Morgan Stanley Investment Funds Global Brands Fund - ZH (EUR)
LU0360483019
Morgan Stanley Investment Funds Global Brands Fund - ZH (EUR)/ LU0360483019 /
NAV 14.06.2024
Diff.-0,7100
Ertragstyp
Ausrichtung
Fondsgesellschaft
106,4100 EUR
-0,66%
thesaurierend
Aktien
weltweit
MSIM Fund M. (IE) ▶
Kennzahlen und Performance in:
Alle Kurse in EUR
Tranchen
Titel
Ertragstyp
Rückn. Preis
1 Jahr
3 Jahre
Morgan Stanley Investment Funds ...
thesaurierend
165,3100
+6,55%
-
Morgan Stanley Investment Funds ...
thesaurierend
87,4200
+4,49%
-
MSIF Global Brands CH EUR
thesaurierend
61,7000
+4,61%
-
MSIF Global Brands A EUR
thesaurierend
30,4500
+9,38%
+22,04%
Morgan Stanley Investment Funds ...
thesaurierend
28,1700
+10,38%
-
Morgan Stanley Investment Funds ...
thesaurierend
106,7800
+8,68%
+10,45%
Morgan Stanley Investment Funds ...
ausschüttend
141,1700
+8,69%
+10,45%
Morgan Stanley Investment Funds ...
thesaurierend
106,4100
+6,30%
+2,89%
Morgan Stanley Investment Funds ...
thesaurierend
77,9600
+8,02%
+6,84%
MSIF Global Brands Z EUR
thesaurierend
29,7200
+10,48%
-
Morgan Stanley Investment Funds ...
thesaurierend
247,5200
+8,60%
+10,19%
MSIF Global Brands FH EUR
thesaurierend
45,6500
+6,21%
+2,49%
MSIF Global Brands FHX EUR
ausschüttend
42,8200
+6,22%
+2,61%
MSIF Global Brands FH CHF
thesaurierend
43,4900
+4,04%
-0,64%
Morgan Stanley Investment Funds ...
thesaurierend
55,4800
+8,61%
+10,17%
Morgan Stanley Investment Funds ...
ausschüttend
65,3300
+5,49%
+0,28%
Morgan Stanley Investment Funds ...
ausschüttend
80,9100
+7,64%
+7,45%
Morgan Stanley Investment Funds ...
thesaurierend
49,2500
+6,23%
+2,65%
MSIF Global Brands AH CHF
thesaurierend
60,3700
+3,21%
-2,93%
Morgan Stanley Investment Funds ...
thesaurierend
107,6200
+5,55%
+0,34%
Morgan Stanley Investment Funds ...
thesaurierend
209,1900
+7,62%
+7,44%
Performance
lfd. Jahr
+1,03%
6 Monate
+1,36%
1 Jahr
+6,30%
3 Jahre
+2,89%
5 Jahre
+31,14%
10 Jahre
+97,82%
seit Beginn
+118,59%
Jahr
2023
+13,64%
2022
-19,89%
2021
+21,10%
2020
+10,41%
2019
+25,41%
2018
-4,76%
2017
+23,45%
2016
+3,42%
2015
+5,66%