Morgan Stanley Institutional Fund Global Real Estate Portfolio

Quarterly Returns (%)
Years Q1 Q2 Q3 Q4 Annual
2008 0 -8.67 -9.95 -30.21 0
2009 -20.81 39.54 22.66 3.22 39.9
2010 4.49 -8.85 19 5.25 19.28
2011 2.32 2.61 -20.59 7.56 -10.33
2012 13.89 1.5 4.52 7.11 29.29
2013 4.07 -2.52 2.8 -0.64 2.77
2014 2.87 7.68 -4.17 6.69 13.26
2015 4.03 -6.08 -2.35 3.03 -1.69
2016 4.62 1.71 1.24 -4.69 2.67
2017 1.6 1.48 1.09 4.91 8.95
2018 -4.54 5.77 -0.03 -7.61 -8.91
2019 14.3 -2.58 1.37 -5.61 7.26
2020 -32.92 8.87 -1.52 16.66 -16.1
2021 -25.4 54.7 -30.54 8.89 -12.71
2022 -3.78 -18.49 -12.5 -17.76 -43.56
2023 2.73 0.72 -5.52 12.11 7.94
2024 0.46 -5.8 0 0 10.11