||||||
2,400,000 | Henry Schein, Inc. |
|||||||||||
3.000%, 08/15/34 |
3,288,000 | |||||||||||
4,100,000 | Invitrogen Corp.µ |
|||||||||||
3.250%, 06/15/25 |
4,592,000 | |||||||||||
3,000,000 | Millipore Corp. |
|||||||||||
3.750%, 06/01/26 |
3,180,000 | |||||||||||
6,500,000 | Shire, PLC |
|||||||||||
2.750%, 05/09/14 |
6,158,750 | |||||||||||
2,000,000 | SonoSite, Inc. |
|||||||||||
3.750%, 07/15/14 |
2,280,000 | |||||||||||
6,200,000 | Teva Pharmaceutical Industries, Ltd.µ |
|||||||||||
1.750%, 02/01/26 |
7,161,000 | |||||||||||
34,579,225 | ||||||||||||
Industrials (1.0%) |
||||||||||||
1,800,000 | EUR | MTU Aero Engines Holdings, AG |
||||||||||
2.750%, 02/01/12 |
2,668,097 | |||||||||||
3,000,000 | School Specialty, Inc. |
|||||||||||
3.750%, 11/30/26 |
2,853,750 | |||||||||||
2,000,000 | Waste Connections, Inc. |
|||||||||||
3.750%, 04/01/26 |
2,185,000 | |||||||||||
7,706,847 | ||||||||||||
Information Technology (2.8%) |
||||||||||||
1,310,259 | EUR | Alcatel, SA |
||||||||||
4.750%, 01/01/11 |
4,571,822 | |||||||||||
2,700,000 | Electronic Data Systems Corp.µ |
|||||||||||
3.875%, 07/15/23 |
2,696,625 | |||||||||||
5,500,000 | Intel Corp. |
|||||||||||
2.950%, 12/15/35 |
5,500,000 | |||||||||||
2,700,000 | Linear Technology Corp. |
|||||||||||
3.125%, 05/01/27 |
2,622,375 | |||||||||||
4,000,000 | Mentor Graphics Corp. |
|||||||||||
6.250%, 03/01/26 |
3,850,000 | |||||||||||
2,800,000 | Seagate Technology |
|||||||||||
6.800%, 04/30/10 |
3,020,500 | |||||||||||
22,261,322 | ||||||||||||
Telecommunication Services (0.3%) |
||||||||||||
1,290,500 | EUR | France Telecom, AG |
||||||||||
1.600%, 01/01/09 |
1,995,831 | |||||||||||
Utilities (0.4%) |
||||||||||||
1,700,000 | EUR | International Power, PLC |
||||||||||
3.250%, 07/20/13 |
2,853,984 | |||||||||||
TOTAL CONVERTIBLE BONDS |
||||||||||||
(Cost $122,555,237) |
116,949,665 | |||||||||||
2
Number of | ||||||||||||
Shares | Value | |||||||||||
Convertible Preferred Stocks (28.4%) | ||||||||||||
Consumer Discretionary (3.7%) |
||||||||||||
120,700 | Deutsche
Bank (Amazon.com, Inc.)*y |
|||||||||||
15.000% |
$ | 9,748,335 | ||||||||||
125,700 | Deutsche Bank (Apollo Group, Inc.)*y |
|||||||||||
12.000% |
10,012,633 | |||||||||||
80,007 | Lehman Brothers Holding (ITT Educational
Services, Inc.)*y |
|||||||||||
12.000% |
7,563,862 | |||||||||||
900 | EUR | Porsche Holding GmbH |
||||||||||
7.000% |
1,615,597 | |||||||||||
28,940,427 | ||||||||||||
Consumer Staples (0.6%) |
||||||||||||
4,000 | Bunge, Ltd. |
|||||||||||
5.125% |
4,390,000 | |||||||||||
Energy (1.3%) |
||||||||||||
80,000 | Lehman Brothers Holding (Transocean, Inc.)*y |
|||||||||||
12.000% |
10,036,000 | |||||||||||
Financials (1.7%) |
||||||||||||
9,500 | Alleghany Corp. |
|||||||||||
5.750% |
3,285,813 | |||||||||||
60,000 | CIT Group, Inc. |
|||||||||||
7.750% |
1,257,600 | |||||||||||
20,400 | Citigroup, Inc. |
|||||||||||
6.500% |
1,109,250 | |||||||||||
185,000 | MetLife, Inc. |
|||||||||||
6.375% |
5,389,050 | |||||||||||
2,000 | SLM Corp. |
|||||||||||
7.250% |
2,195,000 | |||||||||||
13,236,713 | ||||||||||||
Health Care (4.2%) |
||||||||||||
68,404 | Citigroup, Inc. (Alcon, Inc.)y |
|||||||||||
12.000% |
9,931,577 | |||||||||||
2,000 | Mylan Laboratories, Inc. |
|||||||||||
6.500% |
2,114,500 | |||||||||||
11,000 | Schering-Plough Corp.µ |
|||||||||||
6.000% |
2,107,490 | |||||||||||
141,900 | Wachovia Bank NA (Biogen Idec, Inc.)*y |
|||||||||||
