CVTRX
Calamos Growth & Income Fund
CALAMOS INVESTMENT TRUST/IL

Portfolio moves

Net position changes between two of this fund's N-PORT snapshots. These are differences between point-in-time reports — not a trade log — and share counts can be affected by splits and other corporate actions.

Oct 31, 2025 → Jan 31, 2026

Expand a category to see the positions behind it, ranked by weight.

Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
BLOOM ENERGY CORP CONV 0% 11/15/2030 144A 0 14,885,000 14,885,000 0.52% $16.80M
MERCK & CO 0 123,130 123,130 0.42% $13.58M
ON Semiconductor Corporation, Convertible 0 10,340,000 10,340,000 0.41% $13.13M
IQVIA HOLDINGS INC 0 56,415 56,415 0.40% $12.98M
BWX Technologies, Inc., Convertible 0 12,219,000 12,219,000 0.39% $12.67M
MTSI 0 12/15/29 0 7,260,000 7,260,000 0.32% $10.48M
Ford Motor Company Zero Coupon, Due 03/15/2026 0 8,995,000 8,995,000 0.29% $9.54M
GWRE 1.25 11/01/29 0 8,690,000 8,690,000 0.26% $8.44M
Joby Aviation Inc 0 8,225,000 8,225,000 0.26% $8.43M
Bridgebio Pharma, Inc. 0 8,205,000 8,205,000 0.26% $8.38M
CRWV 1.75 12/01/31 0 7,108,000 7,108,000 0.25% $8.18M
ALBEMARLE CORP PFD 0 112,640 112,640 0.24% $7.81M
INTUITIVE SURGICAL INC 0 15,410 15,410 0.24% $7.77M
Akamai Technologies, Inc., Convertible 0 5,905,000 5,905,000 0.22% $7.17M
COMPASS INC CONV 0.25% 04/15/2031 144A 0 6,578,000 6,578,000 0.22% $7.09M
EOS ENERGY ENTERPRISES INC CONV 1.75% 12/01/2031 144A 0 5,835,000 5,835,000 0.21% $6.90M
BRUKER CORP SER A PC 0 16,715 16,715 0.18% $5.80M
ARWR 0 01/15/32 0 2,594,000 2,594,000 0.09% $2.92M
COGT 1.625 11/15/31 0 2,409,000 2,409,000 0.09% $2.88M
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
HPE 7 5/8 185,850 0 -185,850 0.00% -$12.56M
ODDITY FINANCE LLC CONV 0% 06/15/2030 144A 11,750,000 0 -11,750,000 0.00% -$10.40M
Mirion Technologies (US), Inc. 7,155,000 0 -7,155,000 0.00% -$10.33M
Guidewire Software, Inc. 8,690,000 0 -8,690,000 0.00% -$10.29M
COLGATE-PALMOLIVE CO 118,600 0 -118,600 0.00% -$9.14M
PSN 2.625 03/01/29 7,945,000 0 -7,945,000 0.00% -$9.06M
NCLH 0.75 09/15/30 9,390,000 0 -9,390,000 0.00% -$9.03M
MARSH & MCLENNAN 49,200 0 -49,200 0.00% -$8.76M
MTSI 0 12/15/29 7,260,000 0 -7,260,000 0.00% -$8.08M
ALNYLAM PHARMACEUTICALS INC SR UNSECURED 144A 09/28 0.0000 7,835,000 0 -7,835,000 0.00% -$7.84M
AXON ENTERPRISE INC CV SR UNSEC 0.5% 12-15-27 2,405,000 0 -2,405,000 0.00% -$7.71M
NUTANIX INC SR UNSECURED 144A 12/29 0.5 6,950,000 0 -6,950,000 0.00% -$7.67M
AST SPACEMOBILE INC CONV 2.375% 10/15/2032 144A 5,065,000 0 -5,065,000 0.00% -$7.15M
