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0.75%
Aberdeen india fund, inc.
-0.22%
Avg of Sector
0.34%
S&P500
Unit : USD
| QTR | Non-GAAP EPS | EPS YoY | EPS Surprise % | Sales | Sales YoY | Sales Surprise % | NPM |
|---|---|---|---|---|---|---|---|
| Current | |||||||
| 2025Q4 | |||||||
| 2025Q3 | |||||||
| 2025Q2 | |||||||
| 2025Q1 |
The most recent financial report for Aberdeen india fund, inc. (IFN) covers the period of 2025Q4 and was published on 2025/12/31. This report is prepared according to IFRS/US GAAP standards and includes key financial indicators—Revenue, Profitability, Cash Flow, and Capital Structure. This information is essential for investors evaluating IFN's short-term business performance and financial health. For the latest updates on IFN's earnings releases, visit this page regularly.
At the end of the period, Aberdeen india fund, inc. (IFN) held Total Cash and Cash Equivalents of 9.91M, accounting for 0.01 of total assets. Both current and quick ratios indicate robust short-term debt repayment ability. High cash reserves typically mean the company has strong liquidity, supporting operational needs, expansion investments, or shareholder returns.
In the latest report, Aberdeen india fund, inc. (IFN) did not achieve the “three margins increasing” benchmark, with a gross margin of 84.86%%, operating margin of -163.5%%, and net margin of -165.01%%. This demonstrates limited improvement in profitability, which is a key signal for fundamental analysis. Investors should consider margin trends alongside other financial indicators to assess IFN's profit trajectory and future growth potential.
The latest valuation data shows Aberdeen india fund, inc. (IFN) has a Price-To-Earnings (PE) ratio of -3.36 and a Price/Earnings-To-Growth (PEG) ratio of -0. A PEG below 1 usually suggests the market is underestimating growth potential, while a PEG above 1 indicates high growth expectations are already priced in. Investors should conduct a comprehensive valuation by considering historical growth, market forecasts, and industry cycles.