0001193125-13-349605.txt : 20130828 0001193125-13-349605.hdr.sgml : 20130828 20130828113009 ACCESSION NUMBER: 0001193125-13-349605 CONFORMED SUBMISSION TYPE: N-CSRS PUBLIC DOCUMENT COUNT: 15 CONFORMED PERIOD OF REPORT: 20130630 FILED AS OF DATE: 20130828 DATE AS OF CHANGE: 20130828 EFFECTIVENESS DATE: 20130828 FILER: COMPANY DATA: COMPANY CONFORMED NAME: CBRE CLARION GLOBAL REAL ESTATE INCOME FUND CENTRAL INDEX KEY: 0001268884 IRS NUMBER: 000000000 STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: N-CSRS SEC ACT: 1940 Act SEC FILE NUMBER: 811-21465 FILM NUMBER: 131064829 BUSINESS ADDRESS: STREET 1: 201 KING OF PRUSSIA ROAD CITY: RADNOR STATE: PA ZIP: 19087 BUSINESS PHONE: 6109952500 MAIL ADDRESS: STREET 1: 201 KING OF PRUSSIA ROAD CITY: RADNOR STATE: PA ZIP: 19087 FORMER COMPANY: FORMER CONFORMED NAME: ING CLARION GLOBAL REAL ESTATE INCOME FUND DATE OF NAME CHANGE: 20031106 FORMER COMPANY: FORMER CONFORMED NAME: ING CLARION GLOBAL REAL ESTATE INCOME FUND DATE OF NAME CHANGE: 20031103 N-CSRS 1 d578805dncsrs.htm N-CSRS N-CSRS
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UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

 

 

FORM N-CSR

 

 

CERTIFIED SHAREHOLDER REPORT OF REGISTERED

MANAGEMENT INVESTMENT COMPANIES

Investment Company Act file number 811-21465

 

 

CBRE Clarion Global Real Estate Income Fund

(Exact name of registrant as specified in charter)

 

 

201 King of Prussia Road, Suite 600 Radnor, PA 19087

(Address of principal executive offices) (Zip code)

 

 

T. Ritson Ferguson, President and Chief Executive Officer

CBRE Clarion Global Real Estate Income Fund

201 King of Prussia Road, Suite 600

Radnor, PA 19087

(Name and address of agent for service)

 

 

Registrant’s telephone number, including area code: 1-888-711-4272

Date of fiscal year end: December 31

Date of reporting period: June 30, 2013

 

 

Form N-CSR is to be used by management investment companies to file reports with the Commission not later than 10 days after the transmission to stockholders of any report that is required to be transmitted to stockholders under Rule 30e-1 under the Investment Company Act of 1940 (17 CFR 270.30e-1). The Commission may use the information provided on Form N-CSR in its regulatory, disclosure review, inspection, and policymaking roles.

A registrant is required to disclose the information specified by Form N-CSR, and the Commission will make this information public. A registrant is not required to respond to the collection of information contained in Form N-CSR unless the Form displays a currently valid Office of Management and Budget (“OMB”) control number. Please direct comments concerning the accuracy of the information collection burden estimate and any suggestions for reducing the burden to Secretary, Securities and Exchange Commission, 450 Fifth Street, NW, Washington, DC 20549-0609. The OMB has reviewed this collection of information under the clearance requirements of 44 U.S.C. § 3507.

 

 

 


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Item 1. Report(s) to Stockholders.

The semi-annual Report of CBRE Clarion Global Real Estate Income Fund (the “Trust”) transmitted to shareholders pursuant to Rule 30e-1 under the Investment Company Act of 1940 is as follows:


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LOGO

CBRE CLARION GLOBAL REAL ESTATE

INCOME FUND

Semi-Annual Report for the Six Months Ended June 30, 2013

 

LOGO

 


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CBRE Clarion Global Real Estate Income Fund (the “Trust”), acting in accordance with an exemptive order received from the Securities and Exchange Commission (“SEC”) and with approval of its Board of Trustees (the “Board”), has adopted a managed distribution policy (the “Policy”) with the purpose of distributing over the course of each year, through periodic distributions as nearly equal as practicable and any required special distributions, an amount closely approximating the total taxable income of the Trust during such year and all of the returns of capital paid by portfolio companies to the Trust during such year. In accordance with its Policy, the Trust distributes a fixed amount per common share, currently $0.045, each month to its common shareholders. This amount is subject to change from time to time in the discretion of the Board. Although the level of distributions is independent of fund performance, the Trust expects such distributions to correlate with its performance over time. Each monthly distribution to shareholders is expected to be at the fixed amount established by the Board, except for extraordinary distributions and potential increases or decreases in the final dividend periods for each year in light of the Trust’s performance for the entire calendar year and to enable the Trust to comply with the distribution requirements imposed by the Internal Revenue Code. Over time, the Trust expects that the distribution rate in relation to the Trust’s Net Asset Value (“NAV”) will approximately equal the Trust’s total return on NAV.

The fixed amount of distributions will be reviewed and amended as necessary by the Board at regular intervals with consideration of the level of investment income and realized gains. The Board strives to establish a level regular distribution that will meet the Trust’s requirement to pay out all taxable income (including amounts representing return of capital paid by portfolio companies) with a minimum of special distributions. The Trust’s total return in relation to changes in NAV is presented in the financial highlights table. Shareholders should not draw any conclusions about the Trust’s investment performance from the amount of the current distribution or from the terms of the Trust’s managed distribution policy. The Board may amend or terminate the managed distribution policy without prior notice to Trust shareholders.

Shareholders should note that the Trust’s Policy is subject to change or termination as a result of many factors. The Trust is subject to risks through ownership of its portfolio company holdings including, but not limited to, declines in the value of real estate held by the portfolio company, risks related to general and local economic conditions, and portfolio company losses. Moreover, an economic downturn could have a material adverse effect on the real estate markets and on real estate companies in which the Trust invests, which in turn could result in the Trust not achieving its investment or distribution objectives thereby jeopardizing the continuance of the Policy. Please refer to the prospectus for a fuller description of the Trust’s risks.


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CBRE CLARION GLOBAL REAL ESTATE INCOME FUND SEMI-ANNUAL REPORT 2013 (unaudited)

 

Letter to Shareholders

     2   

Portfolio of Investments

     7   

Financial Statements

     9   

Notes to Financial Statements

     14   

Supplemental Information

     20   

 

Investors should consider a fund’s investment objectives, risks, charges and expenses carefully before investing. A copy of the prospectus that contains this and other information about the Fund may be obtained by calling 888-711-4272. Please read the prospectus carefully before investing. Investing in closed-end funds involves risk, including possible loss of principal. Past performance does not guarantee future results.

Real Estate investments are subject to changes in economic conditions, credit risk, and interest rate fluctuations. International investments may involve risk of capital loss from unfavorable fluctuation in currency values, from differences in generally accepted accounting principles or from economic or political instability in other nations. Because real estate funds concentrate their investments in the real estate industry, the portfolio may experience more volatility and be exposed to greater risk than the portfolios of other funds.

Closed-end funds are traded on the secondary market through one of the stock exchanges. The Fund’s investment return and principal value will fluctuate so that an investor’s shares may be worth more or less than the original cost. Shares of closed-end funds may trade above (a premium) or below (a discount) the net asset value (NAV) of the fund’s portfolio. There is no assurance that the Fund will achieve its investment objective.

 

SEMI-ANNUAL REPORT 2013   1


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Letter to Shareholders

 

LOGO

T. Ritson Ferguson

 

LOGO

Steven D. Burton

Dear Shareholder:

We are pleased to present the 2013 Semi-Annual Report for the CBRE Clarion Global Real Estate Income Fund (the “Trust”).

Performance Review

Global real estate stocks, as measured by the S&P Developed Property Index (S&PDPI) (1), delivered positive returns during the first half of the year. Performance was particularly strong during the first quarter (+7.0%) as encouraging economic news, further evidence of stable to improving real estate fundamentals, and accommodative central bank monetary policies around the globe provided a healthy context for property share performance. However, property shares retreated during the second quarter of 2013 as mixed economic results and news outlining the U.S. Federal Reserve’s intention to begin scaling back its quantitative easing program weighed on global markets. Despite the resulting pullback, year-to-date results remain in positive territory through June.

During the first six months of 2013, the S&PDPI rose 3.1% and the MSCI REIT Preferred Index (MSRPI) (2) rose 0.8%. The Trust’s Net Asset Value Return (“NAV Return” i.e., NAV gain plus dividends) was 1.6%, which was modestly behind the 2.7% return of a blended index comprised of 80% S&PDPI and 20% MSRPI (3). The Trust’s market price return of 4.8% (i.e., stock price appreciation plus reinvested dividends) exceeded the NAV Return due to the narrowing of the discount of the Trust’s share price to NAV from 6.5% at year-end to 3.7% at June 30, 2013. Despite strong relative performance of the securities owned in most regions (including preferred stocks), NAV performance was negatively impacted by the Trust’s relatively small exposure to Japan (just 4% of the portfolio), which had the best performance in the first half of the year (+15%), and its relatively large weightings to Canada (10%) and Australia (14%), two markets which experienced declines in property stocks (-5% and -10%, respectively) in the first 6 months of 2013. The Trust continues to employ minimal leverage in an effort to reduce volatility. Leverage stood at just under 5% at the end of the period.

The Trust paid total dividends of $0.27 per share for the first six months of 2013, consisting of six regular monthly dividends of $0.045 per share. The annualized dividend of $0.54 per share represents a 6.0% yield on the $9.02 share price and a 5.8% yield on the $9.37 NAV as of June 30.

Based on income, realized gains, and expected returns for global property company stocks for the balance of this year, the Board has thus far seen fit to maintain the Trust’s monthly dividend at the current monthly rate of $0.045 per share. The Trust’s dividend is established by the Board at regular intervals with consideration of the portfolio’s level of investment income and potential capital appreciation, as well as prevailing market conditions. The Board strives to establish a level monthly dividend that, by the end of each year, will satisfy the requirement (under applicable tax regulations) to distribute all income and realized gains, with a minimum of special distributions. The Board continues to review the sustainability of the Trust’s regular monthly dividend in light of the current market environment and the dividends that have been paid out over the life of the Trust (which amount to $12.50 per share since inception in 2004).

 
(1) The S&P Developed Property Index is an unmanaged market-weighted total return index which consists of over 350 real estate companies from 22 developed markets with a free float total market capitalization of at least U.S. $100 million that derive more than 60% of their revenue from real estate development, management, rental and/or direct investment in physical property.

 

(2) The MSCI REIT Preferred Index is a preferred stock market capitalization weighted index of all exchange traded preferred securities of equity REITs.

 

(3) We include the return of this “blended index” as a reference point, since the Trust invests in both common and preferred stocks issued by listed property companies. The Trust does not have a formal performance benchmark.

 

2    CBRE CLARION GLOBAL REAL ESTATE INCOME FUND


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Portfolio Review

The Trust’s investments remain well-diversified by property type and geography as shown in the charts below. The geographic mix of the portfolio experienced modest changes over the past 6 months. At June 30, the Trust’s portfolio was 48% invested in common stock within the Americas region, 14% in Europe, 28% in Asia-Pacific, with 10% invested in preferred stock of US real estate companies. The Trust’s preferred stock weighting dropped by about 2% during the period, continuing the trend of the last two years. Since the start of the year, exposure to U.S. common stocks (+2%), Europe/UK (+2%) and Japan has been increased. Conversely, exposure to Canada and Australia has been reduced, although both remain important parts of the overall portfolio. By property type, the Trust continues to favor retail properties, particularly top-quality malls (because we believe such properties generate enduring and growing cash flows during most economic cycles). A number of the Trust’s investments in owners of high-quality properties in the Asia-Pacific region show up under the “diversified” property type because of the tendency for companies in that region to own a mix of high quality office, retail and residential properties. The Trust also has meaningful positions in the industrial, apartment and office sectors, which stand to benefit from the acceleration in economic activity we expect, particularly in the U.S.

 

Geographic Diversification

     Sector Diversification
LOGO      LOGO

Source CBRE Clarion. Geographic and Sector diversification are unaudited. Percentages presented are based on managed trust assets, which includes borrowings. The percentages in the pie charts will differ from those on the Portfolio of Investments because the figures on the Portfolio of Investments are calculated using net assets of the Trust.

Market Commentary

After a strong start to the year, equities, including global property stocks, declined during the second quarter. The triggering event for the pull-back in stocks (and bonds) seemed to be public comments made by U.S. Federal Reserve Bank Chairman Ben Bernanke in May describing the criteria that the “Fed” would use to scale back its quantitative easing program in response to encouraging economic trends potentially as early as this Fall. This news had an unsettling effect on the world’s financial markets, as bond yields moved sharply higher in response to Mr. Bernanke’s comments. Yields on 10-year sovereign bonds in major global markets were generally 0.6-0.7% higher by the end of June compared to the levels prior to Mr. Bernanke’s comments. However, in late June, equity prices rebounded as investors appeared to become more comfortable with the balance between the state of economic recovery and Fed policy. For the first half of the year, performance of global property stocks was strongest in Japan (+15.2%) and the U.S. (+6.7%). Performance was weakest in Canada (-9.2%) and Asia-Pacific ex-Japan, including Singapore (-7.8%), Hong Kong (-7.7%) and Australia (-4.9%). Property stocks in Europe were modest underperformers in the first half of 2013 including Continental Europe (-2.4%) and the U.K. (+1.9%). Currency movements tempered returns on the Trust’s international investments, as the U.S. dollar generally strengthened versus most other major currencies.

Real estate companies can perform well in the face of rising rates. A short-term move higher in interest rates can cause stock prices to fall, but history suggests that property company shares ultimately benefit from the underlying forces that often cause interest rates to move higher, namely positive economic growth. In the table below, we have identified five periods during which U.S. interest rates rose unexpectedly causing a market correction for U.S. REITs of (approximately) 10% or more (measured by the FTSE NAREIT Equity Index). In each of these periods, which varied from 2 weeks to 5 months, the U.S. REIT market fell and underperformed the broader U.S. equity market (measured by the S&P 500 Index). However, in the period (6 months to a year) following each U.S. REIT market correction, U.S. REIT returns rebounded strongly and generally outperformed the broader U.S. equity market.

 

SEMI-ANNUAL REPORT 2013   3


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U.S. REIT Returns During and After Periods of Rising Interest Rates

 

LOGO

1 FTSE NAREIT Equity REIT Index

Source: FactSet, S&P 500 Index and FTSE NAREIT Equity Index as of 06/30/2013. An index is unmanaged and not available for direct investment. Past performance is no guarantee of future results.

A steepening yield curve, such as we are seeing now, has been historically positive for listed property company performance over time, since this shift reflects the expectation of improving economic conditions which are ultimately good for commercial property fundamentals and listed property company returns.

