Welcome to our dedicated page for Clough Global Opportunities SEC filings (Ticker: GLO), a comprehensive resource for investors and traders seeking official regulatory documents including 10-K annual reports, 10-Q quarterly earnings, 8-K material events, and insider trading forms.
Clough Global Opportunities Fund’s managed distribution may be attractive, but decoding the footnotes that explain N-CSR leverage limits, swap exposure, and return-of-capital sources is no small task. Investors often ask, “Where do I see Clough Global Opportunities Fund insider trading Form 4 transactions?” or “How can I read the fund’s quarterly earnings report 10-Q filing equivalent without poring over 200 pages?”
Stock Titan removes that friction. Our AI pinpoints the exact section detailing dividend funding, flags derivative positions, and converts dense accounting language into plain English explanations. Whether you need Clough Global Opportunities Fund Form 4 insider transactions real-time, an alert the moment an 8-K material event posts, or a summary that makes Clough Global Opportunities Fund SEC filings explained simply, you’ll find it here—updated the second EDGAR releases a document.
Every filing type is covered:
- N-CSR annual report—our “Clough Global Opportunities Fund annual report 10-K simplified” view highlights NAV trends and distribution sources.
- N-PORT & N-PX—drill into portfolio holdings without spreadsheet gymnastics.
- DEF 14A proxy statement—quickly check Clough Global Opportunities Fund proxy statement executive compensation details.
- Form 4—follow Clough Global Opportunities Fund executive stock transactions Form 4 with instant alerts.
- 8-K—material events explained, or as users search: “Clough Global Opportunities Fund 8-K material events explained.”
Use cases professionals rely on:
- Monitor insider activity before distribution announcements.
- Compare leverage ratios quarter over quarter with AI-generated charts—our Clough Global Opportunities Fund earnings report filing analysis.
- Understand complex derivatives disclosures through “understanding Clough Global Opportunities Fund SEC documents with AI” guides.
Complex fund disclosures no longer require hours of manual review—Stock Titan’s AI turns filings into actionable insights in minutes.
FAQ
What is the current stock price of Clough Global Opportunities (GLO)?
The current stock price of Clough Global Opportunities (GLO) is $5.4 as of June 28, 2025.
What is the market cap of Clough Global Opportunities (GLO)?
The market cap of Clough Global Opportunities (GLO) is approximately 225.4M.
What is the primary investment objective of Clough Global Opportunities Fund?
The fund seeks to provide a high level of total return by investing in a diversified mix of equity, derivative, and fixed-income securities, driven by fundamental research.
How does the fund generate its returns?
Returns are generated through capital appreciation, net investment income, and realized gains from strategic investments in both domestic and international markets.
What makes Clough Global Opportunities Fund different from other investment vehicles?
Its distinctive approach lies in combining a research-driven investment process with a managed distribution policy, offering diversified exposure across multiple asset classes and regions.
What does the term 'closed-end fund' mean in the context of GLO?
As a closed-end fund, GLO does not issue additional shares on a continuous basis. Instead, its shares trade on the secondary market where prices fluctuate based on supply and demand.
How does the fund manage investment risk?
The fund employs diversification across equity and fixed-income sectors and leverages global research insights to conduct rigorous due diligence, helping to mitigate market volatility and credit risks.
What is the role of Clough Capital Partners L.P. in the fund’s strategy?
Clough Capital Partners L.P. provides the fundamental research and global market analysis that underpins the fund’s investment decisions, enabling it to source opportunities internationally.
How are distributions determined for investors?
Distributions are derived from multiple sources including current and prior net investment income, realized capital gains, and return of capital, all managed under a disciplined distribution policy.
How should investors interpret the fund's distribution sources?
Investors should note that distributions may come from a mix of income and capital gains, with part of the distribution sometimes representing a return of capital, and these are clearly disclosed for transparency.