Morgan Stanley Investment Funds - Floating Rate ABS Fund A Acc
Fund
ISIN LU2577889384 / Valor 12448889
NAV (2025-02-07)
EUR 28.12%
Morgan Stanley Investment Funds - Floating Rate ABS Fund A Acc
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General Objective
The fund aims to provide an attractive rate of return while minimizing exposure to changes in interest rates.
Fund Exposure
The fund is primarily exposed to high credit quality, floating-rate asset-backed securities ("ABS") in order to achieve capital appreciation over the short term. It invests in various sectors including US ABS, non-US ABS, non-US CMBS, non-US RMBS, US Agency CMOs, US Non-Agency CMBS, and US Non-Agency RMBS.
Risks
Investors should be aware of the risks associated with this fund, including exposure to movements in exchange rates, potential decreases in bond values due to rising interest rates, sensitivity of financial derivative instruments, issuer default risk, reliance on third parties, sustainability factors, liquidity risks, and risks associated with investing in emerging markets.