Total returns on $1000
1Y
- 3M
- 6M
- 1Y
- 3Y
- 5Y
| Fund/benchmark | Change | |
|---|---|---|
| Price | abrdn Asia-Pacific Income Fund VCC (Ordinary Share) | -0.27% |
| NAV | abrdn Asia-Pacific Income Fund VCC (Ordinary Share) | -0.62% |
| Morningstar's Benchmark | Merrill Lynch Asian Dollar [20.00%]; UBS Composite [25.00%]; Markit iBoxx [35.00%]; J.P. Morgan Government Bond [20.00%] | -- |
- ABRDN ASIA-PACIFIC INCOME FUND VCC ANNOUNCES MONTHLY DISTRIBUTION
- ABRDN ASIA-PACIFIC INCOME FUND VCC ANNOUNCES RESULTS OF ANNUAL GENERAL MEETING
- ABRDN ASIA-PACIFIC INCOME FUND VCC ANNOUNCES MONTHLY DISTRIBUTION
- ABRDN ASIA-PACIFIC INCOME FUND VCC ANNOUNCES MONTHLY DISTRIBUTION
- abrdn Asia-Pacific Income Fund VCC (FAP) Announces That There Will Be No 2026 Cash Redemption of Shares
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Key statistics
As of last trade abrdn Asia-Pacific Income Fund VCC (FAP:TOR) traded at 2.69, 1.89% above its 52-week low of 2.64, set on Jan 07, 2026.
52-week range
Short selling activityProvided by S&P Global Market Intelligence
| Shares outstanding | 33.30m |
|---|---|
| Market cap | 89.23m CAD |
| Total assets | 101.88m CAD |
| Total expense ratio | -- |
| High | 2.69 |
| Low | 2.66 |
| Previous close | 2.68 |
| Average volume | 41.28k |
|---|---|
| YTD Change | -5.61% |
| Beta | 0.1985 |
| Diluted NAV (est) | -- |
| Diluted NAV (last pub) | 3.06 |
| Premium/Discount | -- |
| Net Gearing | 0.00% |
| Annual div (ADY) | 0.21 CAD |
|---|---|
| Annual div yield (ADY) | 7.84% |
| Div ex-date | Feb 20 2026 |
| Div pay-date | Feb 27 2026 |
| Next div ex-date | Mar 24 2026 |
| Next div pay-date | Mar 31 2026 |
Data delayed at least 15 minutes, as of Mar 12 2026 13:42 BST.
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