Company: FCO
Filing Date: 2025-01-10
Form Type: N-CSR
Source: 0001104659-25-002474
Chunk: 0

Company: ABRDN GLOBAL INCOME FUND, INC.
Filing Date: 2025-01-10
Form: N-CSR
Chunk 0
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UNITED STATES SECURITIES AND EXCHANGE COMMISSION Washington, D.C. 20549 FORM N-CSR CERTIFIED SHAREHOLDER REPORT OF REGISTERED MANAGEMENT INVESTMENT COMPANIES

| Investment Company Act file number:                 | 811-06342                      |
| Exact name of registrant as specified in charter:   | abrdn Global Income Fund, Inc. |
| Address of principal executive offices:             | 1900 Market Street, Suite 200  |
|                                                     | Philadelphia, PA 19103         |
| Name and address of agent for service:              | Sharon Ferrari                 |
|                                                     | abrdn Inc.                     |
|                                                     | 1900 Market Street Suite 200   |
|                                                     | Philadelphia, PA 19103         |
| Registrant’s telephone number, including area code: | 1-800-522-5465                 |
| Date of fiscal year end:                            | October 31                     |
| Date of reporting period:                           | October 31, 2024               |

Item 1. Reports to Stockholders.

(a)

#### abrdn Global Income Fund, Inc. (FCO)

#### Annual Report
October 31, 2024

#### abrdn.com
Letter to Shareholders (unaudited)

Dear Shareholder, We present the Annual Report, which covers the activities of abrdn Global Income Fund, Inc. (the “Fund”), for the fiscal year ended October 31, 2024. The Fund’s principal investment objective is to provide high current income by investing primarily in fixed income securities. As a secondary investment objective, the Fund seeks capital appreciation, but only when consistent with its principal investment objective. Total Investment Return 1 For the fiscal year ended October 31, 2024, the total return to shareholders of the Fund based on the net asset value (“NAV”) and market price of the Fund, respectively, compared to the Fund’s benchmark, is as follows:

| NAV2,3             | 10.93% |
| Market Price2      | 12.07% |
| Blended Benchmark4 | 15.38% |

For more information about Fund performance, please visit the Fund on the web at www.abrdnfco.com. Here, you can view quarterly commentary on the Fund's performance, monthly fact sheets, distribution and performance information, and other Fund literature. NAV, Market Price and Premium(+)/Discount(-) The below table represents a comparison between the current fiscal year end