ACTIVE INTERNATIONAL ALLOCATION PORTFOLIO CLASS A(MSIBX) USD 16.03
Dividend Yield(TTM) =0.00%
Year Yield Total Amount Ex Date
20221.21%USD 0.193USD0.193322022-12-16
20219.14%USD 1.465USD1.465112021-12-17
20200.05%USD 0.007USD0.007422020-12-16
20190.86%USD 0.137USD0.137222019-12-16
20181.00%USD 0.16USD0.122312018-12-17
USD0.03742018-07-06
20171.53%USD 0.246USD0.22382017-12-18
USD0.021852017-07-07
20161.49%USD 0.238USD0.238342016-12-16
20150.45%USD 0.073USD0.051742015-12-16
USD0.0212015-07-02
20141.86%USD 0.298USD0.276832014-12-16
USD0.020952014-07-02
20132.05%USD 0.329USD0.278112013-12-16
USD0.051252013-07-02
20120.81%USD 0.129USD0.129292012-12-17
20111.21%USD 0.194USD0.19392011-12-16
20101.33%USD 0.214USD0.207452010-12-17
USD0.006482010-07-07
20091.63%USD 0.261USD0.23472009-12-18
USD0.02632009-07-02
20084.60%USD 0.738USD0.11412008-12-19
USD0.62392008-07-02
20078.82%USD 1.413USD1.34832007-12-20
USD0.06482007-07-03
20061.90%USD 0.305USD0.30512006-12-21
20050.68%USD 0.11USD0.0312005-12-23
USD0.07882005-07-05
20041.15%USD 0.184USD0.10912004-12-27
USD0.0182004-08-31
USD0.05672004-07-02
20030.86%USD 0.138USD0.12322003-12-26
USD0.0152003-07-02
20021.25%USD 0.2USD0.15072002-12-26
USD0.04952002-07-02
20010.65%USD 0.105USD0.10032001-12-17
USD0.00462001-07-03