Comments
Loading...

abrdn Glb Inc Fund

FCOAMEX
$6.21
00.00%
Pre-Market: Jul 19, 7:50 AM EDT
15 minutes delayed
The dividend Ex-Date is tomorrow

abrdn Glb Inc Fund (AMEX:FCO) Stock, Dividends

abrdn Glb Inc Fund issues dividends to shareholders from excess cash abrdn Glb Inc Fund generates. Most companies pay dividends on a quarterly basis, but dividends may also be paid monthly, annually or at irregular intervals.

abrdn Global Income Fund Inc Dividend Overview

abrdn Global Income Fund Inc currently pays a monthly dividend of $0.84 per year for a yield of 13.5%.

abrdn Global Income Fund Inc last traded ex-dividend on Jun 21 and the next ex-dividend date is scheduled for Jul 24.

Key Highlights:

  • Annual Payout: $0.84
  • Current Yield: 13.5%
  • Next Ex-Dividend Date: Jul 24
  • Last Ex-Dividend Date: Jun 21
  • Payments per year: 12
Dividend Yield (Forward)
13.5%
Annual Dividend
$0.84
Last Dividend
Jun 21
Next Dividend
Jul 24

Dividends for abrdn Glb Inc Fund

Get Alert
07/24/2024FCO
abrdn Glb Inc Fund
12$0.0714.19%07/10/202407/24/202407/31/2024Get Alert
06/21/2024FCO
abrdn Glb Inc Fund
12$0.0714.61%06/11/202406/21/202406/28/2024Get Alert
05/22/2024FCO
abrdn Glb Inc Fund
12$0.0714.84%05/09/202405/23/202405/31/2024Get Alert
04/22/2024FCO
abrdn Glb Inc Fund
12$0.0715.33%04/09/202404/23/202404/30/2024Get Alert
03/20/2024FCO
abrdn Glb Inc Fund
12$0.0715.16%03/11/202403/21/202403/28/2024Get Alert
02/21/2024FCO
abrdn Glb Inc Fund
12$0.0716.22%02/09/202402/22/202402/29/2024Get Alert
01/23/2024FCO
abrdn Glb Inc Fund
12$0.0716.03%01/10/202401/24/202401/31/2024Get Alert
12/28/2023FCO
abrdn Glb Inc Fund
12$0.0713.15%12/11/202312/29/202301/10/2024Get Alert
11/21/2023FCO
abrdn Glb Inc Fund
12$0.0714%11/09/202311/22/202311/30/2023Get Alert
10/23/2023FCO
abrdn Glb Inc Fund
12$0.0714.36%10/11/202310/24/202310/31/2023Get Alert
09/21/2023FCO
abrdn Glb Inc Fund
12$0.0713.68%09/22/202309/22/202309/29/2023Get Alert
08/23/2023FCO
abrdn Glb Inc Fund
12$0.0714.56%08/09/202308/24/202308/31/2023Get Alert
07/21/2023FCO
abrdn Glb Inc Fund
12$0.0713.98%07/12/202307/24/202307/31/2023Get Alert
06/22/2023FCO
abrdn Glb Inc Fund
12$0.0715.47%06/09/202306/23/202306/30/2023Get Alert
05/18/2023FCO
abrdn Glb Inc Fund
12$0.0716.77%05/09/202305/19/202305/31/2023Get Alert
04/20/2023FCO
abrdn Glb Inc Fund
12$0.0716.8%04/11/202304/21/202304/28/2023Get Alert
03/23/2023FCO
abrdn Glb Inc Fund
12$0.0715.14%03/09/202303/24/202303/31/2023Get Alert
02/17/2023FCO
abrdn Glb Inc Fund
12$0.0714.97%02/09/202302/21/202302/28/2023Get Alert
01/23/2023FCO
abrdn Glb Inc Fund
12$0.0716.34%01/11/202301/24/202301/31/2023Get Alert
12/29/2022FCO
abrdn Glb Inc Fund
12$0.0717.99%12/09/202212/30/202201/11/2023Get Alert
11/21/2022FCO
abrdn Glb Inc Fund
12$0.0718.75%11/09/202211/22/202211/30/2022Get Alert
10/21/2022FCO
abrdn Glb Inc Fund
12$0.0718.56%10/12/202210/24/202210/31/2022Get Alert
09/22/2022FCO
abrdn Glb Inc Fund
12$0.0716.44%09/12/202209/23/202209/30/2022Get Alert
08/23/2022FCO
abrdn Glb Inc Fund
12$0.0716%08/09/202208/24/202208/31/2022Get Alert
07/21/2022FCO
abrdn Glb Inc Fund
12$0.0715%07/12/202207/22/202207/29/2022Get Alert
06/21/2022FCO
abrdn Glb Inc Fund
12$0.0714.26%06/09/202206/22/202206/30/2022Get Alert
05/19/2022FCO
abrdn Glb Inc Fund
12$0.0714.69%05/10/202205/20/202205/31/2022Get Alert
04/21/2022FCO
abrdn Glb Inc Fund
12$0.0713.23%04/11/202204/22/202204/29/2022Get Alert
03/23/2022FCO
abrdn Glb Inc Fund
12$0.0713.59%03/09/202203/24/202203/31/2022Get Alert
02/18/2022FCO
abrdn Glb Inc Fund
12$0.0711.72%02/09/202202/22/202202/28/2022Get Alert
01/21/2022FCO
abrdn Glb Inc Fund
