A detailed history of Evanson Asset Management, LLC transactions in Aberdeen Asia Pacific Income Fund Inc stock. As of the latest transaction made, Evanson Asset Management, LLC holds 685,504 shares of FAX stock, worth $1.84 Million. This represents 0.15% of its overall portfolio holdings.

Number of Shares
685,504
Previous 686,304 0.12%
Holding current value
$1.84 Million
Previous $1.86 Million 3.23%
% of portfolio
0.15%
Previous 0.16%

Shares

27 transactions
Quarter Operation Price Per share shares change shares Held SEC Form
Q1 2024

Apr 12, 2024

SELL
$2.62 - $2.8 $2,096 - $2,240
-800 Reduced 0.12%
685,504 $1.92 Million
Q4 2023

Jan 18, 2024

SELL
$2.37 - $2.82 $119,689 - $142,415
-50,502 Reduced 6.85%
686,304 $1.86 Million
Q3 2023

Oct 19, 2023

BUY
$2.45 - $2.75 $23,333 - $26,191
9,524 Added 1.31%
736,806 $1.81 Million
Q2 2023

Jul 10, 2023

SELL
$2.64 - $2.77 $226,860 - $238,031
-85,932 Reduced 10.57%
727,282 $1.96 Million
Q1 2023

Apr 12, 2023

SELL
$2.63 - $2.9 $14,115 - $15,564
-5,367 Reduced 0.66%
813,214 $2.16 Million
Q4 2022

Jan 25, 2023

BUY
$2.31 - $2.67 $14,340 - $16,575
6,208 Added 0.76%
818,581 $0
Q3 2022

Oct 12, 2022

SELL
$2.51 - $3.0 $14,083 - $16,833
-5,611 Reduced 0.69%
812,373 $2.05 Million
Q2 2022

Jul 13, 2022

SELL
$2.87 - $3.4 $4,241 - $5,025
-1,478 Reduced 0.18%
817,984 $2.39 Million
Q1 2022

Apr 11, 2022

SELL
$3.24 - $3.87 $12,085 - $14,435
-3,730 Reduced 0.45%
819,462 $2.77 Million
Q4 2021

Jan 19, 2022

BUY
$3.82 - $4.29 $13,832 - $15,534
3,621 Added 0.44%
823,192 $3.15 Million
Q3 2021

Oct 13, 2021

SELL
$4.02 - $4.43 $64,287 - $70,844
-15,992 Reduced 1.91%
819,571 $3.61 Million
Q2 2021

Jul 14, 2021

SELL
$4.15 - $4.43 $230,474 - $246,024
-55,536 Reduced 6.23%
835,563 $3.7 Million
Q1 2021

Apr 23, 2021

SELL
$4.07 - $4.58 $95,518 - $107,488
-23,469 Reduced 2.57%
891,099 $3.65 Million
Q4 2020

Jan 22, 2021

BUY
$3.8 - $4.54 $21,846 - $26,100
5,749 Added 0.63%
914,568 $4.07 Million
Q3 2020

Oct 13, 2020

SELL
$3.81 - $4.21 $356,741 - $394,194
-93,633 Reduced 9.34%
908,819 $3.63 Million
Q2 2020

Jul 13, 2020

SELL
$3.3 - $3.83 $176,114 - $204,399
-53,368 Reduced 5.05%
1,002,452 $3.82 Million
Q1 2020

Apr 24, 2020

BUY
$2.91 - $4.4 $54,015 - $81,672
18,562 Added 1.79%
1,055,820 $3.57 Million
Q4 2019

Jan 13, 2020

SELL
$4.18 - $4.33 $26,246 - $27,188
-6,279 Reduced 0.6%
1,037,258 $4.41 Million
Q3 2019

Oct 11, 2019

SELL
$4.12 - $4.27 $264,623 - $274,257
-64,229 Reduced 5.8%
1,043,537 $4.37 Million
Q2 2019

Jul 11, 2019

SELL
$4.05 - $4.26 $622,683 - $654,970
-153,749 Reduced 12.19%
1,107,766 $4.63 Million
Q1 2019

Apr 09, 2019

BUY
$3.91 - $4.31 $618,104 - $681,337
158,083 Added 14.33%
1,261,515 $5.34 Million
Q4 2018

Jan 17, 2019

SELL
$3.86 - $4.19 $438,882 - $476,403
-113,700 Reduced 9.34%
1,103,432 $4.27 Million
Q3 2018

Oct 10, 2018

BUY
$4.09 - $4.37 $88,450 - $94,505
21,626 Added 1.81%
1,217,132 $5.04 Million
Q2 2018

Jul 11, 2018

SELL
$4.32 - $4.73 $5,032 - $5,510
-1,165 Reduced 0.1%
1,195,506 $5.17 Million
Q1 2018

Apr 05, 2018

BUY
$4.71 - $5.02 $168,231 - $179,304
35,718 Added 3.08%
1,196,671 $5.67 Million
Q4 2017

Feb 05, 2018

SELL
$4.84 - $5.17 $5,657 - $6,043
-1,169 Reduced 0.1%
1,160,953 $5.67 Million
Q3 2017

Nov 14, 2017

BUY
$5.02 - $5.29 $5.83 Million - $6.15 Million
1,162,122
1,162,122 $6 Million

Others Institutions Holding FAX

About ABERDEEN ASIA-PACIFIC INCOME FUND INC


  • Ticker FAX
  • Exchange NYSE
  • Sector Financial Services
  • Industry Asset Management
  • Description
  • Abrdn Asia-Pacific Income Fund Inc is a close ended fixed income mutual fund launched and managed by Aberdeen Standard Investments (Asia) Limited. It is co-managed by Aberdeen Standard Investments Australia Limited and Aberdeen Asset Managers Limited. The fund invests in fixed income markets of Asia, Australia, and New Zeland. It primarily inves...
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