Clough Global Opportunities Fund — Cyborg Score 7/10

Solid
Asset Management - Closed-End Funds

Strategic Profile

The fund employs a combination of fundamental and quantitative analysis with bottom-up stock picking approach to create its portfolio. The fund is flexibly managed so that, depending on the investment adviser's outlook, it sometimes will be more heavily invested in equity securities or in debt or fixed income securities. As of January 8, 2026, the fund increased its distribution by 7.2% to $0.0537 per share.

Cyborg Score Rationale

GLO demonstrates solid fundamentals as an established closed-end fund with disciplined research-driven management and diversified global exposure across equities and fixed income. The fund maintains an attractive distribution yield of 10.74% (as of February 4, 2026) and recently increased distributions in January 2026, indicating confidence in its portfolio performance. However, the fund trades at a 10.45% discount to NAV, reflecting investor caution in current market conditions.

Top Insights

  • Portfolio includes common stocks, preferred stocks, corporate bonds, convertible corporate bonds, and asset-backed securities across diversified sectors including consumer discretionary, energy, financials, healthcare, industrials, information technology, real estate, and communications services.
  • The fund holds investments in various countries, including the United States, China, France, Germany, Switzerland, Canada, and Hong Kong.
  • Distribution increased 7.2% to $0.0537 per share in January 2026.
  • As of February 4, 2026, NAV was $6.70 with market price of $6.00, reflecting a 10.45% discount to NAV and 10.74% distribution yield.

Named Competitors

  • Closed-End Global Equity Funds — Competing multi-asset closed-end funds with global exposure
  • Multi-Asset Mutual Funds — Open-end balanced funds with global allocation strategies

Recent Developments

  • (January 2026) Distribution increased 7.2% to $0.0537 per share
  • (February 2026) NAV recorded at $6.70 with 10.74% distribution yield

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