CGWM Bond Fund announced income distributions for the period ended March 31, 2020. For the period, the company declared distribution of GBP 0.71046 per unit of class A shares, EUR 0.63151 per unit of class A shares, USD 0.70202 per unit of class A, GBP 0.70639 per unit of class X shares, EUR 0.66774 per unit of class X shares and USD 0.70997 per unit of class X shares, payable on April 20, 2020, ex-date is April 2, 2020 and record date is April 1, 2020.