CreditRiskMonitor is a financial risk analysis and news service for credit, supply chain and financial professionals.  Our strength in coverage spans 58,000 global public companies, totaling about $70 trillion in corporate revenue.  We also offer solutions that can help ease private company financial risk assessment.  Leading corporations around the world – including more than 35% of the Fortune 1000, plus thousands more worldwide – rely on us to help them stay ahead of financial risk quickly, accurately and cost-effectively. 

A partial report preview for Clough Global Dividend and Income Fund is shown below.  Where indicated by "Yes," CreditRiskMonitor contains this information in its extensive database.  To get access to the full report and learn more about CreditRiskMonitor's robust financial risk analysis and timely news service, request a personalized demo and free trial today.

If you are already a subscriber and want to access the full report, click here.

Clough Global Dividend and Income Fund
PO Box 328
Phone: (303) 623-2577p:303 623-2577 DENVER, CO  80201-0328  United States Ticker: GLVGLV

Business Summary
Clough Global Dividend and Income Fund (the Fund), formerly Clough Global Allocation Fund, is a closed-end management investment company. The Fund's investment objective is to provide a high level of total return. The Fund invests in a managed mix of equity and debt securities. The Fund will not invest more than 20% of its total assets in securities rated, at the time of acquisition, below investment grade. The Fund may invest a portion of its assets in foreign securities and exchange traded funds. The Fund may sell a security it does not own. The Fund will not invest more than 20% of its total assets, at the time of acquisition, in securities of governments and companies in emerging markets. The Fund invests in various sectors, such as Consumer Discretionary, Consumer Staples, Energy, Financials, Healthcare, Industrials, Information Technology, Materials and Telecommunication Services. Clough Capital Partners L.P. is the investment advisor of the Fund.

Scores and Ratings
FRISK®
Score
Z''
Score
PAYCE®
Score
DBT
Index
IRA CQ
Score
Moody's
Rating
Fitch
Rating
DBRS
Rating
Morningstar
Rating
---------

Financials, News and Filings
Latest
Statement
Last
Audit

News
SEC
Filings
Bankruptcy
Filings
Suit &
Judgment
Filings
Tax
Lien
Filings
3/31/20103/31/2010YesYes---

Industries
SIC Code Description
6726 Unit investment trusts, face-amount certificate offices

Officers and Directors

Title

Name

Age
Title
Date
Start
Date
Independent Chairman of the Board of Trustees Robert L.Butler 75 1/1/2004
President, Principal Executive Officer and Trustee Edmund J.Burke 57 1/1/2006
Principal Financial Officer, Treasurer Jeremy O.May 47 1/1/2014 1/1/2004
8 additional Officers and Directors records available in full report.

General Information
Outstanding Shares: 10,379,906 (As of 5/4/2017)
Stock Exchange: AMEX
Federal Tax Id: 201048784
Fax Number: (302) 655-5049


Copyright © 2019 CreditRiskMonitor.com (Ticker: CRMZ). All rights reserved.     
By using this website, you accept the Terms of Use Agreement.
Tuesday, July 16, 2019