Calamos Wealth Management 13F annual report

Calamos Wealth Management is an investment fund managing more than $1.84 trillion ran by Jacqueline Sinker. There are currently 193 companies in Mrs. Sinker’s portfolio. The largest investments include Ishares Tr and Apple Inc, together worth $668 billion.

Limited to 30 biggest holdings

$1.84 trillion Assets Under Management (AUM)

As of 18th July 2024, Calamos Wealth Management’s top holding is 3,940,219 shares of Ishares Tr currently worth over $528 billion and making up 28.7% of the portfolio value. In addition, the fund holds 666,570 shares of Apple Inc worth $140 billion, whose value grew 15.5% in the past six months. The third-largest holding is Microsoft worth $91.6 billion and the next is NVIDIA Corp worth $90.9 billion, with 736,122 shares owned.

Currently, Calamos Wealth Management's portfolio is worth at least $1.84 trillion. The total portfolio value may be much higher due to cash assets that are not publicly disclosed such as fixed income, real estate, or cash equivalents.

Careers at Calamos Wealth Management

The Calamos Wealth Management office and employees reside in Naperville, Illinois. According to the last 13-F report filed with the SEC, Jacqueline Sinker serves as the SVP, CHIEF COMPLIANCE OFFICER at Calamos Wealth Management.

Recent trades

In the most recent 13F filing, Calamos Wealth Management revealed that it had opened a new position in Caesars Entertainment Inc Ne and bought 257,838 shares worth $10.2 billion.

The investment fund also strengthened its position in Ishares Tr by buying 69,032 additional shares. This makes their stake in Ishares Tr total 3,940,219 shares worth $528 billion.

On the other hand, there are companies that Calamos Wealth Management is getting rid of from its portfolio. Calamos Wealth Management closed its position in Advanced Micro Devices on 25th July 2024. It sold the previously owned 48,378 shares for $8.73 billion. Jacqueline Sinker also disclosed a decreased stake in Merck Co Inc by 0.1%. This leaves the value of the investment at $15 billion and 121,521 shares.

One of the largest hedge funds

The two most similar investment funds to Calamos Wealth Management are Trust Co Of Vermont and Capital Asset Advisory Services. They manage $1.84 trillion and $1.84 trillion respectively.


Jacqueline Sinker investment strategy

Calamos Wealth Management’s portfolio is diversified across 13 sectors. Currently, their heaviest sector is Technology — making up 22.3% of the total portfolio value. The fund focuses on investments in the United States as 48.7% of the portfolio companies are based in the United States.

The majority of the companies in the fund’s portfolio are large-cap stocks. Stocks with a size of more than $10 billion in market cap make up 51% of the total holdings value. On the other hand, small-cap stocks make up only 2.1% of the portfolio. The average market cap of the portfolio companies is close to $158 billion.

The complete list of Calamos Wealth Management trades based on 13F SEC filings

These positions were updated on July 25th based on the fund’s latest 13F filing. Quickly find out what the most recently closed or increased positions are.

