Lazard Global Total Return and Income Fund Inc announces dividend of $0.1464
Dividend Declaration: Lazard Global Total Return and Income Fund Inc (LGI) has declared a monthly dividend of $0.1464 per share.
Yield Information: The forward yield for the fund is reported at 10.02%.
Payment Details: The dividend will be payable on September 22, with shareholders of record as of September 11, and an ex-dividend date also on September 11.
Fund Insights: LGI is highlighted as a tax-efficient income fund suitable for retirees and is considered a safer investment compared to equity indices.
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- Monthly Distribution Confirmation: Lazard Global Total Return and Income Fund confirms a monthly distribution of $0.15340 per share, payable on June 23, 2026, demonstrating the fund's ongoing cash flow capability and commitment to shareholders.
- Distribution Source Analysis: The current distribution comprises net investment income (38%), short-term capital gains (3%), long-term capital gains (38%), and return of capital (21%), indicating a robust strategy in diversifying revenue sources for the fund.
- Annual Return Performance: As of April 30, 2026, the fund's average annual total return over five years stands at 5.76%, with an annualized current distribution rate of 10.30%, showcasing the fund's ability to provide stable income.
- Asset Management Scale: As of April 30, 2026, Lazard Asset Management manages client assets totaling $275.4 billion, reflecting its strong influence and market position in the global investment management sector.
- Distribution Confirmation: Lazard Global Total Return and Income Fund confirms a monthly distribution of $0.15340 per share, payable on June 23, 2026, indicating the fund's ongoing cash flow and stable income generation capabilities.
- Distribution Source Analysis: The current distribution comprises net investment income, short-term and long-term capital gains, and return of capital, with net investment income accounting for 38%, showcasing the fund's diversified strategy in income generation.
- Annual Return Rate: As of April 30, 2026, the fund's annualized total return stands at 5.76%, reflecting effective management in capital appreciation and current income, thereby enhancing investor confidence.
- Asset Management Scale: As of April 30, 2026, Lazard Asset Management manages client assets totaling $275.4 billion, underscoring its strong position and market influence in the global asset management sector.
- Monthly Distribution Confirmation: Lazard Global Total Return and Income Fund confirms a monthly distribution of $0.15340 per share, payable on May 22, 2026, to shareholders of record on May 11, indicating the fund's ongoing cash flow management capabilities.
- Distribution Source Analysis: The current distribution comprises net investment income, short-term and long-term capital gains, and return of capital, with return of capital accounting for 70.97%, suggesting pressure on investment returns that may impact future distribution policies.
- Annual Return Data: As of March 31, 2026, the fund's annualized current distribution rate stands at 11.03%, while cumulative total return is at -6.86%, reflecting negative market volatility's impact on fund performance, necessitating cautious risk assessment by investors.
- Asset Management Scale: As of March 31, 2026, Lazard Asset Management manages client assets totaling $259.2 billion, showcasing its strong position and capabilities in the global asset management sector.
- Monthly Distribution Confirmation: Lazard Global Total Return and Income Fund confirms a monthly distribution of $0.15340 per share, payable on April 22, 2026, demonstrating the fund's ongoing cash flow capability and commitment to shareholders.
- Distribution Source Analysis: The distribution comprises net investment income, short-term and long-term capital gains, and return of capital, with a significant 72% sourced from capital return, indicating pressure on investment returns and reliance on capital.
- Annual Return Performance: As of February 28, 2026, the fund's average annual total return over five years stands at 8.12%, while the annualized current distribution rate is 9.85%, showcasing the fund's competitiveness and attractiveness in yield distribution.
- Asset Management Scale: As of February 28, 2026, Lazard Asset Management manages client assets totaling $277.7 billion, underscoring its strong position and influence in the global asset management market.
- Monthly Distribution Confirmation: Lazard Global Total Return and Income Fund confirms a monthly distribution of $0.15340 per share, payable on April 22, 2026, indicating the fund's ongoing cash flow and stable income distribution strategy.
- Distribution Source Analysis: The current distribution is comprised of 72% return of capital, suggesting pressure on investment income, which may affect investor expectations regarding future earnings.
- Annual Return Rate: As of February 28, 2026, the fund's annualized total return stands at 8.12%, demonstrating relative competitiveness in the market, although the diversity of distribution sources may raise concerns among investors.
- Asset Management Scale: As of February 28, 2026, Lazard Asset Management manages a total of $277.7 billion in client assets, reflecting its strong position and market influence in the global asset management sector.

Monthly Distribution Announcement: Lazaard Global Total Return and Income Fund has declared its monthly distribution for February.
Estimated Sources of Distribution: The announcement includes details on the estimated sources of the distribution.