12.000% |
8,324,564 | |||||||||||
144,600 | Wachovia Bank NA (Humana,
Inc.)*y |
|||||||||||
12.000% |
10,531,218 | |||||||||||
33,009,349 | ||||||||||||
Industrials (1.1%) |
||||||||||||
159,300 | Credit Suisse (CNH Global NV)*y |
|||||||||||
12.000% |
8,841,150 | |||||||||||
Information Technology (11.4%) |
||||||||||||
184,900 | Deutsche Bank (Electronic Arts, Inc.)*y |
|||||||||||
12.000% |
9,144,229 | |||||||||||
285,800 | Deutsche Bank (Nokia Corp.)*y |
|||||||||||
12.000% |
10,450,277 | |||||||||||
504,400 | Goldman
Sachs (Oracle
Corp.)*¹y |
|||||||||||
12.000% |
10,263,531 | |||||||||||
517,526 | JPMorgan Chase & Company (Intel Corp.)*y |
|||||||||||
12.000% |
10,715,376 | |||||||||||
417,544 | Morgan
Stanley (Cisco Systems, Inc.)*¹y |
|||||||||||
12.000% |
9,998,091 | |||||||||||
249,138 | Morgan
Stanley (Infosys Technologies, Ltd.)*¹y |
|||||||||||
12.000% |
10,031,542 | |||||||||||
195,142 | Morgan Stanley (SAP, AG)*y |
|||||||||||
12.000% |
9,402,917 | |||||||||||
323,500 | Wachovia Bank NA (eBay, Inc.)*y |
|||||||||||
12.000% |
8,959,333 | |||||||||||
410,500 | Wachovia Bank NA (NVIDIA Corp.)*y |
|||||||||||
15.000% |
10,424,647 | |||||||||||
89,389,943 | ||||||||||||
Materials (3.0%) |
||||||||||||
52 | EUR | Bayer, AG |
||||||||||
6.625% |
5,705,357 | |||||||||||
38,000 | Cia Vale do Rio Doce |
|||||||||||
5.500% |
2,299,000 | |||||||||||
21,000 | Freeport-McMoRan Copper & Gold, Inc.µ |
|||||||||||
6.750% |
2,788,800 | |||||||||||
710 | CHF | Givaudan SA |
||||||||||
5.375% |
6,293,883 | |||||||||||
30,000 | Hecla Mining Company |
|||||||||||
6.500% |
2,928,000 | |||||||||||
30,000 | Royal Gold, Inc. |
|||||||||||
7.250% |
3,147,000 | |||||||||||
23,162,040 | ||||||||||||
Telecommunication Services (1.2%) |
||||||||||||
154,800 | Credit Suisse (America Movil, S.A. de C.V.)*y |
|||||||||||
12.000% |
9,692,028 | |||||||||||
Utilities (0.2%) |
||||||||||||
30,000 | Entergy Corp. |
|||||||||||
7.625% |
1,920,000 | |||||||||||
TOTAL CONVERTIBLE PREFERRED STOCKS |
||||||||||||
(Cost $233,308,339) |
222,617,650 | |||||||||||
Common Stocks (76.2%) | ||||||||||||
Consumer Discretionary (5.9%) |
||||||||||||
41,000 | EUR | Adidas, AG |
2,615,028 | |||||||||
18,750 | Amazon.com, Inc.#µ |
1,456,875 | ||||||||||
15,000 | Apollo Group, Inc.# |
1,196,100 | ||||||||||
145,000 | GBP | British Sky Broadcasting Group, PLC |
1,593,089 | |||||||||
10,000 | Carnival Corp.µ |
444,900 | ||||||||||
400,000 | GBP | Carphone Warehouse Group, PLC |
2,633,829 | |||||||||
30,000 | CBS Corp.µ |
755,700 | ||||||||||
21,500 | Central European Media
Enterprises, Ltd. |
2,037,985 | ||||||||||
46,000 | CHF | Compagnie Generale Richemont, SA
|
2,631,453 |
3
Number of | ||||||||||||
Shares | Value | |||||||||||
400,000 | AUD | Harvey Norman Holdings, Ltd. |
$ | 2,027,700 | ||||||||
61,000 | EUR | Industria de Diseno Textil, SA |
3,064,528 | |||||||||
39,000 | JPY | Makita Corp. |
1,461,620 | |||||||||
50,000 | McDonalds Corp.µ |
2,677,500 | ||||||||||
72,000 | News Corp., Class Bµ |
1,399,680 | ||||||||||
38,000 | Nike, Inc.µ |
2,346,880 | ||||||||||
87,000 | JPY | Nikon Corp. |
2,419,048 | |||||||||
7,000 | Nordstrom, Inc.µ |
272,300 | ||||||||||
54,500 | EUR | Paddy Power, PLC |
1,551,479 | |||||||||
40,000 | EUR | Royal Philips Electronics, NV |
1,564,531 | |||||||||
50,000 | JPY | Sony Corp. |
2,362,043 | |||||||||
85,000 | CHF | Swatch Group, AG |
4,458,215 | |||||||||
8,000 | Target Corp. |
