Clough Global Dividend and Income Fund (GLV) Dividend Yield, Date & History $5.83 0.00 (0.00%) (As of 11/14/2024 ET) Add Compare Share Share Dividend Stock AnalysisChartDividendHeadlinesOwnershipShort Interest Dividend SummaryDividend Yield23.50%Annual Dividend$1.37Annualized 3-Year Dividend Growth 52.60%Next Dividend Payment Nov. 29 Get Dividend Stock Ideas Daily Enter your email address below to receive the DividendStocks.com newsletter, a daily email that contains dividend stock ideas, ex-dividend stocks, and the latest dividend investing news. Email Address Skip Charts & View Dividend HistoryGLV Dividend PaymentsOpen Clough Global Dividend and Income Fund in Dividend Calculator GLV Dividend Yield Over Time Open Clough Global Dividend and Income Fund in Dividend Yield Calculator Ad Crypto 101 MediaMusk Says ‘Dollar Will Be Worth Nothing…’Cash In On the Pro-Crypto America 27 experts reveal their top picks for 2025 Click here to reserve your seat at the Crypto Community Summit. Clough Global Dividend and Income Fund vs. The CompetitionTypeClough Global Dividend and Income FundFinancial CompaniesNYSEAMERICAN CompaniesAnnual Dividend$1.37$16.58$0.99Dividend Yield23.50%457.23%309.87%Annualized 3-Year Dividend Growth52.60%12.32%4.55% Clough Global Dividend and Income Fund Dividend History by QuarterAnnouncedPeriodAmountYieldEx-Dividend DateRecord DatePayable Date10/9/2024monthly$0.052610.7%12/16/202412/16/202412/30/202410/7/2024monthly$0.052610.7%11/15/202411/15/202411/29/202410/7/2024Monthly$0.052610.7%10/18/202410/18/202410/31/20247/11/2024monthly$0.052610.7%9/17/20249/17/20249/30/20247/9/2024Monthly$0.052610.85%9/17/20249/17/20249/30/20247/10/2024monthly$0.052610.6%8/16/20248/16/20248/30/2024 Get Dividend Updates for Companies Like Clough Global Dividend and Income FundEnter your email address below to receive our daily newsletter that contains dividend stock ideas, ex-dividend stocks, and the latest dividend investing news. 7/9/2024Monthly$0.052610.64%8/16/20248/16/20248/30/20247/9/2024Monthly$0.052610.69%8/16/20248/16/20248/30/20247/19/2024$0.052610.9%7/19/20247/22/20247/31/20244/5/2024monthly$0.052611.3%6/17/20246/17/20246/28/20244/8/2024monthly$0.052611.3%4/18/20244/19/20244/30/20244/5/2024monthly$0.052611.3%4/18/20244/19/20244/30/20241/8/2024Monthly$0.052612.13%3/14/20243/15/20243/28/20241/10/2024monthly$0.052612.1%3/14/20243/15/20243/28/20242/15/2024$0.052611.62%2/15/20242/16/20242/29/20241/17/2024$0.052612.12%1/18/20241/19/20241/31/202410/9/2023Monthly$0.059714.31%12/21/202312/22/202312/29/202310/11/2023monthly$0.059714.4%12/21/202312/22/202312/29/202310/10/2023monthly$0.059714.4%11/16/202311/17/202311/30/20237/10/2023Monthly$0.059712.7%9/21/20239/22/20239/29/20237/12/2023monthly$0.059712.9%9/21/20239/22/20239/29/20237/11/2023monthly$0.059712.9%8/17/20238/18/20238/31/20237/10/2023Monthly$0.059712.72%8/17/20238/18/20238/31/20237/19/2023$0.059712.55%7/20/20237/21/20237/31/20234/13/2023monthly$0.059712.3%6/15/20236/16/20236/30/20234/14/2023monthly$0.059712.31%6/15/20236/16/20236/30/20234/12/2023monthly$0.059712.3%5/18/20235/19/20235/31/20234/15/2023$0.059712.31%4/20/20234/21/20234/28/20231/13/2023monthly$0.059710.9%3/16/20233/17/20233/31/20231/12/2023monthly$0.059710.9%2/16/20232/17/20232/28/20231/14/2023$0.059710.97%1/19/20231/20/20231/31/202310/13/2022monthly$0.090616.5%12/19/202212/20/202212/30/202210/14/2022monthly$0.090616.47%12/19/202212/20/202212/30/202210/12/2022monthly$0.090616.5%11/17/202211/18/202211/30/202210/15/2022$0.090616.73%10/20/202210/21/202210/31/20227/12/2022monthly$0.090613.3%9/19/20229/20/20229/30/20227/11/2022monthly$0.090613.4%8/18/20228/19/20228/31/20227/11/2022monthly$0.090613.4%7/18/20227/19/20227/29/20224/12/2022monthly$0.090612%6/16/20226/17/20226/30/20224/11/2022monthly$0.090612.1%5/19/20225/20/20225/31/2022Musk 