Products & Performance
Morgan Stanley Investment Funds
Fixed Income
Emerging Markets Fixed Income Opportunities Fund
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Emerging Markets Fixed Income Opportunities Fund
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Products & Performance
Morgan Stanley Investment Funds
Fixed Income
Emerging Markets Fixed Income Opportunities Fund
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Marketing Communication
Fund Facts
Fund Codes
Fees & Expenses
3
The value of the investments and the income from them will vary and there can be no assurance that the Fund will achieve its investment objectives. Pricing & Performance
Past performance is not a reliable indicator of future results. Returns may increase or decrease as a result of currency fluctuations. All performance data is calculated NAV to NAV. The sources for all performance and Index data is Morgan Stanley Investment Management. Please click here for additional performance disclosures and important information, which should be reviewed carefully. Custom Blended Benchmark refers to performance of Fund's benchmarks since inception - 03 August 2015 to 08 June 2020: 1/3 JP Morgan EMBI Global Index, 1/3 JP Morgan GBI-EM Global Diversified Index, 1/3 JP Morgan CEMBI Broad Diversified Index; 08 June 2020 and beyond - JP Morgan Emerging Markets Blended Index (JEMB) - Equal Weighted.
Average Annual Total Returns
As of
31-May-2022
As of
31-Mar-2022
Average Annual Total Returns
As of
31-May-2022
As of
31-Mar-2022
Share Class I Gross (without deduction of max sales charge) assumes reinvestment of all distributions and deduction of fund level costs, but does not reflect the deduction of any sales charge applicable at investor level.
Share Class I Net (with the deduction of max sales charge) assumes reinvestment of all distributions and deduction of fund level costs, and includes the deduction of the maximum sales charge applicable at investor level that may be taken out of your money before it is invested. Please see the Fund's current prospectus and the share class' Key Investor Information Document for complete details on fees and sales charges. Example: An investor wishes to purchase shares of USD 100. At the maximum sales charge of 5.75% the investor has to expend USD 106.10. The sales charge is only incurred upon subscription. Risk/Return Statistics
TIMEFRAME:
Risk and Reward Profile As of
17-Feb-2022
Lower Risk
High Risk
Potentially
Lower Rewards Potentially
Higher Rewards The risk and reward category shown is based on historic data.
This rating does not take into account other risk factors which should be considered before investing, these include:
The risk and reward category shown is based on historic data.
This rating does not take into account other risk factors which should be considered before investing, these include:
Composition
4 As of
31-May-2022
Geography4 As of
31-May-2022
Holdings As of
31-May-2022
These securities and percentage allocations are only for illustrative purposes and do not constitute, and should not be construed as, investment advice or recommendations with respect to the securities or investments mentioned. Portfolio Characteristics
Portfolio Managers
![]() ![]() ![]() Team members may be subject to change at any time without notice. Effective November 16, 2021, Eric Baurmeister no longer serves as a portfolio manager to the Fund. Insights by Global Fixed Income Team
Resources
Product Literature
Prospectus & Reports
Product Notice
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