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# U.S. Mutual Funds
  (ET)
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Class A | Class C | Other

Class A | Class C | Other

Class A | Class C | Other

* Effective February 22, 2013, the Fund is closed to new investors except in limited circumstances. For further information, please see the “Investing with Aberdeen Funds – Fund Closure” section of the prospectus beginning on page 197 of the statutory prospectus.

† In addition to normal market movements and fund performance, the change in daily net asset value from February 17 to February 21, 2017 reflects an accounting adjustment related to a change in the fund’s valuation procedure, which was made to align the procedures across Aberdeen’s fund range. The daily net asset value between February 17, 2017 and February 21, 2017 for (i) Class A shares of Total Return Bond Fund and Global High Income Fund and Institutional Class shares of Global High Income Fund reduced by 2 cents per share, and (ii) Institutional Class shares of Total Return Bond Fund reduced by 1 cent per share. The difference in the net asset value change for Class A and Institutional Class Shares of Total Return Bond Fund is due to rounding.

†† As noted in Section 2.g. of the Notes to Financial Statements in the 2016 Annual Report, the funds have filed for tax reclaims in some European jurisdictions that are not recorded as receivables because the recovery of such tax reclaims is not certain. Payments were recently received from Poland; therefore, a portion of the change in daily net asset value per share between February 23 to February 24, 2017 reflects the receipt of withholding tax reclaims from Poland, in addition to normal market movements and fund performance. The daily net asset value per share between February 23 to February 24, 2017 for the Select International Equity Fund increased by $0.98 for Class A Shares and $1.00 for Class I Shares. The daily net asset value per share between February 23 to February 24, 2017 for the Select International Equity Fund II increased by $0.27 for Class A Shares and Class I Shares.