-
Posted by
Two Blokes Jun 11 -
Filed in
Stock
-
7 views
Clough Global Opportunities Fund offers a high 11.3% yield and global diversification, but its blended equity/debt strategy has failed to deliver consistent long-term returns. The fund's use of leverage, short positions, and exposure to below-investment-grade debt amplify risks, especially in a high-interest rate environment. GLO's NAV and earnings history are weak, with frequent dividend cuts and reliance on return of capital, undermining distribution sustainability.