abrdn Global Infrastructure Income Fund (ASGI)

abrdn Global Infrastructure Income Fund
TickerASGIBörseNYSE
ISINCIK0001793855
22,52
Schluss · 12.06.2026
1T+0,5 %1W−0,7 %1M−4,9 %3M−3,6 %6M+0,8 %1J+12,4 %
GCS 58 → +0,0
TSI -25,2 · -19,9 ▼ 01.06.
Insider ▼ 30.04.26· 45T
PDF

Glück Conviction Score™

ASGI abrdn Global Infrastructure Income Fund
Kein belastbares Signal — erst 36 % der Signal-Gewichte sind mit Daten unterlegt — z. B. junger Filer ohne ausreichende Historie.
Conviction Score
58
Kein belastbares Signal
Effektiv: Kein belastbares Signal Niedrig
Bedeutung der Einstufung ⓘ
Insider
0,0
Keine Insider-Käufe
Institutionell
47,0
17 neu, 32 erhöht, -1646K $ netto
Aktivist
0,0
Kein 13D/13G
Risikofreier Zins (T-Bills): 3,69% (Stand: 31.05.2026)

Score-Verlauf (90 Tage)

Farbzonen = Stärkestufen (Sehr schwach … Sehr stark). Exit-Score unter der Schwelle = Timing-Ausstieg. Komponenten per Legende einblenden.

Kursverlauf (12 Monate)

Technische Indikatoren

40
Technical-Score: 40 / 100 (informativ, keine Anlageempfehlung)
Bullisch-Anteil 9.1 % — 1 bullisch / 4 bärisch / 6 neutral

Technical-Score basiert auf 12 Indikatoren (Trend, Momentum, Volatilität, Position) mit fixen Gewichten — wird aktuell nur informativ angezeigt und fließt nicht in den Glück Conviction Score ein. Integration nach Backtest-Kalibrierung (P5).

IndikatorSignalGewichtWertDetailBeitrag
Kurs vs SMA50Bärisch10 %23.68-4.9 % vs SMA50
Kurs vs SMA200Bullisch15 %22.42+0.5 % vs SMA200
EMA20 vs EMA50Bärisch5 %23.08EMA50: 23.39
MACD-HistogrammBärisch10 %-0.128Bearisch
RSI(14)Neutral10 %38.6Neutral (30–70)
Stoch %K(14)Neutral5 %23.7Neutral
ADX(14)+DIBärisch10 %29.3+DI: 11.6 / −DI: 30.6
Z-Score(60)Neutral5 %-1.07In Range
52W-PositionNeutral5 %45.7 %Hoch 25.64 / Tief 19.89
Bollinger(20,2σ)Neutral5 %24.1 %Upper 24.89 / Mid 23.33 / Lower 21.77
LinReg-Slope(60)Neutral10 %+0.0068R²=0.02 / annualisiert +7.3 %

Insider-Transaktionen (12 Monate)

DatumInsiderRolleTypStückzahlKursWert (USD)ΔTrend
2026-04-30Goodson Alan RDirectorOpen Market Sale-70023,90-16.730,00-60,3%
2026-04-30Goodson Alan RDirectorOpen Market Sale-3.60023,85-85.860,00-309,3%
2025-09-26Baird Gordon ADirectorOpen Market Purchase41120,438.396,73+30,3%
2025-09-25Baird Gordon ADirectorOpen Market Purchase220,3140,62+0,1%

Fondsaktivität (Vorquartalsvergleich)

