Aberdeen Global Premier ... Stock Price

-0.10 (-1.57%)


52 Week Range


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Company Name Stock Ticker Symbol Market Type
Aberdeen Global Premier Properties Fund AWP NYSE Common Stock
  Price Change Change Percent Stock Price Last Traded
-0.10 -1.57% 6.28 17:01:27
Open Price Low Price High Price Close Price Prev Close
6.35 6.26 6.38 6.28 6.38
Trades Volume VWAP Dollar Volume Avg Volume 52 Week Range
1,132 327,834 $ 6.33 $ 2,075,884 - 4.31 - 6.92
Last Trade Time Type Quantity Stock Price Currency
18:30:00 3,453 $ 6.28 USD


Draw Mode:

Aberdeen Global Premier Properties Fund Financials

Market Cap Shares in Issue Float Revenue Profit/Loss EPS PE Ratio
$ 536.36M 85.41M 85.41M $ - $ - -1.57 20.00
Short Interest Dividends Per Share Dividend Yield Ex-Div Date Insider B/S Insider % Owned
- $ 0.48 7.52% 09/17/21 - -

more financials information »

Aberdeen Global Premier ... News

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Historical AWP Price Data

Period Open High Low VWAP Avg. Daily Vol Change %
1 Week6.476.546.266.40462,184-0.19-2.94%
1 Month6.636.856.266.59313,233-0.35-5.28%
3 Months6.416.856.266.60299,776-0.13-2.03%
6 Months5.776.925.776.41377,3320.518.84%
1 Year4.606.924.315.75414,4061.6836.52%
3 Years6.107.032.975.58408,2110.182.95%
5 Years5.627.032.975.75406,7480.6611.74%

Aberdeen Global Premier ... Description

The fund will invest at least 80% of its managed assets in the equity and, to a lesser extent, debt securities of domestic and foreign issuers which are principally engaged in the real estate industry or real estate financing or which control significant real estate assets. Under normal circumstances, the Fund expects to invest in the securities of issuers in 10 to 30 countries. The Fund seeks to provide income without regard to whether any income generated by dividends qualifies for the reduced US federal income tax rates. The Fund may invest up to 10% of its managed assets in illiquid securities. The Fund limits its investments in countries that are considered emerging markets to no more than 35% of the Funds managed assets at any one time. The Fund expects to invest between 50% and 80% of its managed assets in the securities of non-US issuers.
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