The India Fund, Inc. logo

The India Fund, Inc. (IFN)

Market Closed
17 Jul, 20:00
NYSE NYSE
$
11. 50
-0.01
-0.0869%
$
492.2M Market Cap
- Div Yield
119,107 Volume
$ 11.51
Previous Close
Add Transaction
Day Range
11.49 11.56
Year Range
10.72 16.13
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Summary

IFN closed yesterday lower at $11.5, a decrease of -0.0869% from Thursday's close, completing a monthly increase of 3.5104% or $0.39. Over the past 12 months, IFN stock lost -16.3636%.
IFN pays dividends to its shareholders, with the most recent payment made on Jun 30, 2026. The next estimated payment will be in In 2 months on Sep 30, 2026 for a total of $0.39.
The last earnings report, released on Mar 09, 2026, exceeded the consensus estimates by 0%. On average, the company has surpassed earnings expectations by 0%, based on the last three reports.
The stock of the company had never split.
The company's stock is traded on 4 different exchanges and in various currencies, with the primary listing on NYSE (USD).

IFN Chart

IFN: Rising Crude Pressures Equities While Currency Depreciation Drags On USD Returns

IFN: Rising Crude Pressures Equities While Currency Depreciation Drags On USD Returns

IFN, an ETF focused on Indian equities, has significantly underperformed the S&P 500, risk-free US returns, and even Indian benchmarks on a currency-adjusted basis. The recent energy spikes have resulted in further pressure on domestic equities and the currency. Elevated oil prices directly affect the current account balance, along with an impact on GDP. IFN is rated as a sell, rising energy prices act as a negative for equities while persistent currency depreciation erodes USD-denominated returns, making broad-based Indian equity exposure unattractive for now.

Seekingalpha | 3 months ago
IFN: Indian Stock Market Correction Set To Continue As Headwinds Remain In 2026

IFN: Indian Stock Market Correction Set To Continue As Headwinds Remain In 2026

The India Fund Inc remains unattractive due to persistent high valuations and underperformance versus peers and benchmarks. Despite India's robust economic growth and strong consumer sentiment, IFN's portfolio trades at a PE above 30, exceeding the MSCI India Index. Recent tariff risks, geopolitical uncertainty, and a narrow 3% discount to NAV heighten the risk of further discount widening.

Seekingalpha | 5 months ago
IFN: Still A Buy, But With Caveats

IFN: Still A Buy, But With Caveats

IFN offers exposure to India's long-term growth driven by demographics, consumption, and structural reforms, though current market consolidation and valuation pressures demand cautious positioning. The fund's ~11.5% yield is attractive but largely fueled by capital appreciation, making sustainability dependent on continued Indian market performance and active management success. IFN provides partial diversification benefits for U.S. investors, though correlations with global markets remain high, limiting defensive appeal except during brief geopolitical or macro dislocations.

Seekingalpha | 9 months ago

The India Fund, Inc. Investors

Name Quantity Cost Value Profit ($) Gain (%)
ABB
Alexander Bjornager Bonde Danske Bank A/S
1 $11 $11.51 $0.51 4.64%
JD
Jim Dushek HARBOUR INVESTMENTS Inc.
525 $5,953.42 $6,037.5 $84.08 1.41%
Jeff Ameen
Jeff Ameen Spire Wealth Management
500 $10,980 $5,760 -$5,220 -47.54%
TT
Timothy Tenneriello Oliver Lagore Vanvalin Investment Group
1,000 $15,130 $11,530 -$3,600 -23.79%
SM
Sharon Medina INTEGRITY WEALTH ADVISORS Inc.
10,128 $148,375.2 $116,775.84 -$31,599.36 -21.3%

The India Fund, Inc. (IFN) FAQ

What is the stock price today?

The current price is $11.50.

On which exchange is it traded?

The India Fund, Inc. is listed on NYSE.

What is its stock symbol?

The ticker symbol is IFN.

Does it pay dividends? What is the current yield?

It does not pay dividends to its shareholders.

What is its market cap?

As of today, the market cap is 492.2M.

Has The India Fund, Inc. ever had a stock split?

No, there has never been a stock split.

The India Fund, Inc. Profile

NYSE Exchange
SG Country

Overview

India Fund Inc. is a specialized closed-end equity fund that capitalizes on the investment opportunities within the burgeoning Indian market. Its core objective is to achieve long-term capital appreciation by curating a diverse assortment of Indian equity securities. The fund meticulously selects investments across a broad spectrum of sectors that are crucial to India's economic fabric, such as information technology, financial services, healthcare, and consumer goods. This strategic approach not only enables the fund to tap into India's vibrant economic growth but also offers investors a unique blend of geographic and sectoral diversification.

The fund is distinguished by its in-depth understanding of the Indian economic milieu and its capability to funnel international investments into the Indian equity landscape effectively. Operating as a closed-end fund—it restricts its share availability on the stock exchange, creating opportunities for price discrepancies relative to the net asset value which savvy investors might exploit. Through India Fund Inc., investors gain an accessible pathway to partake in India's flourishing economic narrative and its innovative sectors, all the while managing the inherent volatilities of an emerging market environment.

Products and Services

  • Long-term Capital Appreciation

    This is the principal service offering, aimed at providing substantial growth of capital over an extended period. The fund achieves this by investing in a meticulously curated portfolio of Indian equity securities, which are selected based on their potential to contribute to significant financial gains.

  • Diversified Indian Equity Portfolio

    The cornerstone of India Fund Inc.'s investment strategy is its diversified portfolio spanning key sectors of the Indian economy. This includes high-growth areas like information technology, which is pivotal to India's strength in software services globally; financial services, crucial for the country's economic expansion; healthcare, a sector witnessing rapid transformation; and consumer goods, which are benefitting from India's growing middle class and increasing consumer spending.

  • Geographic and Sector-Specific Diversification

    By focusing exclusively on Indian equities, the fund provides investors with geographical diversification, making it an excellent addition for investors looking to broaden their investment horizons beyond their domestic or traditional markets. Additionally, the fund's investments span a variety of sectors, offering sector-specific diversification, which is vital for risk management and capitalizing on sectoral growth trends within the Indian economy.

  • Closed-End Fund Structure

    India Fund Inc. operates as a closed-end fund, which means it issues a fixed number of shares that are traded on the stock exchange. This structure allows for the fund's share price to fluctuate independently of its net asset value. For investors, this can create opportunities to purchase shares at prices that may reflect a discount to the actual value of the underlying assets or to sell shares at a premium.

Contact Information

Address: 7 Straits View
Phone: 65 63952700