12$0.0711.55%01/11/202201/24/202201/31/2022Get Alert
12/29/2021FCO
abrdn Glb Inc Fund
12$0.0711.41%12/09/202112/30/202101/11/2022Get Alert
11/18/2021FCO
abrdn Glb Inc Fund
12$0.0710%11/09/202111/19/202111/30/2021Get Alert
10/21/2021FCO
abrdn Glb Inc Fund
12$0.0710.62%10/11/202110/22/202110/29/2021Get Alert
09/17/2021FCO
abrdn Glb Inc Fund
12$0.079.6%09/10/202109/20/202109/30/2021Get Alert
08/19/2021FCO
abrdn Glb Inc Fund
12$0.078.84%08/10/202108/20/202108/31/2021Get Alert
07/22/2021FCO
abrdn Glb Inc Fund
12$0.079.2%07/12/202107/23/202107/30/2021Get Alert
06/22/2021FCO
abrdn Glb Inc Fund
12$0.079.85%06/09/202106/23/202106/30/2021Get Alert
05/20/2021FCO
abrdn Glb Inc Fund
12$0.079.74%05/11/202105/21/202105/28/2021Get Alert
04/22/2021FCO
abrdn Glb Inc Fund
12$0.079.94%04/12/202104/23/202104/30/2021Get Alert
03/23/2021FCO
abrdn Glb Inc Fund
12$0.0710.37%03/09/202103/24/202103/31/2021Get Alert
02/18/2021FCO
abrdn Glb Inc Fund
12$0.0710.36%02/09/202102/19/202102/26/2021Get Alert
01/21/2021FCO
abrdn Glb Inc Fund
12$0.0710.76%01/12/202101/22/202101/29/2021Get Alert
12/30/2020FCO
abrdn Glb Inc Fund
12$0.0710.94%12/09/202012/31/202001/08/2021Get Alert
11/19/2020FCO
abrdn Glb Inc Fund
12$0.0711.67%11/10/202011/20/202011/30/2020Get Alert
10/16/2020FCO
abrdn Glb Inc Fund
12$0.0711.83%10/09/202010/19/202010/30/2020Get Alert
09/18/2020FCO
abrdn Glb Inc Fund
12$0.0712.14%09/10/202009/21/202009/30/2020Get Alert
08/20/2020FCO
abrdn Glb Inc Fund
12$0.0711.88%08/11/202008/21/202008/31/2020Get Alert
07/17/2020FCO
abrdn Glb Inc Fund
12$0.0713.55%07/10/202007/20/202007/31/2020Get Alert
06/18/2020FCO
abrdn Glb Inc Fund
12$0.0713.02%06/09/202006/19/202006/30/2020Get Alert
05/20/2020FCO
abrdn Glb Inc Fund
12$0.0714.74%05/11/202005/21/202005/29/2020Get Alert
04/17/2020FCO
abrdn Glb Inc Fund
12$0.0714.46%04/09/202004/20/202004/30/2020Get Alert
03/19/2020FCO
abrdn Glb Inc Fund
12$0.0711.76%03/10/202003/20/202003/31/2020Get Alert
02/20/2020FCO
abrdn Glb Inc Fund
12$0.0710.16%02/11/202002/21/202002/28/2020Get Alert
01/17/2020FCO
abrdn Glb Inc Fund
12$0.0710.42%01/10/202001/21/202001/28/2020Get Alert
12/30/2019FCO
abrdn Glb Inc Fund
12$0.0710.67%12/10/201912/31/201901/10/2020Get Alert
11/20/2019FCO
abrdn Glb Inc Fund
12$0.0710.23%11/11/201911/21/201911/29/2019Get Alert
10/18/2019FCO
abrdn Glb Inc Fund
12$0.0710.74%10/09/201910/21/201910/29/2019Get Alert
09/20/2019FCO
abrdn Glb Inc Fund
12$0.0710%09/11/201909/23/201909/30/2019Get Alert
08/16/2019FCO
abrdn Glb Inc Fund
12$0.0710%08/09/201908/19/201908/27/2019Get Alert
07/19/2019FCO
abrdn Glb Inc Fund
12$0.0710%07/10/201907/22/201907/30/2019Get Alert
06/20/2019FCO
abrdn Glb Inc Fund
12$0.0710%06/11/201906/21/201906/28/2019Get Alert
05/21/2019FCO
abrdn Glb Inc Fund
12$0.0710%05/09/201905/22/201905/31/2019Get Alert
04/18/2019FCO
abrdn Glb Inc Fund
12$0.0710%04/09/201904/22/201904/30/2019Get Alert
03/20/2019FCO
abrdn Glb Inc Fund
12$0.0710%03/11/201903/21/201903/29/2019Get Alert
02/20/2019FCO
abrdn Glb Inc Fund
12$0.0710.53%02/11/201902/21/201902/28/2019Get Alert
01/22/2019FCO
abrdn Glb Inc Fund
12$0.0711.43%01/10/201901/23/201901/31/2019Get Alert
12/28/2018FCO
abrdn Glb Inc Fund
12$0.0710.75%12/11/201812/31/201801/10/2019Get Alert
11/16/2018FCO
abrdn Glb Inc Fund
12$0.079.94%11/09/201811/19/201811/28/2018Get Alert
10/18/2018FCO
abrdn Glb Inc Fund
12$0.0710.37%10/09/201810/19/201810/29/2018Get Alert
09/21/2018FCO
abrdn Glb Inc Fund
12$0.0710.27%09/12/201809/24/201810/02/2018Get Alert
08/17/2018FCO
abrdn Glb Inc Fund
12$0.0710.42%08/09/201808/20/201808/28/2018Get Alert
07/20/2018FCO
abrdn Glb Inc Fund
12$0.0710.59%07/11/201807/23/201807/31/2018Get Alert
