RF Bonos Alto Rendimiento USD

MS INVF US Dollar Short Dur HY Bd Fd

Morgan Stanley Investment Funds - US Dollar Short Duration High Yield Bond Fund I | LU1134226536

Morgan Stanley Investment Funds

20 Oct, 2017
29,87
0,60%
USD

Clases

Nombre de la clase

Patrimonio

Valor

Comisión de gestión

Ratio total de gastos

Participación mínima

Morgan Stanley Investment Funds - US Dollar Short Duration High Yield Bond Fund AH (EUR) (LU1610904176)0,01M EUR25,31 EUR1,00%1,27%0 EUR
Morgan Stanley Investment Funds - US Dollar Short Duration High Yield Bond Fund BH (EUR) (LU1610904093)0,01M EUR25,20 EUR1,00%2,28%0 EUR
Morgan Stanley Investment Funds - US Dollar Short Duration High Yield Bond Fund A (LU1134225132)5,78M USD29,31 USD1,00%1,26%0 USD
Morgan Stanley Investment Funds - US Dollar Short Duration High Yield Bond Fund AX (LU1134225306)2,18M USD24,87 USD1,00%1,26%0 USD
Morgan Stanley Investment Funds - US Dollar Short Duration High Yield Bond Fund B (LU1134225561)0,10M USD28,47 USD1,00%2,28%0 USD
Morgan Stanley Investment Funds - US Dollar Short Duration High Yield Bond Fund BX (LU1134225728)0,08M USD24,86 USD1,00%2,28%0 USD
Morgan Stanley Investment Funds - US Dollar Short Duration High Yield Bond Fund I (LU1134226536)3,42M USD29,87 USD0,40%0,60%422.940 USD

Estrategia

The US Dollar Short Duration High Yield Bond Fund’s investment objective is to provide an attractive rate of total return, measured in USD. The Fund will seek to achieve its investment objective by investing primarily in high yield and unrated USD denominated Fixed Income Securities, including without limitation those issued by governments, agencies and corporations located in emerging markets and for the avoidance of doubt including asset backed securities. With a view to enhancing returns and/or as part of the investment strategy, the Fund may (in accordance with the investment powers and restrictions set out in Appendix A) make use of exchange-traded and over-the-counter options, futures and other derivatives for investment or efficient portfolio management (including hedging) purposes.

Comisiones

ComisiónValorFórmula de cálculo
Management Fee0,40%PERCENT
On Going Charge0,59%PERCENT
Total Expense Ratio0,60%PERCENT

Gestores

Richard Lindquist


Metadata


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Rendimiento anual y trimestral

Anual Q1 Q2 Q3 Q4
201510,61%16,03%-3,05%-2,07%0,40%
201616,81%-3,55%5,76%4,64%9,43%
20170,90%-4,98%-1,52%

Rendimiento mensual

Volatilidad vs Rentabilidad anualizada en 3 años

Entradas y salidas de dinero (mensuales)

Fuente Morningstar

Documentos

Fuente Morningstar

Documento Fecha actualización
Factsheet (Aug 31, 2017) Sep 22, 2017
Prospectus (Jul 01, 2017) Oct 11, 2017
SemiannualReport (Jun 30, 2017) Oct 12, 2017
Key Investor Information Document (KIID) (Apr 20, 2017) May 13, 2017
AnnualReport (Dec 31, 2016) Oct 12, 2017
Rulebook (Dec 16, 2015) Jun 23, 2016