GLQNYSE American
Clough Global Equity Fund
$8.51
ListedApr 27, 2005
SectorFinancial Services
IndustryAsset Management
CountryUnited States
Employees-
Website
StateMA| CityBoston| Address53 State Street| Phone617 204 3400
Clough Global Equity Fund is a closed ended equity mutual fund launched and managed by Clough Capital Partners, L.P. It invests in public equity markets across the globe. The fund seeks to invest in stocks of companies operating across diversified sectors. It employs fundamental and quantitative analysis with a bottom up stock picking approach to create its portfolio, with focus on factors such as a company's competitive position, quality of company management, quality and visibility of earnings and cash flow, balance sheet strength, and relative valuation. The fund follows a theme-based investment process which involves focusing on such events as industry consolidation, technological change, an emerging shortage of a product or raw material, and changes in government regulations. It benchmarks the performance of its portfolio against the S&P 500 Index. Clough Global Equity Fund was formed on January 25, 2005 and is domiciled in the United States.

Key Indicators

Key financial and dividend metrics for this stock.

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P/E Ratio
4.7
?
Div. Rate
$0.87
?
Div. Yield
10.04%
?
Payout Ratio
41.68%
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Max Consec. Div. Years
21 years
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Longest Consec. Div.
20 years
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Div. Coverage
100%
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Div. Stability Rate
0.39
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Div. Growth Rate
25.00%
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Score
73

Dividend History

Historical dividend payments by ex-dividend date.

