Clough Global Equity Fund (GLQ) announced its monthly distribution of $0.0650 per share, paid on May 30, 2025, to shareholders of record as of May 19, 2025. The distribution analysis reveals that 100% of the current distribution ($0.0650) and fiscal year-to-date cumulative distributions ($0.44560) are classified as return of capital. The Fund's performance metrics show an annualized distribution rate of 10.94% of NAV, a cumulative distribution rate of 6.25%, and a negative cumulative total return of -3.96% for the fiscal year to date. The Fund's 5-year average annual total return on NAV stands at 4.06% as of April 30, 2025. The Fund acknowledges distributing more than its income and realized capital gains, indicating that portions of distributions represent return of capital.
Il Clough Global Equity Fund (GLQ) ha annunciato la distribuzione mensile di $0,0650 per azione, pagata il 30 maggio 2025 agli azionisti registrati al 19 maggio 2025. L'analisi della distribuzione evidenzia che il 100% della distribuzione corrente ($0,0650) e delle distribuzioni cumulative da inizio esercizio fiscale ($0,44560) 猫 classificato come restituzione di capitale. Le metriche di performance del Fondo mostrano un tasso di distribuzione annualizzato del 10,94% del NAV, un tasso di distribuzione cumulativo del 6,25% e un rendimento totale cumulativo negativo del -3,96% per l'esercizio fiscale in corso. Il rendimento totale medio annuo su NAV a 5 anni del Fondo 猫 del 4,06% al 30 aprile 2025. Il Fondo riconosce di aver distribuito pi霉 dei suoi redditi e guadagni in conto capitale realizzati, indicando che parte delle distribuzioni rappresenta una restituzione di capitale.
El Clough Global Equity Fund (GLQ) anunci贸 su distribuci贸n mensual de $0.0650 por acci贸n, pagada el 30 de mayo de 2025 a los accionistas registrados al 19 de mayo de 2025. El an谩lisis de la distribuci贸n revela que el 100% de la distribuci贸n actual ($0.0650) y de las distribuciones acumuladas del a帽o fiscal hasta la fecha ($0.44560) se clasifican como devoluci贸n de capital. Las m茅tricas de desempe帽o del Fondo muestran una tasa de distribuci贸n anualizada del 10.94% del NAV, una tasa de distribuci贸n acumulada del 6.25% y un rendimiento total acumulado negativo de -3.96% para el a帽o fiscal hasta la fecha. El rendimiento total anual promedio a 5 a帽os sobre el NAV del Fondo es del 4.06% al 30 de abril de 2025. El Fondo reconoce que ha distribuido m谩s que sus ingresos y ganancias de capital realizadas, lo que indica que parte de las distribuciones representan devoluci贸n de capital.
Le Clough Global Equity Fund (GLQ) a annonc茅 sa distribution mensuelle de 0,0650 $ par action, vers茅e le 30 mai 2025 aux actionnaires inscrits au 19 mai 2025. L'analyse de la distribution r茅v猫le que 100 % de la distribution actuelle (0,0650 $) et des distributions cumul茅es depuis le d茅but de l'exercice fiscal (0,44560 $) sont class茅es comme un retour de capital. Les indicateurs de performance du Fonds montrent un taux de distribution annualis茅 de 10,94 % de la valeur liquidative (NAV), un taux de distribution cumulatif de 6,25 % et un rendement total cumulatif n茅gatif de -3,96 % pour l'exercice en cours. Le rendement total annuel moyen sur 5 ans du Fonds sur NAV s'茅l猫ve 脿 4,06 % au 30 avril 2025. Le Fonds reconna卯t avoir distribu茅 plus que ses revenus et gains en capital r茅alis茅s, ce qui indique qu'une partie des distributions repr茅sente un retour de capital.