We remain in a world of slowly improving economic growth. Global economic growth prospects are about where they were a year ago for 2013 and 2014: at 2.2% and 2.9%, respectively. Economic growth in the important U.S. market is projected at 2.2% for 2013, accelerating to 3.4% in 2014. Recent employment releases have been increasingly encouraging. Projections for economic growth in Japan have also ticked higher on the back of aggressive fiscal and monetary stimulus and talk of structural economic reform being encouraged by Prime Minister Shinzo Abe’s domestic economic renaissance plan. Despite the Fed’s recent “tapering” comments, central banks globally have generally maintained extremely accommodative monetary policy during the year with policy rates at or near zero for most major countries. This has generally supported an outlook for stable to rising equity markets.

Earnings growth projections remain in the 6-7% range. Real estate cash flows are notable for their durability, owing to the contractual nature of longer-term leases. Real estate cash flows continue to grow with a high degree of visibility. Our latest earnings projections for 2013 indicate a weighted average growth rate of cash flow per share in the 6-7% range. The bulk of the projected growth is from “internal” sources (i.e., generated by companies’ existing portfolios), although there are increasing opportunities for companies to bolster earnings growth “externally” through accretive acquisitions and capital recycling activities. Commercial property sales transaction volumes have recovered from the lows of the global financial crisis in 2008, but are still well below the peak volumes of 2006-2007. According to data provided by Real Capital Analytics, global transaction volume has been approximately $800 billion in each of 2011 and 2012. The U.S. is an important component of the global numbers and is emblematic of global trends. Commercial property transaction volumes in the U.S. reached approximately $285 billion in 2012, over twice the volume from 2010, and transaction volumes continue to be elevated in 2013. Listed property companies have been active participants in this the transactions market, as both sellers and buyers. On the buy side, listed property companies have been able to successfully access attractively priced capital to fund acquisitions. We have revised our earnings growth estimates for 2014 upward slightly to 7.5% (global weighted average growth rate of cash flow per share), reflecting a more optimistic growth outlook for the next 12-18 months considering companies’ internal and external growth prospects.

Property companies continue to offer attractive yields and growing dividends. The weighted average global yield for property stocks is 3.6% (with yields over 5% in Canada, Australia and Continental Europe). We project that dividends will continue to grow by approximately 7% in both 2013 and 2014, driven by a combination of improving company cash flows and an expansion of dividend pay-out policies, which remain conservative. Dividend increases among U.S. REITs remain particularly strong, with over 105 dividend increases observed in 2012.

 

4    CBRE CLARION GLOBAL REAL ESTATE INCOME FUND


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Indicated Dividend Yields by Country

 

LOGO

Source: CBRE Clarion as of 06/30/2013. Not all countries included.

Dividend yields fluctuate and are not necessarily indicative of present or future investment performance. Information is subject to change and should not be construed as investment advice. Past performance is no guarantee of future results.

Valuations are attractive. Listed property companies are trading, on average, at a 9% discount to our estimates of the companies’ underlying real estate net asset values (NAV). Despite the modest positive performance of real estate stocks in the first half of the year, we do not believe the price to NAV relationship has changed much. NAVs have been stable or rising, supporting our contention that real estate shares are not overvalued. Our current valuations indicate implied unleveraged cash flow yields (i.e., cap rates) of just under 6%, although implied cap rates vary by country as shown in the table below. The implied cap rates remain attractive compared to the cost of capital and relevant private market property cap rates in today’s interest rate environment, even taking into account recent increases in longer-term interest rates.

NAV Premium/Discount by Region

 

LOGO

 

SEMI-ANNUAL REPORT 2013   5


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We continue to believe that global property stocks offer investors an attractive investment option, with an attractive and growing dividend and appreciation potential from increasing earnings derived from improving economic and commercial property conditions.

We appreciate your continued faith and confidence.

Sincerely,

CBRE CLARION SECURITIES LLC

 

LOGO

  LOGO
T. Ritson Ferguson, CFA   Steven D. Burton, CFA
President & CEO   Co-Portfolio Manager
Co-Portfolio Manager  

The views expressed represent the opinion of CBRE Clarion Securities which are subject to change and are not intended as a forecast or guarantee of future results. This material is for informational purposes only. It does not constitute investment advice and is not intended as an endorsement of any specific investment. Stated information is derived from proprietary and non-proprietary sources which have not been independently verified for accuracy or completeness. While CBRE Clarion Securities believes the information to be accurate and reliable, we do not claim or have responsibility for its completeness, accuracy, or reliability. Statements of future expectations, estimate, projections, and other forward-looking statements are based on available information and management’s view as of the time of these statements. Accordingly, such statements are inherently speculative as they are based on assumptions which may involve known and unknown risks and uncertainties. The securities discussed herein should not be perceived as a recommendation to purchase or sell any particular security. It should not be assumed that investments in any of the securities discussed were or will be profitable. Actual results, performance or events may differ materially from those expressed or implied in such statements. Investing in real estate securities involves risks including the potential loss of principal. Real estate equities are subject to risks similar to those associated with the direct ownership of real estate. Portfolios concentrated in real estate securities may experience price volatility and other risks associated with non-diversification. While equities may offer the potential for greater long-term growth than most debt securities, they generally have higher volatility. International investments may involve risk of capital loss from unfavorable fluctuation in currency values, from differences in generally accepted accounting principles, or from economic or political instability in other nations. Past performance is no guarantee of future results.

 

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Portfolio of Investments (unaudited)

 

June 30, 2013

 

Shares                  Market
Value ($)
 
    Real Estate Securities* – 105.0%    
    Common Stock – 94.8%    
    Australia – 14.3%    
  5,453,037        CFS Retail Property Trust Group     $ 9,982,877  
  2,776,835        Charter Hall Retail Real Estate Investment Trust       9,684,169  
  38,529,000        Dexus Property Group       37,736,256  
  1,410,723        Goodman Group       6,301,572  
  4,469,500        GPT Group       15,710,046  
  4,102,827        Westfield Group       42,963,191  
  11,784,262        Westfield Retail Trust       33,438,854  
          155,816,965  
             
    Canada – 10.1%    
  200,100        Calloway Real Estate Investment Trust       4,876,602  
  500,000        Crombie Real Estate Investment Trust (a)       6,493,199  
  1,856,000        H&R Real Estate Investment Trust       38,775,525  
  2,082,900        InnVest Real Estate Investment Trust       8,351,739  
  440,000        InnVest Real Estate Investment Trust (a)       1,764,254   
  2,078,800        RioCan Real Estate Investment Trust       49,795,038  
          110,056,357  
             
    France – 6.2%    
  65,700        Altarea       10,675,012  
  351,122        Societe de la Tour Eiffel       20,679,740  
  158,851        Unibail-Rodamco SE       36,960,340  
          68,315,092  
             
    Germany – 0.9%    
  247,161        GSW Immobilien AG       9,549,811  
    Hong Kong – 4.0%    
  8,913,000        Link REIT (The)       43,839,042  
    Japan – 4.6%    
  840        Activia Properties, Inc.       6,604,319  
  620        Frontier Real Estate Investment Corp.       5,679,770  
  12,852        Japan Retail Fund Investment Corp.       26,807,615  
  189,800        Mitsui Fudosan Co., Ltd.       5,573,530  
  139,400        Sumitomo Realty & Development Co., Ltd.       5,550,179  
          50,215,413  
             
    Netherlands – 3.2%    
  218,455        Corio NV       8,679,194  
  403,885        Eurocommercial Properties NV       14,804,707  
  277,161        Vastned       11,341,221  
          34,825,122  
             
Shares                  Market
Value ($)
 
    New Zealand – 0.7%    
  9,050,000        Goodman Property Trust     $ 7,198,992  
    Singapore – 5.9%    
  6,735,000        Ascendas Real Estate Investment Trust       11,841,875  
  16,748,000        CapitaMall Trust       26,344,130  
  6,761,600        Global Logistic Properties Ltd.       14,660,885  
  7,804,400        Mapletree Greater China Commercial Trust (b)       5,814,995  
  4,757,000        Suntec Real Estate Investment Trust       5,907,336  
          64,569,221  
             
    United Kingdom – 4.4%    
  2,339,300        Land Securities Group Plc       31,364,472  
  4,045,110        Segro Plc       17,129,534  
          48,494,006  
             
    United States – 40.5%    
  979,167        American Homes 4 Rent (a)(b)(c)       14,883,338  
  995,353        Brandywine Realty Trust       13,457,173  
  826,200        Camden Property Trust       57,123,468  
  666,632        CBL & Associates Properties, Inc.       14,279,257  
  327,769        General Growth Properties, Inc.       6,512,770  
  343,515        Health Care REIT, Inc.       23,025,811  
  748,600        Highwoods Properties, Inc.       26,657,646  
  1,633,200        Liberty Property Trust       60,363,072  
  1,183,385        Macerich Co. (The)       72,150,983  
  1,847,070        OMEGA Healthcare Investors, Inc.       57,296,111  
  464,731        ProLogis, Inc.       17,529,653  
  100,000        Regency Centers Corp.       5,081,000  
  1,040,500        Retail Properties of America, Inc., Class A       14,858,340  
  44,219        Simon Property Group, Inc.       6,983,065  
  789,000        Spirit Realty Capital, Inc.       13,981,080  
  1,341,534        UDR, Inc.       34,195,702  
  63,760        Ventas, Inc.       4,428,770  
                  442,807,239  
    Total Common Stock    
          (cost $838,717,292)       1,035,687,260  
 

 

See notes to financial statements.

 

SEMI-ANNUAL REPORT 2013   7


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Portfolio of Investments concluded

 

Shares                  Market
Value ($)
 
    Preferred Stock – 10.2%    
    United States – 10.2%    
  100,000        CBL & Associates Properties, Inc., Series D     $ 2,530,000  
  320,000        Digital Realty Trust, Inc., Series E       8,192,000  
  1,050,000        EPR Properties, Series F       25,830,000  
  444,300        General Growth Properties, Inc., Series A       10,298,874  
  319,479        Glimcher Realty Trust, Series G       8,006,144  
  150,000        iStar Financial, Inc., Series F       3,610,500  
  765,000        iStar Financial, Inc., Series I       17,770,950  
  192,468        LaSalle Hotel Properties, Series G       4,780,905  
  400,000        LaSalle Hotel Properties, Series I       9,188,000  
  268,000        Pebblebrook Hotel Trust, Series A       6,925,120  
  272,000        Pennsylvania Real Estate Investment Trust, Series B       6,965,920  
  280,000        Urstadt Biddle Properties, Inc., Series F       7,249,200  
          Total Preferred Stock
(cost $105,249,400)
      111,347,613  
          Total Investments – 105.0%
(cost $943,966,692)
      1,147,034,873  
          Liabilities in Excess of Other Assets – (5.0)%       (54,574,896 )
          Net Assets – 100.0%     $ 1,092,459,977  
* Include U.S. Real Estate Investment Trusts (“REIT”) and Real Estate Operating Companies (“REOC”) as well as entities similarly formed under the laws of non-U.S. Countries.

 

(a) Securities are exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions that are exempt from registration, normally to qualified institutional buyers. At June 30, 2013, the securities amounted to $23,140,791 or 2.1% of net assets.

 

(b) Non-income producing security.

 

(c) Fair valued pursuant to guidelines approved by the Board.
 

 

8    CBRE CLARION GLOBAL REAL ESTATE INCOME FUND

See notes to financial statements.

 


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Statement of Assets and Liabilities (unaudited)

 

         June 30, 2013  

Assets

   

Investments, at value (cost $943,966,692)

      $1,147,034,873   

Cash and cash equivalents (including foreign currency of $1,070,181
with a cost of $1,071,347)

      3,530,145   

Unrealized appreciation on spot contracts

      874   

Receivable for investment securities sold

      36,843,540   

Dividends and interest receivable

      6,564,472   

Dividend withholding reclaims receivable

      85,741   

Other assets

      91,543   

Total Assets

      1,194,151,188   

Liabilities

   

Payable for investment securities purchased

      100,522,326   

Unrealized depreciation on spot contracts

      21,907   

Management fee payable

      774,245   

Accrued expenses

      372,733   

Total Liabilities

      101,691,211   

Net Assets

      $1,092,459,977   

Composition of Net Assets

   

$0.001 par value per share;
unlimited number of shares authorized,
116,590,494 shares issued and outstanding

      $116,590   

Additional paid-in capital

      1,363,136,178   

Distributions in excess of net investment income

      (90,965,734

Accumulated net realized loss on investments, written options, swap contracts and foreign currency transactions

      (382,813,132

Net unrealized appreciation on investments, written options and foreign currency denominated assets and liabilities

      202,986,075   

Net Assets

      $1,092,459,977   

Net Asset Value
(based on 116,590,494 shares outstanding)

      $9.37   

 

See notes to financial statements.

 

SEMI-ANNUAL REPORT 2013   9


Table of Contents

Statement of Operations (unaudited)

 

         For the
Six Months Ended
June 30, 2013
 

Investment Income

   

Dividends (net of foreign withholding taxes of $1,780,965)

      $27,155,126   

Interest

      170   

Total Investment Income

      27,155,296   

Expenses

   

Management fees

      4,910,969   

Printing and mailing fees

      302,078   

Administration fees

      117,973   

Custodian fees

      94,304   

Insurance fees

      86,578   

Transfer agent fees

      83,023   

Trustees’ fees and expenses

      77,806   

NYSE listing fee

      54,051   

Legal fees

      50,317   

Interest expense on line of credit

      40,198   

Audit and tax fees

      36,692   

Miscellaneous expenses

      12,206   

Total Expenses

      5,866,195   

Management fee waived

      (92,484

Net Expenses

      5,773,711   

Net Investment Income

      21,381,585   

Net Realized and Unrealized Gain (Loss) on Investments, Written Options and Foreign Currency Transactions

   

Net realized gain (loss) on:

   

Investments

      (7,306,130

Written options

      77,072   

Foreign currency transactions

      (158,120

Total Net Realized Loss

      (7,387,178

Net change in unrealized appreciation (depreciation) on:

   

Investments

      4,898,955   

Written options

      116,893   

Foreign currency denominated assets and liabilities

      (67,496

Total Net Change in Unrealized Appreciation (Depreciation)

      4,948,352   

Net Loss on Investments, Written Options and Foreign Currency Transactions

      (2,438,826

Net Increase in Net Assets

      $18,942,759   

 

See notes to financial statements.

