Investment Trusts

Abrdn Asian Income Fund Limited

AAIF:LSE

Abrdn Asian Income Fund Limited

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  • Price (GBX)213.00
  • Today's Change0.00 / 0.00%
  • Shares traded216.54k
  • 1 Year change+4.41%
  • Beta0.9385
Data delayed at least 20 minutes, as of May 07 2024 16:35 BST.
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About the company

abrdn Asian Income Fund Limited is a closed-end investment company. The investment objective of the Company is to provide investors with a total return primarily through investing in Asia Pacific securities, including those with an above average yield. The Company’s segment is to invests in equity securities and debt instruments. The Company invests in the Asia Pacific securities, such as global depositary receipts (GDRs), listed on other international stock exchanges; companies listed on other international exchanges that derive significant revenues or profits from the Asia Pacific region, and debt issued by governments or companies in the Asia Pacific region or denominated in Asia Pacific currencies. The Company invest in all types of securities, including equity shares, preference shares, debt, convertible securities, warrants and other equity-related securities. It invests in small, mid and large capitalization companies. The Company's investment manager is abrdn Asia Limited.

  • Revenue in GBP (TTM)16.30m
  • Net income in GBP8.74m
  • Incorporated2005
  • Employees0.00
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Profile

Management group(s)abrdn Investments Limited
AIC sectorAsia Pacific Equity Income
ISINGB00B0P6J834
Launch date20 Dec 2005
Share typeOrdinary Share
StructureInvestment Trust
Base currencyGBP

Objective

To provide investors with a total return primarily through investing in Asia Pacific securities, including those with an above average yield. The Company aims to grow its dividends over time.

Managed by

Flavia Cheong, Yoojeong Oh, Eric Chan

Management & contract fees

Investment management is entitled to a management fee of 0.75% p.a for NAV up to GBP 300m; 0.6% p.a for NAV in excess of GBP 300m,calculated and accrued on a monthly basis and payable quarterly in arrears. The management fee is calculated and accrued on a monthly basis (being 1/12th of the value resulting from the sum of (i) plus (ii) above) and is payable quarterly in arrears. Either party may terminate the management agreement by giving not less than notice period of 6 months.

