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Category
US Equities - Broad Market & Size
Sponsor
Morgan Stanley
Fund Family
Index
-
Index Weighting
Active/Passive
Expense
0.62%
Inverse/Leveraged
IPO
Dec 09, 2024
Asset Type
Equities (Stocks)
ETF Type
Bond Type
Average Maturity
Commodity Type
Quant Type
ESG Type
Dividend Type
Structure Type
Growth/Value
Market Cap
Option/Short
No / Yes
Tags
Tags
Tags
Tags
Tags
-
Tags
-
Tags
-
Sector/Theme
Region
SMA20
-0.08%
SMA50
2.29%
SMA200
12.30%
Return% 1Y
30.02%
Return% 3Y
-
Return% 5Y
-
Return% 10Y
Return% SI
Flows% 1M
-2.41%
Flows% 3M
-5.37%
Flows% YTD
-10.14%
Flows% 1Y
Flows% 3Y
Flows% 5Y
Trades
Total Holdings
1838
AUM
726.81M
NAV/sh
52W High
62.00 -2.42%
52W Low
45.03 34.35%
Volatility
1.01% 1.32%
ATR (14)
0.91
RSI (14)
53.17
Beta
1.00
Rel Volume
0.31
Avg Volume
23.80K
Volume
7,385
Perf Week
-0.48%
Perf Month
3.05%
Perf Quarter
11.11%
Perf Half Y
15.00%
Perf YTD
19.56%
Perf Year
28.80%
Perf 3Y
-
Perf 5Y
-
Perf 10Y
-
Prev Close
60.54
Price
60.50
Change
-0.07%
The Fund will invest, under normal market conditions, at least 80% of its net assets (plus the amount of any borrowing for investment purposes) in the equity securities of small-mid capitalization (or "cap") companies or in other investments with similar economic characteristics. The Fund defines small-mid cap companies as companies with market caps not exceeding the highest month-end market cap value of any stock in the Russell 2500 or Russell Mid Cap Index for the previous 12 months, whichever is greater. The Fund may invest up to 10% of its assets in the securities of foreign issuers that are not traded on a U.S. exchange or the U.S. over-the-counter market. The Fund may also lend portfolio securities to earn additional income. Any income realized through securities lending may help Fund performance. The Fund employs a "multi-manager" strategy whereby portions of the Fund are allocated to professional money managers (each, a "Sub-adviser," collectively, the "Sub-advisers") who are responsible for investing the assets of the Fund.