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Last Close
Oct 07  •  10:07AM ET
5.78
Dollar change
+0.05
Percentage change
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Index- P/E16.99 EPS (ttm)0.34 Insider Own- Shs Outstand125.47M Perf Week-0.43%
Market Cap724.59M Forward P/E- EPS next Y- Insider Trans- Shs Float125.46M Perf Month-2.28%
Enterprise Value- PEG- EPS next Q- Inst Own32.12% Short Float0.12% Perf Quarter-3.10%
Income- P/S8.60 EPS this Y- Inst Trans- Short Ratio0.29 Perf Half Y11.70%
Sales84.25M P/B0.97 EPS next Y- ROA- Short Interest0.15M Perf YTD-3.27%
Book/sh5.95 P/C- EPS next 5Y- ROE- 52W High6.65 -13.16% Perf Year-11.70%
Cash/sh- P/FCF- EPS past 3/5Y- - ROIC- 52W Low4.92 17.38% Perf 3Y-11.02%
Dividend Est.- EV/EBITDA- Sales past 3/5Y- - Gross Margin- Volatility0.77% 0.58% Perf 5Y-40.55%
Dividend TTM0.98 (16.97%) EV/Sales- EPS Y/Y TTM- Oper. Margin- ATR (14)0.04 Perf 10Y-52.64%
Dividend Ex-DateSep 23, 2025 Quick Ratio- Sales Y/Y TTM- Profit Margin- RSI (14)35.75 Recom-
Dividend Gr. 3/5Y-0.39% -3.24% Current Ratio- EPS Q/Q- SMA20-1.15% Beta0.84 Target Price-
Payout- Debt/Eq- Sales Q/Q101.30% SMA50-2.14% Rel Volume1.57 Prev Close5.73
Employees- LT Debt/Eq- Earnings- SMA200-1.99% Avg Volume525.87K Price5.78
IPOJan 27, 2011 Option/ShortNo / Yes EPS/Sales Surpr.- - Trades Volume115,428 Change0.79%
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Abrdn Income Credit Strategies Fund is a closed-ended fixed income fund launched and managed by Aberdeen Asset Managers Limited. It is co-managed by Aberdeen Standard Investments Inc. The fund invests in fixed income markets across the globe. It seeks to invest primarily in loan and debt instruments. Abrdn Income Credit Strategies Fund was formed on October 12, 2010 and is domiciled in the United States.
Insider Trading Relationship Date Transaction Cost #Shares Value ($) #Shares Total SEC Form 4
Porter Rahn KDirectorSep 30 '25Buy5.792,20012,7272,200Oct 02 01:26 PM
MALONE PETER GERALDDirectorSep 26 '25Buy5.935002,9652,277Sep 30 04:29 PM
Reit ToddDirectorSep 23 '25Buy5.822,00011,6302,000Sep 25 01:24 PM
Yao NancyDirectorMay 12 '25Buy5.771,0005,7702,333Jun 11 04:15 PM
Last Close
Oct 07  •  09:51AM ET
10.18
Dollar change
+0.06
Percentage change
0.59
%
VFL abrdn National Municipal Income Fund daily Stock Chart
Index- P/E- EPS (ttm)-0.03 Insider Own0.03% Shs Outstand12.28M Perf Week-0.78%
Market Cap124.99M Forward P/E- EPS next Y- Insider Trans21.14% Shs Float12.27M Perf Month1.31%
Enterprise Value- PEG- EPS next Q- Inst Own29.88% Short Float0.16% Perf Quarter5.27%
Income- P/S15.11 EPS this Y- Inst Trans- Short Ratio0.47 Perf Half Y2.83%
Sales8.27M P/B0.89 EPS next Y- ROA- Short Interest0.02M Perf YTD0.49%
Book/sh11.42 P/C- EPS next 5Y- ROE- 52W High11.25 -9.51% Perf Year-10.07%
Cash/sh- P/FCF- EPS past 3/5Y- - ROIC- 52W Low9.27 9.82% Perf 3Y-6.52%
Dividend Est.- EV/EBITDA- Sales past 3/5Y- - Gross Margin- Volatility0.73% 0.81% Perf 5Y-16.55%
Dividend TTM0.60 (5.89%) EV/Sales- EPS Y/Y TTM- Oper. Margin- ATR (14)0.09 Perf 10Y-18.05%
Dividend Ex-DateSep 23, 2025 Quick Ratio- Sales Y/Y TTM- Profit Margin- RSI (14)55.96 Recom-
Dividend Gr. 3/5Y0.88% -0.76% Current Ratio- EPS Q/Q- SMA20-0.62% Beta0.79 Target Price-
Payout- Debt/Eq- Sales Q/Q4.30% SMA503.12% Rel Volume0.28 Prev Close10.12
Employees- LT Debt/Eq- Earnings- SMA2001.93% Avg Volume40.64K Price10.18
