ABRDN GLOBAL INCOME FUND, INC. - COM (FCO)

Historical Portfolio Holders from Q1 2014 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / COM
Shares, excl. options Q1 2024
555 K
Holdings value Q1 2024
$3.01 M
Value change Q1 2024
-$1.47 M
Grand Portfolio weight change Q1 2024
0%
Number of holders
15
Number of buys Q1 2024
9
Number of sells Q1 2024
-10
Average buys Q1 2024 %
+0%
Average sells Q1 2024 %
0%
CUSIP
003013109
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 555 K $3.01 M -$1.47 M $5.43 15
2023 Q4 1.3 M $8.33 M -$215 K $6.46 21
2023 Q3 896 K $5.36 M +$40.9 K $5.98 19
2023 Q2 837 K $4.99 M +$531 K $5.96 17
2023 Q1 802 K $4.07 M +$119 K $5.08 17
2022 Q4 717 K $3.46 M +$804 K $4.82 15
2022 Q3 629 K $2.99 M +$797 K $4.75 14
2022 Q2 456 K $2.52 M -$631 K $5.52 14
2022 Q1 549 K $3.36 M +$232 K $6.13 14
2021 Q4 486 K $3.57 M +$32.5 K $7.34 13
2021 Q3 504 K $4.14 M -$435 K $8.20 13
2021 Q2 555 K $5.04 M -$904 K $9.09 13
2021 Q1 665 K $5.54 M -$912 K $8.33 20
2020 Q4 772 K $6.1 M +$103 K $7.90 12
2020 Q3 760 K $5.23 M -$735 K $6.84 12
2020 Q2 880 K $5.43 M -$468 K $6.18 18
2020 Q1 922 K $4.99 M +$595 K $5.42 19
2019 Q4 905 K $7.27 M +$564 K $8.04 18
2019 Q3 800 K $6.27 M -$517 K $7.85 20
2019 Q2 863 K $7.21 M -$701 K $8.36 23
2019 Q1 950 K $7.73 M +$27.1 K $8.13 21
2018 Q4 950 K $6.77 M +$55.5 K $7.12 22
2018 Q3 856 K $7.24 M -$504 K $8.45 22
2018 Q2 918 K $7.27 M +$2.21 M $7.92 21
2018 Q1 648 K $5.55 M -$505 K $8.56 21
2017 Q4 705 K $6.22 M -$159 K $8.82 21
2017 Q3 711 K $6.33 M -$1.32 M $8.91 21
2017 Q2 849 K $7.29 M -$612 K $8.59 22
2017 Q1 920 K $7.73 M -$207 K $8.40 21
2016 Q4 865 K $6.88 M +$959 K $7.96 19
2016 Q3 803 K $7.07 M -$1 M $8.80 23
2016 Q2 929 K $8.06 M +$1.32 M $8.67 27
2016 Q1 752 K $6.31 M -$2.56 M $8.39 26
2015 Q4 1.09 M $8.37 M +$523 K $7.69 33
2015 Q3 954 K $7.24 M -$1.6 M $7.59 26
2015 Q2 1.15 M $9.87 M +$67.6 K $8.60 25
2015 Q1 1.13 M $10.5 M -$1.8 M $9.30 26
2014 Q4 1.3 M $12.5 M +$1.19 M $9.61 25
2014 Q3 1.17 M $12.4 M -$978 K $10.70 21
2014 Q2 948 K $11.4 M -$2.22 M $11.98 20
2014 Q1 1.16 M $12.6 M -$553 K $10.85 25