NAV2024-04-18 Chg.-1.2500 Type of yield Investment Focus Investment company
82.7700EUR -1.49% reinvestment Equity Mixed Sectors MSIM Fund M. (IE) 
 

Monthly performance

  Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec Total
2006 - - - - - - - - - - - -0.73 -
2007 2.44 -1.89 1.65 4.81 3.11 -2.94 -0.25 0.11 8.49 5.46 -4.07 -0.46 +16.90%
2008 -11.91 1.01 -1.93 9.17 2.71 -8.59 -4.88 -0.82 -20.11 -20.95 -14.03 1.23 -53.62%
2009 1.00 -5.58 8.08 17.99 2.17 0.75 8.66 2.05 5.70 1.46 2.54 5.75 +61.41%
2010 -3.93 -0.46 8.46 3.79 -8.05 -4.82 4.83 -2.28 11.95 4.42 2.35 2.22 +18.03%
2011 1.27 3.81 1.42 4.14 -1.72 -0.93 2.32 -4.94 -11.07 10.09 -5.75 -2.08 -4.98%
2012 8.04 6.78 4.58 -2.35 -10.74 2.59 -1.13 0.18 4.42 -3.88 4.15 -0.88 +10.72%
2013 5.52 -0.74 2.21 1.96 5.12 -2.11 8.21 0.73 6.89 3.45 2.63 4.74 +45.52%
2014 0.61 6.73 -7.22 -6.16 5.78 4.06 0.05 3.99 -2.47 2.37 1.46 -2.07 +6.21%
2015 0.05 7.87 -2.47 1.95 -0.24 -1.18 6.09 -5.77 -6.51 8.64 3.34 -0.25 +10.73%
2016 -11.92 0.07 6.25 -0.29 2.32 -1.76 6.91 0.64 2.22 -2.92 -1.74 -2.91 -4.39%
2017 9.20 2.47 2.74 3.86 5.92 -0.69 3.31 1.81 -1.75 5.85 1.22 0.88 +40.28%
2018 9.64 1.41 -4.63 2.66 5.95 1.47 -1.70 9.22 -0.90 -10.98 0.04 -8.04 +1.98%
2019 11.95 4.35 0.62 4.49 -4.21 5.58 1.97 -4.76 -8.78 0.46 8.61 -2.03 +17.62%
2020 7.96 -4.99 -5.32 20.83 15.37 11.48 11.08 6.21 2.88 -4.37 17.96 2.25 +111.27%
2021 1.11 2.99 -7.48 7.20 -3.97 13.16 -0.08 1.26 -6.82 6.80 1.02 -12.58 -0.20%
2022 -25.60 0.43 -2.59 -17.50 -22.39 -10.94 13.49 4.63 -12.13 0.25 -6.83 -7.31 -62.51%
2023 15.35 -2.11 0.85 -5.47 10.98 9.33 6.96 -8.68 -4.65 -10.71 17.10 13.27 +44.06%
2024 -6.14 11.27 0.96 -10.90 - - - - - - - - -

Calculated values

  YTD 6 Months 1 Year 3 Years 5 Years
Volatility 31.23% 31.58% 29.25% 43.70% 39.33%
Sharpe ratio -0.74 0.88 0.46 -0.58 -0.06
Best month +13.27% +17.10% +17.10% +17.10% +20.83%
Worst month -10.90% -10.90% -10.90% -25.60% -25.60%
Maximum loss -10.93% -10.93% -24.96% -70.95% -70.95%
Outperformance +85.67% - +96.48% +105.80% +162.18%
 
All quotes in EUR

Tranches

Name   Type of yield Repurchase p. 1 Year 3 Years
MSIF US Growth B USD reinvestment 112.8800 +19.06% -
MSIF US Growth BH EUR reinvestment 72.7100 +16.17% -
MSIF US Growth I EUR reinvestment 30.2000 - -
MSIF US Growth I USD reinvestment 178.9000 +21.16% -45.75%
MSIF US Growth ZH EUR reinvestment 91.9800 +18.26% -50.51%
MSIF US Growth Z EUR reinvestment 108.8000 +24.77% -38.62%
MSIF US Growth IH EUR reinvestment 25.7900 +18.19% -50.63%
MSIF US Growth F USD reinvestment 65.8500 +21.09% -45.83%
MSIF US Growth AEUR reinvestment 15.2400 +23.70% -40.12%
MSIF US Growth IX GBP paying dividend 143.4800 +20.91% -
MSIF US Growth A USD reinvestment 147.3400 +20.26% -46.96%
MSIF US Growth AH EUR reinvestment 82.7700 +17.35% -51.68%
MSIF US Growth AX USD paying dividend 147.3300 +20.25% -46.96%

Performance

YTD
  -6.06%
6 Months  
+14.69%
1 Year  
+17.35%
3 Years
  -51.68%
5 Years  
+8.88%
Since start  
+222.19%
Year
2023  
+44.06%
2022
  -62.51%
2021
  -0.20%
2020  
+111.27%
2019  
+17.62%
2018  
+1.98%
2017  
+40.28%
2016
  -4.39%
2015  
+10.73%