 

10    CBRE CLARION GLOBAL REAL ESTATE INCOME FUND


Table of Contents

Statements of Changes in Net Assets

 

         For the
Six Months Ended
June 30, 2013
(unaudited)
        For the
Year Ended
December 31, 2012
 

Change in Net Assets Resulting from Operations

       

Net investment income

      $21,381,585          $38,558,659   

Net realized gain (loss) on investments, written options and foreign currency transactions

      (7,387,178       49,110,969   

Net change in unrealized appreciation (depreciation) on investments, written options and foreign currency denominated assets and liabilities

      4,948,352          135,606,514   

Net increase in net assets resulting from operations

      18,942,759          223,276,142   

Dividends and Distributions on Common Shares*

       

Distribution of net investment income

      (31,479,434       (67,855,667

Net Increase (Decrease) in Net Assets

      (12,536,675       155,420,475   

Net Assets

       

Beginning of period

      1,104,996,652          949,576,177   

End of period (net of distributions in excess of net investment income of $90,965,734 and $80,867,885, respectively)

      $1,092,459,977          $1,104,996,652   

 

* The final determination of the source of the 2013 distributions for tax purposes will be made after the Trust’s fiscal year.

 

See notes to financial statements.

 

SEMI-ANNUAL REPORT 2013   11


Table of Contents

Statement of Cash Flows (unaudited)

 

         For the
Six Months Ended
June 30, 2013
 

Cash Flows from Operating Activities:

         

Net increase in net assets resulting from operations

      $18,942,759   

Adjustments to Reconcile Net Increase in Net Assets Resulting from Operations to Net Cash Provided by Operating Activities:

   

Net change in unrealized appreciation/depreciation on investments

      (4,898,955

Net change in unrealized appreciation/depreciation on written options

      (116,893

Net realized gain on investments

      7,306,130   

Cost of securities purchased

      (102,128,327

Cost of options exercised

      173,356   

Proceeds from sale of securities

      72,645,851   

Premiums on written options

      (110,608

Increase in receivable for investment securities sold

      (36,843,540

Decrease in dividends and interest receivable

      747,732   

Increase in dividend withholding reclaims receivable

      (51,515

Increase in unrealized appreciation on spot contracts

      (874

Decrease in other assets

      33,301   

Increase in unrealized depreciation on spot contracts

      21,842   

Increase in payable for investment securities purchased

      100,522,326   

Increase in management fee payable

      13,657   

Increase in accrued expenses

      10,093   

Net Cash Provided by Operating Activities

      56,266,335   

Cash Flows From Financing Activities:

   

Cash distributions paid on common shares

      (31,479,434

Proceeds from borrowing on line of credit

      47,259,200   

Payments on line of credit

      (68,698,000

Net Cash Used in Financing Activities

      (52,918,234

Net increase in cash

      3,348,101   

Cash and Cash Equivalents at Beginning of Period

      182,044   

Cash and Cash Equivalents at End of Period

      $3,530,145   

Supplemental disclosure

         

Interest paid on line of credit

      $58,306   

 

See notes to financial statements.

 

12    CBRE CLARION GLOBAL REAL ESTATE INCOME FUND


Table of Contents

Financial Highlights

 

Per share operating performance for a
share outstanding throughout the period
       For the Six
Months Ended
June 30, 2013
(unaudited)
         For the
Year Ended
December 31,
2012
         For the
Year Ended
December 31,
2011
         For the
Year Ended
December 31,
2010
         For the
Year Ended
December 31,
2009
         For the
Year Ended
December 31,
2008
 

Net asset value, beginning of period

       $9.48           $8.14           $8.58           $7.51           $5.63           $16.16   

Income from investment operations

                             

Net investment income (1)

       0.18           0.33           0.34           0.36           0.39           1.11   

Net realized and unrealized gain (loss) on investments, written options, swap contracts and foreign currency transactions

       (0.02        1.59           (0.24        1.25           2.03           (10.15

Dividends and distributions on Preferred Shares from net investment income (common stock equivalent basis)

                                                           (0.25

Total from investment operations

       0.16           1.92           0.10           1.61           2.42           (9.29

Dividends and distributions on Common Shares

                             

Net investment income

       (0.27        (0.58        (0.33        (0.54        (0.54          

Capital gains

                                                         (0.68

Return of capital

                           (0.21                            (0.56

Total dividends and distributions to Common Shareholders

       (0.27        (0.58        (0.54        (0.54        (0.54        (1.24

Net asset value, end of period

       $9.37           $9.48           $8.14           $8.58           $7.51           $5.63   

Market value, end of period

       $9.02           $8.86           $6.84           $7.75           $6.37           $3.98   

Total investment return (2)

                             

Net asset value

       1.57        24.15        0.94        22.41        46.79        (61.14 )% 

Market value

       4.75        38.77        (5.38 )%         31.06        79.09        (67.38 )% 

Ratios and supplemental data

                             

Net assets, applicable to Common Shares, end of period (thousands)

       $1,092,460           $1,104,997           $949,576           $1,000,238           $875,448           $586,525   

Ratios to average net assets applicable to Common Shares of:

                             

Net expenses, after fee waiver +

       1.01 % (3)         0.99        1.03        0.94        1.14        1.28

Net expenses, before fee waiver +

       1.02 % (3)         1.05        1.14        1.11        1.38        1.67

Net expenses, after the fee waiver excluding interest on line of credit +

       1.00 % (3)         0.98        0.97        0.90        1.12        1.28

Net expenses, before fee waiver excluding interest on line of credit +

       1.02 % (3)         1.04        1.09        1.07        1.35        1.67

Net investment income, after preferred share dividends

       3.73 % (3)         3.68        3.98        4.60        6.75        7.10

Preferred share dividends

       N/A           N/A           N/A           N/A           0.04        2.08

Net investment income, before preferred share dividends +

       3.73 % (3)         3.68        3.98        4.60        6.79        9.18

Portfolio turnover rate

       5.72        14.42        1.53        12.91        28.04        7.32

Leverage analysis:

                             

Preferred shares, at redemption value, ($25,000 per share liquidation preference) (thousands)

       N/A           N/A           N/A           N/A           N/A           $370,000   

Net asset coverage per share of preferred shares

       N/A           N/A           N/A           N/A           N/A           $64,630   

 

(1) Based on average shares outstanding.

 

(2) Total investment return does not reflect brokerage commissions. A return calculated for a period of less than one year is not annualized. Dividends and distributions are assumed to be reinvested at the prices obtained under the Trust’s Dividend Reinvestment Plan. Net Asset Value (“NAV”) total return is calculated assuming reinvestment of distributions at NAV on the date of the distribution.

 

(3) Annualized.

 

+ Does not reflect the effects of dividends to Preferred Shareholders.

 

See notes to financial statements.

 

SEMI-ANNUAL REPORT 2013   13


Table of Contents

Notes to Financial Statements (unaudited)

 

1. Fund Organization

CBRE Clarion Global Real Estate Income Fund (the “Trust”) is a diversified, closed-end management investment company that was organized as a Delaware statutory trust on November 6, 2003 under the Investment Company Act of 1940, as amended. CBRE Clarion Securities LLC (the “Advisor”) is the Trust’s investment advisor. The Advisor is a majority-owned subsidiary of CBRE Group, Inc. and is partially owned by its senior management team. The Trust commenced operations on February 18, 2004.

 

2. Significant Accounting Policies

The following accounting policies are in accordance with U.S. general accepted accounting principles (“GAAP”) and are consistently followed by the Trust.

Securities Valuation – The net asset value of the common shares of the Trust will be computed based upon the value of the Trust’s portfolio securities and other assets. The Trust calculates net asset value per common share by subtracting the Trust’s liabilities (including accrued expenses, dividends payable and any borrowings of the Trust) and the liquidation value of any outstanding preferred shares from the Trust’s total assets (the value of the securities the Trust holds, plus cash and/or other assets, including interest accrued but not yet received) and dividing the result by the total number of common shares of the Trust outstanding. Net asset value per common share will be determined as of the close of the regular trading session (usually 4:00 p.m., EST) on the New York Stock Exchange (“NYSE”) on each business day on which the NYSE is open for trading.

For purposes of determining the net asset value of the Trust, readily marketable portfolio assets traded principally on an exchange, or on a similar regulated market reporting contemporaneous transaction prices, are valued, except as indicated below, at the last sale price for such assets on such principal markets on the business day on which such value is being determined. If there has been no sale on such day, the securities are valued at the mean of the closing bid and asked prices on such day. Foreign securities are valued based upon quotations from the primary market in which they are traded and are translated from the local currency into U.S. dollars using current exchange rates. Securities and other assets for which market quotations are not readily available or for which the above valuation procedures are deemed not to reflect fair value are valued in a manner that is intended to reflect their fair value as determined in accordance with procedures approved by the Trust’s Board of Trustees (the “Board”).

Short-term securities which mature in more than 60 days are valued at current market quotations. Short-term securities, which mature in 60 days or less are valued at, amortized cost, which approximates market value.

GAAP provides guidance on fair value measurements. In accordance with the standard, fair value is defined as the price that the Trust would receive to sell an investment or pay to transfer a liability in a timely transaction with an independent buyer in the principal market, or in the absence of a principal market the most advantageous market for the investment or liability. It establishes a single definition of fair value, creates a three-tier hierarchy as a framework for measuring fair value based on inputs used to value the Trust’s investments, and requires additional disclosure about fair value. The hierarchy of inputs is summarized below:

 

  Level 1 — unadjusted quoted prices in active markets for identical investments

 

  Level 2 — other significant observable inputs (including quoted prices for similar investments, interest rates, prepayment speeds, credit risk, etc.)

 

  Level 3 — significant unobservable inputs (including the Trust’s own assumptions in determining the fair value of investments)

For Level 1 inputs, the Trust uses unadjusted quoted prices in active markets for assets or liabilities with sufficient frequency and volume to provide pricing information as the most reliable evidence of fair value.

The Trust’s Level 2 valuation techniques include inputs other than quoted prices within Level 1 that are observable for an asset or liability, either directly or indirectly. Level 2 observable inputs may include quoted prices for similar assets and liabilities in active markets or quoted prices for identical or similar assets or liabilities in markets that are not active in which there are few transactions, the prices are not current, or price quotations vary substantially over time or among market participants. Inputs that are observable for the asset or liability in Level 2 include such factors as interest rates, yield curves, prepayment speeds, credit risk, and default rates for similar liabilities.

For Level 3 valuation techniques, the Trust uses unobservable inputs that reflect assumptions market participants would be expected to use in pricing the asset or liability. Unobservable inputs are used to measure fair value to the extent that observable inputs are not available and are developed based on the best information available under the circumstances. In

 

 

14    CBRE CLARION GLOBAL REAL ESTATE INCOME FUND


Table of Contents

Notes to Financial Statements continued

 

developing unobservable inputs, market participant assumptions are used if they are reasonably available without undue cost and effort.

The inputs or methodology used for valuing securities are not necessarily an indication of the risk associated with investing in those securities. The following is a summary of the inputs used as of June 30, 2013 in valuing the Trust’s investments carried at fair value:

 

     Level 1     Level 2     Level 3     Total  

Investments in Real Estate Securities

       

Common Stock

       

Australia

  $ 155,816,965      $         —      $      $ 155,816,965   

Canada

    110,056,357                      110,056,357   

France

    68,315,092                      68,315,092   

Germany

    9,549,811                      9,549,811   

Hong Kong

    43,839,042                      43,839,042   

Japan

    50,215,413                      50,215,413   

Netherlands

    34,825,122                      34,825,122   

New Zealand

    7,198,992                      7,198,992   

Singapore

    64,569,221                      64,569,221   

United Kingdom

    48,494,006                      48,494,006   

United States

    427,923,901               14,883,338        442,807,239   

Total Common Stock

    1,020,803,922               14,883,338        1,035,687,260   

Preferred Stock

       

United States

    111,347,613                      111,347,613   

Total Investments in Real Estate Securities

  $ 1,132,151,535      $      $ 14,883,338      $ 1,147,034,873   

The primary third party pricing vendor for the Trust’s listed preferred stock investments is FT Interactive Data (“IDC”). When available, the Trust will obtain a closing exchange price to value the preferred stock investments and, in such instances, the investment will be classified as Level 1 since an unadjusted quoted price was utilized. When a closing price is not available for the listed preferred stock investments, IDC will produce an evaluated mean price (midpoint between the bid and the ask evaluation) and such investments will be classified as Level 2 since other observable inputs were used in the valuation. Factors used in the IDC evaluation include trading activity, the presence of a two-sided market, and other relevant market data.

The Trust’s policy is to recognize transfers in and transfers out at the fair value as of the beginning of the period. The portfolio may hold securities which are periodically fair valued in accordance with the Trust’s fair value procedures. This may result in movements between Levels 1, 2 and 3 throughout the period. The fair value of Level 2 and Level 1 investments at

December 31, 2012 was $1,560,345 and $1,098,780,927, respectively. There were no transfers during the period. Pursuant to the Trust’s fair value procedures noted previously, equity securities (including exchange traded securities and open-end regulated investment companies) exchange traded derivatives (i.e. futures contracts and options) are generally categorized as Level 1 securities in the fair value hierarchy. Fixed income securities, non-exchange traded derivatives and money market instruments are generally categorized as Level 2 securities in the fair value hierarchy. Investments for which there are no such quotations, or for which quotations do not appear reliable, are valued at fair value as determined in accordance with procedures established by and under the general supervision of the Trustees. These valuations are typically categorized as Level 2 or Level 3 securities in the fair value hierarchy.

The Trust has one investment in a private equity security which is classified as Level 3 because no market quotations are readily available. In determining the fair value of this investment, the following factors may be evaluated: balance sheet, income statement, the portfolio of real estate investments held, economic factors and conditions in which the company operates, and comparable public company valuations and trading prices.

The following is a reconciliation of assets in which significant unobservable inputs (Level 3) were used in determining fair value:

 

      United States
Common Stock
 

Balance as of December 31, 2012

   $ 19,791,655   

Realized gain (loss)

     (13,637,098

Change in unrealized appreciation (depreciation)

     13,591,643   

Purchases

     5,000,000   

Sales

     (9,862,862

Transfers in and/or out of Level 3

       

Balance as of June 30, 2013

   $ 14,883,338   

For the six months ended June 30, 2013, there have been no significant changes to the Trust’s fair valuation methodology.

Derivatives and Hedging Disclosure – Codification Topic 815 (“ASC 815”), Derivatives and Hedging, requires qualitative disclosures about objectives and strategies for using derivatives, quantitative disclosures about fair value amounts of gains and losses on derivative instruments, and disclosures about credit-risk related contingent features in derivative agreements. The Trust has invested in derivatives, specifically written options for the six months ended June 30, 2013 which are detailed in the

 

 

SEMI-ANNUAL REPORT 2013   15


Table of Contents

Notes to Financial Statements continued

 

table herein. The Trust’s derivative agreements contain credit-risk related contingent features which include, but are not limited to, a percentage decline in the Trust’s NAV or net assets over a specified time period. If an event occurred that triggered a contingent feature, the counterparty to the agreement may require the Trust to post additional collateral or terminate the derivative positions and demand payment. Any collateral posted with respect to the derivative positions would be used to offset or reduce the payment. The maximum exposure to derivatives agreements with credit-risk related contingent features would be the total value of derivatives in net liability positions for the Trust.

