Company: FCO
Filing Date: 2025-07-07
Form Type: N-CSRS
Source: 0001104659-25-066132
Chunk: 1

Company: ABRDN GLOBAL INCOME FUND, INC.
Filing Date: 2025-07-07
Form: N-CSRS
Chunk 1
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 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             | -5.95% |
| Market Price2      | 8.77%  |
| Blended Benchmark4 | 2.45%  |

NAV, Market Price and Premium(+)/Discount(-) The below table represents a comparison between the current six-month period end and the prior fiscal year end of the Fund's market price to NAV and associated Premium(+) and Discount(-).

|            |   NAV | Closing 
  Market 
   Price | Premium(+)/ 
 Discount(-) |
| 4/30/2025  | $3.11 |   $5.90 | 89.71%      |
| 10/31/2024 | $3.55 |   $5.84 | 64.51%      |

During the six-month period ended April 30, 2025, the Fund’s NAV was within a range of $3.06 to $3.61 and the Fund’s market price traded within a range of $5.70 to $6.33. During the six-month period ended April 30, 2025, the Fund’s shares traded within a range of a premium(+)/discount(-) of 64.87% to 91.50%.

Aberdeen Name Change On March 4, 2025, abrdn plc, the parent company of the Fund's adviser, announced that it would change its name, and from that date, will use 'Aberdeen' as the principal trading identity for its Investments business. On March 12, 2025, abrdn plc completed the steps to legally change its name to Aberdeen Group plc. Aberdeen has retained 'abrdn' as an operational abbreviation across its subsidiary legal entities (including the Fund's adviser, fund names and descriptors). Managed Distribution Policy The Fund's distributions to common shareholders and the annualized distribution rates based on market price and NAV, respectively, for the six-month period ended April 30, 2025 and the fiscal years ended October 31, 2024 and October 31, 2023 are shown in the table below:

|            | Distribution 
 per share to 
       common 
 shareholders | Market 
  Price | Annualized   
 distribution 
 rate         
 based on     
 market value |   NAV | Annualized   
 distribution 
 rate