Senarai ini adalah analisis berdasarkan peristiwa pasaran terkini. Ia bukan cadangan pelaburan.
Perihal
This investment vehicle strives for above-average total returns over a market cycle typically spanning three to five years. It habitually allocates at least 80% of its assets to fixed income instruments. The portfolio is primarily composed of a diverse mix of U.S. dollar-denominated, investment-grade debt securities, encompassing U.S. government, corporate, and municipal bonds, alongside mortgage-backed and asset-backed securities. The fund typically aims to maintain an average weighted maturity between five and ten years. Although not obligated, it retains the flexibility to employ derivative instruments for various objectives, such as hedging exposures, managing overall risk, enhancing portfolio strategy, or generating additional income.
Berapakah harga saham Morgan Stanley Insti Fd Tr Core Plus Fixed Income Portf. I Cl hari ini?▼
Harga semasa MPFIX ialah $9.51 USD — telah menurun sebanyak -0% dalam 24 jam yang lalu. Pantau prestasi harga saham Morgan Stanley Insti Fd Tr Core Plus Fixed Income Portf. I Cl dengan lebih dekat pada carta.
Apakah simbol saham Morgan Stanley Insti Fd Tr Core Plus Fixed Income Portf. I Cl?▼
Bergantung pada bursa, simbol saham mungkin berbeza. Sebagai contoh, di bursa NASDAQ, saham Morgan Stanley Insti Fd Tr Core Plus Fixed Income Portf. I Cl didagangkan di bawah simbol MPFIX.
Adakah Morgan Stanley Insti Fd Tr Core Plus Fixed Income Portf. I Cl membayar dividen?▼
Ya, dividen MPFIX dibayar bulanan. Dividen terakhir bagi setiap saham ialah 0.05 . Setakat hari ini, Hasil Dividen (FWD)% ialah 0%.
Morgan Stanley Insti Fd Tr Core Plus Fixed Income Portf. I Cl terletak dalam sektor apa?▼
Morgan Stanley Insti Fd Tr Core Plus Fixed Income Portf. I Cl beroperasi dalam sektor Kewangan & Pembayaran.
Bilakah Morgan Stanley Insti Fd Tr Core Plus Fixed Income Portf. I Cl menyiapkan split saham?▼
Morgan Stanley Insti Fd Tr Core Plus Fixed Income Portf. I Cl tidak mempunyai sebarang split baru-baru ini.