06/20/2018FCO
abrdn Glb Inc Fund
12$0.0710.54%06/11/201806/21/201806/29/2018Get Alert
05/22/2018FCO
abrdn Glb Inc Fund
12$0.0710.13%05/10/201805/23/201805/31/2018Get Alert
04/19/2018FCO
abrdn Glb Inc Fund
12$0.079.72%04/10/201804/20/201804/27/2018Get Alert
03/16/2018FCO
abrdn Glb Inc Fund
12$0.079.72%03/09/201803/19/201803/26/2018Get Alert
02/16/2018FCO
abrdn Glb Inc Fund
12$0.079.56%02/12/201802/20/201802/27/2018Get Alert
01/19/2018FCO
abrdn Glb Inc Fund
12$0.078.86%01/10/201801/22/201801/30/2018Get Alert
12/28/2017FCO
abrdn Glb Inc Fund
12$0.079.76%12/11/201712/29/201701/08/2018Get Alert
11/20/2017FCO
abrdn Glb Inc Fund
12$0.079.41%11/09/201711/21/201711/29/2017Get Alert
10/19/2017FCO
abrdn Glb Inc Fund
12$0.079.27%10/10/201710/20/201710/27/2017Get Alert
09/21/2017FCO
abrdn Glb Inc Fund
12$0.079.39%09/12/201709/22/201709/29/2017Get Alert
08/17/2017FCO
abrdn Glb Inc Fund
12$0.079.43%08/09/201708/21/201708/28/2017Get Alert
07/20/2017FCO
abrdn Glb Inc Fund
12$0.079.66%07/12/201707/24/201707/31/2017Get Alert
06/16/2017FCO
abrdn Glb Inc Fund
12$0.079.55%06/09/201706/20/201706/27/2017Get Alert
05/17/2017FCO
abrdn Glb Inc Fund
12$0.079.68%05/07/201705/19/201705/26/2017Get Alert
04/19/2017FCO
abrdn Glb Inc Fund
12$0.079.98%04/06/201704/21/201704/28/2017Get Alert
03/16/2017FCO
abrdn Glb Inc Fund
12$0.079.99%03/09/201703/20/201703/27/2017Get Alert
02/16/2017FCO
abrdn Glb Inc Fund
12$0.079.89%02/09/201702/21/201702/28/2017Get Alert
01/19/2017FCO
abrdn Glb Inc Fund
12$0.0710.27%01/11/201701/23/201701/30/2017Get Alert
12/28/2016FCO
abrdn Glb Inc Fund
12$0.0710.51%12/09/201612/30/201601/11/2017Get Alert
11/16/2016FCO
abrdn Glb Inc Fund
12$0.0710.21%11/09/201611/18/201611/25/2016Get Alert
10/19/2016FCO
abrdn Glb Inc Fund
12$0.079.87%10/11/201610/21/201610/28/2016Get Alert
09/19/2016FCO
abrdn Glb Inc Fund
12$0.079.43%09/12/201609/21/201609/28/2016Get Alert
08/16/2016FCO
abrdn Glb Inc Fund
12$0.079.39%08/09/201608/18/201608/26/2016Get Alert
07/19/2016FCO
abrdn Glb Inc Fund
12$0.079.58%07/12/201607/21/201607/28/2016Get Alert
06/16/2016FCO
abrdn Glb Inc Fund
12$0.079.71%06/09/201606/20/201606/27/2016Get Alert
05/17/2016FCO
abrdn Glb Inc Fund
12$0.079.95%05/10/201605/19/201605/27/2016Get Alert
04/18/2016FCO
abrdn Glb Inc Fund
12$0.0710%04/11/201604/20/201604/27/2016Get Alert
03/16/2016FCO
abrdn Glb Inc Fund
12$0.0710.34%03/09/201603/18/201603/28/2016Get Alert
02/16/2016FCO
abrdn Glb Inc Fund
12$0.0711.24%02/09/201602/18/201602/25/2016Get Alert
01/19/2016FCO
abrdn Glb Inc Fund
12$0.0711.08%01/11/201601/21/201601/28/2016Get Alert
12/29/2015FCO
abrdn Glb Inc Fund
12$0.0711.05%12/09/201512/31/201501/12/2016Get Alert
11/19/2015FCO
abrdn Glb Inc Fund
12$0.0710.61%11/10/201511/23/201511/30/2015Get Alert
10/19/2015FCO
abrdn Glb Inc Fund
12$0.0710.7%10/09/201510/21/201510/28/2015Get Alert
09/17/2015FCO
abrdn Glb Inc Fund
12$0.0710.94%09/10/201509/21/201509/28/2015Get Alert
08/20/2015FCO
abrdn Glb Inc Fund
12$0.0710.26%08/11/201508/24/201508/31/2015Get Alert
07/17/2015FCO
abrdn Glb Inc Fund
12$0.0710.34%07/28/201507/21/201507/28/2015Get Alert
06/18/2015FCO
abrdn Glb Inc Fund
12$0.079.47%06/09/201506/22/201506/29/2015Get Alert
05/20/2015FCO
abrdn Glb Inc Fund
12$0.078.95%05/11/201505/22/201505/29/2015Get Alert
04/17/2015FCO
abrdn Glb Inc Fund
12$0.078.89%04/10/201504/21/201504/28/2015Get Alert
03/19/2015FCO
Aberdeen Global Income
12$0.078.99%03/10/201503/23/201503/30/2015Get Alert
02/19/2015FCO
Aberdeen Global Income
12$0.078.86%02/10/201502/23/201502/27/2015Get Alert
01/21/2015FCO
abrdn Glb Inc Fund
12$0.078.7%01/12/201501/23/201501/30/2015Get Alert
12/29/2014FCO