Der Clough Global Equity Fund (GLQ) k眉ndigte seine monatliche Aussch眉ttung von 0,0650 $ je Aktie an, die am 30. Mai 2025 an die Aktion盲re ausgezahlt wird, die am 19. Mai 2025 im Register standen. Die Analyse der Aussch眉ttung zeigt, dass 100 % der aktuellen Aussch眉ttung (0,0650 $) und der kumulierten Aussch眉ttungen im laufenden Gesch盲ftsjahr (0,44560 $) als Kapitalr眉ckzahlung klassifiziert sind. Die Performancekennzahlen des Fonds zeigen eine annualisierte Aussch眉ttungsquote von 10,94 % des NAV, eine kumulierte Aussch眉ttungsquote von 6,25 % sowie eine negative kumulierte Gesamtrendite von -3,96 % f眉r das laufende Gesch盲ftsjahr. Die durchschnittliche j盲hrliche Gesamtrendite des Fonds 眉ber 5 Jahre auf NAV betr盲gt zum 30. April 2025 4,06 %. Der Fonds erkennt an, mehr auszusch眉tten als seine Ertr盲ge und realisierten Kapitalgewinne, was darauf hinweist, dass Teile der Aussch眉ttungen Kapitalr眉ckzahlungen darstellen.
Positive
High annualized distribution rate of 10.94% based on NAV
Positive 5-year average annual total return of 4.06%
Negative
100% of distributions classified as return of capital, indicating Fund is paying out more than earned
Negative cumulative total return of -3.96% for fiscal year to date
No distribution from investment income or capital gains, suggesting potential sustainability concerns
Statement Pursuant to Section 19(a) of the Investment Company Act of 1940
DENVER, CO / / May 30, 2025 / On May 30, 2025, the Clough Global Equity Fund (NYSE American:GLQ) (the "Fund"), a closed-end fund, paid a monthly distribution on its common stock of $0.0650 per share to shareholders of record at the close of business on May 19, 2025.
The following table sets forth the estimated amount of the sources of distribution for purposes of Section 19 of the Investment Company Act of 1940, as amended, and the related rules adopted thereunder. The Fund estimates the following percentages, of the total distribution amount per share, attributable to (i) current and prior fiscal year net investment income, (ii) net realized short-term capital gain, (iii) net realized long-term capital gain and (iv) return of capital or other capital source as a percentage of the total distribution amount. These percentages are disclosed for the current distribution as well as the fiscal year-to-date cumulative distribution amount per share for the Fund.
The amounts and sources of distributions reported in this 19(a) Notice are only estimates and not for tax reporting purposes. The actual amounts and sources of the amounts for tax reporting purposes will depend upon the Fund's investment experience during the remainder of its fiscal year and may be subject to changes based on tax regulations. The Fund will send you a Form 1099-DIV for the calendar year that will tell you how to report these distributions for federal income tax purposes. The Fund estimates that it has distributed more than its income and net realized capital gains; therefore, a portion of your distribution may be a return of capital. A return of capital may occur for example, when some or all of the money that you invested in the Fund is paid back to you. A return of capital distribution does not necessarily reflect the Fund's investment performance and should not be confused with 'yield' or 'income.'
Fund Performance & Distribution Information
Fiscal Year to Date (11/1/2024 through 4/30/2025)
Annualized Distribution Rate as a Percentage of NAV^
10.94
%
Cumulative Distribution Rate on NAV^+
6.25
%
Cumulative Total Return on NAV*
-3.96
%
Average Annual Total Return on NAV for the 5-Year Period Ending 4/30/2025**
4.06
%
Past performance is not indicative of future results.
^ Based on the Fund's NAV as of April 30, 2025.
+Cumulative distribution rate is based on distributions paid to date for the period November 1, 2024 through May 31, 2025.
*Cumulative fiscal year-to-date return is based on the change in NAV including distributions paid and assuming reinvestment of these distributions for the period November 1, 2024 through April 30, 2025.
**The 5-year annualized total return is based on change in NAV including distributions paid and assuming reinvestment of these distributions and that all rights in the Fund's rights offering were exercised, as of the last business day of the month prior to the month of the current distribution record date.
While the NAV performance may be indicative of the Fund's investment performance, it does not measure the value of a shareholder's investment in the Fund. The value of a shareholder's investment in the Fund is determined by the Fund's market price, which is based on the supply and demand for the Fund's shares in the open market.
Shareholders should not draw any conclusions about the Fund's investment performance from the amount of this distribution or from the terms of the Fund's Managed Distribution Plan.
Furthermore, the Board of Trustees reviews the amount of any potential distribution and the income, capital gain or capital available. The Board of Trustees will continue to monitor the Fund's distribution level, taking into consideration the Fund's net asset value and the financial market environment. The Fund's distribution policy is subject to modification by the Board of Trustees at any time. The distribution rate should not be considered the dividend yield or total return on an investment in the Fund.
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