The Trust has invested in derivatives, specifically written options for the six months ended June 30, 2013, which are detailed in the table herein. The derivative instruments disclosed and described herein are subject to credit risk. Credit risk is where the financial condition of an issuer of a security or instrument may cause it to default or become unable to pay interest or principal due on the security. The counterparty to a derivative contract might default on its obligations. The effect of such derivative instruments on the Trust’s financial position and financial performance as reflected in the Statement of Assets and Liabilities and Statement of Operations are presented in the summary below.

 

Derivatives not
designated

as hedging instruments,
carried at fair value

   Asset Derivatives           Liability Derivatives  
   Balance
Sheet Location
   Fair Value            Balance
Sheet Location
   Fair Value  

Equity contracts

        $            Written options    $   

Gain or (loss) associated with derivatives outstanding throughout the six months ended June 30, 2013 is as follows:

 

Amount of Realized Gain on Derivatives Recognized in Income  
Derivatives not designated as hedging instruments, carried at fair value    Written Options  

Equity contracts

   $ 77,072   
Change in Unrealized Appreciation on Derivatives Recognized in Income  
Derivatives not designated as hedging instruments, carried at fair value    Written Options  

Equity contracts

   $ 116,893   

For the six months ended, the Trust’s average premiums received for written options was $36,869.

Foreign Currency Translation – The books and records of the Trust are maintained in U.S. dollars. Foreign currency amounts are translated into U.S. dollars on the following basis:

 

(i) market value of investment securities, other assets and liabilities – at the current rates of exchange;
(ii) purchases and sales of investment securities, income and expenses – at the rate of exchange prevailing on the respective dates of such transactions.

Although the net assets of the Trust are presented at the foreign exchange rates and market values at the close of each fiscal period, the Trust does not isolate that portion of the results of operations arising as a result of changes in the foreign exchange rates from the fluctuations arising from changes in the market prices of long-term securities held at the end of the fiscal period. Similarly, the Trust does not isolate the effect of changes in foreign exchange rates from the fluctuations arising from changes in the market prices of portfolio securities sold during the fiscal period. Accordingly, realized foreign currency gains or losses will be included in the reported net realized gains or losses on investment transactions.

Net realized gains or losses on foreign currency transactions represent net foreign exchange gains or losses from the holding of foreign currencies, currency gains or losses realized between the trade date and settlement date on securities transactions, and the difference between the amounts of dividends, interest and foreign withholding taxes recorded on the Trust’s books and the U.S. dollar equivalent amounts actually received or paid. Net unrealized currency gains or losses from valuing foreign currency denominated assets or liabilities (other than investments) at period end exchange rates are reflected as a component of net unrealized appreciation or depreciation on investments and foreign currencies.

Foreign security and currency transactions may involve certain considerations and risks not typically associated with those of domestic origin as a result of, among other factors, the possibility of political or economic instability, or the level of governmental supervision and regulation of foreign securities markets.

Forward Exchange Currency Contracts – The Trust may enter into forward exchange currency contracts in order to hedge its exposure to changes in foreign currency exchange rates on its foreign portfolio holdings, to hedge certain Trust purchase and sales commitments denominated in foreign currencies and for investment purposes. A forward exchange currency contract is a commitment to purchase or sell a foreign currency on a future date at a negotiated forward rate. The gain or loss arising from the difference between the original contracts and the closing of such contracts would be included in net realized gain or loss on foreign currency transactions.

Fluctuations in the value of open forward exchange currency contracts are recorded for financial reporting purposes as unrealized appreciation and depreciation by the Trust.

 

 

16    CBRE CLARION GLOBAL REAL ESTATE INCOME FUND


Table of Contents

Notes to Financial Statements continued

 

The Trust’s custodian will place and maintain cash not available for investment or other liquid assets in a separate account of the Trust having a value at least equal to the aggregate amount of the Trust’s commitments under forward exchange currency contracts entered into with respect to position hedges.

Risks may arise from the potential inability of a counterparty to meet the terms of a contract and from unanticipated movements in the value of a foreign currency relative to the U.S. dollar. The face or contract amount, in U.S. dollars, reflects the total exposure the Trust has in that particular currency contract. As of June 30, 2013, the Trust did not hold any forward exchange currency contracts.

Options – The Fund may purchase or sell (write) options on securities and securities indices which are listed on a national securities exchange or in the over-the-counter (“OTC”) market as a means of achieving additional return or of hedging the value of the Trust’s portfolio.

An option on a security is a contract that gives the holder of the option, in return for a premium, the right to buy from (in the case of a call) or sell to (in the case of a put) the writer of the option the security underlying the option at a specified exercise or “strike” price. The writer of an option on a security has an obligation upon exercise of the option to deliver the underlying security upon payment of the exercise price (in the case of a call) or to pay the exercise price upon delivery of the underlying security (in the case of a put).

There are several risks associated with transactions in options on securities. As the writer of a covered call option, the Trust forgoes, during the option’s life, the opportunity to profit from increases in the market value of the security covering the call option above the sum of the premium and the strike price of the call but has retained the risk of loss should the price of the underlying security decline. The writer of an option has no control over the time when it may be required to fill its obligation as writer of the option. Once an option writer has received an exercise notice, it cannot effect a closing purchase transaction in order to terminate its obligation under the option and must deliver the underlying security at the exercise price.

Transactions in written options during the six months ended June 30, 2013 were as follows:

 

      Number
of Contracts
    Premiums
Received
 

Options outstanding, beginning of period

     2,000      $ 110,607   

Options closed during the period

     (2,650     (120,597

Options exercised during the period

     (2,000     (173,356

Options written during the period

     2,650        183,346   

Options outstanding, end of period

          $   

Securities Transactions and Investment Income – Securities transactions are recorded on a trade date basis. Realized gains and losses from securities transactions are recorded on the basis of identified cost. Dividend income is recorded on the ex-dividend date. Distributions received from investments in REITs are recorded as dividend income on ex-dividend date, subject to reclassification upon notice of the character of such distributions by the issuer. The portion of dividend attributable to the return of capital is recorded against the cost basis of the security. Withholding taxes on foreign dividends are recorded net of reclaimable amounts, at the time the related income is earned. Non-cash dividends included in dividend income, if any, are recorded at the fair market value of the securities received. Interest income, including accretion of original issue discount, where applicable, and accretion of discount on short-term investments, is recorded on the accrual basis. Realized gains and losses from securities transactions are recorded on the basis of identified cost.

Dividends and Distributions to Shareholders – Dividends from net investment income, if any, are declared and paid on a monthly basis. Income dividends and capital gain distributions to common shareholders are recorded on the ex-dividend date. To the extent the Trust’s net realized capital gains, if any, can be offset by capital loss carryforwards, it is the policy of the Trust not to distribute such gains.

On August 5, 2008, the Trust acting in accordance with an exemptive order received from the Securities and Exchange Commission and with approval of the Board, adopted a managed distribution policy under which the Trust intends to make regular monthly cash distributions to common shareholders, stated in terms of a fixed amount per common share. With this policy the Trust can include long-term capital gains in its distribution as frequently as twelve times a year. In practice, the Board views their approval of this policy as a potential means of further supporting the market price of the Trust through the payment of a steady and predictable level of cash distributions to shareholders.

The current monthly distribution rate is $0.045 per share. The Trust continues to evaluate its monthly distribution policy in light of ongoing economic and market conditions and may change the amount of the monthly distributions in the future.

Use of Estimates – The preparation of financial statements, in conformity with GAAP, requires management to make estimates and assumptions that affect the reported amounts of assets and liabilities at the date of the financial statements and the reported amounts of expenses during the reporting period. Actual results could differ from those estimates.

 

 

 

SEMI-ANNUAL REPORT 2013   17


Table of Contents

Notes to Financial Statements continued

 

 

3. Concentration of Risk

Under normal market conditions, the Trust’s investments will be concentrated in income-producing common equity securities, preferred securities, convertible securities and non-convertible debt securities issued by companies deriving the majority of their revenue from the ownership, construction, financing, management and/or sale of commercial, industrial, and/or residential real estate. Values of the securities of such companies may fluctuate due to economic, legal, cultural, geopolitical or technological developments affecting various global real estate industries.

 

4. Investment Management Agreement and Other Agreements

Pursuant to an investment management agreement between the Advisor and the Trust, the Advisor is responsible for the daily management of the Trust’s portfolio of investments, which includes buying and selling securities for the Trust, as well as investment research. The Trust pays for investment advisory services and facilities through a fee payable monthly in arrears at an annual rate equal to 0.85% of the average daily value of the Trust’s managed assets plus certain direct and allocated expenses of the Advisor incurred on the Trust’s behalf. The Advisor has agreed to waive a portion of its management fee in the amount of 0.25% of the average daily values of the Trust’s managed assets for the first five years of the Trust’s operations (through February, 2009), and for a declining amount for an additional four years (through February, 2013). During the six months ended June 30, 2013, the Trust incurred management fees of $4,818,485 which are net of $92,484 in management fees waived by the Advisor.

The Trust has multiple service agreements with The Bank of New York Mellon (“BNYM”). Under the servicing agreements, BNYM will perform custodial, fund accounting, certain administrative services, and transfer agency services for the Trust. As custodian, BNYM is responsible for the custody of the Trust’s assets. As administrator, BNYM is responsible for maintaining the books and records of the Trust’s securities and cash. As transfer agent, BNYM is responsible for performing transfer agency services for the Trust.

 

5. Portfolio Securities

For the six months ended June 30, 2013, there were purchases and sales transactions (excluding short-term securities and options) of $102,128,327 and $72,645,851, respectively.

 

6. Federal Income Taxes

The Trust intends to elect to be, and qualify for treatment as, a regulated investment company under Subchapter M of the

Internal Revenue Code of 1986, as amended (the “Code”). A regulated investment company generally pays no federal income tax on the income and gains that it distributes. The Trust intends to meet the calendar year distribution requirements imposed by the Code to avoid the imposition of a 4% excise tax.

The Trust is required to evaluate tax positions taken or expected to be taken in the course of preparing the Trust’s tax returns to determine whether the tax positions are “more-likely-than-not” of being sustained by the applicable tax authority. Income tax and related interest and penalties would be recognized by the Trust as tax expense in the Statement of Operations if the tax positions were deemed to not meet the more-likely-than-not threshold. For the six months ended June 30, 2013, the Trust did not incur any income tax, interest, or penalties. As of June 30, 2013, the Advisor has reviewed all open tax years and concluded that there was no impact to the Trust’s net assets or results of operations. Tax years ended December 31, 2009, through December 31, 2012, remain subject to examination by the Internal Revenue Service and state taxing authorities. On an ongoing basis, the Advisor will monitor its tax positions to determine if adjustments to this conclusion are necessary.

The Trust distinguishes between dividends on a tax basis and on a financial reporting basis and only distributions in excess of tax basis earnings and profits are reported in the financial statements as a tax return of capital. Differences in the recognition or classification of income between the financial statements and tax earnings and profits which result in temporary over-distributions for financial statement purposes are classified as distributions in excess of net investment income or accumulated net realized losses in the components of net assets on the Statement of Assets and Liabilities.

In order to present paid-in capital in excess of par and accumulated net realized gains or losses on the Statement of Assets and Liabilities that more closely represent their tax character, certain adjustments have been made to additional paid-in capital, undistributed net investment income and accumulated net realized gains or losses on investments. For the year ended December 31, 2012, the adjustments were to increase additional paid-in capital by $85,481 increase accumulated net realized loss on investments by $3,827,043 and decrease distributions in excess of net investment income by $3,912,524 due to the difference in the treatment for book and tax purposes of certain investments. Results of operations and net assets were not affected by these reclassifications.

At December 31, 2012, the Trust had capital loss carryforwards which will reduce the Trust’s taxable income arising from future net realized gain on investments, if any, to

 

 

18    CBRE CLARION GLOBAL REAL ESTATE INCOME FUND


Table of Contents

Notes to Financial Statements concluded

 

the extent permitted by the code and thus will reduce the amount of distributions to shareholders which would otherwise be necessary to relieve the Trust of any liability for federal income tax. Pursuant to the code, such capital loss carryforwards, if unused, will expire, $15,851,894, $333,092,227 and $26,711,743 in 2016, 2017 and 2018, respectively.

The Regulated Investment Company Modernization Act of 2010 (the “Act”) eliminated the eight-year carryover period for capital losses that arise in taxable years beginning after its enactment date of December 22, 2010. Consequently, these capital losses can be carried forward for an unlimited period. However, capital losses with an expiration period may not be used to offset capital gains until all net capital losses without an expiration date have been utilized. Additionally, post-enactment capital loss carryovers will retain their character as either short-term or long-term capital losses instead of as short-term capital losses as under prior law. The Trust does not have capital losses with no expiration.

The final determination of the source of the 2013 distributions for tax purposes will be made after the end of the Trust’s fiscal year and will be reported to shareholders in February 2014 on Form 1099-DIV.

For the year ended December 31, 2012, the tax character of distributions paid, as reflected in the Statements of Changes in Net Assets, was $67,855,667 of ordinary income.

Information on the components of net assets as of June 30, 2013 is as follows:

 

Cost of
Investments
  Gross
Unrealized
Appreciation
  Gross
Unrealized
Depreciation
  Net
Unrealized
Appreciation
on Investments
$943,966,692   $265,111,427   $(62,043,246)   $203,068,181

 

7. Borrowings

The Trust has access to a secured line of credit up to $300,000,000 from BNYM for borrowing purposes. Borrowings under this arrangement bear interest at the Federal funds rate plus 75 basis points. At June 30, 2013, there were no borrowings on the Trust’s line of credit.

The average daily amount of borrowings during the six months ended June 30, 2013 was $12,820,690 with a related weighted average interest rate of 0.91%. The maximum amount outstanding for the six months ended June 30, 2013, was $31,125,600. The Trust had borrowings under the line of credit for 126 days during 2013.

8. Capital

During 2004, the Trust issued 101,000,000 shares of common stock at $15.00. In connection with the Trust’s Dividend Reinvestment Plan, the Trust issued no common shares for the six months ended June 30, 2013 and year ended 2012, respectively. At June 30, 2013, the Trust had outstanding common shares of 116,590,494 with a par value of $0.001 per share. The Advisor owned 12,741 shares of the common shares outstanding.

At June 30, 2013, the Trust had no shares of auction rate preferred securities outstanding.

 

9. Indemnifications

The Trust enters into contracts that contain a variety of indemnifications. The Trust’s exposure under these arrangements is unknown. However, the Trust has not had prior claims or losses or current claims or losses pursuant to these contracts.