abrdn Glb Inc Fund
12$0.078.59%12/09/201412/31/201401/12/2015Get Alert
11/20/2014FCO
abrdn Glb Inc Fund
12$0.078.12%11/11/201411/24/201411/28/2014Get Alert
10/17/2014FCO
abrdn Glb Inc Fund
12$0.077.92%10/09/201410/21/201410/29/2014Get Alert
09/18/2014FCO
abrdn Glb Inc Fund
12$0.077.47%09/10/201409/22/201409/30/2014Get Alert
08/20/2014FCO
abrdn Glb Inc Fund
12$0.077.58%08/11/201408/22/201408/29/2014Get Alert
07/17/2014FCO
abrdn Glb Inc Fund
12$0.077.1%07/10/201407/21/201407/29/2014Get Alert
06/19/2014FCO
abrdn Glb Inc Fund
12$0.077.34%06/10/201406/23/201406/30/2014Get Alert
05/19/2014FCO
abrdn Glb Inc Fund
12$0.077.39%05/09/201405/21/201405/30/2014Get Alert
04/16/2014FCO
abrdn Glb Inc Fund
12$0.077.66%04/09/201404/21/201404/29/2014Get Alert
03/20/2014FCO
abrdn Glb Inc Fund
12$0.077.88%03/11/201403/24/201403/31/2014Get Alert
02/26/2014FCO
abrdn Glb Inc Fund
12$0.078.05%02/11/201402/28/201403/14/2014Get Alert
01/29/2014FCO
abrdn Glb Inc Fund
12$0.077.99%01/10/201401/31/201402/14/2014Get Alert
12/27/2013FCO
abrdn Glb Inc Fund
12$0.078.08%12/10/201312/31/201301/17/2014Get Alert
11/26/2013FCO
abrdn Glb Inc Fund
12$0.077.8%11/12/201311/29/201312/13/2013Get Alert
10/29/2013FCO
abrdn Glb Inc Fund
12$0.077.74%10/09/201310/31/201311/15/2013Get Alert
09/26/2013FCO
abrdn Glb Inc Fund
12$0.077.95%09/11/201309/30/201310/18/2013Get Alert
08/28/2013FCO
abrdn Glb Inc Fund
12$0.077.84%08/09/201308/30/201309/13/2013Get Alert
07/29/2013FCO
abrdn Glb Inc Fund
12$0.077.92%07/10/201307/31/201308/16/2013Get Alert
06/26/2013FCO
abrdn Glb Inc Fund
12$0.077.22%06/11/201306/28/201307/12/2013Get Alert
05/29/2013FCO
abrdn Glb Inc Fund
12$0.076.06%05/09/201305/31/201306/14/2013Get Alert
04/26/2013FCO
abrdn Glb Inc Fund
12$0.076.17%04/09/201304/30/201305/17/2013Get Alert
03/26/2013FCO
abrdn Glb Inc Fund
12$0.076.09%03/11/201303/28/201304/12/2013Get Alert
02/26/2013FCO
abrdn Glb Inc Fund
12$0.076.04%02/11/201302/28/201303/15/2013Get Alert
01/29/2013FCO
abrdn Glb Inc Fund
12$0.075.89%01/10/201301/31/201302/15/2013Get Alert
12/27/2012FCO
abrdn Glb Inc Fund
12$0.076.06%12/11/201212/31/201201/11/2013Get Alert
11/28/2012FCO
abrdn Glb Inc Fund
12$0.075.91%11/09/201211/30/201212/14/2012Get Alert
10/29/2012FCO
abrdn Glb Inc Fund
12$0.075.94%10/10/201210/31/201211/16/2012Get Alert
09/26/2012FCO
abrdn Glb Inc Fund
12$0.076%09/12/201209/28/201210/12/2012Get Alert
08/29/2012FCO
abrdn Glb Inc Fund
12$0.075.9%08/20/201208/31/201209/14/2012Get Alert
07/27/2012FCO
abrdn Glb Inc Fund
12$0.076.08%07/16/201207/31/201208/17/2012Get Alert
06/27/2012FCO
abrdn Glb Inc Fund
12$0.076.32%06/07/201206/29/201207/13/2012Get Alert
05/29/2012FCO
abrdn Glb Inc Fund
12$0.076.05%05/14/201205/31/201206/15/2012Get Alert
04/26/2012FCO
abrdn Glb Inc Fund
12$0.076%04/16/201204/30/201205/11/2012Get Alert
03/28/2012FCO
abrdn Glb Inc Fund
12$0.076%03/08/201203/30/201204/13/2012Get Alert
02/27/2012FCO
abrdn Glb Inc Fund
12$0.075.97%02/13/201202/29/201203/16/2012Get Alert
01/27/2012FCO
abrdn Glb Inc Fund
12$0.076.02%01/18/201201/31/201202/17/2012Get Alert
12/28/2011FCO
abrdn Glb Inc Fund
Special$0.15—12/08/201112/30/201101/13/2012Get Alert
11/28/2011FCO
abrdn Glb Inc Fund
Special$0.07—11/14/201111/30/201112/16/2011Get Alert
10/27/2011FCO
abrdn Glb Inc Fund
Special$0.07—10/17/201110/31/201111/14/2011Get Alert
09/28/2011FCO
abrdn Glb Inc Fund
Special$0.07—09/09/201109/30/201110/14/2011Get Alert
08/29/2011FCO
abrdn Glb Inc Fund
Special$0.07—08/15/201108/31/201109/16/2011Get Alert
07/27/2011FCO
abrdn Glb Inc Fund
Special$0.07—07/18/201107/29/201108/12/2011Get Alert
06/28/2011FCO
abrdn Glb Inc Fund