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Summit.4/11/2022monthly$0.090612.1%4/18/20224/19/20224/29/20221/12/2022monthly$0.090610.1%3/17/20223/18/20223/31/20221/11/2022monthly$0.090610.2%2/17/20222/18/20222/28/20221/11/2022monthly$0.090610.2%1/20/20221/21/20221/31/202210/12/2021monthly$0.096710.4%12/20/202112/21/202112/30/202110/11/2021monthly$0.096710.3%11/18/202111/19/202111/30/202110/11/2021monthly$0.096710.3%10/19/202110/20/202110/29/20217/13/2021monthly$0.096710.3%9/20/20219/21/20219/30/20217/12/2021monthly$0.096710.3%8/19/20218/20/20218/31/20217/12/2021monthly$0.096710.3%7/19/20217/20/20217/30/20214/13/2021monthly$0.09679.5%6/18/20216/21/20216/30/20214/12/2021monthly$0.09679.5%5/19/20215/20/20215/28/20214/12/2021monthly$0.09679.5%4/19/20214/20/20214/30/20211/13/2021monthly$0.096710.5%3/18/20213/19/20213/31/20211/12/2021monthly$0.096710.7%2/17/20212/18/20212/26/20211/12/2021monthly$0.096710.7%1/19/20211/20/20211/29/202110/13/2020monthly$0.100812.6%12/18/202012/21/202012/31/202010/12/2020monthly$0.100812.5%11/19/202011/20/202011/30/202010/12/2020monthly$0.100812.5%10/19/202010/20/202010/30/20207/14/2020monthly$0.100813.4%9/17/20209/18/20209/30/20207/13/2020monthly$0.100813.4%8/20/20208/21/20208/31/20207/13/2020monthly$0.100813.4%7/20/20207/21/20207/31/20204/14/2020monthly$0.100814.3%6/18/20206/19/20206/30/20204/10/2020monthly$0.100814.3%5/18/20205/19/20205/29/20204/10/2020monthly$0.100814.3%4/17/20204/20/20204/30/20201/14/2020monthly$0.100810.9%3/19/20203/20/20203/31/20201/13/2020monthly$0.100811%2/14/20202/18/20202/28/20201/13/2020monthly$0.100811%1/17/20201/21/20201/31/202012/16/2019monthly$0.100811%12/20/201912/23/201912/31/20199/11/2019--$0.102611.8%9/19/20199/20/20199/30/20196/10/2019monthly$0.102311.55%6/14/20196/17/20196/24/20195/13/2019monthly$0.104111.38%5/20/20195/21/20195/31/20194/15/2019monthly$0.103410.94%4/18/20194/22/20194/30/20193/12/2019monthly$0.103211.15%3/20/20193/21/20193/29/20192/11/2019monthly$0.099810.86%2/15/20192/19/20192/28/20191/14/2019monthly$0.100311.42%1/18/20191/22/20191/31/201912/12/2018monthly$0.104811.51%12/20/201812/21/201812/31/201811/12/2018monthly$0.106311.15%11/19/201811/20/201811/30/201810/10/2018monthly$0.112011.34%10/18/201810/19/201810/31/20189/11/2018monthly$0.114110.82%9/19/20189/20/20189/28/20188/13/2018monthly$0.112710.71%8/20/20188/21/20188/31/20187/11/2018monthly$0.113810.94%7/19/20187/20/20187/31/20186/11/2018monthly$0.113510.56%6/18/20186/19/20186/29/20185/14/2018monthly$0.114110.75%5/18/20185/21/20185/31/20183/12/2018monthly$0.117210.74%3/16/20183/19/20183/29/20182/12/2018monthly$0.122511.05%2/16/20182/20/20182/28/20181/16/2018monthly$0.121810.8%1/19/20181/22/20181/31/201812/11/2017monthly$0.124111.26%12/18/201712/19/201712/29/201711/13/2017monthly$0.122010.66%11/17/201711/20/201711/30/201710/10/2017monthly$0.121610.33%10/19/201710/20/201710/31/2017Musk 