IPOFeb 19, 1993 Option/ShortNo / Yes EPS/Sales Surpr.- - Trades Volume1,470 Change0.59%
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Delaware Investments National Municipal Income Fund is a closed-ended fixed income mutual fund launched by Delaware Management Holdings, Inc. The fund is managed by Delaware Management Business Trust. It invests in the fixed income markets of the United States. The fund primarily invests in investment grade municipal obligations, the income from which is exempt from federal income taxes. Its investments include airport revenue bonds, escrowed to maturity bonds, hospital revenue bonds, pre-refunded bonds, public power revenue bonds, school district general obligation bonds, and short term investments. The fund benchmarks the performance of its portfolio against the Barclays Municipal Bond Index and Lipper CE General & Insured Municipal Debt Funds (Leveraged) Average. Delaware Investments National Municipal Income Fund was formed on February 26, 1993 and is domiciled in the United States.
Insider Trading Relationship Date Transaction Cost #Shares Value ($) #Shares Total SEC Form 4
Reit ToddDirectorAug 05 '25Buy9.642502,4101,250Aug 11 03:10 PM
Yao NancyDirectorMay 12 '25Buy9.965004,9801,500Jun 11 04:21 PM
Yao NancyDirectorNov 13 '24Buy10.631,00010,6301,000Nov 15 05:01 PM
Last Close
Oct 07  •  10:06AM ET
3.91
Dollar change
-0.01
Percentage change
-0.14
%
AWP abrdn Global Premier Properties Fund daily Stock Chart
Index- P/E7.53 EPS (ttm)0.52 Insider Own- Shs Outstand86.68M Perf Week-1.40%
Market Cap339.30M Forward P/E- EPS next Y- Insider Trans- Shs Float86.67M Perf Month-2.14%
Enterprise Value- PEG- EPS next Q- Inst Own15.09% Short Float0.64% Perf Quarter1.15%
Income- P/S34.14 EPS this Y- Inst Trans- Short Ratio1.38 Perf Half Y14.13%
Sales9.94M P/B1.03 EPS next Y- ROA- Short Interest0.56M Perf YTD1.41%
Book/sh3.80 P/C- EPS next 5Y- ROE- 52W High4.52 -13.40% Perf Year-10.83%
Cash/sh- P/FCF- EPS past 3/5Y- - ROIC- 52W Low3.27 19.71% Perf 3Y2.47%
Dividend Est.- EV/EBITDA- Sales past 3/5Y- - Gross Margin- Volatility1.22% 1.10% Perf 5Y-15.09%
Dividend TTM0.48 (12.26%) EV/Sales- EPS Y/Y TTM- Oper. Margin- ATR (14)0.05 Perf 10Y-29.85%
Dividend Ex-DateSep 23, 2025 Quick Ratio- Sales Y/Y TTM- Profit Margin- RSI (14)40.84 Recom-
Dividend Gr. 3/5Y0.00% -2.69% Current Ratio- EPS Q/Q- SMA20-1.61% Beta1.37 Target Price-
Payout43.11% Debt/Eq- Sales Q/Q-18.10% SMA50-0.97% Rel Volume0.68 Prev Close3.92
Employees- LT Debt/Eq- Earnings- SMA2000.30% Avg Volume403.65K Price3.91
IPOApr 26, 2007 Option/ShortNo / Yes EPS/Sales Surpr.- - Trades Volume37,997 Change-0.14%
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Abrdn Global Premier Properties Fund is a closed-end equity mutual fund launched and managed by Alpine Woods Capital Investors, LLC. It invests in the public equity markets across the globe. The fund invests in stocks of companies operating across real estate sectors. It invests in value stocks of companies. The fund employs fundamental analysis with top-down and bottom-up stock picking approach to create its portfolio. It benchmarks the performance of its portfolio against the FTSE EPRA/NAREIT Global TR Index, MSCI US REIT Gross Total Return Index, and S&P Developed BMI Property Index Net TR Index. Abrdn Global Premier Properties Fund was formed on February 13, 2007 and is domiciled in the United States.