444,640 | ||||||||||
70,000 | Time Warner, Inc. |
1,101,800 | ||||||||||
31,000 | JPY | Toyota Motor Corp. |
1,678,373 | |||||||||
67,500 | Walt Disney Companyµ |
2,020,275 | ||||||||||
46,215,571 | ||||||||||||
Consumer Staples (8.5%) |
||||||||||||
50,000 | Altria Group, Inc.µ |
3,791,000 | ||||||||||
15,250 | Anheuser-Busch Companies, Inc.µ
|
709,430 | ||||||||||
53,000 | EUR | Beiersdorf, AG |
4,090,724 | |||||||||
115,000 | GBP | British American Tobacco, PLC |
4,119,604 | |||||||||
29,000 | DKK | Carlsberg A/S |
3,059,003 | |||||||||
90,000 | Coca-Cola Company |
5,325,300 | ||||||||||
12,250 | Colgate-Palmolive Companyµ |
943,250 | ||||||||||
32,000 | CVS Corp. |
1,250,240 | ||||||||||
180,000 | GBP | Diageo, PLC |
3,633,510 | |||||||||
76,500 | EUR | Heineken, NV |
4,300,879 | |||||||||
53,000 | EUR | InBev, NV |
4,373,925 | |||||||||
160 | JPY | Japan Tobacco, Inc. |
849,114 | |||||||||
12,000 | Kimberly-Clark Corp. |
787,800 | ||||||||||
22,500 | CHF | Nestle Holdings, Inc. |
10,073,142 | |||||||||
37,000 | PepsiCo, Inc.µ |
2,523,030 | ||||||||||
86,000 | Procter & Gamble Companyµ |
5,671,700 | ||||||||||
52,000 | GBP | Reckitt Benckiser |
2,723,760 | |||||||||
13,000 | Reynolds American, Inc. |
823,290 | ||||||||||
53,000 | GBP | Unilever, PLC |
1,747,086 | |||||||||
72,000 | Wal-Mart Stores, Inc.µ |
3,663,360 | ||||||||||
18,500 | Walgreen Companyµ |
649,535 | ||||||||||
37,000 | AUD | Woolworths, Ltd. |
964,292 | |||||||||
66,072,974 | ||||||||||||
Energy (6.7%) |
||||||||||||
175,000 | GBP | BG Group, PLC |
3,860,885 | |||||||||
580,000 | GBP | BP, PLC |
6,181,645 | |||||||||
38,000 | CAD | Canadian Natural Resources, Ltd. |
2,430,138 | |||||||||
55,000 | Chevron Corp.µ |
4,647,500 | ||||||||||
40,000 | ConocoPhillipsµ |
3,212,800 | ||||||||||
18,500 | Devon Energy Corp.µ |
1,572,130 | ||||||||||
47,000 | EUR | ENI S.p.A. |
1,519,626 | |||||||||
100,000 | Exxon Mobil Corp.µ |
8,640,000 | ||||||||||
46,500 | Halliburton Companyµ |
1,542,405 | ||||||||||
31,000 | Marathon Oil Corp.µ |
1,452,350 | ||||||||||
15,000 | Occidental Petroleum Corp. |
1,018,050 | ||||||||||
115,000 | NOK | Petroleum Geo-Services ASA |
2,486,842 | |||||||||
82,300 | GBP | Royal Dutch Shell, PLC |
2,950,566 | |||||||||
22,000 | Schlumberger, Ltd.µ |
1,660,120 | ||||||||||
20,000 | CAD | Suncor Energy, Inc. |
1,880,384 | |||||||||
74,000 | EUR | TOTAL, SA |
5,385,601 | |||||||||
15,693 | Transocean, Inc.# |
1,923,962 | ||||||||||
52,365,004 | ||||||||||||
Financials (9.4%) |
||||||||||||
27,500 | AFLAC, Inc. |
1,686,575 | ||||||||||
23,000 | American Express Companyµ |
1,134,360 | ||||||||||
65,000 | American International Group, Inc.µ |
3,585,400 | ||||||||||
24,000 | Aon Corp.µ |
1,044,480 | ||||||||||
95,000 | AUD | Australian Stock Exchange, Ltd. |
4,119,312 | |||||||||
135,000 | EUR | Banco Santander Central Hispano, SA |
2,374,333 | |||||||||
80,000 | Bank of America Corp.µ |
3,548,000 | ||||||||||
41,000 | Bank of New York Mellon Corp.µ |
1,911,830 | ||||||||||
18,700 | EUR | BNP Paribas |
1,854,932 | |||||||||
128,000 | Citigroup, Inc.µ |
3,612,160 | ||||||||||
62,500 | AUD | Commonwealth Bank of Australia |
2,814,542 | |||||||||
29,000 | EUR | Deutsche Bank, AG |
5,074,331 | |||||||||
12,000 | Franklin Resources, Inc.µ |
1,250,760 | ||||||||||
19,000 | Hartford Financial Services Group, Inc.µ |
1,534,630 | ||||||||||
62,500 | JPMorgan Chase & Companyµ |
2,971,875 | ||||||||||