 

10. Subsequent Events

Events or transactions that occur after the balance sheet date but before the financial statements are issued are categorized as recognized or non-recognized for financial statement purposes. The Advisor has evaluated subsequent events and has determined there were no events that required recognition or disclosure in the Trust’s financial statements, other than as noted below.

 

 

SEMI-ANNUAL REPORT 2013   19


Table of Contents

Supplemental Information (unaudited)

 

Trustees

The Trustees of the CBRE Clarion Global Real Estate Income Fund and their principal occupations during the past five years:

 

Name, Address

and Age

  Term of Office and
Length of Time
Served (1)
  Title  

Principal Occupations
During The Past

Five Years

  Number of
Portfolios in
the Fund
Complex
Overseen
by Trustee
 

Other
Directorships
Held by
Trustee

Interested Trustees:                         

T. Ritson Ferguson*

201 King of Prussia
Road, Suite 600

Radnor, PA 19087

Age: 54

  3 years/
since inception
  Trustee, President and Chief Executive Officer   Chief Executive Officer and
Co-Chief Investment Officer
of CBRE Clarion Securities LLC
  1    

Asuka Nakahara

201 King of Prussia
Road, Suite 600

Radnor, PA 19087

Age: 57

  3 years/
since inception
  Trustee   Associate Director of the Zell-Lurie Real Estate Center at the Wharton School, University of Pennsylvania (since 1999); Lecturer of Real Estate at the Wharton School, University of Pennsylvania (since 1999); Partner of Triton Atlantic Partners (since 2009).   1    

Frederick S. Hammer

201 King of Prussia
Road, Suite 600

Radnor, PA 19087

Age: 77

  3 years/
since inception
  Trustee   Co-Chairman of Inter-Atlantic Group (since 1994) and a member of its investment committee.   1   Serves on the Boards of Universal Business Payment Solutions Corp. (since 2011); Inter-Atlantic Financial, Inc. (2007 - 2011); E-Duction, Inc. (2005 - 2008), Avalon Insurance Holdings, Inc. (2006 - 2009) and Homeowners Insurance Corp. (since 2006); Director of US Fiduciary Corp. (2006 - 2009); Chairman of the Board of Annuity and Life Re (Holdings), Ltd. (1998 - 2005).

Richard L. Sutton

201 King of Prussia
Road, Suite 600

Radnor, PA 19087

Age: 78

  3 years/
since inception
  Trustee   Partner, Morris, Nichols, Arsht & Tunnel (1966 - 2000).   1
 
  Board of Directors of Investors in Global Real Estate Ltd. (since 2006).

 

20    CBRE CLARION GLOBAL REAL ESTATE INCOME FUND


Table of Contents

Supplemental Information(unaudited) continued

 

Name, Address

and Age

  Term of Office and
Length of Time
Served (1)
  Title  

Principal Occupations
During The Past

Five Years

  Number of
Portfolios in
the Fund
Complex
Overseen
by Trustee
 

Other
Directorships
Held by
Trustee

Interested Trustees:                         

John R. Bartholdson

201 King of Prussia
Road, Suite 600

Radnor, PA 19087

Age: 68

  3 years/
10 years
  Trustee/Audit Committee Financial Expert   Senior Vice President, CFO and Treasurer, and a Director of Triumph Group, Inc. (1993 -2007).   1
 
  Board of Old Mutual Advisor Funds, Old Mutual Funds II and Old Mutual Insurance Series Fund (2004 - 2012), and Old Mutual Funds III (2008 - 2009), The Berwyn Fund (since 2013), The Berwyn Income Fund (since 2013), and The Berwyn Cornerstone Fund (since 2013).

 

(1) After a Trustee’s initial term, each Trustee is expected to serve a three-year term concurrent with the class of Trustees for which he serves. Messrs. Ferguson and Hammer, as Class I Trustees, are expected to stand for re-election at the Trust’s 2014 annual meeting of shareholders; Mr. Nakahara, as Class II Trustee, is expected to stand for re-election at the Trust’s 2015 annual meeting of shareholders; Messrs. Sutton and Bartholdson, as Class III Trustees, are expected to stand for re-election at the Trust’s 2013 annual meeting of shareholders.

 

* Mr. Ferguson is deemed to be an interested person of the Trust as defined in the Investment Company Act of 1940 (the “1940 ACT”), as amended, due to his position with the Advisor.

 

SEMI-ANNUAL REPORT 2013   21


Table of Contents

Supplemental Information(unaudited) continued

 

Officers

The Officers of the CBRE Clarion Global Real Estate Income Fund and their principal occupations during the past five years:

 

Name, Address, Age
and Position(s) Held
with Registrant
   Length of Time
Served
     Principal Occupations During
the Past Five Years and
Other Affiliations
Officers:              

Jonathan A. Blome

201 King of Prussia Road, Suite 600

Radnor, PA 19087

Age: 36

Chief Financial Officer

   since 2006      Chief Financial Officer and Director of Operations of CBRE Clarion Securities LLC (since 2011); Director and Head of Operations of CBRE Clarion Securities LLC (since 2010); Senior Vice President of CBRE Clarion Securities LLC (2005 - 2010).

William E. Zitelli

201 King of Prussia Road, Suite 600

Radnor, PA 19087

Age: 45

Chief Compliance Officer and Secretary

   since 2007      General Counsel of CBRE Clarion Securities LLC (since 2007), Chief Compliance Officer of CBRE Clarion Securities LLC (2007 - 2010).

 

22    CBRE CLARION GLOBAL REAL ESTATE INCOME FUND


Table of Contents

Supplemental Information(unaudited) concluded

 

Additional Information

Statement of Additional Information includes additional information regarding the Trustees. This information is available upon request, without charge, by calling the following toll-free telephone number: 1-888-711-4272.

The Trust has delegated the voting of the Trust’s voting securities to the Trust’s advisor pursuant to the proxy voting policies and procedures of the advisor. You may obtain a copy of these policies and procedures by calling 1-888-711-4272. The policies may also be found on the website of the Securities and Exchange Commission (http://www.sec.gov).

Information regarding how the Trust voted proxies for portfolio securities, if applicable, during the most recent 12-month period ended June 30, is also available, without charge and upon request by calling the Trust at 1-888-711-4272 or by accessing the Trust’s Form N-PX on the Commission’s website at http://www.sec.gov.

The Trust files its complete schedule of portfolio holdings with the Securities and Exchange Commission for the first and third quarters of each fiscal year on Form N-Q. The Trust’s Form N-Qs are available on the SEC website at http://www.sec.gov. The Trust’s Form N-Qs may also be viewed and copied at the Commission’s Public Reference Room in Washington, DC; information on the operation of the Public Reference Room may be obtained by calling (800) SEC-0330.

Dividend Reinvestment Plan (unaudited)

Pursuant to the Trust’s Dividend Reinvestment Plan (the “Plan”), shareholders of the Trust are automatically enrolled, to have all distributions of dividends and capital gains reinvested by The Bank of New York Mellon (the “Plan Agent”) in the Trust’s shares pursuant to the Plan. You may elect not to participate in the Plan and to receive all dividends in cash by sending written instructions or by contacting The Bank of New York Mellon, as dividend disbursing agent, at the address set forth below. Participation in the Plan is completely voluntary and may be terminated or resumed at any time without penalty by contacting the Plan Agent before the dividend record date; otherwise such termination or resumption will be effective with respect to any subsequently declared dividend or other distribution. Shareholders who do not participate in the Plan will receive all distributions in cash paid by check and mailed directly to the shareholders of record (or if the shares are held in street or other nominee name, then to the nominee) by the Plan Agent, which serves as agent for the shareholders in administering the Plan.

After the Trust declares a dividend or determines to make a capital gain distribution, the Plan Agent will acquire shares for the participants’ account, depending upon the circumstances described below, either (i) through receipt of unissued but authorized shares from the Trust (“newly issued shares”) or (ii) by open market purchases. If, on the dividend payment date, the NAV is equal to or less than the market price per share plus estimated brokerage commissions (such condition being referred to herein as “market premium”), the Plan Agent will invest the dividend amount in newly issued shares on behalf of the participants. The number of newly issued shares to be credited to each participant’s account will be determined by dividing the dollar amount of the dividend by the NAV on the date the shares are issued. However, if the NAV is less than 95% of the market price on the payment date, the dollar amount of the dividend will be divided by 95% of the market price on the payment date. If, on the dividend payment date, the NAV is greater than the market value per share plus estimated brokerage commissions (such condition being referred to herein as “market discount”), the Plan Agent will invest the dividend amount in shares acquired on behalf of the participants in open-market purchases.

The Plan Agent’s fees for the handling of the reinvestment of dividends and distributions will be paid by the Trust. However, each participant will pay a pro rata share of brokerage commissions incurred with respect to the Plan Agent’s open market purchases in connection with the reinvestment of dividends and distributions. The automatic reinvestment of dividends and distributions will not relieve participants of any Federal income tax that may be payable on such dividends or distributions.

The Trust reserves the right to amend or terminate the Plan. There is no direct service charge to participants in the Plan; however, the Trust reserves the right to amend the Plan to include a service charge payable by the participants. Participants that request a sale of shares through the Plan Agent are subject to a $2.50 sales fee and a $0.15 per share sold brokerage commission. All correspondence concerning the Plan should be directed to the Plan Agent at Computershare, P.O. Box 43006, Providence, RI 02940-3006, Phone Number: (866) 221-1580.

 

SEMI-ANNUAL REPORT 2013   23


Table of Contents

CBRE CLARION GLOBAL REAL ESTATE INCOME FUND

 

BOARD OF TRUSTEES

T. RITSON FERGUSON

ASUKA NAKAHARA

FREDERICK S. HAMMER

RICHARD L. SUTTON

JOHN R. BARTHOLDSON

OFFICERS

T. RITSON FERGUSON

PRESIDENT AND

CHIEF EXECUTIVE OFFICER

JONATHAN A. BLOME

CHIEF FINANCIAL OFFICER

WILLIAM E. ZITELLI

CHIEF COMPLIANCE OFFICER

AND SECRETARY

INVESTMENT ADVISOR

CBRE CLARION SECURITIES LLC

201 KING OF PRUSSIA ROAD, SUITE 600

RADNOR, PA 19087

888-711-4272

ADMINISTRATOR AND CUSTODIAN

THE BANK OF NEW YORK MELLON

NEW YORK, NEW YORK

TRANSFER AGENT

COMPUTERSHARE

JERSEY CITY, NEW JERSEY

LEGAL COUNSEL

BINGHAM MCCUTCHEN LLP

WASHINGTON, DC

INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM

ERNST & YOUNG LLP

PHILADELPHIA, PENNSYLVANIA

 

 

 

 


Table of Contents
Item 2. Code of Ethics.

Not applicable for semi-annual reporting period.

 

Item 3. Audit Committee Financial Expert.

Not applicable for semi-annual reporting period.

 

Item 4. Principal Accountant Fees and Services.

Not applicable for semi-annual reporting period.

 

Item 5. Audit Committee of Listed Registrants.

Not applicable for semi-annual reporting period.

 

Item 6. Investments.

(a) The schedule of investments is included as part of the report to shareholders filed under Item 1 of this form.

(b) Not applicable.

 

Item 7. Disclosure of Proxy Voting Policies and Procedures for Closed-End Management Investment Companies.

Not applicable for semi-annual reporting period.

 

Item 8. Portfolio Managers of Closed-End Management Investment Companies.

Not applicable for semi-annual reporting period.

 

Item 9. Purchases of Equity Securities by Closed-End Management Investment Company and Affiliated Purchasers.

None.

 

Item 10. Submission of Matters to a Vote of Security Holders.

Not applicable.

 

Item 11. Controls and Procedures.

(a) The Trust’s principal executive officer and principal financial officer have evaluated the Trust’s disclosure controls and procedures within 90 days of this filing and have concluded that the Trust’s disclosure controls and procedures were effective, as of that date, in ensuring that information required to be disclosed by the Trust in this Form N-CSR was recorded, processed, summarized, and reported timely.

(b) The Trust’s principal executive officer and principal financial officer are aware of no changes in the Trust’s internal control over financial reporting that occurred during the Trust’s second fiscal quarter of the period covered by this report that has materially affected, or is reasonably likely to materially affect, the Trust’s internal control over financial reporting.


Table of Contents
Item 12. Exhibits.

 

(a)(1)   Not applicable.
(a)(2)   Certification of chief executive officer and chief financial officer pursuant to Section 302 of the Sarbanes-Oxley Act of 2002.
(b)   Certification of chief executive officer and chief financial officer pursuant to Section 906 of the Sarbanes-Oxley Act of 2002.
(c)   Notices to Trust’s common shareholders in accordance with Investment Company Act Section 19(a) and Rule 19a-1.(1)

 

(1) 

The Trust has received exemptive relief from the Securities and Exchange Commission permitting it to make periodic distributions of long-term capital gains with respect to its outstanding common stock as frequently as twelve times each year. This relief is conditioned, in part, on an undertaking by the Trust to make the disclosures to the holders of the Trust’s common shares, in addition to the information required by Section 19(a) of the Investment Company Act and Rule 19a-1 thereunder. The Trust is likewise obligated to file with the Commission the information contained in any such notice to shareholders and, in that regard, has attached hereto copies of each such notice made during the period.


Table of Contents

SIGNATURES

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.

(Registrant) CBRE Clarion Global Real Estate Income Fund

 

By:  

/s/ T. Ritson Ferguson

Name:   T. Ritson Ferguson
Title:   President and Chief Executive Officer
Date:   August 28, 2013

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, this report has been signed by the following persons on behalf of the registrant and in the capacities and on the dates indicated.

 

By:  

/s/ T. Ritson Ferguson

Name:   T. Ritson Ferguson
Title:   President and Chief Executive Officer
Date:   August 28, 2013
By:  

/s/ Jonathan A. Blome

Name:   Jonathan A. Blome
Title:   Chief Financial Officer
Date:   August 28, 2013
EX-99.A.2 2 d578805dex99a2.htm RULE 30A-2(A) CERTIFICATIONS RULE 30A-2(A) CERTIFICATIONS

EXHIBIT 99.(A)(2)

Rule 30a-2(a) CERTIFICATIONS

I, T. Ritson Ferguson, certify that:

1. I have reviewed this report on Form N-CSR of CBRE Clarion Global Real Estate Income Fund;

2. Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

3. Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations, changes in net assets, and cash flows (if the financial statements are required to include a statement of cash flows) of the registrant as of, and for, the periods presented in this report;

4. The registrant’s other certifying officer and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940) and internal control over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) for the registrant and have:

(a) Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

(b) Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

(c) Evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 90 days prior to the filing date of this report based on such evaluation; and

(d) Disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the second fiscal quarter of the period covered by this report that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and

5. The registrant’s other certifying officer and I have disclosed to the registrant’s auditors and the audit committee of the registrant’s board of directors (or persons performing the equivalent functions):

(a) All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize, and report financial information; and

(b) Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant’s internal control over financial reporting.

