AEF

Abrdn Emerging Markets Equity Income Fund Inc

Fundamental data last updated:June 4, 2026

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company profile

SECTOR

Financial Services

industry

Asset Management - Income

Exchange

AMEX

County of HQ

GB

Next Earnings Date

Not Scheduled

Business Summary

Abrdn Emerging Markets Equity Income Fund Inc is a closed ended balanced mutual fund and managed by Aberdeen Asset Managers Limited. It invests in the public equity and fixed income markets of Chile. The fund seeks to invest in securities of companies operating across diversified sectors. It employs fundamental analysis with a bottom-up security selection approach to create its portfolio. The fund benchmarks the performance of its portfolio against the MSCI Chile Index. It conducts in-house research to create its portfolio. The fund was formerly known as Aberdeen Chile Fund, Inc. Abrdn Emerging Markets Equity Income Fund Inc was formed on January 30, 1989 and is domiciled in the United States.

 


VALUATION

P/E

4.23

Market Cap ($M USD)

$404.39M

Forward P/E

N/A

PEG

N/A

PRICE TO SALES

12.08

PRICE TO BOOK

1.31

EV / EBITDA

4.42

5-Year Average P/E

Free Cash Flow Yield

0.22%

DCF Value

$-0.96

Graham Number

$20.10

Price to FCF

448.33

EV to FCF

478.18

Earnings Yield

23.63%

FCF Yield

0.22%

DIVIDEND

Yield

7.13%

Annual Payout

$0.71

Payout Ratio

25.28%

Consecutive Years of Dividend Growth

5-Year Dividend Growth Rate

Financial Health & Profitability

Earnings Per Share

$2.35

Next Year EPS Growth Estimate

N/A

Next Year Revenue Growth Estimate

N/A

Return on Equity (ROE)

33.02%

FREE CASH FLOW

Operating Margin

292.05%

Debt-to-Equity

0.09

Piotroski F-Score

6

Altman Z-Score

7.62

Return on Invested Capital (ROIC)

30.54%

Current Ratio

0.06

Quick Ratio

0.06

Net Debt to EBITDA

0.28

Interest Coverage

112.67

Gross Profit margin

43.84%

FCF PER SHARE

$0.02

REVENUE PER SHARE

$0.82

Gainseekers Quantitative Analysis

Summary

AEF Abrdn Emerging Markets Equity Income Fund Inc. presents a perplexing valuation narrative. Despite a robust Earnings Yield of 23.94% and a stellar Altman Z-score of 7.61 indicating financial safety, the market seems to misprice it relative to its DCF Value, which is negative. The Graham Number suggests a higher intrinsic value than the current snapshot price, hinting at potential undervaluation. However, the absence of a Forward P/E and a Price to FCF ratio of 442.48 raises questions about future earnings visibility and cash flow efficiency. This stock is a paradox of high returns and questionable growth prospects.

AI Exposure / Tech Reliance

In the realm of asset management, AEF's positioning in the Financial Services sector suggests a moderate exposure to AI and tech shifts. While not directly tech-driven, the company can leverage AI for enhanced data analytics and investment strategies. Its resilience will depend on integrating these technologies to optimize portfolio management and client services.

The Bull Case

For the discerning GARP investor, AEF offers compelling reasons to buy. A Return on Equity of 33.02% and an ROIC of 30.54% underscore its capital efficiency, while a Piotroski F-Score of 6 indicates solid financial health. The operating margin of 292.05% reveals exceptional pricing power, and a TTM Yield of 7.22% sweetens the deal for income-focused investors. These metrics paint a picture of a company that knows how to generate and return value to shareholders.

The Bear Case

Despite its strengths, AEF is not without significant risks. The Price/Sales ratio of 11.93 and Price/Book of 1.29 suggest a potentially overvalued stock, especially when juxtaposed with a negative DCF Value. Its proximity to the 52-week high, with only a 1.53% distance, indicates technical overextension. Furthermore, a Current Ratio of 0.06 raises liquidity concerns, highlighting potential short-term financial vulnerabilities.

Market Sentiment & Smart Money

Short Interest %

Analyst Consensus

N/A

Average Analyst Price Target

N/A

Institutional Ownership %

1-Year Beta

1.03

Insider Buying % (6 Mo)

Distance to 52-Week High

0.30%

Distance to 52-Week Low

45.88%

EARNINGS SURPRISE %

N/A

50-DAY SMA

$8.63

200-DAY SMA

$7.44

⚠️ Financial Disclaimer:
This content is for informational purposes only and is not financial advice. Information may be delayed or inaccurate. We may earn a commission from partner links.