Today, the Board of Trustees for the Clough Global Dividend and Income Fund has declared a monthly cash distribution of $0.0906 per common share, payable on the dates noted below. The Fund's managed distribution policy is to set the monthly distribution rate at an amount equal to one twelfth of 10% of the Fund's adjusted year-end net asset value per share ("NAV"), which will be the average of the NAVs as of the last five business days of the prior calendar year. The following dates apply to the distributions declared: Ex-Date: July 18, 2022, Record Date: July 19, 2022 and Payable Date: July 29, 2022; Ex-Date: August 18, 2022, Record Date: August 19, 2022 and Payable Date: August 31, 2022: Ex-Date: September 19, 2022, Record Date: September 20, 2022 and Payable Date: September 30, 2022.