Aberdeen Intermediate Income Fund NAV at $14.99 as of Aug. 20, 2026
MIN•Fund net asset value and discount
- Aberdeen Intermediate Income Fund reported NAV of $14.99 as of Aug. 20, 2026.
- Shares closed at $13.24, implying an 11.67% discount to NAV.
- Net assets totaled $144.94 million, gross assets $155.63 million; leverage stood at $10.69 million.




