Ex-Date | Pay Date | Amount | Change |
---|---|---|---|
€0.0411 | 84.3% | ||
€0.0411 | 84.3% | ||
€0.0223 | -81.54% | ||
€0.0223 | -81.54% | ||
€0.1208 | -16.86% | ||
€0.1453 | -8.1% | ||
€0.1581 | -5.67% | ||
€0.1676 | -68.14% | ||
€0.5261 | 105.75% | ||
€0.2557 | 3.77% | ||
€0.2464 |
Morgan Stanley Investment Funds - Global Brands Fund AHX (EUR) currently pays no dividends.
- ISIN
- WKN
- Symbol / Exchange
- / XMUN
- Value
- €67.69
- Dividend frequency
- none
- Security Type
- Fund
- Dividend Currency
- Euro
- 5 Countries
United States
78.26%France
7.57%United Kingdom
7.20%Germany
6.84%Italy
0.14%
- 7 Sectors
Information Technology
27.75%Financials
21.50%Health Care
17.81%Consumer Staples
16.85%Industrials
7.73%Consumer Discretionary
5.78%Communication Services
2.59%
- 32 Holdings
- Morgan Stanley Investment Funds - Global Brands Fund AHX (EUR) does not currently pay dividends.
- Morgan Stanley Investment Funds - Global Brands Fund AHX (EUR) does not currently pay dividends. Therefore, the dividend yield is 0%.
- Morgan Stanley Investment Funds - Global Brands Fund AHX (EUR) does not currently pay dividends.
- Within the last 10 years, Morgan Stanley Investment Funds - Global Brands Fund AHX (EUR) has paid dividends in 6 of them.
- The largest sectors of Morgan Stanley Investment Funds - Global Brands Fund AHX (EUR) are Information Technology, Financials, Health Care.
- There are currently no known stock splits for Morgan Stanley Investment Funds - Global Brands Fund AHX (EUR).
- To receive the last dividend of Morgan Stanley Investment Funds - Global Brands Fund AHX (EUR) on 6 July 2021 in the amount of €0.04 you had to have the stock in your portfolio before the ex-day on 1 July 2021.
- The last dividend we know of from Morgan Stanley Investment Funds - Global Brands Fund AHX (EUR) was paid on 6 July 2021.
- The last dividend was paid on 6 July 2021.
- In Morgan Stanley Investment Funds - Global Brands Fund AHX (EUR), the United States, France and the United Kingdom are represented as the three largest countries.