55,000 | CHF | Julius Baer Holding, AG |
3,863,441 | |||||||||
126,875 | GBP | Man Group PLC |
1,396,901 | |||||||||
99,000 | Manulife Financial Corp. |
3,720,420 | ||||||||||
40,000 | MetLife, Inc.µ |
2,358,800 | ||||||||||
40,000 | Morgan Stanleyµ |
1,977,200 | ||||||||||
47,000 | EUR | Piraeus Bank, SA |
1,510,304 | |||||||||
98,000 | CAD | Power Financial Corp. |
3,567,452 | |||||||||
25,500 | Prudential Financial, Inc.µ |
2,151,435 | ||||||||||
149,500 | GBP | Schroders, PLC |
3,258,576 | |||||||||
387,000 | SGD | Singapore Exchange, Ltd. |
2,689,041 | |||||||||
12,000 | St. Paul Travelers Companies, Inc.µ |
577,200 | ||||||||||
8,000 | State Street Corp. |
656,960 | ||||||||||
23,500 | T. Rowe Price Group, Inc. |
1,188,865 | ||||||||||
32,000 | U.S. Bancorpµ |
1,086,400 | ||||||||||
67,000 | Wachovia Corp.µ |
2,608,310 | ||||||||||
8,300 | CHF | Zurich Financial Services, AG |
2,376,551 | |||||||||
73,505,376 | ||||||||||||
Health Care (8.9%) |
||||||||||||
77,000 | Abbott Laboratoriesµ |
4,335,100 | ||||||||||
60,000 | Alcon, Inc. |
8,520,000 | ||||||||||
64,000 | JPY | Astellas Pharma, Inc. |
2,776,136 | |||||||||
83,000 | Bristol-Myers Squibb Companyµ |
1,924,770 | ||||||||||
62,000 | AUD | Cochlear, Ltd. |
3,909,514 | |||||||||
251,500 | AUD | CSL, Ltd. |
7,873,242 | |||||||||
34,250 | Eli Lilly and Companyµ |
1,764,560 | ||||||||||
37,000 | EUR | Fresenius Medical Care, AG & Company |
1,903,651 | |||||||||
80,000 | Johnson & Johnsonµ |
5,060,800 | ||||||||||
42,000 | Medtronic, Inc. |
1,955,940 | ||||||||||
92,500 | Merck & Company, Inc.µ |
4,280,900 | ||||||||||
54,000 | CHF | Novartis International, AG |
2,735,819 | |||||||||
107,000 | DKK | Novo Nordisk, AS B Shares |
6,750,677 | |||||||||
98,000 | JPY | OLYMPUS Corp. |
3,305,806 | |||||||||
190,000 | Pfizer, Inc.µ |
4,444,100 | ||||||||||
16,500 | CHF | Roche Holding, AG |
2,995,926 | |||||||||
39,000 | JPY | Terumo Corp. |
2,132,286 | |||||||||
42,000 | UnitedHealth Group, Inc.#µ |
2,135,280 | ||||||||||
17,000 | Wyethµ |
676,600 | ||||||||||
69,481,107 | ||||||||||||
Industrials (9.9%) |
||||||||||||
27,000 | 3M Company |
2,150,550 | ||||||||||
270,000 | CHF | Abb, Ltd. |
6,753,087 |
4
Number of | ||||||||||||||
Shares | Value | |||||||||||||
27,000 | EUR | Alstom | $ | 5,452,316 | ||||||||||
395,000 | GBP | BAE Systems, PLC | 3,679,693 | |||||||||||
28,000 | Boeing Companym | 2,329,040 | ||||||||||||
500,000 | CAD | Bombardier, Inc. | 2,465,017 | |||||||||||
14,750 | Burlington Northern Santa Fe Corp.m | 1,276,170 | ||||||||||||
164,516 | GBP | Capita Group, PLC | 2,156,554 | |||||||||||
7,000 | Danaher Corp.m | 521,150 | ||||||||||||
18,000 | Emerson Electric Companym | 915,120 | ||||||||||||
63,000 | GBP | FirstGroup, PLC | 835,278 | |||||||||||
14,500 | General Dynamics Corp.m | 1,224,670 | ||||||||||||
242,500 | General Electric Companym | 8,586,925 | ||||||||||||
60,000 | Honeywell International, Inc.m | 3,544,200 | ||||||||||||
25,000 | Illinois Tool Works, Inc. | 1,260,000 | ||||||||||||
64,000 | JPY | Komatsu, Ltd. | 1,560,272 | |||||||||||
47,000 | EUR | Krones AG | 3,641,407 | |||||||||||
44,000 | AUD | Leighton Holdings, Ltd. | 1,980,109 | |||||||||||
10,000 | Lockheed Martin Corp.m | 1,079,200 | ||||||||||||
27,000 | EUR | MAN, AG | 3,328,420 | |||||||||||
66,000 | JPY | Mitsubishi Corp. | 1,748,947 | |||||||||||
44,000 | EUR | MTU Aero Engines Holdings, AG | 2,358,626 | |||||||||||
30,000 | EUR | Q-Cells, AG | 2,822,468 | |||||||||||
