The Aberdeen Latin American Income Fund Limited, a fund managed by abrdn, has posted a Net Asset Value (NAV) total return of 17.4% compared to -27.5% in 2020. For the year ended 31 August 2021, the fund revealed its ordinary share price total return came in at 20.9% compared to -24.4% in 2020.
Aberdeen Latin American Income Fund Limited
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The Aberdeen Latin American Income Fund Limited, a company managed by Aberdeen Standard Investments (ASI), has announced its half year results for the six months to 28 February 2021 revealing a 7.2% in net asset value (NAV) total return. The increase in NAV compares favourably with the company&rsquo