Calamos Global Dynamic Income Fund
Calamos Global Dynamic Income Fund is a closed ended balanced mutual fund launched by Calamos Investments LLC. The fund is managed by Calamos Advisors LLC. It invests in public equity and fixed income markets across the globe. The fund seeks to invest in securities of companies operating across diversified sectors. It primarily invests in growth stocks of companies across all market capitalizations, as well as in higher yield corporate bonds, government bonds, convertibles, and alternative investments such as arbitrage and call writes. The fund employs both fundamental and quantitative analysis, focusing on such factors as source, sustainability, and risk of investment opportunities to create its portfolio. It benchmarks the performance of its portfolio against the MSCI World Index and Merrill Lynch Global Broad Markets Index. The fund was formerly known as Calamos Global Diversified Income & Opportunities Fund. Calamos Global Dynamic Income Fund was formed on April 10, 2007 and is domiciled in the United States. Show More...
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Sector Financial Services
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Industry Asset Management
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Dividend Yield 11.40 %
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Last Quote 7.37 USD
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Last Updated 22-06-2020
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External Links Yahoo Finance Morningstar Ratios
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Dividend Distributions
Ex-Dividend Amount 11-06-2020 0.070 12-05-2020 0.070 13-04-2020 0.070 12-03-2020 0.070 13-02-2020 0.070 30-12-2019 0.070 12-12-2019 0.070 08-11-2019 0.070 11-10-2019 0.070 13-09-2019 0.070 09-08-2019 0.070 11-07-2019 0.070 13-06-2019 0.070 10-05-2019 0.070 11-04-2019 0.070 11-03-2019 0.070 11-02-2019 0.070 28-12-2018 0.070 13-12-2018 0.070 09-11-2018 0.070 11-10-2018 0.070 14-09-2018 0.070 10-08-2018 0.070 12-07-2018 0.070 11-06-2018 0.070 11-05-2018 0.070 12-04-2018 0.070 09-03-2018 0.070 09-02-2018 0.070 28-12-2017 0.070 11-12-2017 0.070 09-11-2017 0.070 10-10-2017 0.070 11-09-2017 0.070 08-08-2017 0.070 07-07-2017 0.070 08-06-2017 0.070 08-05-2017 0.070 07-04-2017 0.070 08-03-2017 0.070 08-02-2017 0.070 28-12-2016 0.070 08-12-2016 0.070 07-11-2016 0.070 06-10-2016 0.070 08-09-2016 0.070 08-08-2016 0.070 08-07-2016 0.070 08-06-2016 0.070 09-05-2016 0.070 08-04-2016 0.070 08-03-2016 0.070 08-02-2016 0.070 29-12-2015 0.070 08-12-2015 0.070 06-11-2015 0.070 07-10-2015 0.070 08-09-2015 0.070 07-08-2015 0.070 08-07-2015 0.070 08-06-2015 0.070 08-05-2015 0.070 08-04-2015 0.070 09-03-2015 0.070 06-02-2015 0.070 29-12-2014 0.070 08-12-2014 0.070 06-11-2014 0.070 07-10-2014 0.070 08-09-2014 0.070 08-08-2014 0.070 08-07-2014 0.070 09-06-2014 0.070 08-05-2014 0.070 08-04-2014 0.070 07-03-2014 0.062 07-02-2014 0.062 27-12-2013 0.062 09-12-2013 0.062 07-11-2013 0.062 08-10-2013 0.062 09-09-2013 0.062 08-08-2013 0.062 08-07-2013 0.062 07-06-2013 0.062 08-05-2013 0.062 08-04-2013 0.062 08-03-2013 0.062 08-02-2013 0.062 27-12-2012 0.062 07-12-2012 0.062 08-11-2012 0.062 09-10-2012 0.062 07-09-2012 0.062 08-08-2012 0.062 09-07-2012 0.062 08-06-2012 0.062 08-05-2012 0.062 09-04-2012 0.062 08-03-2012 0.062 08-02-2012 0.062 28-12-2011 0.050 08-12-2011 0.050 08-11-2011 0.050 06-10-2011 0.050 08-09-2011 0.050 08-08-2011 0.050 08-07-2011 0.050 08-06-2011 0.050 09-05-2011 0.050 08-04-2011 0.050 08-03-2011 0.050 08-02-2011 0.050 29-12-2010 0.050 03-12-2010 0.050 08-11-2010 0.050 07-10-2010 0.050 08-09-2010 0.050 06-08-2010 0.050 08-07-2010 0.050 08-06-2010 0.050 10-05-2010 0.050 09-04-2010 0.050 09-03-2010 0.050 05-02-2010 0.050 29-12-2009 0.050 03-12-2009 0.050 06-11-2009 0.050 07-10-2009 0.060 08-09-2009 0.060 06-08-2009 0.060 08-07-2009 0.060 08-06-2009 0.080 07-05-2009 0.080 08-04-2009 0.080 09-03-2009 0.080 06-02-2009 0.080 29-12-2008 0.080 04-12-2008 0.080 10-11-2008 0.080 09-10-2008 0.110 04-09-2008 0.110 07-08-2008 0.110 09-07-2008 0.110 10-06-2008 0.110 08-05-2008 0.110 09-04-2008 0.110 11-03-2008 0.110 07-02-2008 0.110 27-12-2007 0.110 04-12-2007 0.110 07-11-2007 0.110 09-10-2007 0.110 11-09-2007 0.110 09-08-2007 0.110