Special$0.07—06/08/201106/30/201107/15/2011Get Alert
05/26/2011FCO
abrdn Glb Inc Fund
Special$0.07—05/16/201105/31/201106/17/2011Get Alert
04/27/2011FCO
abrdn Glb Inc Fund
Special$0.07—04/18/201104/29/201105/13/2011Get Alert
03/29/2011FCO
abrdn Glb Inc Fund
Special$0.07—03/10/201103/31/201104/15/2011Get Alert
02/24/2011FCO
abrdn Glb Inc Fund
Special$0.07—02/14/201102/28/201103/18/2011Get Alert
01/27/2011FCO
abrdn Glb Inc Fund
Special$0.07—01/18/201101/31/201102/11/2011Get Alert
12/28/2010FCO
abrdn Glb Inc Fund
Special$0.07—12/09/201012/30/201001/14/2011Get Alert
11/26/2010FCO
abrdn Glb Inc Fund
Special$0.07—11/15/201011/30/201012/10/2010Get Alert
10/27/2010FCO
abrdn Glb Inc Fund
Special$0.07—10/18/201010/29/201011/12/2010Get Alert
09/28/2010FCO
abrdn Glb Inc Fund
Special$0.07—09/09/201009/30/201010/15/2010Get Alert
08/27/2010FCO
abrdn Glb Inc Fund
Special$0.07—08/16/201008/31/201009/10/2010Get Alert
07/28/2010FCO
abrdn Glb Inc Fund
Special$0.07—07/19/201007/30/201008/13/2010Get Alert
06/28/2010FCO
abrdn Glb Inc Fund
Special$0.07—06/10/201006/30/201007/16/2010Get Alert
05/26/2010FCO
abrdn Glb Inc Fund
Special$0.07—05/17/201005/28/201006/11/2010Get Alert
04/28/2010FCO
abrdn Glb Inc Fund
Special$0.07—04/19/201004/30/201005/14/2010Get Alert
03/29/2010FCO
abrdn Glb Inc Fund
Special$0.07—03/29/201003/31/201004/16/2010Get Alert
02/24/2010FCO
abrdn Glb Inc Fund
Special$0.07—02/24/2010——Get Alert
01/27/2010FCO
abrdn Glb Inc Fund
Special$0.07—01/27/201001/29/201002/12/2010Get Alert
12/29/2009FCO
abrdn Glb Inc Fund
Special$0.07—12/29/200912/31/200901/15/2010Get Alert
11/25/2009FCO
abrdn Glb Inc Fund
Special$0.07—11/25/200911/30/200912/11/2009Get Alert
10/28/2009FCO
abrdn Glb Inc Fund
Special$0.07—10/28/200910/30/200911/13/2009Get Alert
09/28/2009FCO
abrdn Glb Inc Fund
Special$0.07—09/28/200909/30/200910/16/2009Get Alert
08/27/2009FCO
abrdn Glb Inc Fund
Special$0.07—08/27/200908/31/200909/11/2009Get Alert
07/29/2009FCO
abrdn Glb Inc Fund
Special$0.07—07/29/200907/31/200908/14/2009Get Alert
06/26/2009FCO
abrdn Glb Inc Fund
Special$0.07—06/26/2009——Get Alert
05/27/2009FCO
abrdn Glb Inc Fund
Special$0.07—05/27/200905/29/200906/12/2009Get Alert
04/28/2009FCO
abrdn Glb Inc Fund
Special$0.07—04/28/200904/30/200905/15/2009Get Alert
02/25/2009FCO
abrdn Glb Inc Fund
Special$0.07—02/25/200902/27/200903/13/2009Get Alert
01/28/2009FCO
abrdn Glb Inc Fund
Special$0.07—01/28/200901/30/200902/13/2009Get Alert
12/29/2008FCO
abrdn Glb Inc Fund
Special$0.82—12/29/200812/31/200801/16/2009Get Alert
11/25/2008FCO
abrdn Glb Inc Fund
Special$0.07—11/25/200811/28/200812/12/2008Get Alert
10/29/2008FCO
abrdn Glb Inc Fund
Special$0.07—10/29/200810/31/200811/14/2008Get Alert
09/26/2008FCO
abrdn Glb Inc Fund
Special$0.07—09/26/200809/30/200810/10/2008Get Alert
08/27/2008FCO
abrdn Glb Inc Fund
Special$0.07—08/27/200808/29/200809/12/2008Get Alert
07/29/2008FCO
abrdn Glb Inc Fund
Special$0.07—07/29/200807/31/200808/15/2008Get Alert
06/26/2008FCO
abrdn Glb Inc Fund
Special$0.07—06/26/200806/30/200807/11/2008Get Alert
05/28/2008FCO
abrdn Glb Inc Fund
Special$0.07—05/28/200805/30/200806/13/2008Get Alert
04/28/2008FCO
abrdn Glb Inc Fund
Special$0.07—04/28/200804/30/200805/16/2008Get Alert
03/27/2008FCO
abrdn Glb Inc Fund
Special$0.07—03/27/200803/31/200804/11/2008Get Alert
02/27/2008FCO
abrdn Glb Inc Fund
Special$0.07—02/27/200802/29/200803/14/2008Get Alert
01/29/2008FCO
abrdn Glb Inc Fund
Special$0.07—01/29/200801/31/200802/15/2008Get Alert
12/27/2007FCO
abrdn Glb Inc Fund
Special$0.2—12/27/200712/31/200701/11/2008Get Alert
11/28/2007FCO
abrdn Glb Inc Fund
Special$0.07—11/28/200711/30/200712/14/2007Get Alert
