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Morgan Stanley Institutional Fund, Inc. Growth Portfolio Class A (MSEGX)

Nasdaq - Nasdaq Delayed Price. Currency in USD
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39.65+0.68 (+1.74%)
At close: 08:01PM EDT
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Performance Overview

Morningstar Return Rating★★★
Year-to-Date Return13.38%
5-Year Average Return15.28%
Number of Years Up19
Number of Years Down6
Best 1 Yr Total Return (Feb 3, 2019)115.09%
Worst 1 Yr Total Return (Feb 3, 2019)-50.57%
Best 3-Yr Total Return115.09%
Worst 3-Yr Total Return-0.66%

Trailing Returns (%) Vs. Benchmarks

ReturnMSEGXCategory
YTD-41.59%12.38%
1-Month27.04%5.09%
3-Month30.04%10.28%
1-Year-49.04%41.70%
3-Year7.40%22.56%
5-Year14.39%21.98%
10-Year15.66%15.99%
Last Bull Market39.71%25.99%
Last Bear Market-9.53%-17.29%

Annual Total Return (%) History

Year
MSEGXCategory
2021
0.16%N/A
2020
115.09%35.86%
2019
22.81%31.90%
2018
7.39%-2.09%
2017
43.45%27.67%
2016
-2.21%3.23%
2015
11.53%3.60%
2014
6.25%10.00%
2013
48.22%33.92%
2012
15.36%15.34%
2011
-3.27%-2.46%
2010
22.79%15.53%
2009
62.66%35.68%
2008
-50.57%-40.67%
2007
21.93%13.35%
2006
3.85%7.05%
2005
15.41%6.71%
2004
7.45%7.81%
2003
26.13%28.66%
2002
-27.75%-27.64%
2001
-15.26%-22.30%
2000
-11.59%-13.05%
1999
39.37%38.87%
1998
18.78%34.55%
1997
27.88%26.36%
1996
N/A19.76%

Past Quarterly Returns (%)

YearQ1Q2Q3Q4
2021-1.84%14.97%-4.37%-7.19%
2020-3.88%58.21%21.48%16.43%
201919.38%7.17%-10.85%7.67%
20189.66%8.81%7.65%-16.38%
201716.13%9.81%4.81%7.33%
2016-5.65%1.59%10.83%-7.94%
20156.14%2.18%-5.92%9.30%
2014-0.80%3.54%1.85%1.57%
20135.88%5.98%17.14%12.76%
201221.32%-8.38%3.28%0.48%
20116.84%2.24%-13.91%2.86%
20104.79%-10.67%17.13%11.99%
20093.69%21.00%19.69%8.32%
2008-12.32%2.49%-20.83%-30.52%
20072.76%6.73%10.10%0.97%
20060.47%-3.52%0.21%6.91%
2005-5.40%5.71%7.00%7.86%
20040.71%1.66%-4.65%10.07%
2003-0.32%12.44%2.32%9.99%
2002-3.04%-15.16%-17.01%5.83%
2001-18.31%9.10%-15.55%12.59%
20009.72%-3.22%-1.72%-15.28%
19997.22%7.57%-1.00%22.06%
199816.62%-0.96%-16.13%22.62%
19971.40%11.75%10.73%1.91%
19966.82%0.19%12.46%N/A

Rank In Category (By Total Return)

YTD99
1-Month98
3-Month99
1-Year99
3-Year92
5-Year55

Load Adjusted Returns

1-Year-47.72%
3-Year4.81%
5-Year12.67%
10-Year13.89%
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