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Aberdeen Emerging Markets Equity Income Fund, Inc.(1) Announces Performance Data And Portfolio Composition

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Aberdeen Emerging Markets Equity Income Fund, Inc.(1) Announces Performance Data And Portfolio Composition

PR Newswire

PHILADELPHIA, July 30, 2018 /PRNewswire/ -- Aberdeen Emerging Markets Equity Income Fund, Inc.1 (the "Fund") (NYSE:AEF), a closed-end equity fund, announced today its performance data and portfolio composition as of June 30, 2018.

Aberdeen Asset Management Inc. At Aberdeen, asset management is our business. We only manage assets for clients, allowing us to focus solely on their needs and deliver independent, objective investment advice. We know global markets from the local level upwards, drawing on more than 1,900 staff, across 32 offices in 23 countries. Investment teams are based in the markets or regions where they invest, delivering local perspective in a global investment environment. (PRNewsFoto/Aberdeen Asset Management Inc.)

The Fund's total returns for various periods through June 30, 2018 are provided below.  (All figures are based on distributions reinvested at the dividend reinvestment price and are stated net-of-fees): 

 


Cumulative as of 06/30/18

Annualized as of 06/30/18


1
Month

3
Month

YTD

1
Year

3
Years

5
Years

10
Years

Since
Inception

NAV

-1.8

-7.6

-6.0

6.3

7.9

-0.2

0.3

9.2

Market Price

-8.2

-12.9

-10.7

4.6

6.4

-1.1

0.0

8.6

MSCI Emerging Markets²

-4.1

-7.9

-6.5

8.6

6.0

5.4

2.6

8.0

MSCI Emerging Markets Latin America³

-3.0

-17.7

-11.0

0.2

2.3

-2.1

-3.4

9.3

Custom AEF Emerging Markets Index4

-4.1

-7.3

0.3

12.0

6.2

0.1

-2.3

9.8

 

On June 30, 2018, the Fund's net assets amounted to US$480.9 million and the Fund's NAV per share was US$7.95.

As of June 30, 2018, the portfolio was invested as follows:

 

Portfolio Composition

Percent of
Net Assets

Financials

26.8

Information Technology

21.2

Telecommunications

12.0

Materials

9.9

Consumer Staples

9.6

Real Estate

6.3

Consumer Discretionary

6.2

Industrials

2.9

Energy

2.6

Utilities

2.2

Health Care

0.2

 

Country

Geographic
Exposure %

China

17.0

India

11.3

Brazil

8.7

South Africa

7.3

Hong Kong

7.0

Thailand

6.3

South Korea

5.8

Taiwan

5.6

United States

5.3

Mexico

5.1

Indonesia

3.4

Russia

3.2

Turkey

2.9

Chile

2.6

Poland

2.5

Kenya

1.8

Czech Republic

1.7

Romania

1.1

United Kingdom

1.1

Malaysia

0.1

Israel

0.1

 

The Fund's ten largest equity holdings as of June 30, 2018, representing 29.2% of net assets, were:

 

Stock

Percent of

Net Assets

Tencent Holdings Ltd.

6.1

Taiwan Semiconductor

3.7

Samsung Electronics

3.5

China Mobile

2.9

China Resources Enterprise

2.4

Saic Motor Corp.

2.3

Firstrand Ltd.

2.2

Taiwan Mobile

2.1

Housing Development Finance Corporation

2.0

ITC Ltd.

2.0

 

Important Information

Aberdeen Asset Management Inc. has prepared this report based on information sources believed to be accurate and reliable. All reasonable care has been taken to ensure accuracy. However, the figures are unaudited and neither the Fund, the Investment Manager, nor any other person guarantees their accuracy. Investors should seek their own professional advice and should consider the investment objectives, risks, charges and expenses before acting on this information. The Investment Manager is a subsidiary of Aberdeen Asset Management PLC ("Aberdeen PLC"). 

Aberdeen Standard Investments is a brand of the investment businesses of Aberdeen Asset Management and Standard Life Investments. In the United States, Aberdeen Standard Investments is the marketing name for the following affiliated, registered investment advisers: Aberdeen Asset Management Inc., Aberdeen Asset Managers Ltd., Aberdeen Asset Management Ltd., Aberdeen Asset Management Asia Ltd., Aberdeen Asset Capital Management, LLC, Standard Life Investments (Corporate Funds) Ltd., and Standard Life Investments (USA) Ltd.

Closed-end funds are traded on the secondary market through one of the stock exchanges. The Fund's investment return and principal value will fluctuate so that an investor's shares may be worth more or less than the original cost. Shares of closed-end funds may trade above (a premium) or below (a discount) the net asset value (NAV) of the fund's portfolio. There is no assurance that the Fund will achieve its investment objective.

Past performance is no guarantee of future results.  Investment returns and principle value will fluctuate and shares, when sold, may be worth more or less than original cost. Current performance may be lower or higher than the performance quoted. NAV return data includes investment management fees, custodial charges and administrative fees (such as Director and legal fees) and assumes the reinvestment of all distributions. Returns for periods less than one year are not annualized. Holdings are subject to change and are provided for informational purposes only and should not be deemed as a recommendation to buy or sell the securities shown.  Inception date October 30, 1991.    

If you wish to receive this information electronically, please contact: Investor.Relations@aberdeenstandard.com

 

1 Prior to April 30, 2018, the Fund was named Aberdeen Chile Fund, Inc. (the "Acquiring Fund"). Seven closed-end equity funds managed by Aberdeen entities reorganized into the Acquiring Fund on April 30, 2018. Aberdeen Latin America Equity Fund, Inc. is the performance and accounting survivor for the Fund. Performance information for periods prior to April 30, 2018 will not reflect the current investment strategy.

² Effective April 30, 2018, the MSCI Emerging Markets Index became the Fund's benchmark index in connection with the change to the Fund's investment objective and strategy.

³ For the MSCI Emerging Markets Latin America Index benchmark, the returns provided for since inception are based on month-end level valuations as of October 31, 1991.

4 The Custom Index reflects the returns of the MSCI Emerging Markets Latin America Index for periods prior to April 27, 2018 and the returns of the MSCI Emerging Markets Index for periods subsequent to April 30, 2018. The indices and time periods for the Custom Index align with the strategies utilized and benchmark for the Fund during the same time periods.

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SOURCE Aberdeen Emerging Markets Equity Income Fund, Inc.

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