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Valuation: Calamos Global Dynamic Income Fund

Market Cap 556M 480M 442M 414M 776M 52.81B 788M 5.22B 2.04B 25.71B 2.09B 2.04B 89.01B P/E Ratio 2024
2.96x
P/E Ratio 2025 5.29x
Enterprise Value 747M 645M 594M 556M 1.04B 70.96B 1.06B 7.02B 2.74B 34.54B 2.8B 2.74B 120B EV / Sales 2024
41.4x
EV / Sales 2025 43.6x
Free-Float
86.61%
Yield 2024
8.7%
Yield 2025 7.82%
01/06 Calamos Global Dynamic Income Fund announces Monthly dividend, payable on June 22, 2026 CI
01/05 Calamos Global Dynamic Income Fund announces Monthly dividend, payable on May 21, 2026 CI
02/04 Calamos Investments closed-end funds announce monthly distributions and required notifications of sources of distribution RE
01/04 Calamos Global Dynamic Income Fund announces Monthly dividend, payable on April 21, 2026 CI
04/03 Calamos Global Dynamic Income Fund announces Monthly dividend, payable on March 20, 2026 CI
05/02 Calamos Global Dynamic Income Fund announces Monthly dividend, payable on February 23, 2026 CI
03/02 Calamos Investments closed-end funds announce monthly distributions and required notifications of sources of distribution RE
30/12 Calamos Global Dynamic Income Fund Reports Earnings Results for the Full Year Ended October 31, 2025 CI
19/12 Calamos Investments closed-end funds (Nasdaq CHI, CHY, CSQ, CGO, CHW, CCD and CPZ) announce monthly distributions and required notifications of sources of distribution RE
18/12 Calamos Global Dynamic Income Fund announces Monthly dividend, payable on January 09, 2026 CI
01/12 Calamos Global Dynamic Income Fund announces Monthly dividend, payable on December 19, 2025 CI
04/11 Calamos Investments closed-end funds (Nasdaq Chi, Chy, Csq, Cgo, Chw, Ccd and Cpz) announce monthly distributions and required notifications of sources of distribution RE
03/11 Calamos Global Dynamic Income Fund announces Monthly dividend, payable on November 21, 2025 CI
1 day+1.28%
1 week-0.23%
Current month-4.61%
1 month-1.14%
3 months+17.73%
6 months+18.85%
Current year+17.41%
1 week 8.45
Extreme 8.45
8.9
1 month 8.3
Extreme 8.305
9.16
Current year 6.98
Extreme 6.98
9.16
1 year 6.75
Extreme 6.75
9.16
3 years 5.07
Extreme 5.07
9.16
5 years 5.07
Extreme 5.07
11.39
10 years 3.01
Extreme 3.01
11.39
Manager TitleAgeSince
Director of Finance/CFO 65 01/08/2019
President 86 01/01/2007
Compliance Officer 75 22/08/2012
Director TitleAgeSince
Chairman 86 01/01/2007
Director/Board Member 75 01/01/2007
Director/Board Member 76 01/01/2007
Date Insider Type Main position Quantity % Market Cap.
24/05/22
MetLife Investment Management LLC
OtherCompany 440,000 -
Change 5-day change 1-year change 3-year change Capi.($)
+1.28%-0.23%+27.38%+44.28% 556M
+0.19%-2.43%+20.77%+109.71% 15.14B
+1.22%+0.14%+76.87%+167.16% 13.72B
0.00%-4.36%-1.95%+37.91% 9.04B
+0.62%-1.31%+40.89%+136.17% 8.32B
-0.79%-2.92%-12.97%-10.88% 7.52B
-0.54%-2.49%+12.06%+45.25% 6.37B
0.00%-1.21%+5.59%+14.80% 4.56B
+0.28%+0.37%+10.69%+5.28% 4.06B
+1.66%-0.76% - - 3.79B
Average +0.39%-2.45%+19.92%+61.07% 7.31B
Weighted average by Cap. +0.32%-3.52%+25.32%+82.97%

Financials

2024 2025
Net sales 15.73M 13.59M 12.52M 11.72M 21.96M 1.5B 22.3M 148M 57.64M 728M 59.03M 57.78M 2.52B 15.62M 13.49M 12.43M 11.64M 21.81M 1.48B 22.15M 147M 57.24M 723M 58.63M 57.38M 2.5B
Net income 149M 128M 118M 111M 208M 14.14B 211M 1.4B 545M 6.88B 558M 546M 23.83B 92.66M 80.03M 73.75M 69.03M 129M 8.81B 131M 871M 340M 4.29B 348M 340M 14.84B
Net Debt 212M 183M 168M 158M 295M 20.11B 300M 1.99B 775M 9.79B 794M 777M 33.89B 191M 165M 152M 142M 267M 18.15B 271M 1.79B 700M 8.84B 717M 701M 30.59B
Logo Calamos Global Dynamic Income Fund
Calamos Global Dynamic Income Fund (the Fund) is a diversified, closed-end management investment company. The Fund's investment objective is to generate a high level of current income with a secondary objective of capital appreciation. The Fund, under normal circumstances, invests primarily in a globally diversified portfolio of convertible instruments, common and preferred stocks, and income-producing securities such as investment grade and below investment grade (high yield/high risk) debt securities. The Fund, under normal circumstances, invests at least 40% of its managed assets in securities of foreign issuers in developed and emerging markets, including debt and equity securities of corporate issuers and debt securities of government issuers, unless market conditions are not deemed favorable by the Adviser, in which case the Fund invests at least 30% of its net assets in securities of foreign issuers. The Fund's investment adviser is Calamos Advisors LLC.
Employees
-
Date Price Change Volume
12/06/26 8.700 $ +0.69% 155,200
11/06/26 8.640 $ +0.82% 204,463
10/06/26 8.570 $ -0.58% 199,273
09/06/26 8.620 $ +0.12% 477,904
08/06/26 8.610 $ -1.26% 239,371
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