The Board of Directors of Lazard Global Total Return and Income Fund,
Inc. (the “Fund”) (NYSE:LGI) has authorized the Fund to declare
today, pursuant to a level distribution policy, a monthly distribution
of $0.09282 per share on the Fund’s outstanding common stock. The
distribution is payable on November 23, 2015 to shareholders of record
on November 10, 2015. The ex-dividend date is November 6, 2015.
Portfolio data as of September 30, 2015, including performance, asset
allocation, top 10 holdings, sector weightings, regional exposure, and
other Fund characteristics have been posted on Lazard Asset Management’s
(“LAM”) website, www.LazardNet.com.
Additionally, any notices required by Section 19(a) of the Investment
Company Act of 1940, as amended, which provide information regarding the
respective estimated amounts of each monthly distribution derived from
net investment income, net realized capital gains (short- and long-term)
and return of capital, will also be available on www.LazardNet.com.
The Fund’s objective is total return consisting of capital appreciation
and current income. The Fund seeks to achieve its objective by primarily
investing in a portfolio of approximately 35 to 45 equity securities
with a market capitalization of at least $5 billion at the time of
purchase that are domiciled in those countries that comprise the MSCI
World Index. The Fund seeks enhanced income by investing in short
duration (typically less than one year) emerging market forward currency
contracts and other emerging market debt instruments.
An indirect subsidiary of Lazard Ltd (NYSE:LAZ), LAM, the Fund’s
investment manager, offers a range of equity, fixed-income, and
alternative investment products worldwide. As of June 30, 2015, LAM and
affiliated asset management companies in the Lazard Group managed $203
billion worth of client assets. For more information about LAM, please
go to www.LazardNet.com.
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