Valuation: Calamos Global Total Return Fund

Market Cap 13Cr 12Cr 11Cr 9.99Cr 19Cr 1.25TCr 19Cr 128.3Cr 50Cr 615.77Cr 50Cr 49Cr 2.14TCr P/E 2024
3.2x
P/E 2025 5.26x
Enterprise Value 19Cr 17Cr 15Cr 14Cr 27Cr 1.78TCr 27Cr 182.95Cr 71Cr 878.06Cr 71Cr 69Cr 3.04TCr EV / Sales 2024
52.2x
EV / Sales 2025 50.8x
Free-Float
97.98%
Yield 2024
8.24%
Yield 2025 8.03%
01/06 Calamos Global Total Return Fund announces Monthly dividend, payable on June 22, 2026 CI
01/05 Calamos Global Total Return 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 Total Return Fund announces Monthly dividend, payable on April 21, 2026 CI
04/03 Calamos Global Total Return Fund announces Monthly dividend, payable on March 20, 2026 CI
03/02 Calamos Investments closed-end funds announce monthly distributions and required notifications of sources of distribution RE
02/02 Calamos Global Total Return Fund announces Monthly dividend, payable on February 23, 2026 CI
29/12 Calamos Global Total Return 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 Total Return Fund announces Monthly dividend, payable on January 09, 2026 CI
01/12 Calamos Global Total Return 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 Total Return Fund announces Monthly dividend, payable on November 21, 2025 CI
1 day-0.60%
1 week-4.26%
Current month-4.70%
1 month-2.51%
3 months+20.80%
6 months+15.59%
Current year+17.52%
1 week 13.03
Extreme 13.03
14.06
1 month 12.9
Extreme 12.9
14.2
Current year 10.71
Extreme 10.71
14.2
1 year 10.71
Extreme 10.71
14.2
3 years 7.9
Extreme 7.9
14.2
5 years 7.9
Extreme 7.9
17.47
10 years 6.22
Extreme 6.2238
17.47
Manager TitleAgeSince
Director of Finance/CFO 65 01/08/2019
President 86 01/01/2004
Compliance Officer 75 01/01/2005
Director TitleAgeSince
Director/Board Member 75 01/01/2004
Chairman 86 01/01/2004
Director/Board Member 76 01/01/2004
Date Insider Type Main position Quantity % Market Cap.
01/23/01Sell

Director

7,057 0.0719%
24/21/24
The Northwestern Mutual Life Insurance Co. (Invt Port)
OtherCompany 2,00,000 -
20/20/20Sell

Director

10,093 0.1152%
Change 5-day change 1-year change 3-year change Capi.($)
-0.41%-4.26%+15.89%+43.31% 13Cr
+1.07%-2.99%+20.32%+106.36% 1.44TCr
+2.31%-8.81%+50.96%+141.27% 1.17TCr
-0.42%-2.84%-2.64%+39.17% 881.54Cr
+0.52%+1.88%-12.13%-11.48% 760.2Cr
+1.41%-5.51%+33.03%+123.80% 736.01Cr
+0.08%-2.77%+2.73%+53.17% 632.88Cr
-0.26%+1.48%+7.70%+35.55% 461.35Cr
+0.14%+1.60%+11.12%+6.98% 409.98Cr
+0.18%-3.66% - - 371.2Cr
Average +0.52%-4.09%+14.11%+59.79% 687.98Cr
Weighted average by Cap. +0.84%-5.32%+17.17%+75.16%

Financials

2024 2025
Net sales 33.76L 29.6L 27.28L 25.54L 47.89L 32Cr 48.89L 3.28Cr 1.27Cr 16Cr 1.27Cr 1.24Cr 55Cr 34.2L 29.99L 27.64L 25.88L 48.53L 32Cr 49.53L 3.32Cr 1.29Cr 16Cr 1.28Cr 1.26Cr 55Cr
Net income 3.58Cr 3.13Cr 2.89Cr 2.71Cr 5.07Cr 337.25Cr 5.18Cr 35Cr 13Cr 166.68Cr 13Cr 13Cr 577.96Cr 2.24Cr 1.96Cr 1.81Cr 1.69Cr 3.17Cr 210.91Cr 3.24Cr 22Cr 8.4Cr 104.24Cr 8.4Cr 8.21Cr 361.45Cr
Net Debt 6.17Cr 5.41Cr 4.99Cr 4.67Cr 8.76Cr 582.32Cr 8.94Cr 60Cr 23Cr 287.8Cr 23Cr 23Cr 997.95Cr 5.63Cr 4.93Cr 4.55Cr 4.26Cr 7.98Cr 530.71Cr 8.15Cr 55Cr 21Cr 262.29Cr 21Cr 21Cr 909.51Cr
Logo Calamos Global Total Return Fund
Calamos Global Total Return Fund (the Fund) is a diversified, closed-end management investment company. The Fund's investment objective is to provide total return through a combination of capital appreciation and current income. Under normal circumstances, it invests primarily in a portfolio of common and preferred stocks, convertible securities and income producing securities such as investment grade and below investment grade debt securities. The Fund, under normal circumstances, invests at least 50% of its managed assets in equity securities (including securities that are convertible into equity securities). It may invest up to 100% of its managed assets in securities of foreign issuers, including debt and equity securities of corporate issuers and debt securities of government issuers, in developed and emerging markets. It may invest in debt securities, including debt securities of United States and foreign corporate issuers. The Fund's investment adviser is Calamos Advisors LLC.
Employees
-
Date Price Change Volume
27/26/27 $13.39 -0.41% 22,816
25/26/25 $13.44 -1.10% 15,151
24/26/24 $13.59 -0.88% 25,571
23/26/23 $13.71 -1.93% 34,740
22/26/22 $13.98 +0.65% 25,536