Date: August 28, 2013

 

/s/ T. Ritson Ferguson

T. Ritson Ferguson, President and
Chief Executive Officer


Rule 30a-2(a) CERTIFICATIONS

I, Jonathan A. Blome, certify that:

1. I have reviewed this report on Form N-CSR of CBRE Clarion Global Real Estate Income Fund;

2. Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

3. Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations, changes in net assets, and cash flows (if the financial statements are required to include a statement of cash flows) of the registrant as of, and for, the periods presented in this report;

4. The registrant’s other certifying officer and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940) and internal control over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) for the registrant and have:

(a) Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

(b) Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

(c) Evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 90 days prior to the filing date of this report based on such evaluation; and

(d) Disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the second fiscal quarter of the period covered by this report that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and

5. The registrant’s other certifying officer and I have disclosed to the registrant’s auditors and the audit committee of the registrant’s board of directors (or persons performing the equivalent functions):

(a) All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize, and report financial information; and

(b) Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant’s internal control over financial reporting.

Date: August 28, 2013

 

/s/ Jonathan A. Blome

Jonathan A. Blome,
Chief Financial Officer
EX-99.B 3 d578805dex99b.htm RULE 30A-2(B) CERTIFICATIONS RULE 30A-2(B) CERTIFICATIONS

EXHIBIT 99.(B)

Rule 30a-2(b) CERTIFICATIONS

Pursuant to Section 906 of the Sarbanes-Oxley Act of 2002 (subsections (a) and (b) of section 1350, chapter 63 of title 18, United States Code), each of the undersigned officers of CBRE Clarion Global Real Estate Income Fund (the Trust), do hereby certify, to such officer’s knowledge, that:

 

  (1) the Trust’s report on Form N-CSR for the six months ended June 30, 2013 (the “Form N-CSR”) fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934; and

 

  (2) the information contained in the Form N-CSR fairly presents, in all material respects, the financial condition and results of operations of the Trust.

 

Dated: August 28, 2013

/s/ T. Ritson Ferguson

Name: T. Ritson Ferguson
Title: President and Chief Executive Officer
Dated: August 28, 2013

/s/ Jonathan A. Blome

Name: Jonathan A. Blome
Title: Chief Financial Officer
EX-99.C 4 d578805dex99c.htm NOTICES TO TRUST'S COMMON SHAREHOLDERS NOTICES TO TRUST'S COMMON SHAREHOLDERS

CBRE Clarion Global Real Estate Income Fund

(NYSE: IGR)

CUSIP: 12504G100

Dear Shareholders:

This notice provides detailed information which may assist you and your advisors. This notice is for informational purposes only. No action is required on your part.

CBRE Clarion Global Real Estate Income Fund (the “Fund”) has declared a monthly distribution of $0.045 per share for the month of January 2013. You are receiving this notice as a requirement of the Fund’s managed distribution plan. This notice is intended to provide insight into the estimated character of the current (and year-to-date) distribution(s) in terms of income, capital gain, and potential return of capital. You should expect to receive this notice with every distribution. The character of the current (and YTD) distribution(s) will change through the course of the year, as the Fund’s estimates of the sources of its income become more clear.

The Fund has paid or declared total distribution of $0.045 per share to date in fiscal year 2013 (January 1, 2013 to January 31, 2013). The source of the distribution declared for the month and current fiscal year is estimated as follows:

 

Estimated Source of Distributions:

  

Distribution

     Estimated Allocations  
   Net Investment
Income*
    Net Realized Short-
Term  Capital Gains
    Net Realized Long-
Term  Capital Gains
    Return of
Capital
 

Current

   $ 0.045       $ 0.027   (61%)      —   (0%)      —   (0%)    $ 0.018   (39%) 

YTD

   $ 0.045       $ 0.027   (61%)      —   (0%)      —   (0%)    $ 0.018   (39%) 

 

* Includes PFIC income, as defined below.

SHAREHOLDERS SHOULD NOT USE THE INFORMATION PROVIDED IN THIS NOTICE IN PREPARING THEIR TAX RETURNS. SHAREHOLDERS WILL RECEIVE A FORM 1099-DIV FOR THE CALENDAR YEAR INDICATING HOW TO REPORT FUND DISTRIBUTIONS FOR FEDERAL INCOME TAX PURPOSES.

The amounts and sources of distributions reported in this 19(a) Notice are only estimates and are not provided for tax reporting purposes. The actual amounts and sources of the amounts for accounting and tax reporting purposes will depend upon the Fund’s investment experience during the remainder of its fiscal year and may be subject to changes based on tax regulations.

The Fund’s dividend policy is established by its Board of Trustees. The dividend is set by the Board at regular intervals with consideration of investment income and realized gains expected for the year. Each distribution is expected to be paid from some or all of the following sources: net investment income, realized capital gains and, in certain cases, return of capital. The Fund’s distribution rate should not be confused with pure income or yield. The Fund strives to establish a level regular dividend that, over the course of the year, will serve to distribute all income and realized gains, minimizing the need for special distributions.

The Fund invests primarily in real estate investment trusts (REITs) and similar companies. When these companies make distributions during the year, they do not disclose the character of those distributions. The Fund uses historical information to generate the estimated character reflected in this notice. Until the Fund receives information as to the character of distributions it has received from these companies – generally around January 31 of the following year – the Fund cannot provide you with a Definitive characterization of the source of distributions paid to shareholders.

The Fund invests in certain companies that have been designated as “passive foreign investment companies” (“PFICs”) for purposes of U.S. tax regulations. Increases in the value of these PFICs (“PFIC Income”) increase the income of the Fund. PFIC Income does not reflect dividends or other income actually received by the Fund, although it does serve to increase the Net Investment Income the Fund is required to distribute. Distributions of PFIC Income may result in a Return of Capital. The amount of Net Investment Income described in the foregoing table (Estimated Source of Distributions) may include PFIC Income. Decreases in the value of these PFICs (“PFIC Losses”) offset the other investment income of the Fund. PFIC Losses do not reflect a diminution in the amount of dividends or income actually received by the Fund, although they do serve to reduce the Net Investment Income the Fund is required to distribute. The amount of Net Investment Income in the foregoing table (Estimated Source of Distributions) may have been reduced by PFIC Losses.


The Fund estimates that it has distributed more than its income and capital gains; therefore, a portion of your distribution may be a return of capital. A return of capital may occur, for example, when some or all of the money that you invested in the Fund is paid back to you. A return of capital distribution does not necessarily reflect the Fund’s investment performance and should not be confused with “yield” or “income”.

Shareholders should not draw any conclusions about the Fund’s investment performance from the amount of this distribution or from the terms of the Fund’s managed distribution policy. Please note that all performance figures below are based on the Fund’s net asset value (“NAV”) and not the market price of the Fund’s shares. Performance figures are not meant to represent individual shareholder performance. The value of a shareholder’s investment in the Fund is determined by the market price of the Fund’s shares.

The Fund’s cumulative year-to-date total return for fiscal year 2012 (January 1, 2012 through December 31, 2012) is set forth below. Shareholders should take note of the relationship between the Year-to-date Cumulative Total Return on NAV and the Fund’s Cumulative Distribution Rate for 2012, as well as its Current Annualized Distribution Rate. Moreover, the Fund’s Average Annual Total Return (in relation to its NAV) for the preceding five-year period (January 1, 2008 through December 31, 2012) is set forth below. Shareholders should take note of the relationship between the Fund’s Average Annual Total Return on NAV for the preceding five-year period and the Fund’s Average Annual Distribution Rate for the preceding five-year period. The performance and distribution rate information disclosed in the table below is based on the Fund’s net asset value (NAV). The Fund’s NAV is calculated as the total market value of all the securities and other assets held by the Fund minus the total liabilities, divided by the total number of common shares outstanding.

Fund Performance and Distribution Rate Information:

 

Year-to-date 01/1/2012 to 12/31/2012

  

Year-to-date Cumulative Total Return on NAV1

     24.15

Cumulative Distribution Rate2

     6.14

Preceding Five-Year Period 01/1/2008 to 12/31/2012

  

Average Annual Total Return on NAV3

     6.63

Average Annual Distribution Rate4

     7.86

Current Annualized Distribution Rate5

     6.14

 

1 Year-to-date Cumulative Total Return on NAV is the percentage change in the Fund’s NAV over the year-to-date time period including distributions paid and assuming reinvestment of those distributions.

 

2 Cumulative Distribution Rate for the Fund’s current fiscal period (January 1, 2012 through December 31, 2012) measured on the dollar value of distributions in the year-to-date period as a percentage of the Fund’s NAV as of December 31, 2012.

 

3 Average Annual Total Return on NAV represents the simple arithmetic average of the Annual NAV Total Returns of the Fund for the preceding five-year period. Annual NAV Total Return is the percentage change in the Fund’s NAV over a year including distributions paid and assuming reinvestment of those distributions.

 

4 Average Annual Distribution Rate is the simple arithmetic average of the Annual Distribution Rates for the preceding five-year period. The Annual Distribution Rates are calculated by taking the total distributions paid during the period divided by average daily NAV for the period.

 

5 The Current Annualized Distribution Rate is the current monthly distribution rate annualized as a percentage of the Fund’s NAV as of December 31, 2012.

For more information on the Fund, please contact your financial advisor or visit us on the web at www.cbreclarion.com.

As always, we appreciate your investment in the CBRE Clarion Global Real Estate Income Fund.

CBRE Clarion Global Real Estate Income Fund

January 14, 2013


CBRE Clarion Global Real Estate Income Fund

(NYSE: IGR)

CUSIP: 12504G100

Dear Shareholders:

This notice provides detailed information which may assist you and your advisors. This notice is for informational purposes only. No action is required on your part.

CBRE Clarion Global Real Estate Income Fund (the “Fund”) has declared a monthly distribution of $0.045 per share for the month of February 2013. You are receiving this notice as a requirement of the Fund’s managed distribution plan. This notice is intended to provide insight into the estimated character of the current (and year-to-date) distribution(s) in terms of income, capital gain, and potential return of capital. You should expect to receive this notice with every distribution. The character of the current (and YTD) distribution(s) will change through the course of the year, as the Fund’s estimates of the sources of its income become more clear.

The Fund has paid or declared total distribution of $0.09 per share to date in fiscal year 2013 (January 1, 2013 to February 28, 2013). The source of the distribution declared for the month and current fiscal year is estimated as follows:

 

Estimated Source of Distributions:

  

Distribution

     Estimated Allocations  
   Net  Investment
Income*
    Net Realized Short-
Term  Capital Gains
    Net Realized Long-
Term  Capital Gains
    Return of
Capital
 

Current

   $ 0.045       $ 0.033   (74%)      —   (0%)      —   (0%)    $ 0.012   (26%) 

YTD

   $ 0.09       $ 0.067   (74%)      —   (0%)      —   (0%)    $ 0.023   (26%) 

 

* Includes PFIC income, as defined below.

SHAREHOLDERS SHOULD NOT USE THE INFORMATION PROVIDED IN THIS NOTICE IN PREPARING THEIR TAX RETURNS. SHAREHOLDERS WILL RECEIVE A FORM 1099-DIV FOR THE CALENDAR YEAR INDICATING HOW TO REPORT FUND DISTRIBUTIONS FOR FEDERAL INCOME TAX PURPOSES.

The amounts and sources of distributions reported in this 19(a) Notice are only estimates and are not provided for tax reporting purposes. The actual amounts and sources of the amounts for accounting and tax reporting purposes will depend upon the Fund’s investment experience during the remainder of its fiscal year and may be subject to changes based on tax regulations.

The Fund’s dividend policy is established by its Board of Trustees. The dividend is set by the Board at regular intervals with consideration of investment income and realized gains expected for the year. Each distribution is expected to be paid from some or all of the following sources: net investment income, realized capital gains and, in certain cases, return of capital. The Fund’s distribution rate should not be confused with pure income or yield. The Fund strives to establish a level regular dividend that, over the course of the year, will serve to distribute all income and realized gains, minimizing the need for special distributions.

The Fund invests primarily in real estate investment trusts (REITs) and similar companies. When these companies make distributions during the year, they do not disclose the character of those distributions. The Fund uses historical information to generate the estimated character reflected in this notice. Until the Fund receives information as to the character of distributions it has received from these companies – generally around January 31 of the following year – it cannot provide a definitive characterization of the source of distributions paid to shareholders.

The Fund invests in certain companies that have been designated as “passive foreign investment companies” (“PFICs”) for purposes of U.S. tax regulations. Increases in the value of these PFICs (“PFIC Income”) increase the income of the Fund. PFIC Income does not reflect dividends or other income actually received by the Fund, although it does serve to increase the Net Investment Income the Fund is required to distribute. Distributions of PFIC Income may result in a Return of Capital. The amount of Net Investment Income described in the foregoing table (Estimated Source of Distributions) may include PFIC Income. Decreases in the value of these PFICs (“PFIC Losses”) offset the other investment income of the Fund. PFIC Losses do not reflect a diminution in the amount of dividends or income actually received by the Fund, although they do serve to reduce the Net Investment Income the Fund is required to distribute. The amount of Net Investment Income in the foregoing table (Estimated Source of Distributions) may have been reduced by PFIC Losses.

The Fund estimates that it has distributed more than its income and capital gains; therefore, a portion of your distribution may be a return of capital. A return of capital may occur, for example, when some or all of the money that you invested in the Fund is paid back to you. A return of capital distribution does not necessarily reflect the Fund’s investment performance and should not be confused with “yield” or “income”.


Shareholders should not draw any conclusions about the Fund’s investment performance from the amount of this distribution or from the terms of the Fund’s managed distribution policy. Please note that all performance figures below are based on the Fund’s net asset value (“NAV”) and not the market price of the Fund’s shares. Performance figures are not meant to represent individual shareholder performance. The value of a shareholder’s investment in the Fund is determined by the market price of the Fund’s shares.

The Fund’s cumulative year-to-date total return for fiscal year 2013 (January 1, 2013 through January 31, 2013) is set forth below. Shareholders should take note of the relationship between the Year-to-date Cumulative Total Return on NAV and the Fund’s Cumulative Distribution Rate for 2013, as well as its Current Annualized Distribution Rate. Moreover, the Fund’s Average Annual Total Return (in relation to its NAV) for the preceding five-year period (February 1, 2008 through January 31, 2013) is set forth below. Shareholders should take note of the relationship between the Fund’s Average Annual Total Return on NAV for the preceding five-year period and the Fund’s Average Annual Distribution Rate for the preceding five-year period. The performance and distribution rate information disclosed in the table below is based on the Fund’s net asset value (NAV). The Fund’s NAV is calculated as the total market value of all the securities and other assets held by the Fund minus the total liabilities, divided by the total number of common shares outstanding.