21,000 | Raytheon Companym | 1,367,940 | ||||||||||||
53,600 | EUR | SGL Carbon | 2,715,460 | |||||||||||
43,000 | EUR | Siemens, AG | 5,542,743 | |||||||||||
13,650 | Union Pacific Corp.m | 1,706,660 | ||||||||||||
20,000 | United Parcel Service, Inc. | 1,463,200 | ||||||||||||
43,000 | United Technologies Corp.m | 3,156,630 | ||||||||||||
77,621,852 | ||||||||||||||
Information Technology (15.7%) | ||||||||||||||
31,000 | Apple, Inc.#m | 4,196,160 | ||||||||||||
391,000 | GBP | Autonomy Corp. PLC | 7,145,825 | |||||||||||
60,000 | JPY | Canon, Inc. | 2,543,583 | |||||||||||
90,000 | JPY | Capcom Co. | 2,189,346 | |||||||||||
200,000 | Cisco Systems, Inc.#m | 4,900,000 | ||||||||||||
132,500 | Dell, Inc.#m | 2,655,300 | ||||||||||||
50,000 | eBay, Inc.# | 1,344,500 | ||||||||||||
20,000 | Electronic Arts, Inc.# | 947,400 | ||||||||||||
65,000 | EMC Corp.# | 1,031,550 | ||||||||||||
6,250 | Google, Inc.#m | 3,526,875 | ||||||||||||
85,000 | Hewlett-Packard Companym | 3,718,750 | ||||||||||||
140,000 | Infosys Technologies, Ltd. | 5,796,000 | ||||||||||||
185,000 | Intel Corp.m | 3,922,000 | ||||||||||||
40,000 | International Business Machines Corp.m | 4,293,600 | ||||||||||||
113,000 | JPY | Konica Minolta Holdings, Inc. | 1,821,004 | |||||||||||
825,000 | SEK | LM Ericsson Telephone Company | 1,878,492 | |||||||||||
85,000 | CHF | Logitech International, SA | 2,581,381 | |||||||||||
230,000 | Microsoft Corp.m | 7,498,000 | ||||||||||||
45,000 | Motorola, Inc.m | 518,850 | ||||||||||||
70,000 | NDS Group, PLC | 3,780,000 | ||||||||||||
23,000 | JPY | Nintendo Company, Ltd. | 11,630,712 | |||||||||||
370,000 | EUR | Nokia Corp. | 13,624,275 | |||||||||||
92,000 | JPY | Nomura Reasearch Institute, Ltd. | 2,446,971 | |||||||||||
150,000 | Oracle Corp.#m | 3,082,500 | ||||||||||||
47,000 | QUALCOMM, Inc.m | 1,993,740 | ||||||||||||
118,000 | EUR | SAP, AG | 5,663,348 | |||||||||||
65,000 | Satyam Computer Services, Ltd. | 1,582,750 | ||||||||||||
165,000 | NOK | Tandberg, ASA | 2,876,025 | |||||||||||
109,100 | CHF | Temenos Group, AG | 2,573,082 | |||||||||||
60,000 | Texas Instruments, Inc.m | 1,855,800 | ||||||||||||
71,000 | JPY | Trend Micro, Inc. | 2,564,397 | |||||||||||
66,000 | EUR | Ubisoft Entertainment SA | 5,998,587 | |||||||||||
103,000 | HKD | Vtech Holdings | 593,874 | |||||||||||
122,774,677 | ||||||||||||||
Materials (3.5%) | ||||||||||||||
47,000 | GBP | Anglo American, PLC | 2,597,027 | |||||||||||
27,000 | EUR | Arcelormittal | 1,770,213 | |||||||||||
30,000 | EUR | BASF, AG | 3,907,226 | |||||||||||
37,000 | EUR | Bayer, AG | 3,035,821 | |||||||||||
143,700 | AUD | BHP Billton, Ltd. | 4,818,220 | |||||||||||
30,000 | GBP | BHP Billton, PLC | 907,188 | |||||||||||
87,000 | Cia Vale do Rio Doce | 2,608,260 | ||||||||||||
36,000 | E.I. du Pont de Nemours and Companym | 1,626,480 | ||||||||||||
7,000 | Freeport-McMoRan Copper & Gold, Inc. | 623,210 | ||||||||||||
17,000 | GBP | Rio Tinto Group | 1,702,075 | |||||||||||
41,000 | The Dow Chemical Companym | 1,585,060 | ||||||||||||
37,000 | NOK | Yara International ASA | 1,799,180 | |||||||||||
26,979,960 | ||||||||||||||
Telecommunication Services (5.2%) | ||||||||||||||
93,500 | America Movil, S.A. de C.V. | 5,601,585 | ||||||||||||
145,000 | AT&T, Inc.m | 5,581,050 | ||||||||||||
35,000 | EUR | Bouygues, SA | 2,698,475 | |||||||||||
265,000 | GBP | BT Group, PLC | 1,376,914 | |||||||||||
