Morgan Stanley Insti Fd Tr Balanced Portf I Cl (MPBAX) NASDAQ

Currency In USD

AD

Morgan Stanley Insti Fd Tr Balanced Portf I Cl

Sector

Financial Services

Industry

Asset Management

Employees

N/A

First IPO Date

December 31, 1992

Key Executives

N/A
AD

Description

This investment vehicle aims to generate superior total returns over a market cycle typically spanning three to five years. To achieve this objective, it principally invests in a blended portfolio of equity and fixed-income instruments issued by entities in both the United States and other countries. The fund's stock holdings may encompass common and preferred shares, depositary receipts, convertible securities, equity-linked instruments, real estate investment trusts (REITs), rights and warrants enabling equity purchases, and limited partnership interests. Furthermore, it has the discretion to allocate a portion of its assets to lower-rated, below investment grade fixed-income securities, and may also acquire restricted or illiquid assets.

AD