10/29/2007FCO
abrdn Glb Inc Fund
Special$0.07—10/29/200710/31/200711/16/2007Get Alert
09/26/2007FCO
abrdn Glb Inc Fund
Special$0.07—09/26/200709/28/200710/12/2007Get Alert
08/29/2007FCO
abrdn Glb Inc Fund
Special$0.07—08/29/200708/31/200709/14/2007Get Alert
07/27/2007FCO
abrdn Glb Inc Fund
Special$0.07—07/27/200707/31/200708/10/2007Get Alert
06/27/2007FCO
abrdn Glb Inc Fund
Special$0.07—06/27/200706/29/200707/13/2007Get Alert
05/29/2007FCO
abrdn Glb Inc Fund
Special$0.07—05/29/200705/31/200706/15/2007Get Alert
04/26/2007FCO
abrdn Glb Inc Fund
Special$0.07—04/26/200704/30/200705/11/2007Get Alert
03/28/2007FCO
abrdn Glb Inc Fund
Special$0.07—03/28/200703/30/200704/13/2007Get Alert
02/26/2007FCO
abrdn Glb Inc Fund
Special$0.07—02/26/200702/28/200703/16/2007Get Alert
01/29/2007FCO
abrdn Glb Inc Fund
Special$0.07—01/29/200701/31/200702/09/2007Get Alert
12/27/2006FCO
abrdn Glb Inc Fund
Special$0.07—12/27/200612/29/200601/12/2007Get Alert
11/28/2006FCO
abrdn Glb Inc Fund
Special$0.07—11/28/200611/30/200612/15/2006Get Alert
10/27/2006FCO
abrdn Glb Inc Fund
Special$0.07—10/27/200610/31/200611/13/2006Get Alert
09/27/2006FCO
abrdn Glb Inc Fund
Special$0.07—09/27/200609/29/200610/13/2006Get Alert
08/29/2006FCO
abrdn Glb Inc Fund
Special$0.07—08/29/200608/31/200609/15/2006Get Alert
07/27/2006FCO
abrdn Glb Inc Fund
Special$0.07—07/27/200607/31/200608/11/2006Get Alert
06/28/2006FCO
abrdn Glb Inc Fund
Special$0.07—06/28/200606/30/200607/14/2006Get Alert
05/26/2006FCO
abrdn Glb Inc Fund
Special$0.06—05/26/200605/31/200606/16/2006Get Alert
04/26/2006FCO
abrdn Glb Inc Fund
Special$0.06—04/26/200604/28/200605/12/2006Get Alert
03/29/2006FCO
abrdn Glb Inc Fund
Special$0.06—03/29/200603/31/200604/17/2006Get Alert
02/24/2006FCO
abrdn Glb Inc Fund
Special$0.06—02/24/200602/28/200603/10/2006Get Alert
01/27/2006FCO
abrdn Glb Inc Fund
Special$0.06—01/27/200601/31/200602/10/2006Get Alert
12/28/2005FCO
abrdn Glb Inc Fund
Special$0.4—12/28/200512/30/200501/13/2006Get Alert
11/28/2005FCO
abrdn Glb Inc Fund
Special$0.06—11/28/200511/30/200512/16/2005Get Alert
10/27/2005FCO
abrdn Glb Inc Fund
Special$0.06—10/27/200510/31/200511/14/2005Get Alert
09/28/2005FCO
abrdn Glb Inc Fund
Special$0.06—09/28/200509/30/200510/14/2005Get Alert
08/29/2005FCO
abrdn Glb Inc Fund
Special$0.06—08/29/200508/31/200509/16/2005Get Alert
07/27/2005FCO
abrdn Glb Inc Fund
Special$0.06—07/27/200507/29/200508/12/2005Get Alert
06/28/2005FCO
abrdn Glb Inc Fund
Special$0.06—06/28/200506/30/200507/15/2005Get Alert
05/26/2005FCO
abrdn Glb Inc Fund
Special$0.06—05/26/200505/31/200506/17/2005Get Alert
04/27/2005FCO
abrdn Glb Inc Fund
Special$0.06—04/27/200504/29/200505/13/2005Get Alert
03/29/2005FCO
abrdn Glb Inc Fund
Special$0.06—03/29/200503/31/200504/15/2005Get Alert
02/24/2005FCO
abrdn Glb Inc Fund
Special$0.06—02/24/200502/28/200503/11/2005Get Alert
01/27/2005FCO
abrdn Glb Inc Fund
Special$0.06—01/27/200501/31/200502/11/2005Get Alert
12/29/2004FCO
abrdn Glb Inc Fund
Special$0.06—12/29/200412/31/200401/14/2005Get Alert
11/26/2004FCO
abrdn Glb Inc Fund
Special$0.06—11/26/200411/30/200412/17/2004Get Alert
10/27/2004FCO
abrdn Glb Inc Fund
Special$0.06—10/18/200410/29/200411/12/2004Get Alert
09/28/2004FCO
abrdn Glb Inc Fund
Special$0.06—09/20/200409/30/200410/15/2004Get Alert
08/27/2004FCO
abrdn Glb Inc Fund
Special$0.06—08/16/200408/31/200409/17/2004Get Alert
07/28/2004FCO
abrdn Glb Inc Fund
Special$0.06—07/19/200407/30/200408/13/2004Get Alert
06/28/2004FCO
abrdn Glb Inc Fund
Special$0.06—06/14/200406/30/200407/16/2004Get Alert
05/26/2004FCO
abrdn Glb Inc Fund
Special$0.06—05/26/200405/28/200406/11/2004Get Alert