NIKE INC CL B 100,145 0 -100,145 0.00% -$6.47M
AMG Capital Trust II, Conv. Pfd. 80,250 0 -80,250 0.00% -$5.10M
RUBRIK INC CONV 0% 06/15/2030 144A 4,551,000 0 -4,551,000 0.00% -$4.42M
GLXYLP 0.5 05/01/31 4,386,000 0 -4,386,000 0.00% -$4.33M
WULF 0 05/01/32 3,375,000 0 -3,375,000 0.00% -$3.50M
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
ALPHABET INC CL A 486,400 508,010 21,610 5.30% $34.94M
State Street Navigator Securities Lending Government Money Market Portfolio 42,013,179 46,230,085 4,216,906 1.43% $4.22M
GOLDMAN SACHS GROUP INC 29,330 32,680 3,350 0.94% $7.42M
CSX CORP 588,395 699,400 111,005 0.82% $5.22M
CITIGROUP INC 172,890 212,885 39,995 0.76% $7.13M
MEDTRONIC PLC 201,240 232,950 31,710 0.74% $5.73M
NETFLIX INC 27,975 279,750 251,775 0.72% -$7.94M
ISHARES BIOTECHNOLOGY ETF 110,120 131,705 21,585 0.70% $5.16M
DOLLAR GENERAL CORP 103,255 147,210 43,955 0.65% $10.93M
MICROCHIP TECHNOLOGY INC SER A 7.5% PC 03/15/2028 223,860 275,800 51,940 0.57% $5.47M
SERVICENOW INC 26,750 133,750 107,000 0.48% -$8.94M
JBT MAREL CORP SR UNSECURED 144A 09/30 0.375 7,780,000 13,260,000 5,480,000 0.44% $6.99M
Energy Fuels Inc., Conv. 5,975,000 9,270,000 3,295,000 0.39% $5.00M
LYFT INC CONV 0% 09/15/2030 144A 7,685,000 10,920,000 3,235,000 0.36% $2.57M
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
NVIDIA CORP 1,144,820 1,107,945 -36,875 6.54% -$20.05M
MICROSOFT CORP 383,695 369,995 -13,700 4.91% -$39.48M
WALMART INC 297,585 231,390 -66,195 0.85% -$2.54M
WESTERN DIGITAL CORPORATION SR UNSEC CV 3.0% 11-15-28 5,280,000 3,675,000 -1,605,000 0.75% $3.16M
RTX CORP 149,590 117,980 -31,610 0.73% -$3.00M
DOORDASH INC SR UNSECURED 144A 05/30 0.0000 28,475,000 21,325,000 -7,150,000 0.66% -$10.10M
MARATHON PETROLEUM CORP 137,330 118,580 -18,750 0.64% -$5.87M
COSTCO WHOLESALE CORP 22,675 18,465 -4,210 0.54% -$3.31M
STX 3.5 06/01/28 9,260,000 3,455,000 -5,805,000 0.53% -$11.79M
GENERAL ELECTRIC CO 61,655 51,530 -10,125 0.49% -$3.24M
THE BOOKING HOLDINGS INC 4,094 2,750 -1,344 0.42% -$7.03M
Lumentum Holdings Inc., Conv. 23,335,000 5,795,000 -17,540,000 0.41% -$17.74M
CYBR 0 06/15/30 21,800,000 12,000,000 -9,800,000 0.39% -$12.84M
WALT DISNEY CO/T 165,535 93,080 -72,455 0.32% -$8.14M
ROYAL CARIBBEAN CRUISES LTD 52,836 29,361 -23,475 0.29% -$5.62M
PLANET LABS PBC CONV 0.5% 10/15/2030 144A 5,305,000 3,975,000 -1,330,000 0.28% $1.65M
AST SPACEMOBILE INC SR UNSECURED 144A 01/36 2 8,170,000 5,860,000 -2,310,000 0.25% -$686.26K
AVAV 0 07/15/30 6,825,000 6,370,000 -455,000 0.23% -$2.03M
ORACLE CORP 133,180 31,050 -102,130 0.16% -$29.86M