20,000 | China Mobile, Ltd. | 1,512,000 | ||||||||||||
157,000 | EUR | France Telecom, AG | 5,537,053 | |||||||||||
25,000 | Millicom International Cellular, SA | 2,648,500 | ||||||||||||
180,000 | EUR | Telefonica, SA | 5,262,041 | |||||||||||
83,000 | Verizon Communications, Inc.m | 3,223,720 | ||||||||||||
2,157,000 | GBP | Vodafone Group | 7,545,758 | |||||||||||
40,987,096 | ||||||||||||||
Utilities (2.5%) | ||||||||||||||
47,500 | Duke Energy Corp. | 886,350 | ||||||||||||
21,000 | EUR | E.ON, AG | 3,867,293 | |||||||||||
31,000 | Exelon Corp.m | 2,361,890 | ||||||||||||
28,500 | FPL Goup, Incm | 1,837,680 | ||||||||||||
14,500 | EUR | Gas Natural SDG, SA | 800,418 | |||||||||||
19,000 | Progress Energy, Inc. | 858,230 | ||||||||||||
7,000 | Public Service Enterprise Group, Inc. | 672,000 | ||||||||||||
45,000 | EUR | RWE, AG | 5,524,022 | |||||||||||
48,000 | EUR | Suez | 2,940,183 | |||||||||||
19,748,066 | ||||||||||||||
TOTAL COMMON STOCKS | ||||||||||||||
(Cost $634,224,829) | 595,751,683 | |||||||||||||
5
Principal | ||||||||||||
Amount | Value | |||||||||||
U.S. Government and Agency Securities (3.6%) | ||||||||||||
$ | 15,000,000 | Federal Home Loan Mortgage Corp.m | ||||||||||
5.750%, 04/15/08 | $ | 15,093,225 | ||||||||||
5,000,000 | United States Treasury Notem | |||||||||||
4.875%, 04/30/08 | 5,035,940 | |||||||||||
8,000,000 | Federal Home Loan Bankm | |||||||||||
4.625%, 02/01/08 | 8,000,000 | |||||||||||
TOTAL U.S. GOVERNMENT AND AGENCY SECURITIES | ||||||||||||
(Cost $28,117,537) | 28,129,165 | |||||||||||
Number of | ||||||||||||||
Shares | Value | |||||||||||||
Investment in Affiliated Fund (6.6%) | ||||||||||||||
51,581,419 | Calamos Government Money Market Fund - Class I Shares (Cost $51,581,419) | 51,581,419 | ||||||||||||
TOTAL INVESTMENTS (142.3%) | ||||||||||||||
(Cost $1,169,917,379) | 1,112,924,672 | |||||||||||||
OTHER ASSETS, LESS LIABILITIES (5.1%) | 19,157,742 | |||||||||||||
PREFERRED SHARES AT REDEMPTION VALUE INCLUDING DIVIDENDS PAYABLE (-44.8%) |
(350,140,507 | ) | ||||||||||||
NET ASSETS APPLICABLE TO COMMON SHAREHOLDERS (100.0%) |
$ | 781,941,907 | ||||||||||||
Number of | ||||||||||||||
Shares | Value | |||||||||||||
Common Stocks Sold Short (-4.5%) | ||||||||||||||
Consumer Discretionary (-0.6%) | ||||||||||||||
(195,000 | ) | Interpublic Group of Companies, Inc.# | (1,741,350 | ) | ||||||||||
(140,600 | ) | JAKKS Pacific, Inc.# | (3,312,536 | ) | ||||||||||
(5,053,886 | ) | |||||||||||||
Consumer Staples (-0.5%) | ||||||||||||||
(31,000 | ) | Bunge, Ltd. | (3,672,570 | ) | ||||||||||
Energy (-0.3%) | ||||||||||||||
(328,000 | ) | Grey Wolf, Inc.# | (1,954,880 | ) | ||||||||||
Financials (-0.8%) | ||||||||||||||
(7,800 | ) | Alcon, Inc.# | (2,948,400 | ) | ||||||||||
(84,500 | ) | American Equity Investment Life Holding Company | (698,815 | ) | ||||||||||
(34,500 | ) | CIT Group, Inc. | (964,620 | ) | ||||||||||
(84,500 | ) | SLM Corp.# | (1,837,875 | ) | ||||||||||
(6,449,710 | ) | |||||||||||||
Health Care (-1.2%) | ||||||||||||||
(25,000 | ) | Affymetrix, Inc.# | (501,500 | ) | ||||||||||
(51,000 | ) | Five Star Quality Care, Inc.# | (389,130 | ) | ||||||||||
(138,500 | ) | Health Corp. | (1,549,815 | ) | ||||||||||
(44,100 | ) | Henry Schein, Inc.# | (2,563,533 | ) | ||||||||||
(19,900 | ) | Millipore Corp.# | (1,395,985 | ) | ||||||||||
(114,000 | ) | Mylan Laboratories, Inc.# | (1,699,740 | ) | ||||||||||
