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Fund Name | KII1 | ISIN | Currency | NAV2 | As of Date (DD-MM-YYYY) |
Developing Opportunity Fund F ACC |
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GB00BL6Y0240 | GBP* | 12.7034 | 24-02-2021 | |
Developing Opportunity Fund I ACC |
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GB00BL6Y0R97 | GBP* | 12.6890 | ||
Global Brands Equity Income Fund F INC |
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GB00BF2B0R27 | GBP* | 11.7085 | 24-02-2021 | |
Global Brands Equity Income Fund I ACC |
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GB00BZ4CG420 | GBP* | 15.0139 | ||
Global Brands Equity Income Fund I INC |
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GB00BZ4CG537 | GBP* | 12.6188 | ||
Global Brands Fund I ACC |
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GB0032482498 | GBP* | 110.3596 | 24-02-2021 | |
Global Brands Fund I Accumulation (Portfolio Hedged) |
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GB00BJNQ8J24 | GBP* | 14.2820 | ||
Global Brands Fund I INC |
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GB00B45K0579 | GBP* | 30.6893 | ||
Global Brands Fund I Income (Portfolio Hedged) |
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GB00BJNQ8K39 | GBP* | 13.8521 | ||
Global Sustain Fund F ACC |
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GB00BJNQ0W90 | GBP* | 10.9983 | 24-02-2021 | |
Global Sustain Fund F Accumulation (Portfolio Hedged) |
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GB00BK0WFT91 | GBP* | 11.3018 | ||
Global Sustain Fund F INC |
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GB00BJNQ0X08 | GBP* | 10.9147 | ||
Global Sustain Fund I ACC |
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GB00BJNQ0V83 | GBP* | 10.9728 | ||
Global Sustain Fund I Accumulation (Portfolio Hedged) |
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GB00BK0WFV14 | GBP* | 11.3403 | ||
Sterling Corporate Bond Fund F ACC |
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GB00BHZ7N839 | GBP* | 1.4046 | 24-02-2021 | |
Sterling Corporate Bond Fund F INC |
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GB00BHZ7N946 | GBP* | 1.1719 | ||
Sterling Corporate Bond Fund I ACC |
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GB0004757497 | GBP* | 29.9601 | ||
Sterling Corporate Bond Fund I INC |
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GB0032487331 | GBP* | 16.5717 | ||
Sustainable Fixed Income Opportunities Fund F ACC |
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GB00BNKVPG43 | GBP* | 9.9289 | 24-02-2021 | |
Sustainable Fixed Income Opportunities Fund F INC |
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GB00BNKVPH59 | GBP* | 9.9269 | ||
Sustainable Fixed Income Opportunities Fund I ACC |
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GB00BNKVP424 | GBP* | 9.9249 | ||
Sustainable Fixed Income Opportunities Fund I INC |
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GB00BNKVPF36 | GBP* | 9.9239 | ||
US Advantage Fund F ACC |
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GB00BYYDFT68 | GBP* | 26.3251 | 24-02-2021 | |
US Advantage Fund F Accumulation (Portfolio Hedged) |
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GB00BK0WFW21 | GBP* | 17.7292 | ||
US Advantage Fund I ACC |
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GB00BZ4CG750 | GBP* | 28.1762 | ||
US Advantage Fund I Accumulation (Portfolio Hedged) |
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GB00BK0WFX38 | GBP* | 18.6412 |
* Base currency | ||||||
1 Key Investor Information | ||||||
2 NAV is the Net Asset Value per share of the Fund (NAV), which represents the value of the assets of a fund less its liabilities. | ||||||
For any questions regarding fund documentation, please contact Luxembourg Client Services at cslux@morganstanley.com | ||||||
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