04/28/2004FCO
abrdn Glb Inc Fund
Special$0.06—04/28/200404/30/200405/14/2004Get Alert
03/29/2004FCO
abrdn Glb Inc Fund
Special$0.06—03/29/200403/31/200404/16/2004Get Alert
02/25/2004FCO
abrdn Glb Inc Fund
Special$0.06—02/25/200402/27/200403/12/2004Get Alert
01/28/2004FCO
abrdn Glb Inc Fund
Special$0.06—01/28/2004——Get Alert
12/29/2003FCO
abrdn Glb Inc Fund
Special$0.06—12/29/200312/31/2003—Get Alert
11/25/2003FCO
abrdn Glb Inc Fund
Special$0.06—11/25/2003——Get Alert
10/29/2003FCO
abrdn Glb Inc Fund
Special$0.06—10/29/200310/31/200311/14/2003Get Alert
09/26/2003FCO
abrdn Glb Inc Fund
Special$0.06—09/26/200309/30/200310/10/2003Get Alert
08/27/2003FCO
abrdn Glb Inc Fund
Special$0.06—08/27/200308/29/200309/12/2003Get Alert
07/29/2003FCO
abrdn Glb Inc Fund
Special$0.06—07/29/200307/31/200308/15/2003Get Alert
06/26/2003FCO
abrdn Glb Inc Fund
Special$0.06—06/26/200306/30/200307/11/2003Get Alert
05/28/2003FCO
abrdn Glb Inc Fund
Special$0.06—05/28/200305/30/200306/13/2003Get Alert
04/28/2003FCO
abrdn Glb Inc Fund
Special$0.06—04/28/200304/30/200305/09/2003Get Alert
03/27/2003FCO
abrdn Glb Inc Fund
Special$0.06—03/27/200303/31/200304/11/2003Get Alert
02/26/2003FCO
abrdn Glb Inc Fund
Special$0.06—02/26/200302/28/200303/14/2003Get Alert
01/29/2003FCO
abrdn Glb Inc Fund
Special$0.06—01/29/200301/31/200302/14/2003Get Alert
12/30/2002FCO
abrdn Glb Inc Fund
Special$0.06—12/30/200201/02/2003—Get Alert
11/26/2002FCO
abrdn Glb Inc Fund
Special$0.06—11/26/200211/29/200212/06/2002Get Alert
10/29/2002FCO
abrdn Glb Inc Fund
Special$0.06—10/29/200210/31/200211/08/2002Get Alert
09/26/2002FCO
abrdn Glb Inc Fund
Special$0.06—09/26/200209/30/2002—Get Alert
08/28/2002FCO
abrdn Glb Inc Fund
Special$0.06—08/28/200208/30/2002—Get Alert
07/29/2002FCO
abrdn Glb Inc Fund
Special$0.06—07/29/200207/31/2002—Get Alert
06/26/2002FCO
abrdn Glb Inc Fund
Special$0.06—06/26/200206/26/2002—Get Alert
05/29/2002FCO
abrdn Glb Inc Fund
Special$0.06—05/29/200205/29/2002—Get Alert
04/26/2002FCO
abrdn Glb Inc Fund
Special$0.06—04/26/200204/26/2002—Get Alert
03/26/2002FCO
abrdn Glb Inc Fund
Special$0.06—03/26/200203/28/2002—Get Alert
02/26/2002FCO
abrdn Glb Inc Fund
Special$0.06—02/26/200202/26/2002—Get Alert
01/29/2002FCO
abrdn Glb Inc Fund
Special$0.06—01/29/200201/31/2002—Get Alert
12/27/2001FCO
abrdn Glb Inc Fund
Special$0.07—12/27/200112/31/2001—Get Alert
11/28/2001FCO
abrdn Glb Inc Fund
Special$0.07—11/28/200111/28/2001—Get Alert
10/29/2001FCO
abrdn Glb Inc Fund
Special$0.07—10/29/200110/29/2001—Get Alert
09/26/2001FCO
abrdn Glb Inc Fund
Special$0.07—09/26/200109/26/2001—Get Alert
08/29/2001FCO
abrdn Glb Inc Fund
Special$0.07—08/29/200108/29/2001—Get Alert
07/27/2001FCO
abrdn Glb Inc Fund
Special$0.07—07/27/200107/27/2001—Get Alert
06/27/2001FCO
abrdn Glb Inc Fund
Special$0.07—06/27/200106/27/2001—Get Alert
05/29/2001FCO
abrdn Glb Inc Fund
Special$0.07—05/29/200105/31/2001—Get Alert
04/26/2001FCO
abrdn Glb Inc Fund
Special$0.07—04/26/200104/30/2001—Get Alert
03/28/2001FCO
abrdn Glb Inc Fund
Special$0.07—03/28/200103/30/2001—Get Alert
02/26/2001FCO
abrdn Glb Inc Fund
Special$0.07—02/26/200102/28/2001—Get Alert
01/29/2001FCO
abrdn Glb Inc Fund
Special$0.07—01/29/200101/31/2001—Get Alert
12/27/2000FCO
abrdn Glb Inc Fund
Special$0.07—12/27/200012/29/2000—Get Alert
11/28/2000FCO
abrdn Glb Inc Fund
Special$0.07—11/28/200011/30/2000—Get Alert
10/27/2000FCO
abrdn Glb Inc Fund
Special$0.07—10/13/200010/31/200011/10/2000Get Alert
09/27/2000FCO
abrdn Glb Inc Fund
Special$0.07—09/18/200009/29/200010/13/2000Get Alert
08/29/2000FCO
abrdn Glb Inc Fund
Special$0.07—08/14/200008/31/200009/15/2000Get Alert

