Morgan Stanley Investment Funds Global Brands Fund - AX
LU0239683559
Morgan Stanley Investment Funds Global Brands Fund - AX/ LU0239683559 /
NAV 10.06.2024
Diff.-0,4700
Ertragstyp
Ausrichtung
Fondsgesellschaft
81,3800 USD
-0,57%
ausschüttend
Aktien
weltweit
MSIM Fund M. (IE) ▶
Kennzahlen und Performance in:
Alle Kurse in USD
Tranchen
Titel
Ertragstyp
Rückn. Preis
1 Jahr
3 Jahre
Morgan Stanley Investment Funds ...
thesaurierend
166,3000
+8,91%
-
Morgan Stanley Investment Funds ...
thesaurierend
87,9800
+6,84%
-
MSIF Global Brands CH EUR
thesaurierend
62,0900
+6,96%
-
MSIF Global Brands A EUR
thesaurierend
30,4300
+10,13%
+23,10%
Morgan Stanley Investment Funds ...
thesaurierend
28,1500
+11,13%
-
Morgan Stanley Investment Funds ...
thesaurierend
107,3900
+11,07%
+11,57%
Morgan Stanley Investment Funds ...
ausschüttend
141,9800
+11,08%
+11,58%
Morgan Stanley Investment Funds ...
thesaurierend
107,0800
+8,68%
+4,00%
Morgan Stanley Investment Funds ...
thesaurierend
78,4300
+10,39%
+7,97%
MSIF Global Brands Z EUR
thesaurierend
29,6900
+11,20%
-
Morgan Stanley Investment Funds ...
thesaurierend
248,9400
+10,99%
+11,32%
MSIF Global Brands FH EUR
thesaurierend
45,9400
+8,61%
+3,61%
MSIF Global Brands FHX EUR
ausschüttend
43,0900
+8,58%
+3,72%
MSIF Global Brands FH CHF
thesaurierend
43,7700
+6,37%
+0,46%
Morgan Stanley Investment Funds ...
thesaurierend
55,7900
+10,98%
+11,27%
Morgan Stanley Investment Funds ...
ausschüttend
65,7400
+7,84%
+1,36%
Morgan Stanley Investment Funds ...
ausschüttend
81,3800
+10,00%
+8,55%
Morgan Stanley Investment Funds ...
thesaurierend
49,5600
+8,59%
+3,77%
MSIF Global Brands AH CHF
thesaurierend
60,7700
+5,54%
-1,84%
Morgan Stanley Investment Funds ...
thesaurierend
108,2900
+7,90%
+1,40%
Morgan Stanley Investment Funds ...
thesaurierend
210,4100
+10,00%
+8,54%
Performance
lfd. Jahr
+2,06%
6 Monate
+4,90%
1 Jahr
+10,00%
3 Jahre
+8,55%
5 Jahre
+40,88%
10 Jahre
+123,61%
seit Beginn
+240,02%
Jahr
2023
+15,40%
2022
-18,07%
2021
+21,45%
2020
+11,92%
2019
+28,35%
2018
-2,73%
2017
+25,11%
2016
+4,38%
2015
+4,95%
Ausschüttungen
01.07.2021
0,06 USD
04.01.2021
0,00 USD
01.07.2020
0,04 USD
01.07.2019
0,14 USD
02.01.2019
0,01 USD
02.07.2018
0,14 USD
02.01.2018
0,03 USD
03.07.2017
0,18 USD
02.01.2017
0,00 USD
01.07.2016
0,18 USD
01.07.2015
0,16 USD
01.07.2014
0,27 USD
02.01.2014
0,30 USD
01.07.2013
0,27 USD