Clough Global Equity Fund Declares $0.0729 Monthly Distributions April–June 2026
Clough Global Equity Fund declared cash distributions of $0.0729 per share for April 30, May 29 and June 30, 2026 following ex- and record dates in mid-April, mid-May and mid-June. Its managed distribution policy targets an annualized 10% NAV yield, with $241 million in assets under management.
1. Distribution Declaration and Schedule
Clough Global Equity Fund declared monthly cash distributions of $0.0729 per common share for April, May and June 2026. Ex- and record dates are April 17, May 18 and June 17, with payable dates on April 30, May 29 and June 30. The board may amend or terminate the managed distribution policy at any time, and distributions may include short-term or long-term capital gains and return of capital.
2. Fund Profile and Policy Overview
The fund’s managed distribution policy aims for an annualized 10% yield based on the average NAV of the last five business days of the prior calendar year. As of March 31, 2026, the fund had approximately $241 million in total assets and invests at least 80% in global equity and equity-related securities, with the remainder in fixed income. Leverage usage may increase NAV volatility, and portfolio managers Chuck Clough and Bill Whelan oversee the thematic, research-driven strategy.