ACTIVE INTERNATIONAL ALLOCATION PORTFOLIO CLASS I(MSACX) USD 15.67
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20221.52%USD 0.239USD0.238952022-12-16
20219.72%USD 1.523USD1.522592021-12-17
20200.05%USD 0.007USD0.007422020-12-16
20191.16%USD 0.182USD0.182432019-12-16
20181.31%USD 0.205USD0.167732018-12-17
USD0.03742018-07-06
20171.89%USD 0.295USD0.27362017-12-18
USD0.021852017-07-07
20161.83%USD 0.286USD0.286382016-12-16
20150.76%USD 0.118USD0.097352015-12-16
USD0.0212015-07-02
20142.24%USD 0.35USD0.329492014-12-16
USD0.020952014-07-02
20132.35%USD 0.368USD0.317122013-12-16
USD0.051252013-07-02
20121.02%USD 0.16USD0.159672012-12-17
20111.45%USD 0.227USD0.227312011-12-16
20101.56%USD 0.245USD0.238652010-12-17
USD0.006482010-07-07
20091.80%USD 0.281USD0.2552009-12-18
USD0.02632009-07-02
20084.81%USD 0.753USD0.12932008-12-19
USD0.62392008-07-02
20079.23%USD 1.446USD1.38092007-12-20
USD0.06482007-07-03
20062.25%USD 0.352USD0.35182006-12-21
20050.92%USD 0.145USD0.0662005-12-23
USD0.07882005-07-05
20041.31%USD 0.206USD0.14912004-12-27
USD0.05672004-07-02
20031.08%USD 0.169USD0.15392003-12-26
USD0.0152003-07-02
20021.41%USD 0.221USD0.17192002-12-26
USD0.04952002-07-02
20010.93%USD 0.145USD0.14042001-12-17
USD0.00462001-07-03
20009.27%USD 1.453USD1.10592000-12-18
USD0.34712000-07-05