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abrdn Income Credit Strategies ACP Investment — Notional Exposure Of Derivatives Short Position

Other financials

Income statement

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Revenue$2.2B+18.2%
Net income-$459.0M-8.8%
EPS (diluted)-$0.71+10.1%

Balance sheet

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Cash & equivalents$1.3B-40.5%
Total debt$6.9B-5.9%
Total assets$12.9B-16.5%

Cash flow

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Operating cash flow$397.0M+318%
CapEx$114.0M+29.5%
Free cash flow$283.0M+205%

Valuation

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Market cap$0+1.6%

Profitability

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Gross margin-56.5%
Net margin-3.4%-1.3pp
FCF margin20%

Returns & leverage

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Return on equity-0.1%
Debt / equity0.7×

Where this comes from

Reported directly by abrdn Income Credit Strategies in its filing.

Tagged under the XBRL concept iep:NotionalExposureOfDerivativesShortPosition.

The official record: abrdn Income Credit Strategies’s 10-Q, filed May 6, 2026, on SEC EDGAR. View the filing →

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Questions, answered.

What is abrdn Income Credit Strategies's investment — notional exposure of derivatives short position?
abrdn Income Credit Strategies (ACP) reported investment — notional exposure of derivatives short position of $2.53B in Q1 2026.
How has abrdn Income Credit Strategies's investment — notional exposure of derivatives short position changed year-over-year?
abrdn Income Credit Strategies's investment — notional exposure of derivatives short position increased by 42.1% year-over-year, from $1.78B to $2.53B.
What is the long-term trend for abrdn Income Credit Strategies's investment — notional exposure of derivatives short position?
Over 4 years (2021 to 2025), abrdn Income Credit Strategies's investment — notional exposure of derivatives short position has grown at a -17.8% compound annual growth rate (CAGR), from $19.59B to $8.93B.
What does investment — notional exposure of derivatives short position mean?
Represents the total notional value of derivative contracts where the fund holds a short position, indicating the underlying asset exposure that would benefit from price declines. This metric helps investors understand the fund's hedging activities or speculative bets against specific assets or markets. It is critical for assessing the fund's overall market neutrality or directional bias.