Fund Performance and Distribution Rate Information:

 

Year-to-date 01/1/2013 to 01/31/2013

  

Year-to-date Cumulative Total Return on NAV1

     3.11

Cumulative Distribution Rate2

     0.46

Preceding Five-Year Period 02/1/2008 to 01/31/2013

  

Average Annual Total Return on NAV3

     10.69

Average Annual Distribution Rate4

     7.80

Current Annualized Distribution Rate5

     5.55

 

1 Year-to-date Cumulative Total Return on NAV is the percentage change in the Fund’s NAV over the year-to-date time period including distributions paid and assuming reinvestment of those distributions.

 

2 Cumulative Distribution Rate for the Fund’s current fiscal period (January 1, 2013 through January 31, 2013) measured on the dollar value of distributions in the year-to-date period as a percentage of the Fund’s NAV as of January 31, 2013.

 

3 Average Annual Total Return on NAV represents the simple arithmetic average of the Annual NAV Total Returns of the Fund for the preceding five-year period. Annual NAV Total Return is the percentage change in the Fund’s NAV over a year including distributions paid and assuming reinvestment of those distributions.

 

4 Average Annual Distribution Rate is the simple arithmetic average of the Annual Distribution Rates for the preceding five-year period. The Annual Distribution Rates are calculated by taking the total distributions paid during the period divided by average daily NAV for the period.

 

5 The Current Annualized Distribution Rate is the current monthly distribution rate annualized as a percentage of the Fund’s NAV as of January 31, 2013.

For more information on the Fund, please contact your financial advisor or visit us on the web at www.cbreclarion.com.

As always, we appreciate your investment in the CBRE Clarion Global Real Estate Income Fund.

CBRE Clarion Global Real Estate Income Fund

February 11, 2013


CBRE Clarion Global Real Estate Income Fund

(NYSE: IGR)

CUSIP: 12504G100

Dear Shareholders:

This notice provides detailed information which may assist you and your advisors. This notice is for informational purposes only. No action is required on your part.

CBRE Clarion Global Real Estate Income Fund (the “Fund”) has declared a monthly distribution of $0.045 per share for the month of March 2013. You are receiving this notice as a requirement of the Fund’s managed distribution plan. This notice is intended to provide insight into the estimated character of the current (and year-to-date) distribution(s) in terms of income, capital gain, and potential return of capital. You should expect to receive this notice with every distribution. The character of the current (and YTD) distribution(s) will change through the course of the year, as the Fund’s estimates of the sources of its income become more clear.

The Fund has paid or declared total distribution of $0.135 per share to date in fiscal year 2013 (January 1, 2013 to March 31, 2013). The source of the distribution declared for the month and current fiscal year is estimated as follows:

 

Estimated Source of Distributions:

  

Distribution

     Estimated Allocations  
   Net  Investment
Income*
    Net Realized Short-
Term  Capital Gains
    Net Realized Long-
Term  Capital Gains
    Return of
Capital
 

Current

   $ 0.045       $ 0.032   (71%)      —   (0%)      —   (0%)    $ 0.013   (29%) 

YTD

   $ 0.135       $ 0.095   (71%)      —   (0%)      —   (0%)    $ 0.040   (29%) 

 

* Includes PFIC income, as defined below.

SHAREHOLDERS SHOULD NOT USE THE INFORMATION PROVIDED IN THIS NOTICE IN PREPARING THEIR TAX RETURNS. SHAREHOLDERS WILL RECEIVE A FORM 1099-DIV FOR THE CALENDAR YEAR INDICATING HOW TO REPORT FUND DISTRIBUTIONS FOR FEDERAL INCOME TAX PURPOSES.

The amounts and sources of distributions reported in this 19(a) Notice are only estimates and are not provided for tax reporting purposes. The actual amounts and sources of the amounts for accounting and tax reporting purposes will depend upon the Fund’s investment experience during the remainder of its fiscal year and may be subject to changes based on tax regulations.

The Fund’s dividend policy is established by its Board of Trustees. The dividend is set by the Board at regular intervals with consideration of investment income and realized gains expected for the year. Each distribution is expected to be paid from some or all of the following sources: net investment income, realized capital gains and, in certain cases, return of capital. The Fund’s distribution rate should not be confused with pure income or yield. The Fund strives to establish a level regular dividend that, over the course of the year, will serve to distribute all income and realized gains, minimizing the need for special distributions.

The Fund invests primarily in real estate investment trusts (REITs) and similar companies. When these companies make distributions during the year, they do not disclose the character of those distributions. The Fund uses historical information to generate the estimated character reflected in this notice. Until the Fund receives information as to the character of distributions it has received from these companies – generally around January 31 of the following year – it cannot provide a definitive characterization of the source of distributions paid to shareholders.

The Fund invests in certain companies that have been designated as “passive foreign investment companies” (“PFICs”) for purposes of U.S. tax regulations. Increases in the value of these PFICs (“PFIC Income”) increase the income of the Fund. PFIC Income does not reflect dividends or other income actually received by the Fund, although it does serve to increase the Net Investment Income the Fund is required to distribute. Distributions of PFIC Income may result in a Return of Capital. The amount of Net Investment Income described in the foregoing table (Estimated Source of Distributions) may include PFIC Income. Decreases in the value of these PFICs (“PFIC Losses”) offset the other investment income of the Fund. PFIC Losses do not reflect a diminution in the amount of dividends or income actually received by the Fund, although they do serve to reduce the Net Investment Income the Fund is required to distribute. The amount of Net Investment Income in the foregoing table (Estimated Source of Distributions) may have been reduced by PFIC Losses.

The Fund estimates that it has distributed more than its income and capital gains; therefore, a portion of your distribution may be a return of capital. A return of capital may occur, for example, when some or all of the money that you invested in the Fund is paid back to you. A return of capital distribution does not necessarily reflect the Fund’s investment performance and should not be confused with “yield” or “income”.


Shareholders should not draw any conclusions about the Fund’s investment performance from the amount of this distribution or from the terms of the Fund’s managed distribution policy. Please note that all performance figures below are based on the Fund’s net asset value (“NAV”) and not the market price of the Fund’s shares. Performance figures are not meant to represent individual shareholder performance. The value of a shareholder’s investment in the Fund is determined by the market price of the Fund’s shares.

The Fund’s cumulative year-to-date total return for fiscal year 2013 (January 1, 2013 through February 28, 2013) is set forth below. Shareholders should take note of the relationship between the Year-to-date Cumulative Total Return on NAV and the Fund’s Cumulative Distribution Rate for 2013, as well as its Current Annualized Distribution Rate. Moreover, the Fund’s Average Annual Total Return (in relation to its NAV) for the preceding five-year period (March 1, 2008 through February 28, 2013) is set forth below. Shareholders should take note of the relationship between the Fund’s Average Annual Total Return on NAV for the preceding five-year period and the Fund’s Average Annual Distribution Rate for the preceding five-year period. The performance and distribution rate information disclosed in the table below is based on the Fund’s net asset value (NAV). The Fund’s NAV is calculated as the total market value of all the securities and other assets held by the Fund minus the total liabilities, divided by the total number of common shares outstanding.

Fund Performance and Distribution Rate Information:

 

Year-to-date 01/1/2013 to 02/28/2013

  

Year-to-date Cumulative Total Return on NAV1

     4.01

Cumulative Distribution Rate2

     0.92

Preceding Five-Year Period 03/1/2008 to 02/28/2013

  

Average Annual Total Return on NAV3

     16.51

Average Annual Distribution Rate4

     7.74

Current Annualized Distribution Rate5

     5.53

 

1 Year-to-date Cumulative Total Return on NAV is the percentage change in the Fund’s NAV over the year-to-date time period including distributions paid and assuming reinvestment of those distributions.

 

2 Cumulative Distribution Rate for the Fund’s current fiscal period (January 1, 2013 through February 28, 2013) measured on the dollar value of distributions in the year-to-date period as a percentage of the Fund’s NAV as of February 28, 2013.

 

3 Average Annual Total Return on NAV represents the simple arithmetic average of the Annual NAV Total Returns of the Fund for the preceding five-year period. Annual NAV Total Return is the percentage change in the Fund’s NAV over a year including distributions paid and assuming reinvestment of those distributions.

 

4 Average Annual Distribution Rate is the simple arithmetic average of the Annual Distribution Rates for the preceding five-year period. The Annual Distribution Rates are calculated by taking the total distributions paid during the period divided by average daily NAV for the period.

 

5 The Current Annualized Distribution Rate is the current monthly distribution rate annualized as a percentage of the Fund’s NAV as of February 28, 2013.

For more information on the Fund, please contact your financial advisor or visit us on the web at www.cbreclarion.com.

As always, we appreciate your investment in the CBRE Clarion Global Real Estate Income Fund.

CBRE Clarion Global Real Estate Income Fund

March 11, 2013


CBRE Clarion Global Real Estate Income Fund

(NYSE: IGR)

CUSIP: 12504G100

Dear Shareholders:

This notice provides detailed information which may assist you and your advisors. This notice is for informational purposes only. No action is required on your part.

CBRE Clarion Global Real Estate Income Fund (the “Fund”) has declared a monthly distribution of $0.045 per share for the month of April 2013. You are receiving this notice as a requirement of the Fund’s managed distribution plan. This notice is intended to provide insight into the estimated character of the current (and year-to-date) distribution(s) in terms of income, capital gain, and potential return of capital. You should expect to receive this notice with every distribution. The character of the current (and YTD) distribution(s) will change through the course of the year, as the Fund’s estimates of the sources of its income become more clear.

The Fund has paid or declared total distribution of $0.18 per share to date in fiscal year 2013 (January 1, 2013 to April 30, 2013). The source of the distribution declared for the month and current fiscal year is estimated as follows:

 

Estimated Source of Distributions:

  

Distribution

     Estimated Allocations  
   Net  Investment
Income*
    Net Realized Short-
Term  Capital Gains
    Net Realized Long-
Term  Capital Gains
    Return of
Capital
 

Current

   $ 0.045       $ 0.036   (80%)      —   (0%)      —   (0%)    $ 0.009   (20%) 

YTD

   $ 0.18       $ 0.144   (80%)      —   (0%)      —   (0%)    $ 0.036   (20%) 

 

* Includes PFIC income, as defined below.

SHAREHOLDERS SHOULD NOT USE THE INFORMATION PROVIDED IN THIS NOTICE IN PREPARING THEIR TAX RETURNS. SHAREHOLDERS WILL RECEIVE A FORM 1099-DIV FOR THE CALENDAR YEAR INDICATING HOW TO REPORT FUND DISTRIBUTIONS FOR FEDERAL INCOME TAX PURPOSES.

The amounts and sources of distributions reported in this 19(a) Notice are only estimates and are not provided for tax reporting purposes. The actual amounts and sources of the amounts for accounting and tax reporting purposes will depend upon the Fund’s investment experience during the remainder of its fiscal year and may be subject to changes based on tax regulations.

The Fund’s dividend policy is established by its Board of Trustees. The dividend is set by the Board at regular intervals with consideration of investment income and realized gains expected for the year. Each distribution is expected to be paid from some or all of the following sources: net investment income, realized capital gains and, in certain cases, return of capital. The Fund’s distribution rate should not be confused with pure income or yield. The Fund strives to establish a level regular dividend that, over the course of the year, will serve to distribute all income and realized gains, minimizing the need for special distributions.

The Fund invests primarily in real estate investment trusts (REITs) and similar companies. When these companies make distributions during the year, they do not disclose the character of those distributions. The Fund uses historical information to generate the estimated character reflected in this notice. Until the Fund receives information as to the character of distributions it has received from these companies – generally around January 31 of the following year – it cannot provide a definitive characterization of the source of distributions paid to shareholders.

The Fund invests in certain companies that have been designated as “passive foreign investment companies” (“PFICs”) for purposes of U.S. tax regulations. Increases in the value of these PFICs (“PFIC Income”) increase the income of the Fund. PFIC Income does not reflect dividends or other income actually received by the Fund, although it does serve to increase the Net Investment Income the Fund is required to distribute. Distributions of PFIC Income may result in a Return of Capital. The amount of Net Investment Income described in the foregoing table (Estimated Source of Distributions) may include PFIC Income. Decreases in the value of these PFICs (“PFIC Losses”) offset the other investment income of the Fund. PFIC Losses do not reflect a diminution in the amount of dividends or income actually received by the Fund, although they do serve to reduce the Net Investment Income the Fund is required to distribute. The amount of Net Investment Income in the foregoing table (Estimated Source of Distributions) may have been reduced by PFIC Losses.

The Fund estimates that it has distributed more than its income and capital gains; therefore, a portion of your distribution may be a return of capital. A return of capital may occur, for example, when some or all of the money that you invested in the Fund is paid back to you. A return of capital distribution does not necessarily reflect the Fund’s investment performance and should not be confused with “yield” or “income”.


Shareholders should not draw any conclusions about the Fund’s investment performance from the amount of this distribution or from the terms of the Fund’s managed distribution policy. Please note that all performance figures below are based on the Fund’s net asset value (“NAV”) and not the market price of the Fund’s shares. Performance figures are not meant to represent individual shareholder performance. The value of a shareholder’s investment in the Fund is determined by the market price of the Fund’s shares.

The Fund’s cumulative year-to-date total return for fiscal year 2013 (January 1, 2013 through March 31, 2013) is set forth below. Shareholders should take note of the relationship between the Year-to-date Cumulative Total Return on NAV and the Fund’s Cumulative Distribution Rate for 2013, as well as its Current Annualized Distribution Rate. Moreover, the Fund’s Average Annual Total Return (in relation to its NAV) for the preceding five-year period (April 1, 2008 through March 31, 2013) is set forth below. Shareholders should take note of the relationship between the Fund’s Average Annual Total Return on NAV for the preceding five-year period and the Fund’s Average Annual Distribution Rate for the preceding five-year period. The performance and distribution rate information disclosed in the table below is based on the Fund’s net asset value (NAV). The Fund’s NAV is calculated as the total market value of all the securities and other assets held by the Fund minus the total liabilities, divided by the total number of common shares outstanding.

Fund Performance and Distribution Rate Information:

 

Year-to-date 01/01/2013 to 03/31/2013

  

Year-to-date Cumulative Total Return on NAV1

     6.83

Cumulative Distribution Rate2

     1.35

Preceding Five-Year Period 04/01/2008 to 03/31/2013

  

Average Annual Total Return on NAV3

     16.35

Average Annual Distribution Rate4

     7.67

Current Annualized Distribution Rate5

     5.41

 

1 Year-to-date Cumulative Total Return on NAV is the percentage change in the Fund’s NAV over the year-to-date time period including distributions paid and assuming reinvestment of those distributions.

