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U.S. equity markets ripped higher this past week after GDP data showing a second-straight quarter of contraction sent long-term benchmark interest rates plunging to their lowest levels since April. Delivering its first back-to-back weekly gains since March, the S&P 500 rallied 4.3...
abrdn Global Infrastructure Income Fund ("ASGI") abrdn Asia-Pacific Income Fund, Inc. ("FAX") PHILADELPHIA, PA / ACCESSWIRE / July 29, 2022 / The above-noted abrdn U.S. Closed-End Funds (the "Funds" or individually the "Fund"), today announced that the Funds paid the distribution...
Healthcare REITs - the weakest-performing property sector last year - have been among the top-performing REIT sectors in 2022, benefiting from their status as relatively defensive and recession-resistant REITs. The ebbing of the COVID pandemic has sparked a much-needed recovery in Sen...
The 'Return to the Office' is here - but it's underwhelming. Despite 80% of employees currently in post-pandemic work arrangements, office utilization rates have remained 40-60% below pre-pandemic levels. Office leasing activity has remained surprisingly resilient at just 10% below pr...
"Bad news was good news" this past week as U.S. equity markets were broadly higher after weakening economic data in the U.S. and Eurozone pulled benchmark interest rates to two-month-lows. Delivering just its fourth up-week in the past sixteen weeks, the S&P 500 advanced 2.6% whil...
Self-Storage REITs - usually known for their recession-resistant characteristics - have sold off in recent months despite a stellar slate of earnings results and upbeat interim updates. Storage REITs appear to be caught up in the bearish sentiment surrounding industrial REITs - a rath...
U.S. equity markets posted solid gains this past week as decent employment data eased concerns over a "hard landing"- for the U.S. economy at least- sparking a bid for risk assets. Recording just its third weekly gain in the past fourteen weeks, the S&P 500 advanced 1.9% on the we...
Being a landlord is hard work and capital intensive. There is an easier and less capital intensive way to get great income from real estate. This is a key part of our Model Portfolio, but only one part of it. Co-produced with Treading Softly When it comes to real...
The revised long-term outlook projects an annualized return of 4.9%. The current risk premium forecast for GMI suggests that multi-asset-class strategies overall will generate lower returns relative to results posted in recent years. Combining forecasts via several models may prov...
IGR's global diversification helps in mitigating portfolio risk and enables the fund to generate consistent performance over a longer time horizon. IGR pays monthly dividends with a considerable high yield, and the pay-out remains steady despite its price fluctuation. IGR invests ...
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PHILADELPHIA, PA / ACCESSWIRE / March 21, 2024 / abrdn Healthcare Investors (NYSE:HQH) , abrdn Life Sciences Investors (NYSE:HQL) , abrdn Healthcare Opportunities Fund (NYSE:THQ) , and abrdn World Healthcare Fund (NYSE:THW) (collectively, the "Funds") each, a closed-end management investmen...
This release provides an update to the performance tables regarding the IAF Estimated Amounts of Current Distribution per Share and Estimated Amounts of Fiscal Year to Date Cumulative Distributions per Share PHILADELPHIA, PA / ACCESSWIRE / February 13, 2024 / The following abrdn U.S. Closed...
PHILADELPHIA, PA / ACCESSWIRE / January 10, 2024 / The following abrdn U.S. Closed-End Funds (NYSE:ACP)(NYSE:AGD)(NYSE:AOD)(NYSE:ASGI)(NYSE:AWP) and (NYSE American:FAX)(NYSE American:FCO)(NYSE American:THQ)(NYSE American:THW)(NYSE American:VFL), announced today that the closed end funds in the...