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Summit.9/8/2017monthly$0.122310.5%9/19/20179/20/20179/29/20178/11/2017monthly$0.121510.63%8/18/20178/22/20178/31/20175/9/2017monthly$0.10329.07%7/13/20177/17/20177/31/20175/9/2017monthly$0.10329.07%6/15/20176/19/20176/30/20175/9/2017monthly$0.10329.07%5/17/20175/19/20175/31/20172/7/2017monthly$0.10329.71%4/12/20174/17/20174/28/20172/7/2017monthly$0.10329.71%3/16/20173/20/20173/31/20172/7/2017monthly$0.10329.71%2/15/20172/17/20172/28/20175/11/2015monthly$0.129.72%7/15/20157/17/20157/31/20155/11/2015monthly$0.129.72%6/16/20156/18/20156/30/20155/11/2015monthly$0.129.72%5/14/20155/18/20155/29/201512/12/2014monthly$0.129.99%4/15/20154/17/20154/30/201512/12/2014monthly$0.129.99%3/16/20153/18/20153/31/201512/12/2014monthly$0.129.99%2/12/20152/17/20152/27/201512/12/2014monthly$0.129.99%1/14/20151/16/20151/30/201510/8/2014monthly$0.10508.83%12/17/201412/19/201412/31/201410/8/2014monthly$0.10508.83%11/14/201411/18/201411/26/201410/7/2014oct 14$0.10508.83%10/15/201410/17/201410/31/20147/9/2014monthly$0.10508.13%9/16/20149/18/20149/30/20147/9/2014monthly$0.10508.13%8/14/20148/18/20148/29/20147/8/2014jul 14$0.10508.13%7/16/20147/18/20147/31/20144/8/2014monthly$0.10508.44%5/14/20145/18/20146/30/20144/8/2014monthly$0.10508.44%5/14/20145/16/20145/30/20144/7/2014apr 14$0.10508.44%4/15/20144/17/20144/30/201412/19/2013quarterly$0.301/7/20141/9/20141/15/2014(Data available from 1/1/2013 forward) Clough Global Dividend and Income Fund Dividend - Frequently Asked Questions What is Clough Global Dividend and Income Fund's dividend yield? The current dividend yield for Clough Global Dividend and Income Fund is 23.50%. Learn more on GLV's dividend yield history. How much is Clough Global Dividend and Income Fund's annual dividend? The annual dividend for GLV shares is $1.37. Learn more on GLV's annual dividend history. How often does Clough Global Dividend and Income Fund pay dividends? Clough Global Dividend and Income Fund pays monthly dividends to shareholders. When is Clough Global Dividend and Income Fund's next dividend payment? Clough Global Dividend and Income Fund's next monthly dividend payment of $0.0526 per share will be made to shareholders on Monday, December 30, 2024. When is Clough Global Dividend and Income Fund's next dividend payment? Clough Global Dividend and Income Fund's next monthly dividend payment of $0.0526 per share will be made to shareholders on Friday, November 29, 2024. When was Clough Global Dividend and Income Fund's most recent dividend payment? Clough Global Dividend and Income Fund's most recent monthly dividend payment of $0.0526 per share was made to shareholders on Thursday, October 31, 2024. When is Clough Global Dividend and Income Fund's ex-dividend date? Clough Global Dividend and Income Fund's next ex-dividend date is Monday, December 16, 2024. When is Clough Global Dividend and Income Fund's ex-dividend date? Clough Global Dividend and Income Fund's next ex-dividend date is Friday, November 15, 2024. When was Clough Global Dividend and Income Fund's most recent ex-dividend date? Clough Global Dividend and Income Fund's most recent ex-dividend date was Friday, October 18, 2024. Is Clough Global Dividend and Income Fund's dividend growing? Over the past three years, the company's dividend has grown by an average of 52.60% per year. When did Clough Global Dividend and Income Fund last increase or decrease its dividend? The most recent change in the company's dividend was a decrease of $0.0071 on Wednesday, January 17, 2024. Is Clough Global Dividend and Income Fund a good dividend stock? Clough Global Dividend and Income Fund's dividend yield of 0.12% is lower than the average Financial Services company that issues a dividend. 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