AMEX : FAX

Abrdn Asia-Pacific Income Fund Inc

$14.34 USD

-$0.1 (-0.69%)

Volume
192.04K
Average Volume
171.36K
Market Capitalization
$591.99M
P/E Ratio
14.21
Dividend Yield
13.81%
Price Target
Year High
$16.90
Year Low
$14.13
Day High
Day Low
Payout Ratio
$1.95
Current Ratio
$0.00
Institutional Ownership Summary
Institutional Ownership %

0.17%

Investors Holding

12

change: -85 | last: 97
Increased Positions

2

change: -47 | last: 49
Reduced Positions

3

change: -18 | last: 21
New Positions

2

change: -12 | last: 14
Sold Positions

87

change: 66 | last: 21
Total Calls

-

Total Puts

-

Put-Call Ratio

0.00

change: 0 | last: 0
Total Invested

1.02M

FAX Enterprise Value History
Annual
Date Stock Price Shares Outstanding Market Cap Cash & Equivalents Total Debt Enterprise Value
2025-10-31 $15.49 41.28M $639.47M $10.15M $426.19M $1.06B
2024-10-31 $16.40 41.28M $677.04M $2.73M $426.8M $1.1B
2023-10-31 $14.34 247.7M $3.55B $8.12M $326M $3.87B
2022-10-31 $14.22 247.7M $3.52B $2.38M $315M $3.83B
2021-10-31 $25.20 247.7M $6.24B $16.83M $450M $6.68B
2020-10-31 $22.80 247.7M $5.65B $2.8M $415M $6.06B
2019-10-31 $25.50 247.7M $6.32B $1.16M $531M $6.85B
2018-10-31 $23.58 248.98M $5.87B $4.35M $505M $6.37B
2017-10-31 $30.18 252.13M $7.61B $5.17M $550M $8.15B
2016-10-31 $29.52 253.27M $7.48B $5.24M $525M $8B
Quarterly
Date Stock Price Shares Outstanding Market Cap Cash & Equivalents Total Debt Enterprise Value
2026-04-30 $15.02 41.28M $620.07M $7.04M $416M $1.03B
2025-10-31 $15.49 41.28M $639.47M $10.15M $426.19M $1.06B
2025-04-30 $15.49 41.28M $639.47M $13.9M $426M $1.05B
2024-10-31 $16.40 41.28M $677.04M $2.73M $426.8M $1.1B
2024-04-30 $15.00 247.7M $3.72B $19.94M $326M $4.02B
2023-10-31 $14.34 247.7M $3.55B $8.12M $326M $3.87B
2023-04-30 $16.32 247.7M $4.04B $398.68K $315M $4.36B
2022-10-31 $14.22 247.7M $3.52B $2.38M $315M $3.83B
2022-04-30 $19.20 247.7M $4.76B $301.88K $420M $5.18B
2021-10-31 $25.20 247.7M $6.24B $5.57M $450M $6.69B
2021-04-30 $25.56 247.7M $6.33B $14.13M $421M $6.74B
2020-10-31 $22.80 247.7M $5.65B $2.8M $415M $6.06B