abrdn Global Income Fund (NYSE American: FCO) is a closed-end management investment company that seeks to provide investors with high current income and the potential for capital appreciation. Managed by abrdn’s global investment team, the fund pursues a diversified strategy across both fixed-income and equity markets. It is structured to deliver monthly distributions by combining income-generating securities with active portfolio management and selective use of leverage.
The fund’s core holdings typically include a broad range of global corporate bonds, convertible securities, preferred stocks and high-yield credit. By blending these income-oriented assets with exposure to developed-market equities and convertible instruments, abrdn Global Income Fund aims to balance yield generation with risk mitigation. Portfolio managers apply fundamental credit research and top-down macro analysis to identify opportunities across interest-rate cycles and credit spreads.
Geographically, the fund allocates assets across North America, Europe, Asia and select emerging markets, seeking to capture diversified income streams and reduce concentration risk. Currency exposures are actively managed to enhance total return potential and protect against adverse foreign-exchange movements. The fund’s board of trustees, along with abrdn’s risk and compliance teams, oversee adherence to the fund’s investment objectives and regulatory requirements.
With a multi-year track record, abrdn Global Income Fund leverages the broader resources and research capabilities of abrdn plc, a global asset manager headquartered in London. While rooted in abrdn’s long history of fixed-income expertise, the fund continually adapts its strategy to evolving market conditions, aiming to serve income-focused investors seeking a diversified, professionally managed vehicle for global yield generation.
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