(44,200 | ) | SonoSite, Inc.# | (1,539,486 | ) | ||||||||||
(9,639,189 | ) | |||||||||||||
Industrials (-0.3%) | ||||||||||||||
(32,500 | ) | School Specialty, Inc.# | (1,054,950 | ) | ||||||||||
(41,000 | ) | Waste Connections, Inc.# | (1,195,560 | ) | ||||||||||
(2,250,510 | ) | |||||||||||||
Information Technology (-0.1%) | ||||||||||||||
(71,600 | ) | Mentor Graphics Corp.# | (590,700 | ) | ||||||||||
Materials (-0.5%) | ||||||||||||||
(175,200 | ) | Hecla Mining Company# | (1,629,360 | ) | ||||||||||
(76,500 | ) | Royal Gold, Inc. | (2,299,590 | ) | ||||||||||
(3,928,950 | ) | |||||||||||||
Utilities (-0.2%) | ||||||||||||||
(17,000 | ) | Entergy Corp. | (1,839,060 | ) | ||||||||||
TOTAL COMMON STOCKS SOLD SHORT | ||||||||||||||
(Proceeds $37,500,538) | (35,379,455 | ) | ||||||||||||
Number of | ||||||||||||||
Contracts | Value | |||||||||||||
Written Options (-2.6%) | ||||||||||||||
Financials (-2.6%) | ||||||||||||||
IShares MSCI EAFE Index Fund# | ||||||||||||||
9,000 | Call, 06/21/08, Strike $73.00 | (3,825,000 | ) | |||||||||||
8,250 | Call, 03/22/08, Strike $72.00 | (2,433,750 | ) | |||||||||||
8,000 | Call, 06/21/08, Strike $76.00 | (2,200,000 | ) | |||||||||||
6,000 | Call, 03/22/08, Strike $73.00 | (1,425,000 | ) | |||||||||||
5,400 | Call, 06/21/08, Strike $75.00 | (1,728,000 | ) | |||||||||||
2,750 | Call, 06/21/08, Strike $74.00 | (1,003,750 | ) | |||||||||||
1,525 | Call, 06/21/08, Strike $77.00 | (358,375 | ) | |||||||||||
SPDR Trust Series 1# | ||||||||||||||
4,000 | Call, 06/21/08, Strike $140.00 | (2,650,000 | ) | |||||||||||
2,500 | Call, 06/21/08, Strike $139.00 | (1,793,750 | ) | |||||||||||
2,350 | Call, 03/22/08, Strike $136.00 | (1,404,125 | ) | |||||||||||
1,500 | Call, 06/21/08, Strike $141.00 | (915,000 | ) | |||||||||||
1,500 | Call, 03/22/08, Strike $141.00 | (476,250 | ) | |||||||||||
1,250 | Call, 03/22/08, Strike $140.00 | (459,375 | ) | |||||||||||
TOTAL WRITTEN OPTIONS | ||||||||||||||
(Premium $25,253,125) | (20,672,375 | ) | ||||||||||||
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 shown 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. | ||
* | 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 January 31, 2008, the value of 144A securities that could not be exchanged to the registered form is $164,139,734 or 21.0% of net assets. | |
# | Non-income producing security. | |
| Variable rate or step bond security. The rate shown is the rate in effect at January 31, 2008. |
6
m | Security, or portion of security, is held in a segregated account as collateral for swaps aggregating a total market value of $328,931,182. | |
¹ | Security or a portion of the security purchased on a delayed delivery or when-issued basis. | |
y | The security of the financial institution is linked to, and may be exchangeable or convertible to, the equity security shown in the parenthetical. | |
W | Investment in an affiliated fund. During the period from November 1, 2007, through January 31, 2008, the fund had net redemptions of $1,218,577, and received $743,741 in dividend payments from the affiliated fund. As of October 31, 2007, the fund had holdings of $52,799,996 of the affiliated fund. |
FOREIGN CURRENCY ABBREVIATIONS | ||
AUD
|
Australian Dollar | |
CAD
|
Canadian Dollar | |
CHF
|
Swiss Franc | |
DKK
|
Danish Krone | |
EUR
|
European Monetary Unit | |
GBP
|
British Pound Sterling | |
HKD
|
Hong Kong Dollar | |
JPY
|
Japanese Yen | |
NOK
|
Norwegian Krone | |
SEK