Security Shares Owned Value Allocation
Ishares Tr
1.78%
3,940,219
$527,726,741,000 28.66%
Apple Inc
3.48%
666,570
$140,392,877,000 7.62%
Microsoft Corporation
0.13%
205,054
$91,648,957,000 4.98%
NVIDIA Corp
900.48%
736,122
$90,940,542,000 4.94%
Alphabet Inc
0.00%
402,716
$73,416,844,000 3.99%
Amazon.com Inc.
2.01%
287,189
$55,499,274,000 3.01%
Vanguard Scottsdale Fds
4.42%
578,969
$33,552,166,000 1.82%
Spdr Sp 500 Etf Tr
2.51%
54,498
$29,659,050,000 1.61%
Eli Lilly Co
1.89%
31,772
$28,765,780,000 1.56%
Broadcom Inc
1.35%
16,094
$25,839,568,000 1.40%
Unitedhealth Group Inc
0.97%
43,853
$22,332,619,000 1.21%
Home Depot, Inc.
11.72%
62,487
$21,510,579,000 1.17%
Netflix Inc.
30.58%
30,101
$20,314,563,000 1.10%
Visa Inc
1.32%
76,793
$20,155,879,000 1.09%
Marathon Digital Holdings In
No change
1,001,822
$19,886,167,000 1.08%
Walmart Inc
1.90%
290,752
$19,686,818,000 1.07%
Linde Plc.
2.33%
34,867
$15,299,988,000 0.83%
Uber Technologies Inc
2.51%
208,642
$15,164,101,000 0.82%
Merck Co Inc
11.31%
121,521
$15,044,319,000 0.82%
The Southern Co.
1.10%
189,248
$14,679,931,000 0.80%
ServiceNow Inc
2.36%
17,707
$13,929,566,000 0.76%
Wells Fargo Co New
1.96%
221,197
$13,136,890,000 0.71%
Oracle Corp.
10.93%
92,964
$13,126,562,000 0.71%
Enphase Energy Inc
No change
130,000
$12,962,300,000 0.70%
Analog Devices Inc.
2.40%
56,266
$12,843,331,000 0.70%
CSX Corp.
1.45%
379,382
$12,690,336,000 0.69%
Waste Mgmt Inc Del
2.27%
58,914
$12,568,722,000 0.68%
Constellation Brands Inc
2.21%
48,000
$12,349,485,000 0.67%
American Express Co.
2.51%
53,118
$12,299,483,000 0.67%
Zoetis Inc
19.98%
68,920
$11,948,016,000 0.65%
Tjx Cos Inc New
1.57%
106,878
$11,767,313,000 0.64%
Prologis Inc
4,745.93%
104,672
$11,755,664,000 0.64%
T-Mobile US Inc
1.44%
65,408
$11,523,625,000 0.63%
Thermo Fisher Scientific Inc.
1.67%
20,334
$11,244,705,000 0.61%
Sherwin-Williams Co.
27.08%
37,366
$11,151,143,000 0.61%
Adobe Inc
1,760.82%
20,041
$11,133,577,000 0.60%
Sp Global Inc
2.70%
23,999
$10,703,575,000 0.58%
Caesars Entertainment Inc Ne
Opened
257,838
$10,246,482,000 0.56%
Boeing Co.
0.78%
55,248
$10,055,688,000 0.55%
Boston Scientific Corp.
14.89%
130,558
$10,054,272,000 0.55%
Chubb Limited
2.12%
38,861
$9,912,673,000 0.54%
Pinterest Inc
7.17%
222,743
$9,816,284,000 0.53%
Marvell Technology Inc
Opened
133,545
$9,334,796,000 0.51%
Emerson Elec Co
3,982.12%
84,704
$9,330,993,000 0.51%
Occidental Pete Corp
2.55%
146,827
$9,254,531,000 0.50%
Advanced Micro Devices Inc.
Closed
48,378
$8,731,745,000
Delta Air Lines, Inc.
Closed
181,780
$8,701,816,000
Deere Co
2.08%
22,138
$8,271,427,000 0.45%
Marsh Mclennan Cos Inc
1.74%
39,087
$8,236,438,000 0.45%
Lululemon Athletica inc.
63.76%
26,659
$7,963,043,000 0.43%
Morgan Stanley
40.39%
81,308
$7,902,362,000 0.43%
DoorDash Inc
Opened
71,206
$7,745,789,000 0.42%