FondsAktuell (Stk)Vorquartal (Stk)Veränderung (Stk)Wert (USD)StatusΔTrend
MORGAN STANLEY2.001.2792.223.918-222.63944.748.631Reduziert-10,0%
Equitable Holdings, Inc.933.720694.961238.75920.877.979Aufgestockt+34,4%
UBS Group AG702.522764.143-61.62115.708.392Reduziert-8,1%
WELLS FARGO & COMPANY/MN462.763490.514-27.75110.347.375Reduziert-5,7%
LPL Financial LLC318.387301.32917.0587.119.142Aufgestockt+5,7%
STIFEL FINANCIAL CORP285.494390.477-104.9836.383.603Reduziert-26,9%
AMERIPRISE FINANCIAL INC220.75498.679122.0754.936.050Aufgestockt+123,7%
RAYMOND JAMES FINANCIAL INC181.060184.952-3.8924.048.500Reduziert-2,1%
ROYAL BANK OF CANADA148.654142.5896.0653.324.000Aufgestockt+4,3%
FIRST TRUST ADVISORS LP134.779168.872-34.0933.013.669Reduziert-20,2%
COMERICA BANK122.6940122.6942.743.432Neu+100,0%
FIFTH THIRD BANCORP122.52315122.5082.739.605Aufgestockt+816720,0%
Hennion & Walsh Asset Management, Inc.93.29885.5427.7562.086.143Aufgestockt+9,1%
&PARTNERS88.48034.05454.4261.978.402Aufgestockt+159,8%
Invesco Ltd.83.28880.3282.9601.862.320Aufgestockt+3,7%
EVOLVE PRIVATE WEALTH, LLC80.669080.6691.820.696Neu+100,0%
MILLENNIUM MANAGEMENT LLC80.12410.53969.5851.791.573Aufgestockt+660,3%
Cetera Investment Advisers74.59867.1007.4981.668.020Aufgestockt+11,2%
Capital Investment Advisors, LLC59.48368.338-8.8551.330.040Reduziert-13,0%
Smith Asset Management Co., LLC58.65459.649-9951.311.503Reduziert-1,7%
INTERNATIONAL ASSETS INVESTMENT MANAGEMENT, LLC54.33955.339-1.0001.231.866Reduziert-1,8%
Advisory Advocates, LLC54.56148.4616.1001.219.984Aufgestockt+12,6%
Baird Financial Group, Inc.53.97755.074-1.0971.206.926Reduziert-2,0%
OSAIC HOLDINGS, INC.50.90753.687-2.7801.138.334Reduziert-5,2%
Steward Partners Investment Advisory, LLC49.32348.7935301.102.862Aufgestockt+1,1%
Stratos Wealth Partners, LTD.49.03348.6334001.096.378Aufgestockt+0,8%
COMMONWEALTH EQUITY SERVICES, LLC47.99146.3321.6591.073.080Aufgestockt+3,6%
Old Port Advisors46.87148.859-1.9881.048.036Reduziert-4,1%
WealthShield Partners, LLC42.74642.827-81955.801Reduziert-0,2%
Successful Portfolios LLC40.15740.457-300866.597Reduziert-0,7%
Advisors Asset Management, Inc.34.58732.2962.291773.365Aufgestockt+7,1%
JANE STREET GROUP, LLC30.89210.78920.103690.745Aufgestockt+186,3%
UHLMANN PRICE SECURITIES, LLC30.877030.877690.394Neu+100,0%
Integrated Wealth Concepts LLC30.288030.288677.245Neu+100,0%
Centurion Wealth Management LLC29.95130.159-208669.709Reduziert-0,7%
Kestra Advisory Services, LLC27.41618.9048.512613.020Aufgestockt+45,0%
Global Retirement Partners, LLC26.624026.624595.306Neu+100,0%
Closed-End Fund Advisors, Inc.25.81645.713-19.897577.235Reduziert-43,5%
GAMCO INVESTORS, INC. ET AL25.02125.0210559.479Unverändert0,0%
DOVER ADVISORS, LLC23.49818.6984.800525.415Aufgestockt+25,7%
Shaker Financial Services, LLC22.800022.800509.808Neu+100,0%
Retirement Planning Co of New England, Inc.18.62718.028599416.492Aufgestockt+3,3%
OPPENHEIMER & CO INC18.17916.6391.540406.482Aufgestockt+9,3%
ASHTON THOMAS SECURITIES, LLC17.900017.900400.244Neu+100,0%
SUSQUEHANNA INTERNATIONAL GROUP, LLP14.500014.500324.220Neu+100,0%
CWM, LLC14.4136.7267.687322.273Aufgestockt+114,3%
Moors & Cabot, Inc.14.15212.6411.511316.439Aufgestockt+12,0%
CORRADO ADVISORS, LLC13.05713.01542291.951Aufgestockt+0,3%
LEAVELL INVESTMENT MANAGEMENT, INC.12.90012.9000288.444Unverändert0,0%
Institute for Wealth Management, LLC.12.72312.7167284.476Aufgestockt+0,1%

Top-Fondshalter (Stand: 31.03.2026)

FondsAnteileVorquartal (Stk)ΔWert (USD)Anteil (%)
MORGAN STANLEY2.001.2792.223.918-10,0%44.748.63128,55
Equitable Holdings, Inc.933.720694.961+34,4%20.877.97913,32
UBS Group AG702.522764.143-8,1%15.708.39210,02
WELLS FARGO & COMPANY/MN462.763490.514-5,7%10.347.3756,60
LPL Financial LLC318.387301.329+5,7%7.119.1424,54
STIFEL FINANCIAL CORP285.494390.477-26,9%6.383.6034,07
AMERIPRISE FINANCIAL INC220.75498.679+123,7%4.936.0503,15
RAYMOND JAMES FINANCIAL INC181.060184.952-2,1%4.048.5002,58
ROYAL BANK OF CANADA148.654142.589+4,3%3.324.0002,12
FIRST TRUST ADVISORS LP134.779168.872-20,2%3.013.6691,92
FIFTH THIRD BANCORP122.52315+816720,0%2.739.6051,75
Hennion & Walsh Asset Management, Inc.93.29885.542+9,1%2.086.1431,33
&PARTNERS88.48034.054+159,8%1.978.4021,26
Invesco Ltd.83.28880.328+3,7%1.862.3201,19
MILLENNIUM MANAGEMENT LLC80.12410.539+660,3%1.791.5731,14
Cetera Investment Advisers74.59867.100+11,2%1.668.0201,06
Capital Investment Advisors, LLC59.48368.338-13,0%1.330.0400,85
Smith Asset Management Co., LLC58.65459.649-1,7%1.311.5030,84
INTERNATIONAL ASSETS INVESTMENT MANAGEMENT, LLC54.33955.339-1,8%1.231.8660,79
Advisory Advocates, LLC54.56148.461+12,6%1.219.9840,78

