Prices, performance & NAV
The Fund's investment objective is to seek current income. The Fund may also achieve incidental capital appreciation.
For more detailed information on the specific risks associated with this fund, please view the "Risk considerations" tab.
As of May 24, 2017
The NAV information is provided by the Fund's accounting agent. The price is as reported by the exchange on which the Fund trades. This information is unaudited and neither Aberdeen Asset Management PLC, its wholly owned subsidiaries, the Funds, nor any other person guarantees their accuracy.