Dexcom Inc
2.32%
66,323
$7,519,702,000 0.41%
IQVIA Holdings Inc
0.81%
35,289
$7,461,506,000 0.41%
Novo-nordisk A S
7.24%
49,867
$7,118,016,000 0.39%
Chevron Corp.
0.74%
40,989
$6,411,516,000 0.35%
Johnson Johnson
21.42%
42,834
$6,260,617,000 0.34%
Meta Platforms Inc
10.26%
12,057
$6,079,431,000 0.33%
Applied Matls Inc
6.71%
25,389
$5,991,550,000 0.33%
Hess Corporation
1.33%
40,555
$5,982,704,000 0.32%
Berkshire Hathaway Inc.
2.08%
14,654
$5,961,247,000 0.32%
Datadog Inc
No change
45,353
$5,881,831,000 0.32%
Costco Whsl Corp New
2.20%
6,392
$5,433,378,000 0.30%
Taiwan Semiconductor Mfg Ltd
15.05%
29,990
$5,212,562,000 0.28%
Jpmorgan Chase Co.
1.13%
24,938
$5,043,954,000 0.27%
Vanguard Index Fds
2.45%
55,884
$14,212,674,000 0.77%
Asml Holding N V
19.37%
4,327
$4,425,353,000 0.24%
NextEra Energy Inc
9.50%
62,247
$4,407,720,000 0.24%
Veeva Sys Inc
32.19%
23,174
$4,241,074,000 0.23%
Makemytrip Limited Mauritius
9.36%
48,983
$4,119,470,000 0.22%
Sap SE
8.56%
19,102
$3,853,064,000 0.21%
Tesla Inc
10.66%
19,328
$3,824,625,000 0.21%
Vanguard Bd Index Fds
5.93%
42,811
$3,283,604,000 0.18%
Mckesson Corporation
1.73%
5,276
$3,081,395,000 0.17%
Enovix Corporation
26.43%
194,300
$3,003,878,000 0.16%
Procter And Gamble Co
3.99%
17,373
$2,865,155,000 0.16%
Lam Research Corp.
3.41%
2,637
$2,808,009,000 0.15%
Peloton Interactive Inc
0.01%
824,668
$2,787,378,000 0.15%
Parsons Corp
No change
30,000
$2,454,300,000 0.13%
Stantec Inc
9.31%
28,979
$2,421,195,000 0.13%
Ishares Inc
23.33%
60,660
$3,702,819,000 0.20%
Spotify Technology S.A.
9.32%
7,205
$2,260,857,000 0.12%
Schwab Strategic Tr
Opened
38,317
$2,513,919,000 0.14%
Waste Connections Inc
38.79%
11,092
$1,945,093,000 0.11%
Shopify Inc
Closed
24,710
$1,906,871,000
Icon Plc
44.09%
5,994
$1,878,939,000 0.10%
Kb Finl Group Inc
69.60%
32,825
$1,858,223,000 0.10%
Toyota Motor Corporation
Closed
7,369
$1,854,630,000
Exxon Mobil Corp.
26.31%
16,030
$1,845,374,000 0.10%
Ferrari N.V.
9.55%
4,406
$1,799,278,000 0.10%
Mastercard Incorporated
7.34%
4,063
$1,792,433,000 0.10%
GE Aerospace
653.12%
10,506
$1,670,139,000 0.09%
Mcdonalds Corp
11.16%
6,498
$1,655,950,000 0.09%
Marriott Intl Inc New
8.38%
6,598
$1,595,198,000 0.09%
Accenture Plc Ireland
18.78%
4,990
$1,514,016,000 0.08%
Pfizer Inc.
5.25%
52,085
$1,457,336,000 0.08%
Select Sector Spdr Tr
25.10%
13,188
$2,413,727,000 0.13%
KLA Corp.
0.58%
1,733
$1,428,876,000 0.08%
Arista Networks Inc
0.55%
4,028
$1,411,733,000 0.08%
Abbvie Inc
6.48%
8,159
$1,399,432,000 0.08%
Starbucks Corp.
86.87%
17,718
$1,379,334,000 0.07%
Vanguard Index Fds
Closed
6,698
$1,709,090,000
Calamos Global Total Return
No change
113,930
$1,262,341,000 0.07%
Skechers U S A, Inc.
No change
18,100
$1,251,072,000 0.07%
Honeywell International Inc
5.08%
5,853
$1,249,850,000 0.07%
Progyny Inc