Insider Trading Relationship Date Transaction Cost #Shares Value ($) #Shares Total SEC Form 4
MALONE PETER GERALDDirectorSep 26 '25Buy4.002,0008,0003,000Sep 30 04:28 PM
Yao NancyDirectorAug 14 '25Buy3.932,0007,8603,500Aug 18 10:53 AM
Reit ToddDirectorAug 05 '25Buy3.831756713,000Aug 11 03:09 PM
Sievwright John P.DirectorAug 01 '25Buy3.822,1508,2103,150Aug 05 02:28 PM
Yao NancyDirectorMay 12 '25Buy3.985001,9901,500Jun 11 04:20 PM
Reit ToddDirectorJan 07 '25Buy3.771,8256,8892,825Jan 10 11:25 AM
Last Close
Oct 07  •  10:07AM ET
9.63
Dollar change
+0.01
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AOD abrdn Total Dynamic Dividend Fund daily Stock Chart
Index- P/E14.59 EPS (ttm)0.66 Insider Own- Shs Outstand105.43M Perf Week1.80%
Market Cap1.02B Forward P/E- EPS next Y- Insider Trans- Shs Float105.43M Perf Month4.79%
Enterprise Value- PEG- EPS next Q- Inst Own37.14% Short Float0.31% Perf Quarter7.48%
Income- P/S15.46 EPS this Y- Inst Trans- Short Ratio0.66 Perf Half Y29.78%
Sales65.69M P/B1.06 EPS next Y- ROA- Short Interest0.32M Perf YTD14.51%
Book/sh9.12 P/C- EPS next 5Y- ROE- 52W High9.65 -0.21% Perf Year7.24%
Cash/sh- P/FCF- EPS past 3/5Y- - ROIC- 52W Low6.99 37.77% Perf 3Y34.87%
Dividend Est.- EV/EBITDA- Sales past 3/5Y- - Gross Margin- Volatility0.65% 0.71% Perf 5Y21.28%
Dividend TTM1.17 (12.15%) EV/Sales- EPS Y/Y TTM- Oper. Margin- ATR (14)0.07 Perf 10Y29.09%
Dividend Ex-DateSep 23, 2025 Quick Ratio- Sales Y/Y TTM- Profit Margin- RSI (14)75.20 Recom-
Dividend Gr. 3/5Y9.19% 5.42% Current Ratio- EPS Q/Q-95.40% SMA202.09% Beta0.93 Target Price-
Payout- Debt/Eq- Sales Q/Q-21.60% SMA504.54% Rel Volume1.48 Prev Close9.62
Employees- LT Debt/Eq- Earnings- SMA20010.49% Avg Volume492.38K Price9.63
IPOJan 26, 2007 Option/ShortNo / Yes EPS/Sales Surpr.- - Trades Volume101,786 Change0.10%
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Abrdn Total Dynamic Dividend Fund is a closed-ended equity mutual fund launched and managed by Alpine Woods Capital Investors, LLC. The fund invests in the public equity markets across the globe. It seeks to invest in stocks of companies across diversified sectors. The fund invests in growth and value stocks of companies across all market capitalizations. It employs fundamental analysis with a combination of bottom-up and top-down stock picking approach with a focus on factors like special dividends and dividend capture rotation to create its portfolio. The fund benchmarks the performance of its portfolio against the S&P 500 TR Index, MSCI ACWI Index, and MSCI AC World Daily TR Ex Japan (Gross Div) Index. It conducts in-house research to make its investments. Abrdn Total Dynamic Dividend Fund was formed on October 27, 2006 and is domiciled in the United States.