|
Swedish Krona | |
SGD
|
Singapore Dollar |
7
Country | % of Portfolio | |||
United States |
49.8 | % | ||
Germany |
7.9 | % | ||
United Kingdom |
7.4 | % | ||
Switzerland |
6.5 | % | ||
Japan |
4.3 | % | ||
France |
3.6 | % | ||
Australia |
2.8 | % | ||
Finland |
2.4 | % | ||
India |
1.7 | % | ||
Mexico |
1.5 | % | ||
Cayman Islands |
1.5 | % | ||
Netherlands |
1.5 | % | ||
Canada |
1.4 | % | ||
Spain |
1.1 | % | ||
Denmark |
1.0 | % | ||
Bermuda |
0.8 | % | ||
Norway |
0.7 | % | ||
Israel |
0.7 | % | ||
Greece |
0.6 | % | ||
Brazil |
0.5 | % | ||
Luxembourg |
0.4 | % | ||
Belgium |
0.4 | % | ||
Singapore |
0.3 | % | ||
Liberia |
0.2 | % | ||
Sweden |
0.2 | % | ||
Netherlands Antilles |
0.2 | % | ||
Ireland |
0.2 | % | ||
Italy |
0.2 | % | ||
Hong Kong |
0.2 | % | ||
Total: |
100.0 | % | ||
CREDIT DEFAULT SWAPS - (unaudited) | ||||||||||||||||
Unrealized | ||||||||||||||||
SWAP Counterparty | Referenced Obligation | Buy/Sell Protection | Fund Pays/Receives Fixed Rate | Termination Date | Notional Amount | Appreciation/Depreciation | ||||||||||
Citibank, N.A. |
Centex Corporation | BUY | 1.35 BPS Quarterly | 9/20/2012 | $ | 5,000,000 | $ | 555,879 | ||||||||
Citibank, N.A. |
Motorola Inc. | BUY | 0.73 BPS Quarterly | 9/20/2017 | 5,000,000 | 371,795 | ||||||||||
Goldman Sachs |
Jones Apparel Group | BUY | 1.32 BPS Quarterly | 9/20/2012 | 5,000,000 | 345,514 | ||||||||||
Goldman Sachs |
Temple-Inland | BUY | 1.00 BPS Quarterly | 9/20/2012 | 5,000,000 | 53,714 | ||||||||||
Lehman Brothers Holdings |
Iac/Interactivecorp | BUY | 1.25 BPS Quarterly | 9/20/2012 | 5,000,000 | 117,319 | ||||||||||
Citibank, N.A. |
Radian Group Inc | BUY | 8.60 BPS Quarterly | 9/20/2012 | 3,000,000 | (37,555 | ) | |||||||||
Merrill Lynch |
CDX.NA.IG.8, 3-7% 10 Year Fixed | SELL | 5.62 BPS Quarterly | 3/20/2013 | 4,000,000 | (422,892 | ) | |||||||||
Merrill Lynch |
CDX.NA.IG.8, 3-7% 10 Year Fixed | SELL | 1.78 BPS Quarterly | 6/20/2017 | 20,000,000 | (3,411,245 | ) | |||||||||
Lehman Brothers Holdings |
CDX.NA.IG.8, 3-7% 10 Year Fixed | SELL | 5.64 BPS Quarterly | 6/20/2017 | 20,000,000 | (2,089,947 | ) | |||||||||
Citibank, N.A. |
CDX.NA.IG.8, 7-10% 10 Year Fixed | SELL | 1.68 BPS Quarterly | 6/20/2017 | 20,000,000 | (3,549,807 | ) | |||||||||
Goldman Sachs |
CDX.NA.IG.8, 3-7% 10 Year Fixed | SELL | 5.43 BPS Quarterly | 6/20/2017 | 10,000,000 | (1,173,655 | ) | |||||||||
Goldman Sachs |
CDX.NA.IG.8, 7-10% 10 Year Fixed | SELL | 1.67 BPS Quarterly | 6/20/2017 | 10,000,000 | (1,781,831 | ) | |||||||||
Merrill Lynch |
CDX.NA.IG.8, 3-7% 10 Year Fixed | SELL | 5.72 BPS Quarterly | 6/20/2017 | 13,000,000 | (1,294,737 | ) | |||||||||
$ | (12,317,448 | ) | ||||||||||||||
Cost basis of investments |
$ | 1,170,532,793 | ||
Gross unrealized appreciation |
33,989,923 | |||
Gross unrealized depreciation |
(91,598,044 | ) | ||
Net unrealized appreciation (depreciation) |
$ | (57,608,121 | ) | |
By: |
/s/ John P. Calamos, Sr. | |||
Name: John P. Calamos, Sr. | ||||
Title: Principal Executive Officer | ||||
Date: March 24, 2008 | ||||
By: |
/s/ Nimish S. Bhatt | |||
Name: Nimish S. Bhatt | ||||
Title: Principal Financial Officer | ||||
Date: March 24, 2008 |
By: |
/s/ John P. Calamos, Sr. | |||
Name: John P. Calamos, Sr. | ||||
Title: Principal Executive Officer | ||||
Date: March 24, 2008 | ||||
By: |
/s/ Nimish S. Bhatt | |||
Name: Nimish S. Bhatt | ||||
Title: Principal Financial Officer | ||||
Date: March 24, 2008 |