Morgan Stanley Institutional Fund Global Franchise Portfolio 

$25.44
0
-$0.07-0.27%Past Week

Statistics

Day High
25.44
Day Low
25.44
52W High
33.03
52W Low
23.4
Volume
-
Avg. Volume
-
Mkt Cap
0
P/E Ratio
-
Dividend Yield
14.94%
Dividend
3.8

Upcoming

Dividends

14.94%Dividend Yield
Dec 25
$3.81
Dec 24
$3.72
Dec 23
$0.37
Dec 22
$0.26
Dec 21
$0.74
10Y Growth
N/A
5Y Growth
36.02%
3Y Growth
146.28%
1Y Growth
2.36%

Competitors

This list is an analysis based on recent market events. It's not an investment recommendation.

About

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CEO
ISIN
US61760X4631

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FAQ

What is Morgan Stanley Institutional Fund Global Franchise Portfolio stock price today?
The current price of US61760X4631.FUND is $25.44 USD — it has decreased by -0.27% in the past 24 hours. Watch Morgan Stanley Institutional Fund Global Franchise Portfolio stock price performance more closely on the chart.
What is Morgan Stanley Institutional Fund Global Franchise Portfolio stock ticker?
Depending on the exchange, the stock ticker may vary. For instance, on Funds exchange Morgan Stanley Institutional Fund Global Franchise Portfolio stocks are traded under the ticker US61760X4631.FUND.
Is Morgan Stanley Institutional Fund Global Franchise Portfolio stock price growing?
US61760X4631.FUND stock has fallen by -2.49% compared to the previous week, the month change is a -2.83% fall, over the last year Morgan Stanley Institutional Fund Global Franchise Portfolio has showed a -22.7% decrease.
Does Morgan Stanley Institutional Fund Global Franchise Portfolio pay dividends?
Yes, US61760X4631.FUND dividends are paid annual. The last dividend per share was 3.81 USD. As of today, Dividend Yield (FWD)% is 14.94%.
In which sector is Morgan Stanley Institutional Fund Global Franchise Portfolio located?
Morgan Stanley Institutional Fund Global Franchise Portfolio operates in the Other sector.
When did Morgan Stanley Institutional Fund Global Franchise Portfolio complete a stock split?
Morgan Stanley Institutional Fund Global Franchise Portfolio has not had any recent stock splits.