DENVER, June 8, 2021 /PRNewswire/ -- Clough Capital
Partners L.P. ("Clough") will host a market update conference call
for the Clough Global Dividend and Income Fund (GLV), the
Clough Global Equity Fund (GLQ), and the Clough Global
Opportunities Fund (GLO) on Thursday, June
10th at 2:30 PM
EDT. The call will feature Chuck Clough, Chairman, Co-CIO, and Portfolio
Manager, along with Rob Zdunczyk,
Head of Fixed Income and Portfolio Manager.
When:
|
Thursday, June
10th, 2:30 PM EDT
|
Where:
|
Dial
in 888-632-3389
|
|
PW 61021
|
Each of the funds listed above (collectively, the "Funds" and
each, a "Fund") are currently conducting a one for three
transferrable rights offering. The rights offering will be
made pursuant to each Fund's currently effective shelf registration
statement on file with the Securities and Exchange Commission
("SEC") and only by means of a prospectus supplement and
accompanying prospectus. A final prospectus supplement has been
filed with the SEC. Each Fund has mailed subscription
certificates evidencing the subscription rights and a copy of the
prospectus supplement for the rights offering.
This press release shall not constitute an offer to sell or
constitute a solicitation of an offer to buy.
An investor should consider investment objectives, risks,
charges and expenses carefully before investing. To obtain an
annual report, semi-annual report, prospectus or prospectus
supplement which contains this and other information visit
www.cloughglobal.com or call 1-877-256-8445. Read them carefully
before investing.
The Clough Global Dividend and Income Fund
The Fund is
a closed-end fund with an investment objective of providing a high
level of total return and current income. The Fund seeks to pursue
this objective by applying a fundamental research-driven investment
process and will invest in equity and equity-related securities as
well as fixed income securities, including both corporate and
sovereign debt, in both U.S. and non-U.S. markets. The Fund's
portfolio managers are Chuck Clough
and Rob Zdunczyk. As of May 31st 2021 the Fund had
approximately $166 million in total
assets.
The Clough Global Equity Fund
The Fund is a closed-end
fund with an investment objective of providing a high level of
total return. Having a global, flexible mandate, the Fund seeks to
pursue this objective by applying a fundamental research-driven
investment process and will invest at least 80% in equity and
equity-related securities in both U.S. and non-U.S. markets, and
the remainder in fixed income securities, including corporate and
sovereign debt, in both U.S. and non-U.S. markets. The Fund's
portfolio managers are Chuck Clough
and Rob Zdunczyk. As of May 31st, 2021 the Fund had
approximately $367 million in total
assets.
The Clough Global Opportunities Fund
The Fund is a
closed-end fund with an investment objective of providing a high
level of total return. The Fund seeks to achieve this objective by
applying a fundamental research-driven investment process and will
invest in equity and equity-related securities as well as fixed
income securities, including both corporate and sovereign debt, in
both U.S. and non-U.S. markets. The Fund's portfolio managers are
Chuck Clough and Rob Zdunczyk. As of May
31st, 2021 the Fund had approximately
$720 million in total assets.
More information, including the Funds' dividend reinvestment
plans, can be found at www.cloughglobal.com or by calling
877-256-8445
Clough Capital Partners L.P.
Clough Capital, a
Boston-based investment advisory
firm which manages approximately $2.2
billion in assets as of May
31st, 2021, serves as investment adviser to the
Funds.
The Funds are closed-end funds and closed-end funds do not
continuously issue shares for sale as open-end mutual funds do.
Since their initial public offerings, the Funds now trade 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 Funds' manager nor
any other person affiliated with the Funds' 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.
ALPS Portfolio Solutions Distributor, Inc., FINRA Member
Firm.
1290 Broadway, Suite 1000
Denver, CO 80203
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SOURCE Clough Global Dividend and Income Fund; Clough Global
Equity Fund; Clough Global Opportunities Fund