Insider Trading Relationship Date Transaction Cost #Shares Value ($) #Shares Total SEC Form 4
MALONE PETER GERALDDirectorSep 26 '25Buy9.485004,7401,500Sep 30 04:26 PM
Sievwright John P.DirectorAug 01 '25Buy8.803503,0821,350Aug 05 02:26 PM
Yao NancyDirectorMay 12 '25Buy8.492001,6981,200Jun 11 04:18 PM
Reit ToddDirectorJan 07 '25Buy8.522502,1291,250Jan 10 11:27 AM
Last Close
Oct 07  •  10:07AM ET
13.88
Dollar change
+0.13
Percentage change
0.95
%
AGD abrdn Global Dynamic Dividend Fund daily Stock Chart
Index- P/E- EPS (ttm)- Insider Own- Shs Outstand24.87M Perf Week4.20%
Market Cap345.13M Forward P/E- EPS next Y- Insider Trans- Shs Float24.86M Perf Month13.40%
Enterprise Value- PEG- EPS next Q- Inst Own- Short Float1.79% Perf Quarter23.71%
Income- P/S- EPS this Y- Inst Trans- Short Ratio3.49 Perf Half Y58.81%
Sales- P/B- EPS next Y- ROA- Short Interest0.44M Perf YTD41.63%
Book/sh- P/C- EPS next 5Y- ROE- 52W High13.83 0.36% Perf Year33.53%
Cash/sh- P/FCF- EPS past 3/5Y- - ROIC- 52W Low8.46 64.07% Perf 3Y64.26%
Dividend Est.- EV/EBITDA- Sales past 3/5Y- - Gross Margin- Volatility1.40% 1.46% Perf 5Y50.71%
Dividend TTM1.33 (9.58%) EV/Sales- EPS Y/Y TTM- Oper. Margin- ATR (14)0.19 Perf 10Y64.07%
Dividend Ex-DateSep 23, 2025 Quick Ratio- Sales Y/Y TTM- Profit Margin- RSI (14)82.84 Recom-
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Payout42.50% Debt/Eq- Sales Q/Q- SMA5013.42% Rel Volume1.45 Prev Close13.75
Employees- LT Debt/Eq- Earnings- SMA20029.07% Avg Volume127.27K Price13.88
IPOJul 26, 2006 Option/ShortNo / Yes EPS/Sales Surpr.- - Trades Volume25,844 Change0.95%
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Abrdn Global Dynamic Dividend Fund is a closed ended equity mutual fund launched and managed by Alpine Woods Capital Investors, LLC. It invests in the public equity markets across the globe. The fund invests in stocks of companies operating across diversified sectors. It invests in growth and value stocks of companies across all market capitalizations. The fund employs a fundamental analysis with bottom up and top down stock picking approach, focusing on companies globally with potential for dividend increases and capital appreciation to create its portfolio. It benchmarks the performance of its portfolio against the S&P 500 Index, MSCI AC World Daily TR (Net Div) Index, and MSCI AC World Daily TR ex Japan (Gross Div) Index. Abrdn Global Dynamic Dividend Fund was formed on May 11, 2006 and is domiciled in the United States.
Insider Trading Relationship Date Transaction Cost #Shares Value ($) #Shares Total SEC Form 4
Reit ToddDirectorJan 07 '25Buy9.961009961,100Jan 10 11:26 AM
Last Close
Oct 07  •  10:07AM ET
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THW abrdn World Healthcare Fund daily Stock Chart
Index- P/E256.20 EPS (ttm)0.05 Insider Own- Shs Outstand39.85M Perf Week1.67%
Market Cap510.48M Forward P/E- EPS next Y- Insider Trans- Shs Float39.85M Perf Month6.04%
Enterprise Value- PEG- EPS next Q- Inst Own14.05% Short Float0.35% Perf Quarter22.70%
Income- P/S- EPS this Y- Inst Trans- Short Ratio0.79 Perf Half Y26.08%
Sales- P/B- EPS next Y- ROA- Short Interest0.14M Perf YTD16.35%
Book/sh- P/C- EPS next 5Y- ROE- 52W High13.45 -4.75% Perf Year-2.53%
Cash/sh- P/FCF- EPS past 3/5Y- - ROIC- 52W Low9.80 30.71% Perf 3Y2.10%
Dividend Est.- EV/EBITDA- Sales past 3/5Y- - Gross Margin- Volatility2.25% 1.53% Perf 5Y-8.38%
Dividend TTM1.40 (10.96%) EV/Sales- EPS Y/Y TTM- Oper. Margin- ATR (14)0.20 Perf 10Y-9.45%
Dividend Ex-DateSep 23, 2025 Quick Ratio- Sales Y/Y TTM- Profit Margin- RSI (14)73.45 Recom-
Dividend Gr. 3/5Y0.87% 0.52% Current Ratio- EPS Q/Q- SMA205.12% Beta0.82 Target Price-
Payout57.36% Debt/Eq- Sales Q/Q- SMA509.66% Rel Volume0.82 Prev Close12.78
Employees- LT Debt/Eq- Earnings- SMA20014.19% Avg Volume174.26K Price12.81
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Tekla World Healthcare Fund is a closed-ended balanced mutual fund launched and managed by Tekla Capital Management LLC. The fund invests in public equity and fixed income markets across the globe. It seeks to invest in stocks of companies operating in the healthcare sector. For its fixed income portion, the fund primarily invests in corporate debt securities. Tekla World Healthcare Fund was formed on June 26, 2015 and is domiciled in the United States.
