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  • Fund Type: Open-End Fund
  • Objective: Convertible
  • Asset Class: Asset Allocation
  • Geographic Focus: European Region

Aberdeen Global II - European Convertibles Bond Fund

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ABCEX2E:LX

10.69 EUR -0.00-0.01%

As of 00:59:30 ET on 05/23/2013.

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Snapshot for Aberdeen Global II - European Convertibles Bond Fund (ABCEX2E)

Year To Date: +7.11% 3-Month: +4.49% 3-Year: - 52-Week Range: 10.00 - 10.70
1-Month: +4.78% 1-Year: - 5-Year: - Beta vs UCBIEUEU: -

Mutual Fund Chart for ABCEX2E

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  • ABCEX2E:LX 10.69
  • 1M
  • 1Y
Interactive ABCEX2E Chart

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Fund Profile & Information for ABCEX2E

Aberdeen Global II - European Convertibles Bond Fund is an open-end fund incorporated in Luxembourg. The Fund's objective is to achieve an attractive level of total return with the Fund being invested in investment grade and sub-investment grade convertible securities from issuers domiciled in Europe.

Inception Date: 12-03-2012 Telephone: 353-1-853 8588
Managers: PIERRE-HENRI DE MONTS DE SAVAS / THOMAS PEREZ
Web Site: www.aberdeen-asset.com

Fundamentals for ABCEX2E

NAV (on 2013-05-23) 10.69
Assets (M) (on 2013-04-30) 207.82
Fund Leveraged N
Minimum Investment 500,000.00
Minimum Subsequent Investment 1,500.00

Dividends for ABCEX2E

Dividend Type Income
Dividend Frequency Semi-Anl
Last Dividend Net (on 2013-01-01) 0.15
Dividend Yield (ttm) 1.43

Fees & Expenses for ABCEX2E

Front Load 0.00
Back Load 0.00
Current Mgmt Fee 0.70
Redemption Fee 0.00
12b1 Fee -
Expense Ratio -

Top Fund Holdings for ABCEX2E

Filing Date: 03/31/2013
Name Position Value % of Total
KFW 3 ¼ 06/27/13 16,200 16,714,405 7.871%
MTNA 5 05/15/14 13,530 11,038,500 5.198%
EURO-BUND FUTURE Jun13 61 8,874,939 4.179%
LUKOIL 2 ⅝ 06/16/15 9,100 7,924,001 3.731%
ULFP 0 ¾ 01/01/18 32,605 7,601,693 3.580%
TTLN 6 10/05/14 5,300 7,124,865 3.355%
WPPLN 5 ¾ 05/19/14 3,100 6,644,633 3.129%
ENIIM 0 ¼ 11/30/15 6,000 6,191,014 2.915%
TECFP 0 ¼ 01/01/17 47,100 5,033,106 2.370%
ARTEMI 4 ¼ 01/01/15 90,591 4,898,255 2.307%

Quotes delayed, except where indicated otherwise. Mutual fund NAVs include dividends. All prices in local currency. Time is ET.

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