Morgan Stanley Investment Funds Global Brands Fund - ZX/  LU0360612351  /

Fonds
NAV13.05.2024 Diff.+0.4000 Ertragstyp Ausrichtung Fondsgesellschaft
142.6000USD +0.28% ausschüttend Aktien weltweit MSIM Fund M. (IE) 
  • Ausschüttungsbereinigt Ausschüttungsbereinigt

Monatliche Performance

  Jan Feb Mär Apr Mai Jun Jul Aug Sep Okt Nov Dez Gesamt
2010 - - 5.30 -2.94 -7.01 2.24 4.62 -1.46 8.58 2.48 -2.91 4.18 -
2011 -2.03 5.06 1.16 6.70 2.36 -2.49 0.06 -2.14 -5.54 7.23 -3.54 1.19 +7.37%
2012 0.67 7.78 2.41 0.42 -8.08 4.14 1.73 1.54 1.65 -0.17 2.30 -2.25 +11.97%
2013 5.67 -1.05 4.16 2.94 0.12 -3.41 2.99 -3.09 4.23 3.61 0.96 1.50 +19.73%
2014 -6.66 7.39 0.70 1.82 2.63 0.05 -0.95 0.98 -2.23 0.18 3.99 -1.93 +5.42%
2015 -0.47 3.54 -3.13 4.66 1.05 -2.48 5.37 -8.30 -0.11 10.08 -1.88 -1.47 +5.76%
2016 -1.73 -0.85 6.04 0.04 1.98 -0.58 1.31 0.60 -0.30 -2.01 -1.45 2.25 +5.14%
2017 2.91 4.36 2.05 2.10 4.97 -0.99 0.93 -0.85 -0.06 2.82 2.61 2.73 +26.05%
2018 3.72 -3.96 -1.71 1.10 0.82 3.41 1.68 1.06 1.78 -5.64 2.66 -6.28 -2.00%
2019 3.71 5.84 4.40 2.61 -2.39 4.85 1.96 -0.31 -0.96 0.74 3.07 2.80 +29.31%
2020 2.92 -10.71 -5.21 9.18 3.15 1.54 6.53 4.03 -2.99 -5.53 7.95 3.24 +12.75%
2021 -1.36 -0.44 3.54 5.53 0.35 2.63 2.77 0.95 -2.50 4.06 -0.87 6.09 +22.36%
2022 -6.71 -2.43 1.18 -3.61 -2.35 -6.66 7.33 -4.03 -9.12 3.72 5.83 -0.55 -17.31%
2023 3.72 -2.81 5.13 2.85 -3.10 5.76 1.32 0.04 -5.54 -2.62 7.93 3.65 +16.53%
2024 3.17 1.45 0.12 -4.80 3.21 - - - - - - - -
Einzelne Monate: Ausschüttungen nicht berücksichtigt

Kennzahlen

  lfd. Jahr 6 Monate 1 Jahr 3 Jahre 5 Jahre
Volatilität 10.26% 9.88% 10.74% 15.63% 16.56%
Sharpe Ratio 0.45 2.07 0.64 0.02 0.32
Bester Monat +3.65% +7.93% +7.93% +7.93% +9.18%
Schlechtester Monat -4.80% -4.80% -5.54% -9.12% -10.71%
Maximaler Verlust -6.83% -6.83% -10.47% -27.03% -29.59%
Outperformance +9.59% - -0.24% +23.38% +39.37%
 
Alle Kurse in USD

Tranchen

Titel   Ertragstyp Rückn. Preis 1 Jahr 3 Jahre
Morgan Stanley Investment Funds ... thesaurierend 167.2800 +8.47% -
Morgan Stanley Investment Funds ... thesaurierend 88.6100 +6.32% -
MSIF Global Brands CH EUR thesaurierend 62.5200 +6.44% -
MSIF Global Brands A EUR thesaurierend 30.4100 +10.34% +23.52%
Morgan Stanley Investment Funds ... thesaurierend 28.1100 +11.19% -
Morgan Stanley Investment Funds ... thesaurierend 107.8700 +10.64% +12.95%
Morgan Stanley Investment Funds ... ausschüttend 142.6000 +10.63% +12.95%
Morgan Stanley Investment Funds ... thesaurierend 107.7200 +8.21% +5.38%
Morgan Stanley Investment Funds ... thesaurierend 78.7900 +9.90% +9.31%
MSIF Global Brands Z EUR thesaurierend 29.6500 +11.42% -
Morgan Stanley Investment Funds ... thesaurierend 250.0500 +10.54% +12.70%
MSIF Global Brands FH EUR thesaurierend 46.2200 +8.14% +5.00%
MSIF Global Brands FHX EUR ausschüttend 43.3500 +8.12% +5.09%
MSIF Global Brands FH CHF thesaurierend 44.0900 +5.83% +1.90%
Morgan Stanley Investment Funds ... thesaurierend 56.0400 +10.53% +12.64%
Morgan Stanley Investment Funds ... ausschüttend 66.1500 +7.32% +2.67%
Morgan Stanley Investment Funds ... ausschüttend 81.8000 +9.56% +9.90%
Morgan Stanley Investment Funds ... thesaurierend 49.8600 +8.13% +5.15%
MSIF Global Brands AH CHF thesaurierend 61.2400 +4.99% -0.44%
Morgan Stanley Investment Funds ... thesaurierend 108.9700 +7.38% +2.72%
Morgan Stanley Investment Funds ... thesaurierend 211.5000 +9.56% +9.90%

Performance

lfd. Jahr  
+2.95%
6 Monate  
+11.39%
1 Jahr  
+10.63%
3 Jahre  
+12.95%
5 Jahre  
+54.18%
10 Jahre  
+146.61%
seit Beginn  
+314.70%
Jahr
2023  
+16.53%
2022
  -17.31%
2021  
+22.36%
2020  
+12.75%
2019  
+29.31%
2018
  -2.00%
2017  
+26.05%
2016  
+5.14%
2015  
+5.76%
 

Ausschüttungen

02.01.2024 0.47 USD
03.07.2023 0.59 USD
02.01.2023 0.43 USD
01.07.2022 0.50 USD
03.01.2022 0.45 USD
01.07.2021 0.56 USD
04.01.2021 0.43 USD
01.07.2020 0.45 USD
02.01.2020 0.36 USD
01.07.2019 0.59 USD
02.01.2019 0.35 USD
02.07.2018 0.57 USD
02.01.2018 0.35 USD
03.07.2017 0.60 USD
02.01.2017 0.27 USD
01.07.2016 0.56 USD
04.01.2016 0.25 USD
01.07.2015 0.52 USD
02.01.2015 0.22 USD
01.07.2014 0.70 USD
02.01.2014 0.29 USD
01.07.2013 0.67 USD