Last Close
Oct 07  •  10:05AM ET
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THQ abrdn Healthcare Opportunities Fund daily Stock Chart
Index- P/E138.59 EPS (ttm)0.13 Insider Own- Shs Outstand41.38M Perf Week4.20%
Market Cap745.49M Forward P/E- EPS next Y- Insider Trans- Shs Float41.38M Perf Month4.99%
Enterprise Value- PEG- EPS next Q- Inst Own20.71% Short Float0.20% Perf Quarter0.26%
Income- P/S- EPS this Y- Inst Trans- Short Ratio0.27 Perf Half Y0.37%
Sales- P/B- EPS next Y- ROA- Short Interest0.08M Perf YTD-4.53%
Book/sh- P/C- EPS next 5Y- ROE- 52W High22.60 -20.28% Perf Year-17.47%
Cash/sh- P/FCF- EPS past 3/5Y- - ROIC- 52W Low15.14 19.00% Perf 3Y1.22%
Dividend Est.- EV/EBITDA- Sales past 3/5Y- - Gross Margin- Volatility2.13% 1.51% Perf 5Y1.39%
Dividend TTM2.16 (11.99%) EV/Sales- EPS Y/Y TTM- Oper. Margin- ATR (14)0.27 Perf 10Y15.72%
Dividend Ex-DateSep 23, 2025 Quick Ratio- Sales Y/Y TTM- Profit Margin- RSI (14)68.04 Recom-
Dividend Gr. 3/5Y16.59% 9.65% Current Ratio- EPS Q/Q- SMA204.08% Beta0.88 Target Price-
Payout41.23% Debt/Eq- Sales Q/Q- SMA506.91% Rel Volume0.57 Prev Close18.03
Employees- LT Debt/Eq- Earnings- SMA200-3.37% Avg Volume298.59K Price18.02
IPOJul 29, 2014 Option/ShortNo / Yes EPS/Sales Surpr.- - Trades Volume22,899 Change-0.08%
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Tekla Healthcare Opportunities Fund is a closed ended balanced mutual fund launched and managed by Tekla Capital Management LLC. The fund invests in public equity and fixed income markets across the globe. It seeks to invest in securities of companies operating in the healthcare sector. The fund also invests in pooled investment vehicles. For its fixed income portion, the fund invests in corporate debt securities across the credit rating spectrum. It benchmarks the performance of its portfolio against the S&P 1500 Healthcare Index and S&P 500 Index. Tekla Healthcare Opportunities Fund was formed on April 2, 2014 and is domiciled in the United States.
