Morgan Stanley Institutional Fund Emerging Markets Portfolio

Quarterly Returns (%)
Years Q1 Q2 Q3 Q4 Annual
1995 0 -100 -100 0 0
1996 8.45 9.58 -5.01 -1.88 11.35
1997 10.88 13.01 -1.41 -20.51 -1.8
1998 8.09 -20.96 -23.99 14.49 -25.64
1999 11.61 25.49 -5.75 51.82 100.42
2000 8.51 -11.98 -18.31 -19.56 -38.33
2001 -8.61 7.23 -22.74 28.32 -4.62
2002 13.22 -8.05 -16.16 8.29 -6.33
2003 -7.36 22.53 14.45 18.78 54.32
2004 11.07 -12.02 7.86 17.49 23.84
2005 1.48 4.08 18.5 7.33 34.34
2006 14.19 -4.89 5.83 19.21 37.69
2007 2.53 14.27 12.66 3.1 41.4
2008 -14.17 -1.85 -26.48 -29.85 -56.55
2009 -3.4 34.94 20.44 7.71 69.11
2010 1.42 -7.84 19.5 5.94 18.32
2011 -1.13 0.08 -20.02 2.84 -18.61
2012 12.92 -7 7.81 5.06 19.88
2013 0.75 -6.5 2.88 1.7 -1.07
2014 -0.62 6.03 -3.59 -6.3 -4.81
2015 3.06 1.48 -14.03 -0.6 -10.63
2016 4.48 1.85 8.68 -8.03 6.37
2017 11.23 7.57 6.75 4.88 34.41
2018 1.8 -9.66 -2.2 -6.27 -17.59
2019 7.18 1.26 -3.24 -2.29 4.77
2020 -26.81 19.8 10.15 17.37 13.36
2021 -6.35 16.38 -13.6 0.33 -5.51
2022 -12.35 -15.99 -8.47 6.37 -28.31
2023 2.66 3.63 -3.72 7.33 9.27
2024 0.21 0 0 0 6.72