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Institutional Investment Manager
Calamos Advisors LLC
Calamos Advisors LLC (CIK: 0001316507) incorporated in Delaware, located at 2020 Calamos Court, Naperville, IL. Institutional holdings reported to the SEC.

Institutional Holdings (2015Q2)
Portfolio Summary: 677 holdings with a total value of $16,190,647,000.
#
Name
Shares
Value ($)
%
Options
Notes
51 SERVICENOW INC 64,724,000 76,038,000 0.47% PRN
52 AMERICAN INTL GROUP INC 1,213,302 75,006,000 0.46%
53 GILEAD SCIENCES 14,333,400 73,929,000 0.46% PRN
54 JARDEN CORP 63,060,000 73,718,000 0.46% PRN
55 DOLLAR GEN CORP NEW 930,447 72,333,000 0.45%
56 PROCTER AND GAMBLE CO 916,497 71,707,000 0.44%
57 CSX CORP 2,187,994 71,438,000 0.44%
58 GALLAGHER ARTHUR J & CO 1,472,530 69,651,000 0.43%
59 BLACKSTONE GROUP L P 1,701,720 69,549,000 0.43%
60 TYSON FOODS INC TANG EQ UNIT 1,349,243 69,500,000 0.43%
61 ACCENTURE PLC IRELAND 716,866 69,378,000 0.43%
62 ACADIA COMPANY COM 883,941 69,239,000 0.43%
63 CHEVRON CORP NEW 696,509 67,192,000 0.42%
64 ON SEMICONDUCTOR CORP 53,916,000 67,013,000 0.41% PRN
65 CEPHEID 57,852,000 66,766,000 0.41% PRN
66 EOG RES INC 747,926 65,481,000 0.40%
67 APPLIED MATLS INC 3,399,593 65,340,000 0.40%
68 WELLS FARGO & CO NEW 55,042 64,674,000 0.40%
69 GILEAD SCIENCES INC 552,122 64,642,000 0.40%
70 T-MOBILE US, INCORPORATED. CONV PFD SER A 949,172 64,069,000 0.40%
71 Ares Capital Corp 61,753,000 63,486,000 0.39% PRN
72 LKQ CORP 2,098,464 63,468,000 0.39%
73 REYNOLDS AMERICAN INC 849,091 63,393,000 0.39%
74 Exelon Corp 1,393,924 63,228,000 0.39%
75 Electronic Arts, Inc. 30,045,000 62,831,000 0.39% PRN
76 T MOBILE US INC 1,619,404 62,784,000 0.39%
77 COSTCO WHSL CORP NEW 458,971 61,989,000 0.38%
78 BROADCOM CORP CL A 1,201,853 61,883,000 0.38%
79 ARES CAP CORP 59,909,000 61,278,000 0.38% PRN
80 SOUTHWESTERN ENERGY COMPANY DEP SHS 1/20 B 1,220,730 60,268,000 0.37%
81 FORTUNE BRANDS HOME & SEC IN 1,274,857 58,414,000 0.36%
82 SPDR S&P 500 ETF TR 282,891 58,233,000 0.36%
83 LIBERTY MEDIA CORP DELAWARE 60,739,000 57,608,000 0.36% PRN
84 Stanley Black & Decker Inc Corp Unit 395,262 57,313,000 0.35%
85 Dominion Resources Inc/VA 1,217,946 56,878,000 0.35%
86 BIOMARIN PHARMACEUTICAL INC SR SB CONV NT 20 35,415,000 56,644,000 0.35% PRN
87 DELTA AIRLINES INC DEL 1,372,067 56,365,000 0.35%
88 Hologic, Inc. 32,958,000 55,211,000 0.34% PRN
89 METLIFE INC 982,451 55,007,000 0.34%
90 COGNIZANT TECHNOLOGY SOLUTIO 898,336 54,879,000 0.34%
91 UNITED TECHNOLOGIES CORP 493,993 54,799,000 0.34%
92 SVB FINANCIAL GROUP 380,298 54,755,000 0.34%
93 DEPHEID 886,067 54,183,000 0.33%
94 ZOETIS INC 1,099,618 53,024,000 0.33%
95 ROCKWELL AUTOMATION INC 424,470 52,906,000 0.33%
96 STATE STR CORP 677,407 52,160,000 0.32%
97 JARDEN CORP 37,322,000 52,134,000 0.32% PRN
98 PVH CORPORATION 445,066 51,272,000 0.32%
99 SABRE CORP 2,148,742 51,140,000 0.32%
100 REALOGY HLDGS CORP 1,079,108 50,416,000 0.31%
Page 2 of 14

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0000950123-15-009494, filed 2015.08.14).

From 2023-01-03 onward, the SEC requires values to be reported in nearest dollars. Earlier filings reported values in thousands; therefore, positions shown as $0 in older filings may represent actual values between $0–$999.