FAQ

Q

When does abrdn Glb Inc Fund (FCO) pay its next dividend?

A

abrdn Glb Inc Fund's next dividend was announced on July 10, 2024 and will have an ex-dividend date of July 24, 2024.

Q

What date did I need to own abrdn Glb Inc Fund (FCO) stock to get the latest dividend?

A

The next dividend payout for abrdn Glb Inc Fund (FCO) will be on July 31, 2024. Investors need to be owners of abrdn Glb Inc Fund (FCO) shares by July 24, 2024.

Q

How much per share is the next abrdn Glb Inc Fund (FCO) dividend?

A

The next dividend for abrdn Glb Inc Fund (FCO) will be on July 31, 2024 and will be $0.07.

Q

What is the dividend yield for abrdn Glb Inc Fund (AMEX:FCO)?

A

The most current yield for abrdn Glb Inc Fund (FCO) is 14.19% and is payable next on July 31, 2024.

Q

What was the announcement date for the next abrdn Glb Inc Fund (FCO) dividend?

A

The next dividend for abrdn Glb Inc Fund (FCO) was announced on July 10, 2024.

Q

Why is abrdn Glb Inc Fund (FCO) dividend considered high?

A

There is not enough data to provide an evaluation.

Q

Is abrdn Glb Inc Fund (FCO) a good dividend?

A

There is not enough data to provide an evaluation.

Q

Is the abrdn Glb Inc Fund (FCO) dividend sustainable?

A

There is not enough data to provide an evaluation.

Browse Dividends on all stocks.