Price
$2.85
Increased by +0.71%
Dollar volume (20D)
330.04 K
ADR%
2.55
Shares float
0.00
Shares short
128.47 K [N/A%]
Shares outstanding
13.46 M
Market cap
38.09 M
Beta
0.19
Price/earnings
15.72
20D range
2.73 3.03
50D range
2.68 3.03
200D range
2.68 6.32

Abrdn Global Income Fund Inc is a closed-ended fixed income mutual fund launched and managed by Aberdeen Standard Investments (Asia) Limited.

It is co-managed by Aberdeen Standard Investments Australia Limited and Aberdeen Asset Managers Limited.

The fund invests in fixed income markets across the globe.

It primarily invests in fixed-income securities denominated in the Commonwealth currencies and global debt securities.

The fund benchmarks the performance of its portfolio against a composite index comprised of 20% Bank of America Merrill Lynch Australian Government Bonds Index, 20% Bank of America Merrill Lynch UK Government Bonds Index, 15% Bank of America Merrill Lynch Canadian Government Bonds Index, 15% Bank of America Merrill Lynch New Zealand Government Bonds Index, and 30% Bank of America Merrill Lynch Global Emerging Markets Index.

Abrdn Global Income Fund Inc was formed on June 28, 1991 and is domiciled in the United States.

Reported date EPSChange YoY EstimateSurprise
Jul 7, 25 -0.03
Decreased by -106.92%
-
Jan 10, 25 0.20
Decreased by -53.90%
-
Apr 30, 21 0.32
Increased by +148.05%
-
Jan 31, 21 0.32
Increased by +148.05%
-
Oct 31, 20 0.43
Increased by +196.72%
-
Jul 31, 20 0.43
Increased by +196.72%
-
Apr 30, 20 -0.66
Decreased by -435.46%
-
Jan 31, 20 -0.66
Decreased by -435.46%
-
Fiscal ending date RevenueChange YoY IncomeChange YoY ProfitChange YoY
Oct 31, 23 5.79 M
Increased by +498.82%
2.52 M
Increased by +180.49%
Increased by +43.60%
Increased by +113.44%
Apr 30, 23 1.10 M
Decreased by -46.05%
2.48 M
Increased by +125.67%
Increased by +225.06%
Increased by +147.58%
Jan 31, 23 1.10 M
Increased by +7.91%
2.48 M
Increased by +151.34%
Increased by +225.06%
Increased by +147.58%
Oct 31, 22 1.93 M
Decreased by -8.31%
-6.27 M
Decreased by -775.39%
Decreased by -324.37%
Decreased by -854.78%
Jul 31, 22 966.95 K
Decreased by -8.31%
-3.14 M
Decreased by -775.39%
Decreased by -324.37%
Decreased by -854.78%
Apr 30, 22 2.04 M
Decreased by -4.03%
-9.64 M
Decreased by -274.62%
Decreased by -473.01%
Decreased by -281.96%
Jan 31, 22 1.02 M
Decreased by -4.03%
-4.82 M
Decreased by -274.62%
Decreased by -473.01%
Decreased by -281.96%
Oct 31, 21 2.11 M
Increased by +2.54%
-716.59 K
Decreased by -109.46%
Decreased by -33.97%
Decreased by -109.23%
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