Società: MORGAN STANLEY INVESTMENT FUNDS

Fondo Valore Var % Data
MSIF US GROWTH CH CAP EUR 105,2400 3,31% Data21/11/2024
MSIF US HIGH YIELD BOND A $ 29,9000 0,07% Data21/11/2024
MSIF US HIGH YIELD BOND A EUR 28,3800 Data21/11/2024
MSIF US HIGH YIELD BOND AH (EUR) EUR 19,9500 0,05% Data21/11/2024
MSIF US HIGH YIELD BOND C $ 20,2400 0,10% Data21/11/2024
MSIF US HIGH YIELD BOND C EUR 19,2100 Data21/11/2024
MSIF US HIGH YIELD MIDDLE MARKET BOND AH EUR 28,0000 0,07% Data21/11/2024
MSIF US HIGH YIELD MIDDLE MARKET BOND BH EUR 25,9700 0,04% Data21/11/2024
MSIF US HIGH YIELD MIDDLE MARKET BOND CH EUR 27,1000 0,04% Data21/11/2024
MSIF US INSIGHT A $ 63,3200 3,67% Data21/11/2024
MSIF US INSIGHT A EUR 60,1000 3,58% Data21/11/2024
MSIF US PROPERTY C $ 28,0100 -0,04% Data15/11/2024
MSIF US PROPERTY C EUR 26,6000 0,19% Data15/11/2024
MSIF US PROPERTY FUND A $ 79,1900 -0,01% Data15/11/2024
MSIF US PROPERTY FUND A EUR 75,2000 0,20% Data15/11/2024
MSIF US PROPERTY FUND B $ 59,9900 -0,02% Data15/11/2024
MSIF US PROPERTY FUND B EUR 56,9600 0,19% Data15/11/2024
MSIF US VALUE A CAP $ 46,6900 0,60% Data21/11/2024
MSIF US VALUE AH CAP EUR HDG 26,9100 0,60% Data21/11/2024
MSIF US VALUE C CAP $ 25,9900 0,62% Data21/11/2024
MSIF US VALUE C EUR 24,6700 0,53% Data21/11/2024
MSIF VITALITY A $ 18,2500 -0,16% Data21/11/2024
MSIF VITALITY A EUR 17,3300 -0,17% Data21/11/2024