Halter-Trend (6 Quartale)

PeriodeStatusHalterAnteile (Mio)Wert (Mio $)
31.03.2026917,1158
31.12.20259210,2208
30.09.2025739,7187
30.06.2025737,7140
31.03.2025788,7143
31.12.20248210,8174

Top 10 Neueinsteiger

FondsAnteileWert (USD) ⓘ
EVOLVE PRIVATE WEALTH, LLC80.6691.820.696
Advisory Advocates, LLC48.4611.083.588
Closed-End Fund Advisors, Inc.45.7131.022.153
Successful Portfolios LLC40.457870.644
&PARTNERS34.054761.450
Integrated Wealth Concepts LLC30.288677.245
Global Retirement Partners, LLC26.624595.306
DOVER ADVISORS, LLC18.698421.920
Moors & Cabot, Inc.12.641282.645
JANE STREET GROUP, LLC10.789241.242

Top 10 Aufstocker

FondsAnteileΔ Anteile ⓘΔ % ⓘWert (USD) ⓘ
Penserra Capital Management LLC877.30781.188+10.2 %19.616
Equitable Holdings, Inc.694.96164.549+10.2 %15.539.328
WELLS FARGO & COMPANY/MN490.51426.714+5.8 %10.967.880
Hennion & Walsh Asset Management, Inc.85.54224.524+40.2 %1.912.719
COMMONWEALTH EQUITY SERVICES, LLC46.33215.180+48.7 %1.035.980
Advisors Asset Management, Inc.32.29611.835+57.8 %722.139
RAYMOND JAMES FINANCIAL INC184.95211.549+6.7 %4.135.520
Cetera Investment Advisers67.10011.228+20.1 %1.500.335
OSAIC HOLDINGS, INC.53.68710.288+23.7 %1.200.573
UBS Group AG764.1438.437+1.1 %17.086.237

Top 10 Verkäufer

FondsAnteileΔ Anteile ⓘΔ % ⓘWert (USD) ⓘ
MORGAN STANLEY2.223.918-52.105-2.3 %49.726.844
OPPENHEIMER & CO INC16.639-23.855-58.9 %372.048
LPL Financial LLC301.329-14.262-4.5 %6.737.727
K2 PRINCIPAL FUND, L.P.9.425-5.575-37.2 %210.743
Old Port Advisors48.859-4.235-8.0 %1.092.492
Rockefeller Capital Management L.P.4.585-3.418-42.7 %102.524
Stratos Wealth Partners, LTD.48.633-3.235-6.2 %1.087.434
Smith Asset Management Co., LLC59.649-2.424-3.9 %1.333.754
Capital Investment Advisors, LLC68.338-2.370-3.4 %1.528.038
Mariner, LLC10.935-2.037-15.7 %244.507

Aktivisten & Großaktionäre (13D/13G)

