Investment Trusts

abrdn Asia-Pacific Income Fund VCC

FAP:TOR

abrdn Asia-Pacific Income Fund VCC

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  • Price (CAD)2.60
  • Today's Change0.00 / 0.00%
  • Shares traded79.79k
  • 1 Year change+3.17%
  • Beta0.5391
Data delayed at least 15 minutes, as of Apr 25 2024 15:51 BST.
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About the company

abrdn Asia-Pacific Income Fund VCC is a Singapore-based closed-end investment company. The investment objective of the Company is to obtain current income and achieve incidental capital appreciation from investment in long-term debt securities. The Company seeks to obtain these objectives primarily from investment in long-term debt securities. The Company also invests up to 100% of its total assets in Asia-Pacific debt securities. The Company’s investment portfolio is present in countries which include India, Indonesia, China, Australia, Malaysia, Pakistan, United Kingdom, Mexico, Ukraine, Thailand, United Arab Emirates, Uruguay, Egypt, Bahrain, South Africa, Nigeria, Brazil, Philippines, Mongolia, Kuwait, United States and Oman, among others. The investment manager of the Company is abrdn Asia Limited.

  • Revenue in CAD (TTM)13.84m
  • Net income in CAD1.96m
  • Incorporated1986
  • Employees--
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Profile

Management group(s)Aberdeen
AIC sector--
ISINCK0012422947
Launch date06 Jan 1990
Share typeOrdinary Share
StructureInvestment Trust
Base currencyCAD

Objective

The Companys Investment objective is to obtain current income and may also achieve incidental capital appreciation. In order to achieve its investment objective, the Company may invest up to 80% of its total assets in Asian debt securities, and may be denominated in an Asian Country currency or in Australian, New Zealand or U.S. dollars. At least 20% of the Companys total assets will be invested in Australian debt securities.

Managed by

Not Disclosed

Management & contract fees

The Management Agreement provides for a monthly fee at the annual rate of 0.65% of the Company's average weekly Managed Assets up to and including $250 million, at the annual rate of 0.55% of the Company's average weekly Managed Assets in excess of $250 million and including $450 million, and at the annual rate of 0.50% of the Company's average weekly Managed Assets in excess of $450 million, payable monthly.

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)
Northfield Capital Corp5.79m-6.68m67.74m----1.08--11.70-3.01-3.012.6128.110.07325.4224.13---10.26-6.60-10.64-6.96-5.57---140.26-97.43----0.1804--335.03--52.37------
Brookfield Glbl Infrstrctr Scrty Incm Fd10.50m8.08m68.51m--9.170.9668--6.530.45930.45930.59624.350.1049--19.89--8.071.938.311.9881.2861.2076.9541.66----0.1898408.52-59.30-17.03-71.76-19.20--0.00
Premium Income Corp.12.44m-33.51m69.51m----1.20--5.59-2.52-2.520.927818.420.0458--10.33---8.064.50-8.074.5477.8776.25-175.99104.28--0.28760.001,444.7014.816.67-133.29----0.00
MINT Income Fund9.74m7.86m73.86m36.0011.550.9757--7.580.58460.58460.73076.920.1039--4,774.61--8.385.109.165.8184.4078.9880.6570.90--54.000.0566142.67-63.33-5.44-68.69-1.88--0.00
Middlefield Sustainable Glbal Dvdend ETF-4.94m-6.28m81.58m----1.34-----1.51-1.51-0.992311.61-0.0649-------8.259.63-8.7711.25--90.22--83.64---98.100.0045.41148.8846.06179.09-----6.02
Stack Capital Group Inc-1.08m-4.22m88.84m----0.8863-----0.4674-0.4674-0.119110.81-0.0108-------4.23---4.24-------------112.080.00---144.82---397.11------
JFT Strategies Fund22.64m13.18m90.85m--15.031.05--4.011.731.732.9724.660.0825--33.40--4.806.147.118.7266.3667.2558.1859.53----0.2397---45.1120.31-49.73------
International Clean Power Dividend Fund11.38m7.79m101.49m--15.590.8251--8.920.3920.3920.61017.410.0778--28.80--5.32--5.76--94.34--68.42----17.430.00---575.71---1,097.54------
Middlefield Innovation Dividend ETF11.55m10.81m104.07m--5.591.17--9.013.243.243.6615.500.2278--1,089.05--21.33--23.64--95.55--93.63----248.150.109--42.57--54.08------
abrdn Asia-Pacific Income Fund VCC13.84m1.96m107.17m--52.800.8388--7.740.04920.04920.30593.100.0683--82.31--0.967-2.721.39-3.8690.0089.4414.17-43.21--1.240.2967---9.85-11.77-249.66-----30.71
Dividend 15 Split Corp II-100.00bn-100.00bn109.21m0.00------------------------------------------------------------
Brookfield Investments Corp375.38m265.78m135.58m22.50k4.650.6576--0.36125.345.347.5837.790.1131--0.6242--8.004.3414.128.4389.7879.7870.8062.19--6.150.42250.00-33.58---53.36------
Canso Credit Income Fund16.39m13.09m136.31m--11.631.01--8.321.281.281.6614.740.0851--3.97--6.805.369.247.9282.2571.1379.8864.26----0.261115.28-94.03-36.77-104.00-----1.53
Vox Royalty Corp16.87m-138.52k141.24m6.00--2.2842.708.37-0.0041-0.00410.35891.230.2605--4.472,810,920.00-0.214-12.70-0.2277-13.4281.06---0.8213-57.58----0.00--44.69---130.81------
True North Commercial REIT132.20m-40.62m143.14m0.00--0.3296--1.08-2.57-2.578.4328.880.0953--71.04---2.931.34-3.431.5054.8858.68-30.7313.76--0.6560.6445244.35-7.928.71-345.71-----10.22
Dominion Lending Centres Inc62.52m64.00k146.16m151.00--5.6316.762.34-0.0006-0.00061.290.53280.2829--4.40414,019.900.0292.300.03463.1683.3286.000.10249.98--11.860.857547.86-11.60-4.77-99.47---1.6519.14
Data as of Apr 25 2024. Currency figures normalised to abrdn Asia-Pacific Income Fund VCC's reporting currency: Canadian Dollar CAD
Data Provided by LSEG
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