WOLFSPEED INC 15,355 2,660 -12,695 0.14% -$12.81M
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
APPLE INC 711,150 711,150 0 5.69% -$7.74M
AMAZON.COM INC 551,500 551,500 0 4.07% -$2.71M
META PLATFORMS INC CL A 116,760 116,760 0 2.58% $7.96M
BROADCOM INC 246,660 246,660 0 2.52% -$9.45M
TESLA INC 132,125 132,125 0 1.75% -$3.46M
JPMORGAN CHASE and CO 175,135 175,135 0 1.65% -$915.96K
LILLY ELI and CO 43,015 43,015 0 1.38% $7.50M
EXXON MOBIL CORP 283,930 283,930 0 1.24% $7.68M
VISA INC-CLASS A 124,230 124,230 0 1.23% -$2.35M
MASTERCARD INC CL A 69,155 69,155 0 1.15% -$912.85K
JOHNSON&JOHNSON 151,345 151,345 0 1.06% $5.81M
MKS INC SR UNSECURED 06/30 1.25 18,840,000 18,840,000 0 0.98% $9.19M
GE VERNOVA LLC 43,065 43,065 0 0.97% $6.08M
Boeing Co. (The), Conv. Pfd. 412,205 412,205 0 0.95% $4.12M
MICRON TECHNOLOGY INC 71,340 71,340 0 0.91% $13.63M
WELLS FARGO & CO 324,200 324,200 0 0.91% $1.14M
BANK OF AMERICA CORPORATION 546,835 546,835 0 0.90% -$136.71K
LAM RESEARCH CORP 114,100 114,100 0 0.82% $8.67M
US TREASURY N/B 25,475,000 25,475,000 0 0.79% $14.93K
LINDE PLC 52,995 52,995 0 0.75% $2.05M
ABBVIE INC 105,155 105,155 0 0.72% $522.62K
US TREASURY N/B 22,755,000 22,755,000 0 0.70% -$53.78K
MORGAN STANLEY 124,290 124,290 0 0.70% $2.34M
SHERWIN WILLIAMS CO 62,025 62,025 0 0.68% $601.64K
PARKER HANNIFIN CORP 23,315 23,315 0 0.67% $3.80M
THERMO FISHER SCIENTIFIC INC 36,045 36,045 0 0.64% $404.42K
SOUTHERN CO/THE SR UNSECURED 06/27 4.5 19,155,000 19,155,000 0 0.64% -$641.69K
COCA-COLA CO/THE 270,070 270,070 0 0.62% $1.60M
PHILIP MORRIS INTL INC 110,765 110,765 0 0.61% $3.89M
FREEPORT MCMORAN INC 322,825 322,825 0 0.60% $5.98M
HOME DEPOT INC 50,845 50,845 0 0.59% -$254.22K
LOWES COS INC 70,505 70,505 0 0.58% $2.04M
Duke Energy Corporation, Convertible 17,800,000 17,800,000 0 0.57% -$681.56K
PPL Capital Funding, Inc., Convertible 16,315,000 16,315,000 0 0.57% -$116.49K
ABBOTT LABS 167,970 167,970 0 0.57% -$2.41M
AEIS 2.5 09/15/28 9,405,000 9,405,000 0 0.56% $3.25M
DELTA AIR LI 272,350 272,350 0 0.55% $2.32M
UBER TECHNOLOGIES INC SR UNSECURED 12/28 0.875 13,580,000 13,580,000 0 0.54% -$2.44M
CMS Energy Corporation, Convertible 15,830,000 15,830,000 0 0.53% -$334.49K
Welltower OP, LLC, Convertible 11,030,000 11,030,000 0 0.52% $440.98K
UNION PACIFIC CORP 69,965 69,965 0 0.51% $1.03M
PROCTER & GAMBLE 108,280 108,280 0 0.51% $151.59K
WILLIAMS COS INC 236,790 236,790 0 0.49% $2.22M
DANAHER CORP 71,510 71,510 0 0.48% $251.00K
QUANTA SVCS INC 32,310 32,310 0 0.47% $823.90K
NET 0 06/15/30 14,360,000 14,360,000 0 0.47% -$2.84M