Last Close
Oct 07  •  10:00AM ET
15.67
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+0.01
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HQL abrdn Life Sciences Investors daily Stock Chart
Index- P/E- EPS (ttm)-0.48 Insider Own- Shs Outstand28.87M Perf Week1.03%
Market Cap452.43M Forward P/E- EPS next Y- Insider Trans- Shs Float28.87M Perf Month10.12%
Enterprise Value- PEG- EPS next Q- Inst Own30.94% Short Float0.13% Perf Quarter18.26%
Income- P/S138.08 EPS this Y- Inst Trans- Short Ratio0.28 Perf Half Y41.43%
Sales3.28M P/B1.14 EPS next Y- ROA- Short Interest0.04M Perf YTD19.44%
Book/sh13.71 P/C- EPS next 5Y- ROE- 52W High15.95 -1.75% Perf Year5.88%
Cash/sh- P/FCF- EPS past 3/5Y- - ROIC- 52W Low10.55 48.53% Perf 3Y17.42%
Dividend Est.- EV/EBITDA- Sales past 3/5Y- - Gross Margin- Volatility1.98% 1.70% Perf 5Y-8.67%
Dividend TTM1.82 (11.61%) EV/Sales- EPS Y/Y TTM- Oper. Margin- ATR (14)0.26 Perf 10Y-22.49%
Dividend Ex-DateAug 22, 2025 Quick Ratio- Sales Y/Y TTM- Profit Margin- RSI (14)74.49 Recom-
Dividend Gr. 3/5Y4.05% 6.37% Current Ratio- EPS Q/Q- SMA206.72% Beta0.74 Target Price-
Payout46.53% Debt/Eq- Sales Q/Q-34.10% SMA5011.22% Rel Volume1.57 Prev Close15.66
Employees- LT Debt/Eq- Earnings- SMA20018.18% Avg Volume138.50K Price15.67
IPOMay 01, 1992 Option/ShortNo / Yes EPS/Sales Surpr.- - Trades Volume27,748 Change0.06%
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Tekla Life Sciences Investors is a closed-ended equity mutual fund launched and managed by Tekla Capital Management LLC. 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. It was formerly known as H&Q Life Sciences Investors fund. Tekla Life Sciences Investors was formed on February 20, 1992 and is domiciled in the United States.
Insider Trading Relationship Date Transaction Cost #Shares Value ($) #Shares Total SEC Form 4
Saba Capital Management, L.P.10% OwnerSep 22 '25Sale14.1441,623588,5492,837,633Sep 23 01:50 PM
Saba Capital Management, L.P.10% OwnerSep 19 '25Sale14.106,98998,5452,879,256Sep 23 01:50 PM
Saba Capital Management, L.P.10% OwnerSep 18 '25Sale14.0740,208565,7272,886,245Sep 19 04:52 PM
Saba Capital Management, L.P.10% OwnerSep 17 '25Sale13.9924,328340,3492,926,453Sep 19 04:52 PM
Saba Capital Management, L.P.10% OwnerSep 16 '25Sale13.992,02628,3442,950,781Sep 17 12:34 PM
Saba Capital Management, L.P.10% OwnerSep 15 '25Sale14.137009,8912,952,807Sep 17 12:34 PM
Saba Capital Management, L.P.10% OwnerSep 11 '25Sale14.2815,116215,8562,953,507Sep 15 05:38 PM
Saba Capital Management, L.P.10% OwnerSep 02 '25Sale14.0414,083197,7252,968,623Sep 04 10:52 AM
Saba Capital Management, L.P.10% OwnerAug 29 '25Sale13.8923,723329,5122,982,706Sep 02 02:40 PM
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Saba Capital Management, L.P.10% OwnerApr 10 '25Sale11.1430,156335,9383,094,316Apr 14 12:33 PM
Saba Capital Management, L.P.10% OwnerApr 03 '25Sale12.2310,321126,2263,131,361Apr 07 12:30 PM
Saba Capital Management, L.P.10% OwnerApr 04 '25Sale11.576,88979,7063,124,472Apr 07 12:30 PM
Saba Capital Management, L.P.10% OwnerApr 02 '25Sale12.2829,102357,3733,141,682Apr 03 05:22 PM
Saba Capital Management, L.P.10% OwnerApr 01 '25Sale12.4517,621219,3813,170,784Apr 03 05:22 PM
Saba Capital Management, L.P.10% OwnerMar 31 '25Sale12.5848,623611,6773,188,405Apr 01 04:21 PM
Saba Capital Management, L.P.10% OwnerMar 27 '25Sale13.0132,922428,3153,240,630Mar 31 12:07 PM
