Reported Q: Q2 2025 Rev YoY: -124.7% EPS YoY: -140.6% Move: 0.00%
abrdn AsiaPacific Income
ABAKF
$2.07 0.00%
Exchange OTC Sector Financial Services Industry Asset Management Income
Q2 2025
Published: Apr 30, 2025

Company Status Snapshot

Fast view of the latest quarter outcome for ABAKF

Reported

Report Date

Apr 30, 2025

Quarter Q2 2025

Revenue

-1.43M

YoY: -124.7%

EPS

-0.04

YoY: -140.6%

Market Move

0.00%

Previous quarter: Q1 2025

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Earnings Highlights

  • EPS of $-0.04 decreased by 140.6% from previous year
  • Gross margin of 100.0%
  • Net income of -1.30M
  • "Transcript data not provided." - N/A
ABAKF
Company ABAKF

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Executive Summary

Executive summary: In QQ2 2025, abrdn AsiaPacific Income Fund VCC (ABAKF) reported a challenging quarter with negative revenue and net income, yielding a per-share loss of CAD -0.0358 and a dividend yield of approximately 3.67%. Year-over-year metrics deteriorated meaningfully across key profitability lines (revenue down -124.7%, operating income down -148.3%, net income down -139.8%, EPS down -140.6%), while quarter-over-quarter figures remained flat on a per-line basis within the reported dataset. The combination of elevated operating costs (notably depreciation and amortization of CAD 2.685 million) and a negative top line culminated in a visible erosion of earnings power despite a robust liquidity profile.

Despite the near-term profit headwinds, ABAKF displays strong balance-sheet resilience and liquidity metrics, affording management the capacity to navigate market volatility in APAC fixed income. The current ratio stands at 17.63, with debt ratios indicating modest leverage (debt ratio 0.299; debt-to-equity 0.435; long-term debt to capitalization ~0.303). Cash-based metrics are supportive: operating cash flow per share CAD 0.878 and free cash flow per share CAD 0.878, suggesting ongoing cash-generative potential independent of reported net income.

Management commentary and a formal earnings call transcript were not provided in the supplied data, limiting direct quotes or forward-looking guidance. Consequently, the investment thesis relies on observed cash-flow credibility, liquidity depth, and balance-sheet strength, balanced against ongoing earnings volatility in a fixed-income APAC mandate environment. Investors should monitor portfolio performance, inflows/outflows, and any forthcoming management commentary or guidance to validate the durability of the distribution framework and potential improvements in profitability going forward.

Key Performance Indicators

Revenue
Decreasing
-1.43M
QoQ: 0.00% | YoY: -124.73%
Gross Profit
Decreasing
-1.43M
1.00% margin
QoQ: 0.00% | YoY: -124.73%
Operating Income
Decreasing
-2.50M
QoQ: 0.00% | YoY: -148.33%
Net Income
Decreasing
-1.30M
QoQ: 0.00% | YoY: -139.81%
EPS
Decreasing
-0.04
QoQ: 0.00% | YoY: -140.59%

Revenue Trend

Margin Analysis

Historical Earnings Comparison

PeriodRevenue ($M)EPS ($)YoY GrowthReport
Q2 2025 -1.43 -0.04 -124.7% View
Q1 2025 -0.71 -0.02 -113.3% View
Q4 2024 5.77 0.09 +22.6% View
Q3 2024 5.77 0.09 +1.0% View