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Risk-adjusted performance continued to rise in September for the Global Market Index (GMI), an unmanaged, market-value-weighted portfolio that holds all the major asset classes (except cash). GMI’s 0.97 Sharpe ratio is close to the highest levels reached in recent history. ...
Global Market Index is useful as a starting point for research on asset allocation and portfolio design. Predictions for the market components are subject to greater uncertainty compared with aggregating forecasts, a process that may cancel out some of the errors through time. Com...
Global markets suffered their broadest retreat in a year during September. The bullish exception: commodities, which delivered a solid gain last month. Notably, US stocks and bonds lost ground, giving support to concerns that the historical diversification benefits of pairing the two ...
RA's management makes a big deal of emphasizing how well covered their fund's distribution is if you look at total return and not just net investment income. I'm inclined to believe them that it looks secure for the rest of the year since I see no reason why it would benefit them to m...
We continue our Income Factory survey of the high yield loan and bond world, with our emphasis on credit quality, distribution yield, price and discount. Plus sustainability; but always recognizing that lightning can strike the best of funds, in terms of distribution cuts. Which i...
How to achieve a respectable income without taking on too much risk. What's the right risk/yield trade-off for reasonable income? Will '80s-style inflation return? For further details see: The Great Fixed Income Challenge: Balancing Yield And Risk In A Low-Rate World
PHILADELPHIA, PA / ACCESSWIRE / September 10, 2021 / The Board of Trustees of Aberdeen Income Credit Strategies Fund (the "Fund") , has declared a cash distribution of $0.328125 per share of the Fund's 5.250% Series A Perpetual Preferred Shares (NYSE: ACP PRA) ("Series A Preferred Shares"...
Only funds with yields over 7%, coverage higher than 85% and trading at under a +5% premium are considered. Top lists of discount, yield, DxY and DxYxZ are given. The top DxY funds are FEI, FPL and AOD. For further details see: The 'High-High-Low' Closed-End Fund Report,...
ACP is a closed end fund that invests in global high yield. High-yield CEFs are not created equal - ACP offers a 10% yield by investing predominantly in the riskiest type of debt (high CCC bucket) with leverage on top. The fund has toggled its funding recently by issuing debt via ...
What sets the current environment apart is the broad-based nature of input-cost inflation, spanning raw materials, logistics/transportation, and labor, as well as shortages of intermediate goods such as semiconductors. Companies are leaning heavily on pricing, in addition to productiv...
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PHILADELPHIA, PA / ACCESSWIRE / July 26, 2024 / The Board of Trustees of abrdn Income Credit Strategies Fund (NYSE:ACP) , announces today that shareholders of First Trust/abrdn Global Opportunity Income Fund (NYSE:FAM) ("FAM" or the "Acquired Fund") advised by First Trust Advisors L.P. have app...
2024-07-25 05:00:37 ET Few people pay much attention to the management team of a closed-end fund (CEF). But it’s becoming a much more critical factor driving CEF upside (and downside!), as well as these funds’ 8%+ dividend payouts. I was reminded of this recently by a ...
abrdn Income Credit Strategies Fund (NYSE: ACP) (“ACP” or the “Acquiring Fund”) and First Trust High Income Long/Short Fund (NYSE: FSD) (“FSD” or the “Acquired Fund”) announce today the completed reorganization of the Acquired Fund wit...