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AGDNYSE
abrdn Global Dynamic Dividend Fund
— · DE · CIK 1362481
Seeks high current dividend income, more than 50% tax-advantaged, and long-term capital growth
$318M
Market cap
$12.12
Last close
+1.4%
1D
-2.3%
5D
137K
Volume
Price · last 39 sessions-1.4%
May 4L $11.91 · H $12.71Jun 29
49
Total filings
Apr 7, 2026
Last filing
10/31
Fiscal year end
DEF 14ADEF 14AApr 7, 20268-KMaterial Agreement · Company UpdateApr 1, 20268-KMaterial Agreement · Company UpdateNov 21, 2025DEF 14ADEF 14AApr 14, 2025SC 13DFORM SC 13DJul 25, 2024DEF 14ADEF 14AApr 8, 2024DEF 14ADEF 14AApr 14, 2023DEFA14ADEFA14ANov 1, 2022DEFA14ADEFA14AOct 14, 2022DEF 14ADEF 14ASep 14, 2022425425Aug 11, 2022425425Aug 11, 2022SC 13GFORM SC 13GMay 10, 2022DEF 14ADEF 14AMar 24, 2022DEF 14ADEF 14AApr 1, 2021DEFA14ADEFA14AApr 30, 2020DEFA14ADEFA14AApr 15, 2020DEF 14ADEF 14AMar 17, 2020DEF 14ADEF 14AAug 16, 20198-KAuditor ChangeSep 28, 2018DEF 14ADEF 14AAug 15, 20188-KAuditor ChangeMay 9, 2018SC 13GSCHEDULE 13GFeb 1, 2018DEF 14ADEF 14AJan 4, 20188-KBylaw Amendment · Company UpdateOct 4, 2017DEF 14ADEF 14AMar 24, 2017SC 13GFORM SC 13GDec 13, 2016DEF 14ADEF 14AMar 30, 2016SC 13GSCHEDULE 13GFeb 10, 20168-KAuditor ChangeJun 26, 2015DEF 14ADEF 14AMar 30, 2015DEF 14ADEF 14AMar 27, 2014SC 13GMSSB INITIALFeb 10, 2014DEFA14ADEFA14AMar 28, 2013DEF 14ADEF 14AMar 28, 2013DEF 14ADEF 14AMay 11, 2012SC 13GSCHEDULE 13GJan 12, 2012DEFA14ADEFA14AMar 30, 2011DEF 14ADEF 14AMar 29, 20118-KCompany UpdateFeb 8, 20118-KBylaw AmendmentSep 21, 20108-KCompany UpdateMar 31, 2010DEFA14ADEFA14AJan 29, 2010DEF 14ADEF 14AJan 29, 2010DEFA14ADEFA14AJan 30, 2009DEF 14ADEF 14AJan 30, 2009DEFA14ADEFA14AFeb 1, 2008DEF 14ADEF 14AFeb 1, 2008DEF 14ADEF 14AJan 25, 2007
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Comparable business profile · signals at a glance
AODabrdn Total Dynamic Dividend Fund$1.1B+1.3%IAFABRDN AUSTRALIA EQUITY FUND, INC.$118.9M-0.0%AWPabrdn Global Premier Properties Fund$359.9M0.0%ARDCAres Dynamic Credit Allocation Fund, Inc.$301.7M+0.9%ETGEaton Vance Tax-Advantaged Global Dividend Income Fund$1.8B+1.9%ASGIabrdn Global Infrastructure Income Fund$712.3M+1.1%