DatumInvestorTypAnteilAktienΔZweck
05.05.2025Morgan StanleyPassiv (13G)5,70 %1.640.699+1,20 pp
05.05.2025Morgan Stanley Smith Barney LLCPassiv (13G)5,60 %1.631.814+1,10 pp
13.03.2025Saba Capital Management GP, LLCAktivist (13D/A)4,92 %1.423.673-0,09 ppNot Applicable.
13.03.2025Boaz R. WeinsteinAktivist (13D/A)4,92 %1.423.673-0,09 ppNot Applicable.
13.03.2025Saba Capital Management, L.P.Aktivist (13D/A)4,92 %1.423.673-0,09 ppNot Applicable.
12.03.2025Saba Capital Management, L.P.Aktivist (13D/A)5,01 %1.450.035-1,09 ppNot Applicable.
12.03.2025Saba Capital Management GP, LLCAktivist (13D/A)5,01 %1.450.035-1,09 ppNot Applicable.
12.03.2025Boaz R. WeinsteinAktivist (13D/A)5,01 %1.450.035-1,09 ppNot Applicable.
25.02.2025Saba Capital Management GP, LLCAktivist (13D/A)6,10 %1.766.216-1,01 ppNot Applicable.
25.02.2025Boaz R. WeinsteinAktivist (13D/A)6,10 %1.766.216-1,01 ppNot Applicable.
25.02.2025Saba Capital Management, L.P.Aktivist (13D/A)6,10 %1.766.216-1,01 ppNot Applicable.
07.02.2025Saba Capital Management, L.P.Aktivist (13D/A)7,11 %2.057.056-1,00 ppNot Applicable.
07.02.2025Saba Capital Management GP, LLCAktivist (13D/A)7,11 %2.057.056-1,00 ppNot Applicable.
07.02.2025Boaz R. WeinsteinAktivist (13D/A)7,11 %2.057.056-1,00 ppNot Applicable.
03.02.2025Morgan Stanley Smith Barney LLCPassiv (13G/A)4,50 %1.290.3680,00 pp
03.02.2025Morgan StanleyPassiv (13G/A)4,50 %1.305.2300,00 pp
03.02.2025Morgan StanleyPassiv (13G/A)4,50 %1.305.230-1,30 pp
03.02.2025Morgan Stanley Smith Barney LLCPassiv (13G/A)4,50 %1.290.368-1,30 pp
21.01.2025Saba Capital Management GP, LLCAktivist (13D/A)8,11 %2.347.709-1,01 ppNot Applicable.
21.01.2025Saba Capital Management, L.P.Aktivist (13D/A)8,11 %2.347.709-1,01 ppNot Applicable.
21.01.2025Boaz R. WeinsteinAktivist (13D/A)8,11 %2.347.709-1,01 ppNot Applicable.
11.12.2024Saba Capital Management, L.P.Aktivist (13D/A)9,12 %2.640.553-2,41 pp
11.12.2024Boaz R. WeinsteinAktivist (13D/A)9,12 %2.640.553-2,41 pp
11.12.2024Saba Capital Management GP, LLCAktivist (13D/A)9,12 %2.640.553-2,41 pp
06.05.2024Saba Capital Management, L.P.Aktivist (13D/A)11,53 %2.905.175+1,22 pp
06.05.2024Boaz R. WeinsteinAktivist (13D/A)11,53 %2.905.175+1,22 pp
06.05.2024Saba Capital Management GP, LLCAktivist (13D/A)11,53 %2.905.175+1,22 pp
21.03.2024Saba Capital Management, L.P.Aktivist (13D/A)10,31 %2.597.659+1,13 pp
21.03.2024Boaz R. WeinsteinAktivist (13D/A)10,31 %2.597.659+1,13 pp
21.03.2024Saba Capital Management GP, LLCAktivist (13D/A)10,31 %2.597.659+1,13 pp
12.02.2024Morgan StanleyPassiv (13G)5,80 %1.460.196Neu
12.02.2024Morgan Stanley Smith Barney LLCPassiv (13G)5,80 %1.460.196Neu
02.02.2024UBS Group AG directly and on behalf of certain subsidiariesPassiv (13G/A)0,00 %10-5,27 pp
16.01.2024Saba Capital Management, L.P.Aktivist (13D)9,18 %2.313.191+4,08 pp
16.01.2024Boaz R. WeinsteinAktivist (13D)9,18 %2.313.191+4,08 pp
16.01.2024Saba Capital Management GP, LLCAktivist (13D)9,18 %2.313.191+4,08 pp
17.08.2023Saba Capital Management GP, LLCPassiv (13G)5,10 %1.276.866Neu
17.08.2023Saba Capital Management, L.P.Passiv (13G)5,10 %1.276.866Neu
17.08.2023Boaz R. WeinsteinPassiv (13G)5,10 %1.276.866Neu
08.02.2023UBS Group AG directly and on behalf of certain subsidiariesPassiv (13G)5,27 %466.228Neu

Stammdaten

Der Abrdn Global Infrastructure Income Fund ist ein neu gegründetes, nicht-diversifiziertes, geschlossenes Investmentmanagement-Unternehmen. Sein primäres Ziel ist es, eine Gesamtrendite zu erreichen, mit starkem Fokus auf die Generierung von laufenden Einkommen. Die Bestände des Fonds bestehen aus öffentlichen und privaten/direkten Infrastrukturinvestitionen. Diese Einheit hat ihren Sitz in Philadelphia, Pennsylvania.

Unternehmen & Branche

Nameabrdn Global Infrastructure Income Fund
TickerASGI
CIK0001793855
BoerseNYSE
SektorFinancial Services
IndustrieAsset Management - Income

Wertpapier & Kennzahlen

CUSIP
ISIN
TypClosed-End Fund
Marktkapitalisierung710,9 Mio. USD
Beta0,66
Dividendenrendite0,13 %

Externe Quelle: SEC EDGAR »
Externe Links: Yahoo Finance »

Hinweis

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