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NYSE MKT | Common Stock
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% |