NextEra Energy Capital Holdings, Inc., Convertible 11,260,000 11,260,000 0 0.46% $868.48K
S&P GLOBAL INC 28,120 28,120 0 0.46% $1.14M
CISCO SYSTEMS INC 187,365 187,365 0 0.45% $976.17K
AMERICAN EXPRESS CO 39,470 39,470 0 0.43% -$337.86K
BOSTON SCIENTIFIC CORP 143,372 143,372 0 0.41% -$1.03M
T-MOBILE US INC 65,925 65,925 0 0.40% -$846.48K
UNITEDHEALTH GRP 44,745 44,745 0 0.40% -$2.44M
EQT CORPORATION 222,135 222,135 0 0.40% $921.86K
STARBUCKS CORP 137,140 137,140 0 0.39% $1.52M
MCDONALDS CORP 39,815 39,815 0 0.39% $659.73K
VULCAN MATERIALS CO 41,210 41,210 0 0.38% $454.96K
PALANTIR TECHNOLOGIES INC 82,675 82,675 0 0.37% -$4.45M
Morgan Stanley Finance LLC 5,885,000 5,885,000 0 0.36% -$213.04K
TJX COS INC 77,920 77,920 0 0.36% $753.49K
VISTRA CORP 71,770 71,770 0 0.35% -$2.15M
QXO INC PREFERRED STOCK 05/28 5.5 179,100 179,100 0 0.35% $2.20M
CHUBB LTD 36,270 36,270 0 0.35% $1.18M
CHEVRON CORP 62,180 62,180 0 0.34% $1.19M
AMERICAN TOWER CORP 60,560 60,560 0 0.34% $18.17K
ASSURANT INC 44,243 44,243 0 0.33% $1.17M
SALESFORCE INC 49,060 49,060 0 0.32% -$2.36M
BLACKROCK INC 9,170 9,170 0 0.32% $331.31K
CAPITAL ONE FINANCIAL CORP 46,015 46,015 0 0.31% -$48.78K
EMERSON ELECTRIC CO 68,375 68,375 0 0.31% $505.29K
Mirion Technologies, Inc., Convertible 8,805,000 8,805,000 0 0.30% -$1.09M
Alibaba Group Holding Ltd. 8,600,000 8,600,000 0 0.30% -$99.24K
SNOWFLAKE INC SR UNSECURED 10/29 0.00000 6,550,000 6,550,000 0 0.28% -$2.84M
SPOTIFY USA INC CV SR UNSEC 0.0% 03-15-26 9,020,000 9,020,000 0 0.28% -$2.51M
WT 4.625 08/15/30 7,655,000 7,655,000 0 0.28% $1.08M
FLUOR CORP SR UNSECURED 08/29 1.125 7,200,000 7,200,000 0 0.28% -$374.33K
CVS HEALTH CORP 117,500 117,500 0 0.27% -$426.52K
ETSY INC SR UNSECURED 144A 06/30 1 8,644,000 8,644,000 0 0.27% -$581.83K
Liberty Media Corp.-Liberty Formula One Corp. 7,315,000 7,315,000 0 0.26% -$848.61K
APOLLO GLOBAL MANAGEMENT PFD 121,745 121,745 0 0.26% $490.63K
INTUIT INC 16,010 16,010 0 0.25% -$2.70M
UBER TECHNOLOGIES INC CV 144A LIFE 0.0% 05-15-28 7,145,000 7,145,000 0 0.22% -$383.04K
NEXTERA ENERGY INC PREFFERD STOCK 126,115 126,115 0 0.22% $370.78K
STRYKER CORP 17,880 17,880 0 0.20% $238.16K
TTEK 2.25 08/15/28 5,615,000 5,615,000 0 0.20% $538.48K
Coinbase Global, Inc., Convertible 7,565,000 7,565,000 0 0.20% -$2.01M
APPLOVIN CORP 12,075 12,075 0 0.18% -$1.98M
Federal Realty OP, LP, Convertible 3,725,000 3,725,000 0 0.12% $26.15K
CENTERPOINT ENERGY INC PC STEP 09/15/2029 80,675 80,675 0 0.09% -$28.64K
ALPHABET INC CL C 4,385 4,385 0 0.05% $248.67K

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