 

2 Cumulative Distribution Rate for the Fund’s current fiscal period (January 1, 2013 through March 31, 2013) measured on the dollar value of distributions in the year-to-date period as a percentage of the Fund’s NAV as of March 31, 2013.

 

3 Average Annual Total Return on NAV represents the simple arithmetic average of the Annual NAV Total Returns of the Fund for the preceding five-year period. Annual NAV Total Return is the percentage change in the Fund’s NAV over a year including distributions paid and assuming reinvestment of those distributions.

 

4 Average Annual Distribution Rate is the simple arithmetic average of the Annual Distribution Rates for the preceding five-year period. The Annual Distribution Rates are calculated by taking the total distributions paid during the period divided by average daily NAV for the period.

 

5 The Current Annualized Distribution Rate is the current monthly distribution rate annualized as a percentage of the Fund’s NAV as of March 31, 2013.

For more information on the Fund, please contact your financial advisor or visit us on the web at www.cbreclarion.com.

As always, we appreciate your investment in the CBRE Clarion Global Real Estate Income Fund.

CBRE Clarion Global Real Estate Income Fund

April 12, 2013


CBRE Clarion Global Real Estate Income Fund

(NYSE: IGR)

CUSIP: 12504G100

Dear Shareholders:

This notice provides detailed information which may assist you and your advisors. This notice is for informational purposes only. No action is required on your part.

CBRE Clarion Global Real Estate Income Fund (the “Fund”) has declared a monthly distribution of $0.045 per share for the month of May 2013. You are receiving this notice as a requirement of the Fund’s managed distribution plan. This notice is intended to provide insight into the estimated character of the current (and year-to-date) distribution(s) in terms of income, capital gain, and potential return of capital. You should expect to receive this notice with every distribution. The character of the current (and YTD) distribution(s) will change through the course of the year, as the Fund’s estimates of the sources of its income become more clear.

The Fund has paid or declared total distribution of $0.225 per share to date in fiscal year 2013 (January 1, 2013 to May 31, 2013). The source of the distribution declared for the month and current fiscal year is estimated as follows:

 

Estimated Source of Distributions:

  

Distribution

     Estimated Allocations  
   Net  Investment
Income*
    Net Realized Short-
Term  Capital Gains
    Net Realized Long-
Term  Capital Gains
    Return of
Capital
 

Current

   $ 0.045       $ 0.045   (100%)      —   (0%)      —   (0%)      —   (0%) 

YTD

   $ 0.225       $ 0.225   (100%)      —   (0%)      —   (0%)      —   (0%) 

 

* Includes PFIC income, as defined below.

SHAREHOLDERS SHOULD NOT USE THE INFORMATION PROVIDED IN THIS NOTICE IN PREPARING THEIR TAX RETURNS. SHAREHOLDERS WILL RECEIVE A FORM 1099-DIV FOR THE CALENDAR YEAR INDICATING HOW TO REPORT FUND DISTRIBUTIONS FOR FEDERAL INCOME TAX PURPOSES.

The amounts and sources of distributions reported in this 19(a) Notice are only estimates and are not provided for tax reporting purposes. The actual amounts and sources of the amounts for accounting and tax reporting purposes will depend upon the Fund’s investment experience during the remainder of its fiscal year and may be subject to changes based on tax regulations.

The Fund’s dividend policy is established by its Board of Trustees. The dividend is set by the Board at regular intervals with consideration of investment income and realized gains expected for the year. Each distribution is expected to be paid from some or all of the following sources: net investment income, realized capital gains and, in certain cases, return of capital. The Fund’s distribution rate should not be confused with pure income or yield. The Fund strives to establish a level regular dividend that, over the course of the year, will serve to distribute all income and realized gains, minimizing the need for special distributions.

The Fund invests primarily in real estate investment trusts (REITs) and similar companies. When these companies make distributions during the year, they do not disclose the character of those distributions. The Fund uses historical information to generate the estimated character reflected in this notice. Until the Fund receives information as to the character of distributions it has received from these companies – generally around January 31 of the following year – it cannot provide a definitive characterization of the source of distributions paid to shareholders.

The Fund invests in certain companies that have been designated as “passive foreign investment companies” (“PFICs”) for purposes of U.S. tax regulations. Increases in the value of these PFICs (“PFIC Income”) increase the income of the Fund. PFIC Income does not reflect dividends or other income actually received by the Fund, although it does serve to increase the Net Investment Income the Fund is required to distribute. Distributions of PFIC Income may result in a Return of Capital. The amount of Net Investment Income described in the foregoing table (Estimated Source of Distributions) may include PFIC Income. Decreases in the value of these PFICs (“PFIC Losses”) offset the other investment income of the Fund. PFIC Losses do not reflect a diminution in the amount of dividends or income actually received by the Fund, although they do serve to reduce the Net Investment Income the Fund is required to distribute. The amount of Net Investment Income in the foregoing table (Estimated Source of Distributions) may have been reduced by PFIC Losses.

Shareholders should not draw any conclusions about the Fund’s investment performance from the amount of this distribution or from the terms of the Fund’s managed distribution policy. Please note that all performance figures below are based on the Fund’s net asset value (“NAV”) and not the market price of the Fund’s shares. Performance figures are not meant to represent individual shareholder performance. The value of a shareholder’s investment in the Fund is determined by the market price of the Fund’s shares.


The Fund’s cumulative year-to-date total return for fiscal year 2013 (January 1, 2013 through April 30, 2013) is set forth below. Shareholders should take note of the relationship between the Year-to-date Cumulative Total Return on NAV and the Fund’s Cumulative Distribution Rate for 2013, as well as its Current Annualized Distribution Rate. Moreover, the Fund’s Average Annual Total Return (in relation to its NAV) for the preceding five-year period (May 1, 2008 through April 30, 2013) is set forth below. Shareholders should take note of the relationship between the Fund’s Average Annual Total Return on NAV for the preceding five-year period and the Fund’s Average Annual Distribution Rate for the preceding five-year period. The performance and distribution rate information disclosed in the table below is based on the Fund’s net asset value (NAV). The Fund’s NAV is calculated as the total market value of all the securities and other assets held by the Fund minus the total liabilities, divided by the total number of common shares outstanding.

Fund Performance and Distribution Rate Information:

 

Year-to-date 01/01/2013 to 04/30/2013

  

Year-to-date Cumulative Total Return on NAV1

     13.52

Cumulative Distribution Rate2

     1.70

Preceding Five-Year Period 05/01/2008 to 04/30/2013

  

Average Annual Total Return on NAV3

     12.05

Average Annual Distribution Rate4

     7.65

Current Annualized Distribution Rate5

     5.11

 

1 Year-to-date Cumulative Total Return on NAV is the percentage change in the Fund’s NAV over the year-to-date time period including distributions paid and assuming reinvestment of those distributions.

 

2 Cumulative Distribution Rate for the Fund’s current fiscal period (January 1, 2013 through April 30, 2013) measured on the dollar value of distributions in the year-to-date period as a percentage of the Fund’s NAV as of April 30, 2013.

 

3 Average Annual Total Return on NAV represents the simple arithmetic average of the Annual NAV Total Returns of the Fund for the preceding five-year period. Annual NAV Total Return is the percentage change in the Fund’s NAV over a year including distributions paid and assuming reinvestment of those distributions.

 

4 Average Annual Distribution Rate is the simple arithmetic average of the Annual Distribution Rates for the preceding five-year period. The Annual Distribution Rates are calculated by taking the total distributions paid during the period divided by average daily NAV for the period.

 

5 The Current Annualized Distribution Rate is the current monthly distribution rate annualized as a percentage of the Fund’s NAV as of April 30, 2013.

For more information on the Fund, please contact your financial advisor or visit us on the web at www.cbreclarion.com.

As always, we appreciate your investment in the CBRE Clarion Global Real Estate Income Fund.

CBRE Clarion Global Real Estate Income Fund

May 10, 2013


CBRE Clarion Global Real Estate Income Fund

(NYSE: IGR)

CUSIP: 12504G100

Dear Shareholders:

This notice provides detailed information which may assist you and your advisors. This notice is for informational purposes only. No action is required on your part.

CBRE Clarion Global Real Estate Income Fund (the “Fund”) has declared a monthly distribution of $0.045 per share for the month of June 2013. You are receiving this notice as a requirement of the Fund’s managed distribution plan. This notice is intended to provide insight into the estimated character of the current (and year-to-date) distribution(s) in terms of income, capital gain, and potential return of capital. You should expect to receive this notice with every distribution. The character of the current (and YTD) distribution(s) will change through the course of the year, as the Fund’s estimates of the sources of its income become more clear.

The Fund has paid or declared total distribution of $0.27 per share to date in fiscal year 2013 (January 1, 2013 to June 30, 2013). The source of the distribution declared for the month and current fiscal year is estimated as follows:

 

Estimated Source of Distributions:

  

Distribution

     Estimated Allocations  
   Net  Investment
Income*
    Net Realized Short-
Term  Capital Gains
    Net Realized Long-
Term  Capital Gains
    Return of
Capital
 

Current

   $ 0.045       $ 0.022   (50%)      —   (0%)      —   (0%)    $ 0.023   (50%) 

YTD

   $ 0.27       $ 0.135   (50%)      —   (0%)      —   (0%)    $ 0.135   (50%) 

 

* Includes PFIC income, as defined below.

The amounts and sources of distributions reported in this 19(a) Notice are only estimates and are not provided for tax reporting purposes. The actual amounts and sources of the amounts for accounting and tax reporting purposes will depend upon the Fund’s investment experience during the remainder of its fiscal year and may be subject to changes based on tax regulations.

SHAREHOLDERS SHOULD NOT USE THE INFORMATION PROVIDED IN THIS NOTICE IN PREPARING THEIR TAX RETURNS. SHAREHOLDERS WILL RECEIVE A FORM 1099-DIV FOR THE CALENDAR YEAR INDICATING HOW TO REPORT FUND DISTRIBUTIONS FOR FEDERAL INCOME TAX PURPOSES.

The Fund’s dividend policy is established by its Board of Trustees. The dividend is set by the Board at regular intervals with consideration of investment income and realized gains expected for the year. Each distribution is expected to be paid from some or all of the following sources: net investment income, realized capital gains and, in certain cases, return of capital. The Fund’s distribution rate should not be confused with pure income or yield. The Fund strives to establish a level regular dividend that, over the course of the year, will serve to distribute all income and realized gains, minimizing the need for special distributions.

The Fund invests primarily in real estate investment trusts (REITs) and similar companies. When these companies make distributions during the year, they do not disclose the character of those distributions. The Fund uses historical information to generate the estimated character reflected in this notice. Until the Fund receives information as to the character of distributions it has received from these companies – generally around January 31 of the following year – it cannot provide a definitive characterization of the source of distributions paid to shareholders.

The Fund invests in certain companies that have been designated as “passive foreign investment companies” (“PFICs”) for purposes of U.S. tax regulations. Increases in the value of these PFICs (“PFIC Income”) increase the income of the Fund. PFIC Income does not reflect dividends or other income actually received by the Fund, although it does serve to increase the Net Investment Income the Fund is required to distribute. Distributions of PFIC Income may result in a Return of Capital. The amount of Net Investment Income described in the foregoing table (Estimated Source of Distributions) may include PFIC Income. Decreases in the value of these PFICs (“PFIC Losses”) offset the other investment income of the Fund. PFIC Losses do not reflect a diminution in the amount of dividends or income actually received by the Fund, although they do serve to reduce the Net Investment Income the Fund is required to distribute. The amount of Net Investment Income in the foregoing table (Estimated Source of Distributions) may have been reduced by PFIC Losses.

The Fund estimates that it has distributed more than its income and capital gains; therefore, a portion of your distribution may be a return of capital. A return of capital may occur, for example, when some or all of the money that you invested in the Fund is paid back to you. A return of capital distribution does not necessarily reflect the Fund’s investment performance and should not be confused with “yield” or “income”.


Shareholders should not draw any conclusions about the Fund’s investment performance from the amount of this distribution or from the terms of the Fund’s managed distribution policy. Please note that all performance figures below are based on the Fund’s net asset value (“NAV”) and not the market price of the Fund’s shares. Performance figures are not meant to represent individual shareholder performance. The value of a shareholder’s investment in the Fund is determined by the market price of the Fund’s shares.

The Fund’s cumulative year-to-date total return for fiscal year 2013 (January 1, 2013 through May 31, 2013) is set forth below. Shareholders should take note of the relationship between the Year-to-date Cumulative Total Return on NAV and the Fund’s Cumulative Distribution Rate for 2013, as well as its Current Annualized Distribution Rate. Moreover, the Fund’s Average Annual Total Return (in relation to its NAV) for the preceding five-year period (June 1, 2008 through May 31, 2013) is set forth below. Shareholders should take note of the relationship between the Fund’s Average Annual Total Return on NAV for the preceding five-year period and the Fund’s Average Annual Distribution Rate for the preceding five-year period. The performance and distribution rate information disclosed in the table below is based on the Fund’s net asset value (NAV). The Fund’s NAV is calculated as the total market value of all the securities and other assets held by the Fund minus the total value of its liabilities.

Fund Performance and Distribution Rate Information:

 

Year-to-date 01/01/2013 to 05/31/2013

  

Year-to-date Cumulative Total Return on NAV1

     6.38

Cumulative Distribution Rate2

     2.28

Preceding Five-Year Period 06/01/2008 to 05/31/2013

  

Average Annual Total Return on NAV3

     8.35

Average Annual Distribution Rate4

     7.64

Current Annualized Distribution Rate5

     5.48

 

1 Year-to-date Cumulative Total Return on NAV is the percentage change in the Fund’s NAV over the year-to-date time period including distributions paid and assuming reinvestment of those distributions.

 

2 Cumulative Distribution Rate for the Fund’s current fiscal period (January 1, 2013 through May 31, 2013) measured on the dollar value of distributions in the year-to-date period as a percentage of the Fund’s NAV as of May 31, 2013.

 

3 Average Annual Total Return on NAV represents the simple arithmetic average of the Annual NAV Total Returns of the Fund for the preceding five-year period. Annual NAV Total Return is the percentage change in the Fund’s NAV over a year including distributions paid and assuming reinvestment of those distributions.

 

4 Average Annual Distribution Rate is the simple arithmetic average of the Annual Distribution Rates for the preceding five-year period. The Annual Distribution Rates are calculated by taking the total distributions paid during the period divided by average daily NAV for the period.

 

5 The Current Annualized Distribution Rate is the current monthly distribution rate annualized as a percentage of the Fund’s NAV as of May 31, 2013.

For more information on the Fund, please contact your financial advisor or visit us on the web at www.cbreclarion.com.

As always, we appreciate your investment in the CBRE Clarion Global Real Estate Income Fund.

CBRE Clarion Global Real Estate Income Fund

June 10, 2013

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