Jun 17, 2026
$ 0.0700
May 18, 2026
$ 0.0700
Apr 17, 2026
$ 0.0700
Mar 18, 2026
$ 0.0700
Feb 18, 2026
$ 0.0700
Jan 20, 2026
$ 0.0700
Dec 17, 2025
$ 0.0700
Nov 17, 2025
$ 0.0700
Oct 17, 2025
$ 0.0700
Sep 17, 2025
$ 0.0700
Aug 18, 2025
$ 0.0700
Jul 18, 2025
$ 0.0700
Jun 17, 2025
$ 0.0700
May 19, 2025
$ 0.0700
Apr 17, 2025
$ 0.0700
Mar 18, 2025
$ 0.0700
Feb 18, 2025
$ 0.0700
Jan 17, 2025
$ 0.0700
Dec 16, 2024
$ 0.0600
Nov 15, 2024
$ 0.0600
Oct 18, 2024
$ 0.0600
Sep 17, 2024
$ 0.0600
Aug 16, 2024
$ 0.0600
Jul 19, 2024
$ 0.0600
Jun 17, 2024
$ 0.0600
May 16, 2024
$ 0.0600
Apr 18, 2024
$ 0.0600
Mar 14, 2024
$ 0.0600
Feb 15, 2024
$ 0.0600
Jan 18, 2024
$ 0.0600
Dec 21, 2023
$ 0.0600
Nov 16, 2023
$ 0.0600
Oct 19, 2023
$ 0.0600
Sep 21, 2023
$ 0.0600
Aug 17, 2023
$ 0.0600
Jul 20, 2023
$ 0.0600
Jun 15, 2023
$ 0.0600
May 18, 2023
$ 0.0600
Apr 20, 2023
$ 0.0600
Mar 16, 2023
$ 0.0600
Feb 16, 2023
$ 0.0600
Jan 19, 2023
$ 0.0600
Dec 19, 2022
$ 0.1200
Nov 17, 2022
$ 0.1200
Oct 20, 2022
$ 0.1200
Sep 19, 2022
$ 0.1200
Aug 18, 2022
$ 0.1200
Jul 18, 2022
$ 0.1200
Jun 16, 2022
$ 0.1200
May 19, 2022
$ 0.1200
Apr 18, 2022
$ 0.1200
Mar 17, 2022
$ 0.1200
Feb 17, 2022
$ 0.1200
Jan 20, 2022
$ 0.1200
Dec 20, 2021
$ 0.1300
Nov 18, 2021
$ 0.1300
Oct 19, 2021
$ 0.1300
Sep 20, 2021
$ 0.1300
Aug 19, 2021
$ 0.1300
Jul 19, 2021
$ 0.1300
Jun 18, 2021
$ 0.1300
May 19, 2021
$ 0.1300
Apr 19, 2021
$ 0.1300
Mar 18, 2021
$ 0.1300
Feb 17, 2021
$ 0.1300
Jan 19, 2021
$ 0.1300
Dec 18, 2020
$ 0.1100
Nov 19, 2020
$ 0.1100
Oct 19, 2020
$ 0.1100
Sep 17, 2020
$ 0.1100
Aug 20, 2020
$ 0.1100
Jul 20, 2020
$ 0.1100
Jun 18, 2020
$ 0.1100
May 18, 2020
$ 0.1100
Apr 17, 2020
$ 0.1100
Mar 19, 2020
$ 0.1100
Feb 14, 2020
$ 0.1100
Jan 17, 2020
$ 0.1100
Dec 20, 2019
$ 0.1100
Nov 19, 2019
$ 0.1000
Oct 18, 2019
$ 0.1100
Sep 19, 2019
$ 0.1100
Aug 20, 2019
$ 0.1150
Jul 19, 2019
$ 0.1130
Jun 14, 2019
$ 0.1130
May 20, 2019
$ 0.1150
Apr 18, 2019
$ 0.1140
Mar 20, 2019
$ 0.1120
Feb 15, 2019
$ 0.1060
Jan 18, 2019
$ 0.1040
Dec 20, 2018
$ 0.1120
Nov 19, 2018
$ 0.1170
Oct 18, 2018
$ 0.1280
Sep 19, 2018
$ 0.1290
Aug 20, 2018
$ 0.1280
Jul 19, 2018
$ 0.1280
Jun 18, 2018
$ 0.1230
May 18, 2018
$ 0.1220
Apr 19, 2018
$ 0.1260
Mar 16, 2018
$ 0.1230
Feb 16, 2018
$ 0.1270
Jan 19, 2018
$ 0.1210
Dec 18, 2017
$ 0.1220
Nov 17, 2017
$ 0.1190
Oct 19, 2017
$ 0.1190
Sep 19, 2017
$ 0.1190
Aug 18, 2017
$ 0.1160
Jul 13, 2017
$ 0.0990
Jun 15, 2017
$ 0.0990
May 17, 2017
$ 0.0990
Apr 12, 2017
$ 0.0990
Mar 16, 2017
$ 0.0990
Feb 15, 2017
$ 0.0990
Jan 18, 2017
$ 0.0990
Dec 14, 2016
$ 0.0990
Nov 16, 2016
$ 0.0990
Oct 17, 2016
$ 0.0990
Sep 14, 2016
$ 0.0990
Aug 17, 2016
$ 0.0990
Jul 14, 2016
$ 0.1150
Jun 15, 2016
$ 0.1150
May 16, 2016
$ 0.1150
Apr 13, 2016
$ 0.1150
Mar 16, 2016
$ 0.1150
Feb 17, 2016
$ 0.1150
Jan 13, 2016
$ 0.1150
Dec 16, 2015
$ 0.1150
Nov 17, 2015
$ 0.1150
Oct 14, 2015
$ 0.1150
Sep 16, 2015
$ 0.1150
Aug 17, 2015
$ 0.1150
Jul 15, 2015
$ 0.1150
Jun 16, 2015
$ 0.1150
May 14, 2015
$ 0.1150
Apr 15, 2015
$ 0.1150
Mar 16, 2015
$ 0.1150
Feb 12, 2015
$ 0.1150
Jan 14, 2015
$ 0.1150
Dec 17, 2014
$ 0.1050
Nov 14, 2014
$ 0.1050
Oct 15, 2014
$ 0.1050
Sep 16, 2014
$ 0.1050
Aug 14, 2014
$ 0.1050
Jul 16, 2014
$ 0.1050
Jun 16, 2014
$ 0.1050
May 14, 2014
$ 0.1050
Apr 15, 2014
$ 0.1050
Mar 14, 2014
$ 0.1050
Feb 12, 2014
$ 0.1050
Jan 15, 2014
$ 0.1050
Jan 7, 2014
$ 0.2900
Oct 17, 2013
$ 0.2900
Jul 17, 2013
$ 0.2900
Apr 10, 2013
$ 0.2900
Jan 16, 2013
$ 0.2900
Oct 17, 2012
$ 0.2900
Jul 18, 2012
$ 0.2900
Apr 11, 2012
$ 0.2900
Jan 18, 2012
$ 0.2900
Oct 19, 2011
$ 0.2900
Jul 18, 2011
$ 0.2900
Apr 13, 2011
$ 0.2900
Jan 19, 2011
$ 0.2900
Oct 19, 2010
$ 0.2900
Jul 22, 2010
$ 0.2900
Apr 14, 2010
$ 0.2900
Jan 20, 2010
$ 0.2900
Oct 19, 2009
$ 0.2600
Jul 20, 2009
$ 0.2400
Apr 15, 2009
$ 0.2400
Jan 14, 2009
$ 0.3100
Oct 14, 2008
$ 0.3100
Jul 14, 2008
$ 0.4500
Apr 14, 2008
$ 0.4500
Jan 14, 2008
$ 0.4500
Dec 27, 2007
$ 0.8140
Oct 15, 2007
$ 0.4400
Jul 11, 2007
$ 0.4400
Apr 11, 2007
$ 0.3400
Dec 27, 2006
$ 0.9300
Oct 11, 2006
$ 0.3400
Jul 12, 2006
$ 0.3400
Apr 11, 2006
$ 0.3400
Jan 11, 2006
$ 0.3300
Oct 12, 2005
$ 0.3300
Jul 13, 2005
$ 0.3000

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