DENVER, CO / ACCESS Newswire / July 7, 2025 - The Clough Global Equity Fund has announced monthly cash distributions of $0.0650 per share for July, August, and September 2025. As per the Fund's managed distribution policy, the rate is set based on the adjusted year-end net asset value per share. Key dates include an ex-date and record date of July 18, with payment on July 31, 2025. The August ex-date and record date are August 18, with payment on August 29, 2025.
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