IFNNYSE
Aberdeen India Fund, Inc.
$11.52
ListedFeb 15, 1994
SectorFinancial Services
IndustryAsset Management
CountrySingapore
Employees-
State-| CitySingapore| Address7 Straits View| Phone65 63952700
Aberdeen India Fund, Inc. is a close ended equity mutual fund launched and managed by Aberdeen Standard Investments (Asia) Limited. The fund invests in public equity markets of India. It seeks to invest in stocks of small-cap, mid-cap, and large-cap companies. The fund employs a quantitative and fundamental analysis with a bottom-up stock picking and asset allocation approach to create its portfolio. It benchmarks the performance of its portfolio against the IFC Investable India Index. Aberdeen India Fund, Inc. was formed on December 27, 1993 and is domiciled in the Singapore.

Key Indicators

Key financial and dividend metrics for this stock.

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P/E Ratio
0.0
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Div. Rate
$2.18
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Div. Yield
19.33%
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Payout Ratio
58.99%
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Max Consec. Div. Years
16 years
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Longest Consec. Div.
16 years
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Div. Coverage
77%
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Div. Stability Rate
0.27
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Div. Growth Rate
25.00%
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Score
72

Dividend History

Historical dividend payments by ex-dividend date.

May 21, 2026
$ 0.3900
Feb 20, 2026
$ 0.4500
Nov 21, 2025
$ 0.9100
Aug 22, 2025
$ 0.4300
May 22, 2025
$ 0.4100
Feb 21, 2025
$ 0.4600
Nov 21, 2024
$ 0.9300
Aug 23, 2024
$ 0.4900
May 30, 2024
$ 0.4500
Feb 21, 2024
$ 0.4300
Nov 21, 2023
$ 0.4100
Aug 23, 2023
$ 0.4100
May 18, 2023
$ 0.3900
Feb 17, 2023
$ 0.4300
Nov 21, 2022
$ 1.6100
Aug 23, 2022
$ 0.4600
May 19, 2022
$ 0.5300
Mar 23, 2022
$ 0.5800
Dec 29, 2021
$ 0.6400
Dec 17, 2021
$ 0.8000
Sep 17, 2021
$ 0.6100
Jun 22, 2021
$ 0.5800
Mar 23, 2021
$ 0.5800
Dec 18, 2020
$ 0.5000
Sep 18, 2020
$ 0.4600
Jun 18, 2020
$ 0.4200
Mar 19, 2020
$ 0.5700
Dec 30, 2019
$ 0.5700
Sep 20, 2019
$ 0.5800
Jun 20, 2019
$ 0.5900
Mar 20, 2019
$ 0.5900
Dec 28, 2018
$ 2.3230
Sep 21, 2018
$ 0.7100
Jun 20, 2018
$ 0.7100
Apr 19, 2018
$ 0.7600
Dec 28, 2017
$ 2.8340
Sep 21, 2017
$ 0.3290
Dec 28, 2016
$ 1.4900
Sep 19, 2016
$ 0.2160
Dec 29, 2015
$ 1.4290
Sep 17, 2015
$ 0.3950
Dec 29, 2014
$ 1.7350
Sep 18, 2014
$ 0.1280
Dec 27, 2013
$ 0.8900
Oct 1, 2013
$ 0.0620
Dec 19, 2012
$ 2.3710
Dec 28, 2011
$ 0.3200
Sep 29, 2011
$ 0.8800
Dec 29, 2010
$ 3.7800
Sep 29, 2010
$ 0.0900
Dec 29, 2008
$ 0.6700
Oct 7, 2008
$ 6.4500
Dec 27, 2007
$ 8.1800
Oct 2, 2007
$ 1.4300
Dec 27, 2006
$ 3.4600
Oct 2, 2006
$ 0.5900
Apr 12, 2006
$ 1.0700
Dec 28, 2005
$ 4.4600
Dec 29, 2004
$ 1.5200
Dec 26, 2003
$ 0.1300
Dec 27, 2002
$ 0.0850
Dec 19, 2001
$ 0.0700

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