Company: FCO
Filing Date: 2025-01-10
Form Type: N-CSR
Source: 0001104659-25-002474
Chunk: 100

Company: ABRDN GLOBAL INCOME FUND, INC.
Filing Date: 2025-01-10
Form: N-CSR
Chunk 100
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 knowledge of currencies to help analyze local emerging markets. He has since covered emerging market corporates and helped launch abrdn’s emerging markets corporate strategy, offering a top down view when investing in the asset class. He graduated with a BA (Hons) in Hospitality Business Management from Leeds Metropolitan University and he has a Graduate Diploma in Finance from the University of London. He is a CFA charterholder. | 2021 |
| George Westervelt                                            
 Head of Global High Yield and Head of US High Yield Research | George Westervelt is Head of Global High Yield and Head of US High Yield Research. George is one of the Portfolio Managers on the team that manages the Global High Yield strategies and is also a member of the North American Fixed Income Leadership team. He joined abrdn in 2009 as a Credit Analyst and joined the portfolio management group in 2011. Prior to joining abrdn, George worked at MFS Investment Management in Boston and Citigroup in New York. He earned a BA in English from the University of Vermont and is a CFA Charterholder.                                                                                                                                           | 2024 |

(a)(2) OTHER ACCOUNTS MANAGED BY PORTFOLIO MANAGERS. The following chart summarizes information regarding other accounts for which each portfolio manager has day-to-day management responsibilities. Accounts are grouped into the following three categories: (1) registered investment companies; (2) other pooled investment vehicles; and (3) other accounts. To the extent that any of these accounts pay advisory fees that are based on account performance (“performance-based fees”), information on those accounts is provided separately. The figures in the chart below for the category of “registered investment companies” include the Fund. The “Other Accounts Managed” represents the accounts managed by the teams of which the portfolio manager is a member. The information in the table below is as of October 31, 2024.

| Name of            
 Portfolio Manager  |     | Type of Accounts                |     | Other Accounts 
 Managed        |    |     | Total Assets 
 ($M)         |           |     | Number of    
 Accounts     
 Managed for  
 Which        
 Advisory     
 Fee is Based 
 on           
 Performance  |   |     | Total Assets for 
 Which            
 Advisory Fee is  
 Based  on        
 Performance ($M) |   |
|:-------------------|:----|:--------------------------------|:----|:---------------|---:|:----|:-------------|----------: