0001752724-23-216480.txt : 20230926 0001752724-23-216480.hdr.sgml : 20230926 20230926124603 ACCESSION NUMBER: 0001752724-23-216480 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20230731 FILED AS OF DATE: 20230926 DATE AS OF CHANGE: 20230926 PERIOD START: 20231031 FILER: COMPANY DATA: COMPANY CONFORMED NAME: abrdn Global Dynamic Dividend Fund CENTRAL INDEX KEY: 0001362481 IRS NUMBER: 000000000 STATE OF INCORPORATION: DE FISCAL YEAR END: 1031 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-21901 FILM NUMBER: 231279464 BUSINESS ADDRESS: STREET 1: 1900 MARKET STREET STREET 2: SUITE 200 CITY: PHILADELPHIA STATE: PA ZIP: 19103 BUSINESS PHONE: 215-405-5700 MAIL ADDRESS: STREET 1: 1900 MARKET STREET STREET 2: SUITE 200 CITY: PHILADELPHIA STATE: PA ZIP: 19103 FORMER COMPANY: FORMER CONFORMED NAME: ABERDEEN GLOBAL DYNAMIC DIVIDEND FUND DATE OF NAME CHANGE: 20180508 FORMER COMPANY: FORMER CONFORMED NAME: ALPINE GLOBAL DYNAMIC 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2247931.00000000 0.808744489110 Long EC CORP US N 1 N N N Bristol-Myers Squibb Co HLYYNH7UQUORYSJQCN42 Bristol-Myers Squibb Co 110122108 42408.00000000 NS USD 2637353.52000000 0.948848129740 Long EC CORP US N 1 N N N Enbridge Inc 98TPTUM4IVMFCZBCUR27 Enbridge Inc 29250N105 95800.00000000 NS USD 3525440.00000000 1.268357512614 Long EC CORP CA N 1 N N N Teleperformance 9695004GI61FHFFNRG61 Teleperformance 000000000 11800.00000000 NS 1711457.86000000 0.615736031319 Long EC CORP FR N 2 N N N Heineken NV 724500K5PTPSST86UQ23 Heineken NV 000000000 26500.00000000 NS 2593858.80000000 0.933199911398 Long EC CORP NL N 2 N N N 2023-08-30 abrdn Global Dynamic Dividend Fund Sharon Ferrari Sharon Ferrari Assistant Treasurer XXXX NPORT-EX 2 NPORT_ALPA_51159262_0723.htm
Portfolio of Investments (unaudited) 
As of July 31, 2023
abrdn Global Dynamic Dividend Fund 

  Shares or
Principal
Amount
Value
COMMON STOCKS—95.5%  
AUSTRALIA—0.7%
Materials—0.7%      
BHP Group Ltd., ADR      29,745 $   1,863,524
BRAZIL—1.6%
Industrials—1.0%      
CCR SA     969,000   2,723,344
Materials—0.6%      
Vale SA, ADR     123,300   1,803,879
Total Brazil   4,527,223
CANADA—1.3%
Energy—1.3%      
Enbridge, Inc.(a)      95,800   3,525,440
CHINA—2.7%
Communication Services—0.9%      
Tencent Holdings Ltd.      56,700   2,605,996
Financials—1.2%      
Ping An Insurance Group Co. of China Ltd., H Shares     435,700   3,174,831
Real Estate—0.6%      
China Vanke Co. Ltd., H Shares   1,165,300 1,651,638
Total China   7,432,465
DENMARK—1.2%
Financials—1.2%      
Tryg A/S   170,500 3,366,318
EGYPT—0.7%
Energy—0.7%      
Energean PLC   125,800 1,869,537
FINLAND—0.6%
Information Technology—0.6%      
Nokia OYJ   416,406 1,636,867
FRANCE—6.5%
Consumer Discretionary—1.1%      
LVMH Moet Hennessy Louis Vuitton SE   3,200 2,972,056
Consumer Staples—1.1%      
Danone SA   49,000 2,992,270
Energy—1.1%      
TotalEnergies SE, ADR(a)   50,900 3,097,265
Industrials—1.7%      
Alstom SA   94,000 2,878,303
Teleperformance   11,800 1,711,458
      4,589,761
Utilities—1.5%      
Engie SA   260,900 4,280,149
Total France   17,931,501
GERMANY—2.2%
Financials—1.0%      
Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen   7,200 2,710,410
  Shares or
Principal
Amount
Value
Utilities—1.2%      
RWE AG      81,900 $   3,524,865
Total Germany   6,235,275
HONG KONG—1.1%
Financials—1.1%      
Hong Kong Exchanges & Clearing Ltd.      70,600   2,976,637
JAPAN—2.0%
Financials—1.3%      
Mitsubishi UFJ Financial Group, Inc.     451,600   3,636,395
Real Estate—0.7%      
GLP J-REIT       2,000   1,970,328
Total Japan   5,606,723
NETHERLANDS—6.1%
Consumer Staples—0.9%      
Heineken NV      26,500   2,593,859
Financials—1.1%      
ING Groep NV, Series N   209,500 3,058,001
Industrials—1.2%      
Ferrovial SE   103,000 3,413,311
Information Technology—2.9%      
ASML Holding NV   4,600 3,294,836
BE Semiconductor Industries NV   39,100 4,668,485
      7,963,321
Total Netherlands   17,028,492
NORWAY—0.9%
Communication Services—0.9%      
Telenor ASA   224,700 2,405,400
SINGAPORE—1.1%
Financials—1.1%      
Oversea-Chinese Banking Corp. Ltd.   319,000 3,192,473
SPAIN—0.9%
Consumer Discretionary—0.9%      
Amadeus IT Group SA   36,660 2,629,845
SWEDEN—0.5%
Industrials—0.5%      
Atlas Copco AB, A Shares   105,900 1,504,403
TAIWAN—1.1%
Information Technology—1.1%      
Taiwan Semiconductor Manufacturing Co. Ltd., ADR   170,200 3,073,403
UNITED KINGDOM—7.5%
Communication Services—0.7%      
Vodafone Group PLC, ADR(a)   208,700 2,007,694
Consumer Discretionary—0.9%      
Taylor Wimpey PLC   1,757,912 2,580,367
Energy—0.4%      
Capricorn Energy PLC   558,513 1,270,112
Financials—1.4%      
Allfunds Group PLC   177,100 1,154,681
London Stock Exchange Group PLC   25,700 2,790,885
      3,945,566
 
See accompanying  Notes to Portfolio of Investments.

Portfolio of Investments (unaudited)  (continued)
As of July 31, 2023
abrdn Global Dynamic Dividend Fund 

  Shares or
Principal
Amount
Value
COMMON STOCKS (continued)  
UNITED KINGDOM (continued)
Health Care—2.6%      
AstraZeneca PLC, ADR(a)      49,900 $   3,577,830
Dechra Pharmaceuticals PLC      76,034   3,624,724
      7,202,554
Industrials—1.1%      
Melrose Industries PLC     433,033   2,947,033
Utilities—0.4%      
SSE PLC      47,617   1,029,629
Total United Kingdom   20,982,955
UNITED STATES—56.8%
Communication Services—1.7%      
Alphabet, Inc., Class C(a)(b)      36,000   4,791,960
Consumer Discretionary—5.6%      
Aptiv PLC(a)(b)      24,400   2,671,556
Genuine Parts Co.(a)      18,600   2,896,392
Las Vegas Sands Corp.(b)      35,400   2,117,274
Lowe's Cos., Inc.(a)   16,100 3,771,747
TJX Cos., Inc. (The)(a)   46,100 3,989,033
      15,446,002
Consumer Staples—5.8%      
Coca-Cola Co. (The)(a)   58,700 3,635,291
Keurig Dr Pepper, Inc.   81,100 2,758,211
Mondelez International, Inc., Class A(a)   50,300 3,728,739
Nestle SA   25,210 3,088,707
Target Corp.(a)   21,700 2,961,399
      16,172,347
Energy—1.5%      
New Fortress Energy, Inc.   17,300 493,915
Williams Cos., Inc. (The)(a)   107,885 3,716,638
      4,210,553
Financials—7.4%      
Bank of America Corp.(a)   86,500 2,768,000
Blackstone, Inc., Class A   27,354 2,866,425
CME Group, Inc.   13,300 2,646,168
Fidelity National Information Services, Inc.   43,339 2,616,809
Goldman Sachs Group, Inc. (The)   9,500 3,380,765
Huntington Bancshares, Inc.   235,700 2,884,968
JPMorgan Chase & Co.   20,900 3,301,364
      20,464,499
Health Care—10.1%      
AbbVie, Inc.(a)   24,212 3,621,631
Baxter International, Inc.   49,700 2,247,931
Bristol-Myers Squibb Co.(a)   42,408 2,637,354
CVS Health Corp.   37,100 2,770,999
Eli Lilly & Co.(a)   6,600 3,000,030
Medtronic PLC(a)   29,000 2,545,040
Merck & Co., Inc.   23,985 2,558,000
Roche Holding AG   8,210 2,545,521
Sanofi   30,900 3,296,552
UnitedHealth Group, Inc.(a)   5,592 2,831,621
      28,054,679
  Shares or
Principal
Amount
Value
Industrials—4.4%      
FedEx Corp.(a)      13,500 $   3,644,325
Norfolk Southern Corp.      11,200   2,616,208
Schneider Electric SE      20,000   3,567,441
Stanley Black & Decker, Inc.      22,800   2,263,356
      12,091,330
Information Technology—12.4%      
Amdocs Ltd.      36,500   3,417,860
Analog Devices, Inc.      18,100   3,611,493
Apple, Inc.(a)      54,000  10,608,300
Broadcom, Inc.(a)       5,326   4,786,210
Cisco Systems, Inc.      63,600   3,309,744
Microsoft Corp.(a)      25,626   8,608,286
      34,341,893
Materials—3.0%      
Air Products & Chemicals, Inc.       7,900   2,412,107
Linde PLC   9,200 3,569,853
Newmont Corp.   57,300 2,459,316
      8,441,276
Real Estate—1.7%      
American Tower Corp.   11,500 2,188,565
Gaming and Leisure Properties, Inc., REIT(a)   53,991 2,562,413
      4,750,978
Utilities—3.2%      
CMS Energy Corp.(a)   43,800 2,674,866
FirstEnergy Corp.   59,600 2,347,644
NextEra Energy Partners LP   22,800 1,241,460
NextEra Energy, Inc.(a)   37,100 2,719,430
      8,983,400
Total United States   157,748,917
Total Common Stocks   265,537,398
CORPORATE BONDS—0.0%  
UNITED STATES—0.0%
Diversified Financial Services—0.0%      
Fixed Income Pass-Through Trust, Class B, 3 mo. LIBOR + 0.95%, Series 2007-C, 0.00%, 01/15/2087(c)(d)(e) $  500,000 500
Total Corporate Bonds   500
PREFERRED STOCKS—1.4%  
SOUTH KOREA—1.2%
Information Technology—1.2%      
Samsung Electronics Co. Ltd.   75,400 3,396,072
UNITED STATES—0.2%
Materials—0.2%      
Lyondellbasell Advanced Polymers, Inc.   494 417,430
Total Preferred Stocks   3,813,502
 
See accompanying  Notes to Portfolio of Investments.

Portfolio of Investments (unaudited)  (concluded)
As of July 31, 2023
abrdn Global Dynamic Dividend Fund 

  Shares or
Principal
Amount
Value
SHORT-TERM INVESTMENT—2.2%  
State Street Institutional U.S. Government Money Market Fund, Premier Class, 5.19%(f)   6,044,349 $   6,044,349
Total Short-Term Investment   6,044,349
Total Investments
(Cost $239,026,253)—99.1%
275,395,749
Other Assets in Excess of Liabilities—0.9% 2,559,061
Net Assets—100.0% $277,954,810
    
(a) All or a portion of the security has been designated as collateral for the line of credit.
(b) Non-income producing security.
(c) Denotes a security issued under Regulation S or Rule 144A.
(d) Illiquid security.
(e) Variable or Floating Rate security. Rate disclosed is as of July 31, 2023.
(f) Registered investment company advised by State Street Global Advisors. The rate shown is the 7 day yield as of July 31, 2023.
    
ADR American Depositary Receipt
EUR Euro Currency
PLC Public Limited Company
REIT Real Estate Investment Trust
USD U.S. Dollar
 
At July 31, 2023, the Fund held the following forward foreign currency contracts:
    
Sale Contracts
Settlement Date
Counterparty Currency
Purchased
Amount
Purchased
Currency
Sold
Amount
Sold
Fair Value Unrealized
Appreciation/
(Depreciation)
United States Dollar/Euro          
10/18/2023 Royal Bank of Canada USD 21,562,735 EUR 19,400,000 $21,410,617 $152,118
 
See accompanying Notes  to Portfolio of Investments.

Notes to Portfolio of Investments 
July 31, 2023 (unaudited)

1.    Summary of Significant Accounting Policies
a.    Security Valuation:
The Fund values its securities at current market value or fair value, consistent with regulatory requirements. "Fair value" is defined in the Fund's Valuation and Liquidity Procedures as the price that could be received to sell an asset or paid to transfer a liability in an orderly transaction between willing market participants without a compulsion to transact at the measurement date. Pursuant to Rule 2a-5 under the Investment Company Act of 1940, as amended (the "1940 Act"), the Board designated abrdn Investments Limited (the "Adviser") as the valuation designee ("Valuation Designee") for the Fund to perform the fair value determinations relating to Fund investments for which market quotations are not readily available.
Equity securities that are traded on an exchange are valued at the last quoted sale price or the official close price on the principal exchange on which the security is traded at the “Valuation Time” subject to application, when appropriate, of the valuation factors described in the paragraph below. Under normal circumstances, the Valuation Time is as of the close of regular trading on the New York Stock Exchange ("NYSE") (usually 4:00 p.m. Eastern Time). In the absence of a sale price, the security is valued at the mean of the bid/ask price quoted at the close on the principal exchange on which the security is traded. Securities traded on NASDAQ are valued at the NASDAQ official closing price.
Foreign equity securities that are traded on foreign exchanges that close prior to the Valuation Time are valued by applying valuation factors to the last sale price or the mean price as noted above. Valuation factors are provided by an independent pricing service provider. These valuation factors are used when pricing the Fund's portfolio holdings to estimate market movements between the time foreign markets close and the time the Fund values such foreign securities. These valuation factors are based on inputs such as depositary receipts, indices, futures, sector indices/ETFs, exchange rates, and local exchange opening and closing prices of each security. When prices with the application of valuation factors are utilized, the value assigned to the foreign securities may not be the same as quoted or published prices of the securities on their primary markets. A security that applies a valuation factor is determined to be a Level 2 investment because the exchange-traded price has been adjusted. Valuation factors are not utilized if the independent pricing service provider is unable to provide a valuation factor or if the valuation factor falls below a predetermined threshold; in such case, the security is determined to be a Level 1 investment.
Short-term investments are comprised of cash and cash equivalents invested in short-term investment funds which are redeemable daily. The Fund sweeps available cash into the State Street Institutional U.S. Government Money Market Fund, which has elected to qualify as a “government money market fund” pursuant to Rule 2a-7 under the 1940 Act, and has an objective, which is not guaranteed, to maintain a $1.00 per share NAV. Registered investment companies are valued at their NAV as reported by such company. Generally, these investment types are categorized as Level 1 investments.
Derivative instruments are valued at fair value. Exchange-traded futures are generally Level 1 investments and centrally cleared swaps and forwards are generally Level 2 investments. Forward foreign currency contracts are generally valued based on the bid price of the forward rates and the current spot rate. Forward exchange rate quotations are available for scheduled settlement dates, such as 1-, 3-, 6-, 9- and 12-month periods. An interpolated valuation is derived based on the actual settlement dates of the forward contracts held. Futures contracts are valued at the settlement price or at the last bid price if no settlement price is available. Swap agreements are generally valued by an approved pricing agent based on the terms of the swap agreement (including future cash flows). When market quotations or exchange rates are not readily available, or if the Adviser concludes that such market quotations do not accurately reflect fair value, the fair value of the Fund’s assets are determined in good faith in accordance with the Valuation Procedures.
In the event that a security’s market quotations are not readily available or are deemed unreliable (for reasons other than because the foreign exchange on which it trades closes before the Valuation Time), the security is valued at fair value as determined by the Valuation Designee, taking into account the relevant factors and surrounding circumstances using valuation policies and procedures approved by the Board. A security that has been fair valued by the  Adviser may be classified as Level 2 or Level 3 depending on the nature of the inputs.  
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