
Hosted by Aberdeen Closed-End Funds · EN
FOR US INVESTORS ONLY
Important Information:
Closed-end funds are traded on the secondary market through one of the stock exchanges. The Fund’s investment return and principal value will fluctuate so that an investor’s shares may be worth more or less than the original cost. Shares of closed-end funds may trade above (a premium) or below (a discount) the net asset value (NAV) of the fund’s portfolio. There is no assurance that the Fund will achieve its investment objective. Past performance does not guarantee future results.International investing entails special risk considerations, including currency fluctuations, lower liquidity, economic and political risks, and differences in accounting methods; these risks are generally heightened for emerging market investments.Concentrating investments in the specific regions subjects the Fund to more volatility and greater risk of loss than geographically diverse funds.Fixed income securities are subject to certain risks including, but not limited to: interest rate (changes in interest rates may cause a decline in the market value of an investment), credit (changes in the financial condition of the issuer, borrower, counterparty, or underlying collateral), prepayment (debt issuers may repay or refinance their loans or obligations earlier than anticipated), and extension (principal repayments may not occur as quickly as anticipated, causing the expected maturity of a security to increase).The Fund’s use of leverage exposes the Fund to additional risks, including the risk that the costs of leverage could exceed the income earned by the Fund on the proceeds of such leverage. Additionally, in the event of a general market decline in the value of the Fund’s assets, the effect of that decline will be magnified in the Fund because of the additional assets purchased with the proceeds of the leverage.Your portfolio may not have the same asset class weightings. Asset class weightings are subject to change.Diversification does not ensure a profit or protect against a loss in a declining market.Some of the information in this document may contain projections or other forward looking statements regarding future events or future financial performance of countries, markets or companies. These statements are only predictions and actual events or results may differ materially. The reader must make his/her own assessment of the relevance, accuracy and adequacy of the information contained in this document, and make such independent investigations, as he/she may consider necessary or appropriate for the purpose of such assessment.Any opinion or estimate contained in this recording is made on a general basis and is not to be relied on by the reader as advice. Neither ABRDNnor any of its agents have given any consideration to nor have they made any investigation of the investment objectives, financial situation or particular need of the reader, any specific person or for any loss arising whether directly...

In this episode, we sit down with Josh Duitz, Aberdeen's Head of Global Income and a Portfolio Manager for both AOG and AGD. Josh discusses the current state of the global equity market, including the impact of the Iran conflict.

In this episode, Mike Taggart - Head of Closed-end Fund Investor Relations, discusses the underlying dynamics currently impacting the global infrastructure marketplace with Josh Duitz, Aberdeen's Head of Global Infrastructure and a Portfolio Manager for ASGI.

In this special episode, Adam McCabe—Head of Fixed Income, Asia Pacific and Portfolio Manager for FAP—reflects on the fund’s rich history and enduring relevance.

Join Mike Taggart, Head of Closed-End Fund Investor Relations, and James Thom, Portfolio Manager for The India Fund, Inc (IFN) to learn more about India's long-term growth story and current short-term challenges.

In this special episode, Adam McCabe—Head of Fixed Income, Asia Pacific and Portfolio Manager for FAX—reflects on the fund’s rich history and enduring relevance.

Nick Robinson, Portfolio Manager, joins Mike Taggart to discuss the significant activity in emerging markets outside of China in the past year as well as an outlook for 2026.

Mike Taggart, Aberdeen's Head of Closed-End Fund Investor Relations discusses the driving factors influencing the global real estate sector and the outlook for 2026 in this ever-changing industry with Bill Pekowitz, a Portfolio Manager for AWP.

Mike Taggart, Aberdeen's Head of Closed-End Fund Investor Relations, discusses the current trends in healthcare investing with Jason Akus, Aberdeen's Head of Healthcare Investments and the lead Portfolio Manager for abrdn Healthcare Investors (HQH), abrdn Life Sciences Investors (HQL), abrdn Healthcare Opportunities Fund (THQ) and abrdn World Healthcare Fund (THW).

Join Mike Taggart, Head of Closed-End Fund Investor Relations, and James Thom, Portfolio Manager for The India Fund, Inc (IFN) to learn more about India’s long-term growth story and current short-term challenges.

Join Mike Taggart, Head of Closed-End Fund Investor Relations, and Adam McCabe, FAX Portfolio Manager, discuss the performance of the US dollar relative to Asian currencies as well as other current trends in the Asia-Pacific marketplace.