HQLNYSE
Abrdn Life Sciences Investors
$17.14
ListedMay 1, 1992
SectorFinancial Services
IndustryAsset Management
CountryUnited States
Employees-
Website
StatePA| CityPhiladelphia| Address1900 Market Street| Phone215 405 5700
Abrdn Life Sciences Investors is a closed-ended equity mutual fund launched and managed by abrdn Inc. The fund invests in public equity markets across the globe. It seeks to invest in stocks of companies operating in the life sciences sector, including the biotechnology, pharmaceutical, diagnostics, managed healthcare, medical equipment, hospitals, healthcare information technology and services, devices and supplies industries, and in agriculture and environmental management industries. The fund primarily invests in growth stocks of small cap companies. It employs fundamental analysis with a focus on factors such as market position for services or products, experience of business management, technological expertise, and the ability either to generate funds internally to finance growth or to secure outside sources of capital to create its portfolio. The fund benchmarks the performance of its portfolio against the NASDAQ Biotech Index and the S&P 500 Index. Abrdn Life Sciences Investors was formed on February 20, 1992 and is domiciled in the United States.

Key Indicators

Key financial and dividend metrics for this stock.

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P/E Ratio
6.4
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Div. Rate
$2.04
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Div. Yield
11.42%
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Payout Ratio
65.23%
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Max Consec. Div. Years
30 years
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Longest Consec. Div.
30 years
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Div. Coverage
91%
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Div. Stability Rate
0.17
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Div. Growth Rate
25.00%
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Score
78

Dividend History

Historical dividend payments by ex-dividend date.

May 21, 2026
$ 0.5600
Feb 20, 2026
$ 0.5600
Nov 21, 2025
$ 0.5000
Aug 22, 2025
$ 0.4200
May 22, 2025
$ 0.4300
Feb 21, 2025
$ 0.4700
Nov 21, 2024
$ 0.5000
Aug 23, 2024
$ 0.4900
May 22, 2024
$ 0.4800
Feb 21, 2024
$ 0.3900
Nov 21, 2023
$ 0.3000
Aug 24, 2023
$ 0.3200
May 24, 2023
$ 0.3200
Feb 24, 2023
$ 0.3300
Nov 23, 2022
$ 0.3100
Aug 25, 2022
$ 0.3100
May 26, 2022
$ 0.3500
Feb 24, 2022
$ 0.3900
Nov 23, 2021
$ 0.4200
Aug 26, 2021
$ 0.4300
May 27, 2021
$ 0.4100
Feb 25, 2021
$ 0.4300
Dec 30, 2020
$ 0.0200
Nov 25, 2020
$ 0.4000
Aug 27, 2020
$ 0.4100
May 28, 2020
$ 0.3400
Feb 27, 2020
$ 0.3900
Nov 26, 2019
$ 0.3300
Aug 27, 2019
$ 0.3700
May 30, 2019
$ 0.3700
Feb 27, 2019
$ 0.3300
Nov 27, 2018
$ 0.4200
Aug 27, 2018
$ 0.4000
May 31, 2018
$ 0.4000
Feb 27, 2018
$ 0.4000
Nov 27, 2017
$ 0.4300
Aug 24, 2017
$ 0.4200
May 30, 2017
$ 0.4100
Feb 24, 2017
$ 0.3600
Nov 23, 2016
$ 0.4000
Jun 21, 2016
$ 0.8200
Apr 21, 2016
$ 0.3700
Feb 26, 2016
$ 0.4800
Dec 28, 2015
$ 0.7100
Nov 23, 2015
$ 0.4700
Aug 26, 2015
$ 0.5800
May 22, 2015
$ 0.5400
Feb 26, 2015
$ 0.5000
Nov 24, 2014
$ 0.4700
Aug 27, 2014
$ 0.4500
May 23, 2014
$ 0.4300
Feb 27, 2014
$ 0.4200
Nov 25, 2013
$ 0.4000
Aug 27, 2013
$ 0.3500
May 23, 2013
$ 0.3400
Feb 27, 2013
$ 0.3000
Nov 19, 2012
$ 0.3100
Aug 20, 2012
$ 0.3000
May 21, 2012
$ 0.2900
Feb 17, 2012
$ 0.2600
Nov 17, 2011
$ 0.2300
Aug 19, 2011
$ 0.2700
May 20, 2011
$ 0.2600
Feb 16, 2011
$ 0.2500
Nov 18, 2010
$ 0.2300
Aug 19, 2010
$ 0.1300
May 20, 2010
$ 0.1600
May 20, 2009
$ 0.2000
Feb 18, 2009
$ 0.2200
Nov 19, 2008
$ 0.2600
Aug 20, 2008
$ 0.2600
May 21, 2008
$ 0.2700
Feb 20, 2008
$ 0.3100
Nov 19, 2007
$ 0.3100
Aug 20, 2007
$ 0.2900
May 23, 2007
$ 0.2900
Feb 20, 2007
$ 0.2800
Nov 17, 2006
$ 0.2800
Sep 6, 2006
$ 0.2900
Jun 7, 2006
$ 0.3500
Feb 16, 2006
$ 0.3200
Nov 17, 2005
$ 1.0900
Aug 18, 2005
$ 0.3300
May 24, 2005
$ 0.3100
Feb 17, 2005
$ 0.3300
Nov 18, 2004
$ 0.3200
Aug 18, 2004
$ 0.3450
May 21, 2004
$ 0.3600
Feb 18, 2004
$ 0.3400
Nov 24, 2003
$ 0.3400
Aug 7, 2003
$ 0.3300
May 15, 2003
$ 0.2800
Feb 18, 2003
$ 0.2900
Nov 20, 2002
$ 0.9000
Aug 7, 2002
$ 0.3400
May 21, 2002
$ 0.4300
Feb 15, 2002
$ 0.5100
Nov 16, 2001
$ 1.5800
Aug 7, 2001
$ 0.5700
May 8, 2001
$ 0.4500
Feb 14, 2001
$ 0.5400
Nov 20, 2000
$ 2.3700
Aug 21, 2000
$ 0.7200
May 19, 2000
$ 0.6200
Feb 17, 2000
$ 0.4500
Nov 16, 1999
$ 1.1100
Nov 20, 1998
$ 0.3600
Nov 19, 1997
$ 0.7400
Nov 14, 1996
$ 1.6400

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