Peer analysis

Key Information
CompanyRevenue (TTM)Net income (TTM)Market capEmployeesPrice/earnings (TTM)Price/book value (MRQ)Price/cash flow (TTM)Price/sales (TTM)EPS (excl. extraordinary items, TTM)EPS (incl. extraordinary items, TTM)Revenue per share (TTM)Book value per share (MRQ)Asset turnover (TTM)Inventory turnover (TTM)Receivables turnover (TTM)Revenues per employee (TTM)Return on avg assets (TTM)Return on avg assets (5 yr avg)Return on investment (TTM)Return on investment (5 yr avg)Gross margin (TTM)Gross margin
(5 yr avg)
Net profit margin (TTM)Net Profit margin
(5 yr avg)
Quick ratio (MRQ)Interest coverage (TTM)Total debt to capital (MRQ)Payout ratio
(5 yr avg)
Revenue
(YOY change %)
Revenue
(5 yr growth rate)
Net income
(YOY change %)
Net income
(5 yr growth rate)
Capital expenditure
(5 yr growth rate)
Dividend
(5 yr growth rate)
Gresham House Energy Storage Fund PLC-100.10m-110.11m321.52m0.00--0.4378-----0.1945-0.1945-0.17871.29-0.1263-------13.90---13.92--------------0.00---144.40---150.71------
Henderson International Income Trust PLC18.14m12.76m322.39m0.0025.260.9103--17.780.06510.06510.09251.810.0473--4.39--3.334.383.354.5185.2985.6470.3876.59----0.067279.55-54.91-16.03-76.65-27.93--7.10
Scottish Oriental Smaller Co's Trust PLC53.44m40.62m322.65m0.008.110.8744--6.041.671.672.1915.500.1367------10.394.7110.394.7893.0386.2276.0269.90----0.0019.50-15.11---29.61----2.48
Henderson Eurotrust PLC31.38m27.02m324.14m0.0012.000.926--10.330.12760.12760.14811.650.0896--13.42--7.726.927.937.1591.3291.7086.1186.12----0.0027.92215.7521.45200.9223.62--4.50
Nippon Active Value Fund PLC53.13m47.56m325.32m0.004.991.02--6.120.34440.34440.40771.690.2215--25.45--19.83--19.87--97.30--89.52----19.450.00--680.97--833.54------
Invesco Bond Income Plus Ltd36.48m31.82m326.27m0.009.430.9995--8.940.17880.17880.20561.690.0918--8.33--8.012.7310.873.7094.8485.8287.2476.70--17.170.1363171.77214.89--191.91----2.83
CT Private Equity Trust PLC29.48m13.78m330.06m0.0024.310.654875.4611.200.18930.18930.40477.030.05--47.94--2.3412.982.6214.1950.3685.2746.7683.91----0.159724.67-63.14-5.65-79.22-15.52--14.26
CT UK Capital and Income Invst Trust PLC41.80m38.32m333.61m0.009.171.09--7.980.35780.35780.39423.020.1255--20.14--11.512.3612.542.5393.5281.2891.6976.10----0.0736122.95197.7415.90184.6416.81---3.49
Lowland Investment Company P L C57.32m52.79m335.03m0.006.350.959--5.840.19540.19540.21221.290.1507--28.43--13.88-0.430714.62-0.457493.43-47.5792.09-82.02----0.0786--193.8727.65181.4332.72--2.97
Baillie Gifford European Growth Trst PLC24.20m27.88m341.46m0.0012.381.05--14.110.07760.07760.06750.91410.0649--9.30--7.48-0.18537.51-0.187889.31-101.85115.22-68.24----0.137--110.14--111.50-----31.74
Biotech Growth Trust PLC-87.00m-92.03m342.19m0.00--1.25-----2.33-2.33-2.258.18-0.23-------24.321.67-25.771.81--57.38--51.84----0.03750.0082.55--79.60------
Baillie Gifford Shin Nippon PLC-75.99m-81.91m344.01m0.00--0.7754-----0.2616-0.2616-0.24291.48-0.1286-------13.86-2.20-15.64-2.31------------0.00---8,177.23---1,062.68------
abrdn Asian Income Fund Limited16.30m8.74m345.57m0.0040.440.8928--21.200.05270.05270.09662.390.0366--7.97--1.965.422.125.8181.3489.8053.6577.56--6.120.074569.17256.76--151.24----5.13
Impact Healthcare REIT PLC50.53m48.83m352.63m0.007.220.7376--6.980.11790.11790.1221.150.08--48.40--7.736.487.926.6098.2898.5596.6482.24----0.273475.3117.6623.67189.1524.28-2.782.44
Abrdn UK Smlr Cmpn Grth Trst PLC2.30m-3.53m356.54m0.00--0.9362--155.22-0.0242-0.02420.02635.090.0049--2.48---0.7528-0.6925-0.7996-0.7179-109.23-173.12-153.81-218.75----0.057--82.34--79.96----9.46
Henderson Far East Income Limited-1.18m-10.35m374.64m0.00--1.02-----0.0663-0.0663-0.00732.27-0.0027-------2.39-1.70-2.66-1.79---493.51---1,071.17----0.088---385.26---806.80----2.30
Data as of May 07 2024. Currency figures normalised to Abrdn Asian Income Fund Limited's reporting currency: UK Pound GBX

Institutional shareholders

48.18%Per cent of shares held by top holders
HolderShares% Held
1607 Capital Partners LLCas of 26 Apr 202416.25m9.86%
Rathbones Investment Management Ltd.as of 31 Dec 202215.68m9.52%
Hargreaves Lansdown Asset Management Ltd.as of 31 Dec 202213.04m7.91%
City of London Investment Management Co. Ltd.as of 31 Dec 20228.98m5.45%
Allspring Global Investments LLCas of 31 Dec 20227.13m4.33%
abrdn Investments Ltd.as of 31 Dec 20226.97m4.23%
Brewin Dolphin Ltd.as of 31 Dec 20226.77m4.11%
BlackRock Investment Management (UK) Ltd.as of 31 Mar 20242.36m1.44%
Wise Funds Ltd.as of 31 Jan 20241.28m0.78%
Vanguard Global Advisers LLCas of 31 Jan 2024898.67k0.55%
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Data from 31 Dec 2023 - 02 Apr 2024Source: FactSet Research Systems Inc.
Data Provided by LSEG
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