Clough Global Equity Fund Declares Monthly Cash Distributions for July, August, and September 2023 of $0.0599 per Share
- The Clough Global Equity Fund has declared a monthly cash distribution of $0.0599 per common share, providing potential income for investors.
- The Fund's managed distribution policy aims to set the monthly distribution rate at an amount equal to one twelfth of 10% of the Fund's adjusted year-end NAV per share.
- None.
DENVER, CO / ACCESSWIRE / July 10, 2023 / Today, the Board of Trustees (the "Board") for the Clough Global Equity Fund (the "Fund") has declared a monthly cash distribution of
The following dates apply to the distributions declared:
Ex-Date: July 20, 2023
Record Date: July 21, 2023
Payable Date: July 31, 2023
Ex-Date: August 17, 2023
Record Date: August 18, 2023
Payable Date: August 31, 2023
Ex-Date: September 21, 2023
Record Date: September 22, 2023
Payable Date: September 29, 2023
A portion of the distribution may be treated as paid from sources other than net income, including but not limited to short-term capital gain, long-term capital gain and return of capital. The final determination of the source of all distributions, including the percentage of qualified dividend income, will be made after year-end.
The Clough Global Equity Fund
The Fund is a closed-end fund utilizing Clough Capital Partners L.P.'s research-driven, thematic process, with an investment objective of providing a high level of total return. Having a global, flexible mandate, the Fund will invest at least
Clough Capital Partners L.P.
Clough Capital Partners L.P. is a Boston-based investment advisory firm which manages approximately
An investor should consider investment objectives, risks, charges and expenses carefully before investing. To obtain an annual report or semi-annual report which contains this and other information visit www.cloughglobal.com or call 1-855-425-6844. Read the prospectus carefully before investing.
The Clough Global Equity Fund is a closed-end fund and closed-end funds do not continuously issue shares for sale as open-end mutual funds do. Since the initial public offering, the Fund now trades in the secondary market. Investors wishing to buy or sell shares need to place orders through an intermediary or broker. The share price of a closed-end fund is based on the market's value.
Forward-looking statements are based on information that is available on the date hereof, and neither the fund manager nor any other person affiliated with the fund manager has any duty to update any forward-looking statements. Important factors that could affect actual results to differ from these statements include, among other factors, material, negative changes to the asset class and the actual composition of the portfolio.
SOURCE: Clough Global Equity Fund | GLQ
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