GLV

Clough Global Dividend and Income Fund

Net Asset Value (NAV): $12.63

NAV Change: $-0.01

Closing Price: $11.57

Fund Details Fund Details

Closing Price

 

as of 10/19/2018

GLQ

Clough Global Equity Fund

Net Asset Value (NAV): $13.67

NAV Change: $-0.14

Closing Price: $14.19

Fund Details Fund Details

Closing Price

 

GLO

Clough Global Opportunities Fund

Net Asset Value (NAV): $10.75

NAV Change: $-0.08

Closing Price: $10.04

Fund Details Fund Details

Closing Price

 

Class I

Clough Global Long/Short Fund
(CLOIX)

Net Asset Value (NAV): $10.86

NAV Change: $-0.12

Fund Details Fund Details
as of 10/19/2018

Class Inv

Clough Global Long/Short Fund
(CLOAX)

Net Asset Value (NAV): $10.76

NAV Change: $-0.12

Fund Details Fund Details

Class A

Clough Global Long/Short Fund
(CLOVX)

Net Asset Value (NAV): $10.76

NAV Change: $-0.12

Fund Details Fund Details

Class C

Clough Global Long/Short Fund
(CLOCX)

Net Asset Value (NAV): $10.58

NAV Change: $-0.12

Fund Details Fund Details
"A rising consumer base is creating new opportunities in China"
-Chuck Clough
Clough China Funds
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