No change
43,562
$1,246,309,000 0.07%
Bank America Corp
13.13%
31,010
$1,766,349,000 0.10%
Chipotle Mexican Grill
6,879.41%
18,984
$1,189,348,000 0.06%
Vesta Real Estate Corp
Closed
29,310
$1,150,124,000
Mitsubishi Ufj Finl Group In
9.21%
104,678
$1,130,522,000 0.06%
Infosys Ltd
Closed
62,632
$1,122,992,000
Disney Walt Co
16.67%
11,081
$1,100,232,000 0.06%
Pepsico Inc
21.03%
6,659
$1,098,269,000 0.06%
Calamos Strategic Total Retu
No change
61,970
$1,043,570,000 0.06%
Coca-Cola Co
15.86%
16,085
$1,023,810,000 0.06%
Canadian Nat Res Ltd
116.61%
28,575
$1,017,270,000 0.06%
Medtronic Plc
5.46%
12,839
$1,010,558,000 0.05%
Goldman Sachs Group, Inc.
13.17%
2,202
$996,009,000 0.05%
Intel Corp.
10.03%
31,816
$985,342,000 0.05%
Intuit Inc
92.58%
1,492
$980,571,000 0.05%
TechnipFMC plc
9.21%
37,220
$973,303,000 0.05%
Spdr Ser Tr
0.78%
12,654
$1,730,075,000 0.09%
Lowes Cos Inc
5.95%
4,317
$951,730,000 0.05%
Quanta Svcs Inc
0.14%
3,614
$918,281,000 0.05%
Abbott Labs
0.66%
8,826
$917,110,000 0.05%
Danaher Corp.
2.03%
3,429
$856,736,000 0.05%
Ishares Tr
Opened
15,895
$848,634,000 0.05%
Salesforce Inc
3.01%
3,253
$836,346,000 0.05%
Calamos Etf Tr
Opened
45,559
$1,111,580,000 0.06%
RELX Plc
Opened
17,999
$825,794,000 0.04%
Icici Bank Limited
9.54%
28,460
$819,933,000 0.04%
Spdr Ser Tr
Closed
10,837
$791,534,000
nVent Electric plc
Opened
9,724
$744,956,000 0.04%
RTX Corp
9.91%
7,180
$720,814,000 0.04%
Canadian Pacific Kansas City
3.57%
9,036
$711,404,000 0.04%
Bristol-Myers Squibb Co.
7.36%
16,770
$696,458,000 0.04%
Apollo Global Mgmt Inc
9.65%
10,499
$688,839,000 0.04%
Hubbell Inc.
No change
1,880
$687,102,000 0.04%
Cisco Sys Inc
8.20%
14,142
$671,886,000 0.04%
Republic Svcs Inc
No change
3,417
$664,060,000 0.04%
Ishares Tr
Closed
14,326
$840,623,000
Fabrinet
Closed
3,345
$632,272,000
Markel Group Inc
20.00%
400
$630,264,000 0.03%
Light Wonder Inc
No change
6,000
$629,280,000 0.03%
Nike, Inc.
92.69%
8,327
$627,624,000 0.03%
Norfolk Southn Corp
No change
2,868
$615,731,000 0.03%
Philip Morris International Inc
22.99%
5,897
$597,543,000 0.03%
AMGEN Inc.
1.53%
1,867
$583,344,000 0.03%
Marathon Pete Corp
2.33%
3,189
$553,228,000 0.03%
Spdr Ser Tr
Opened
21,276
$531,262,000 0.03%
Fidelity Covington Trust
No change
7,737
$841,590,000 0.05%
IPG Photonics Corp
14.29%
6,000
$506,340,000 0.03%
Flexshares Tr
Closed
9,165
$500,284,000
Northrop Grumman Corp.
No change
1,117
$486,956,000 0.03%
Invesco Exchange Traded Fd T
No change
14,670
$716,470,000 0.04%
Booking Holdings Inc
3.39%
122
$483,303,000 0.03%
Middleby Corp.
Closed
3,000
$482,370,000
Micron Technology Inc.
6.10%
3,570
$469,562,000 0.03%
MercadoLibre Inc
83.98%
283
$465,082,000 0.03%
Union Pac Corp
4.03%
2,038
$461,118,000 0.03%
American Intl Group Inc
12.88%
6,198
$460,140,000 0.02%
Ge Vernova Inc
Opened
2,618