Saba Capital Management, L.P.10% OwnerMar 28 '25Sale12.953,60246,6463,237,028Mar 31 12:07 PM
Saba Capital Management, L.P.10% OwnerMar 24 '25Sale13.212,32930,7663,273,552Mar 25 11:47 AM
Saba Capital Management, L.P.10% OwnerFeb 26 '25Sale13.622002,7243,275,881Feb 27 10:09 AM
Saba Capital Management, L.P.10% OwnerFeb 13 '25Sale13.881001,3883,276,081Feb 18 01:09 PM
Saba Capital Management, L.P.10% OwnerFeb 12 '25Sale13.7536,536502,3703,276,181Feb 13 07:45 PM
Saba Capital Management, L.P.10% OwnerFeb 10 '25Sale13.9542,987599,6693,332,473Feb 12 01:00 PM
Saba Capital Management, L.P.10% OwnerFeb 11 '25Sale13.7719,756272,0403,312,717Feb 12 01:00 PM
Saba Capital Management, L.P.10% OwnerFeb 04 '25Sale14.054,06557,1133,375,460Feb 05 10:39 AM
Saba Capital Management, L.P.10% OwnerFeb 03 '25Sale14.031,84625,8993,379,525Feb 05 10:39 AM
Saba Capital Management, L.P.10% OwnerJan 30 '25Sale14.1621,835309,1843,396,514Feb 03 03:30 PM
Saba Capital Management, L.P.10% OwnerJan 31 '25Sale14.2715,143216,0913,381,371Feb 03 03:30 PM
Saba Capital Management, L.P.10% OwnerJan 29 '25Sale14.1211,674164,8373,418,349Jan 30 10:57 AM
Last Close
Oct 07  •  10:07AM ET
18.44
Dollar change
+0.07
Percentage change
0.38
%
HQH abrdn Healthcare Investors daily Stock Chart
Index- P/E141.85 EPS (ttm)0.13 Insider Own- Shs Outstand53.86M Perf Week-0.11%
Market Cap993.22M Forward P/E- EPS next Y- Insider Trans- Shs Float53.86M Perf Month9.70%
Enterprise Value- PEG- EPS next Q- Inst Own22.08% Short Float0.24% Perf Quarter15.32%
Income- P/S97.41 EPS this Y- Inst Trans- Short Ratio0.63 Perf Half Y29.31%
Sales10.20M P/B1.04 EPS next Y- ROA- Short Interest0.13M Perf YTD14.89%
Book/sh17.66 P/C- EPS next 5Y- ROE- 52W High18.86 -2.23% Perf Year0.93%
Cash/sh- P/FCF- EPS past 3/5Y- - ROIC- 52W Low13.77 33.91% Perf 3Y6.71%
Dividend Est.- EV/EBITDA- Sales past 3/5Y- - Gross Margin- Volatility1.86% 1.48% Perf 5Y-10.38%
Dividend TTM2.24 (12.15%) EV/Sales- EPS Y/Y TTM- Oper. Margin- ATR (14)0.27 Perf 10Y-26.92%
Dividend Ex-DateAug 22, 2025 Quick Ratio- Sales Y/Y TTM- Profit Margin- RSI (14)71.24 Recom-
Dividend Gr. 3/5Y3.78% 5.85% Current Ratio- EPS Q/Q- SMA205.92% Beta0.74 Target Price-
Payout55.68% Debt/Eq- Sales Q/Q-10.80% SMA5010.28% Rel Volume0.97 Prev Close18.37
Employees- LT Debt/Eq- Earnings- SMA20012.58% Avg Volume208.83K Price18.44
IPOApr 23, 1987 Option/ShortNo / Yes EPS/Sales Surpr.- - Trades Volume28,260 Change0.38%
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Tekla Healthcare Investors is a closed-ended equity mutual fund launched and managed by Tekla Capital Management LLC. The fund invests in public equity markets across the globe. It seeks to invest in stocks of companies operating in the healthcare sector, including the biotechnology, medical devices, and pharmaceuticals industries. The fund primarily invests in growth stocks of small cap companies. It employs fundamental analysis with a focus on factors such as current or anticipated market position for services or products, experienced business management, recognized 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 Biotechnology Index, the S&P 500 Index, and the S&P 1500 Healthcare Index. It was previously known as H&Q Healthcare Investors. Tekla Healthcare Investors was formed on October 31, 1986 and is domiciled in the United States.