$449,013,000 0.02%
Conocophillips
6.18%
3,813
$436,131,000 0.02%
Qualcomm, Inc.
7.00%
2,110
$420,270,000 0.02%
Lockheed Martin Corp.
0.67%
883
$412,449,000 0.02%
Vanguard World Fd
Closed
1,514
$409,567,000
Calamos Lng Shr Eqt Dynamic
155.68%
26,783
$408,441,000 0.02%
Ppg Inds Inc
15.90%
3,238
$407,632,000 0.02%
Kkr Co Inc
14.82%
3,857
$405,911,000 0.02%
Parker-Hannifin Corp.
12.47%
793
$401,107,000 0.02%
Mondelez International Inc.
95.77%
6,088
$398,422,000 0.02%
UBS AG London Branch
Closed
466
$393,048,000
Caterpillar Inc.
4.38%
1,158
$385,730,000 0.02%
DTE Energy Co.
16.17%
3,328
$369,441,000 0.02%
Schlumberger Ltd.
8.92%
7,803
$368,146,000 0.02%
Pioneer Nat Res Co
Closed
1,380
$362,250,000
Intercontinental Exchange In
0.84%
2,641
$361,526,000 0.02%
Colgate-Palmolive Co.
Opened
3,668
$355,943,000 0.02%
Heico Corp.
14.71%
1,560
$348,832,000 0.02%
Texas Instrs Inc
No change
1,730
$336,537,000 0.02%
International Business Machs
71.00%
1,893
$327,394,000 0.02%
Freeport-McMoRan Inc
2.41%
6,629
$322,169,000 0.02%
Stryker Corp.
5.68%
911
$309,968,000 0.02%
Vanguard Specialized Funds
22.65%
1,622
$296,060,000 0.02%
Invitation Homes Inc
15.29%
8,200
$294,298,000 0.02%
Calamos Etf Tr
No change
10,130
$293,162,000 0.02%
UBS Group AG
3.20%
9,695
$286,390,000 0.02%
Alcon Ag
14.80%
3,150
$280,602,000 0.02%
Travelers Companies Inc.
3.38%
1,342
$272,882,000 0.01%
Vanguard World Fd
No change
2,665
$266,180,000 0.01%
Las Vegas Sands Corp
Closed
5,085
$262,895,000
Duke Energy Corp.
21.46%
2,553
$255,902,000 0.01%
American Tower Corp.
12.57%
1,294
$251,528,000 0.01%
American Centy Etf Tr
No change
2,673
$241,078,000 0.01%
Att Inc
3.23%
12,441
$237,748,000 0.01%
Palo Alto Networks Inc
Opened
700
$237,307,000 0.01%
Biogen Inc
1.30%
1,014
$235,065,000 0.01%
Comcast Corp New
47.31%
5,903
$231,161,000 0.01%
Block Inc
Closed
2,647
$223,883,000
Hunt J B Trans Svcs Inc
16.69%
1,398
$223,680,000 0.01%
Yum Brands Inc.
Closed
1,612
$223,504,000
Agilent Technologies Inc.
Closed
1,486
$216,228,000
Silicon Laboratories Inc
Closed
1,500
$215,580,000
Assurant Inc
18.39%
1,296
$215,460,000 0.01%
Global Pmts Inc
Closed
1,604
$214,391,000
3M Co.
2.30%
2,091
$213,679,000 0.01%
Schwab Strategic Tr
24.96%
2,727
$212,052,000 0.01%
Citigroup Inc
11.55%
3,248
$206,118,000 0.01%
Calamos Gbl Dyn Income Fund
No change
29,748
$204,073,000 0.01%
Cloudflare Inc
Closed
2,105
$203,827,000
VanEck ETF Trust
Opened
6,000
$203,580,000 0.01%
Kenvue Inc
Closed
9,469
$203,205,000
Air Prods Chems Inc
Opened
781
$201,537,000 0.01%
Terran Orbital Corporation
Opened
211,700
$173,594,000 0.01%
Itau Unibanco Hldg S A
Closed
12,175
$84,373,000
Plug Power Inc
No change
10,000
$23,300,000 0.00%
Fuelcell Energy Inc
No change
20,000
$12,776,000 0.00%
No transactions found
Showing first 500 out of 217 holdings