Morgan Stanley Institutional Fund US Real Estate Portfolio

Quarterly Returns (%)
Years Q1 Q2 Q3 Q4 Annual
1995 0 -100 -100 0 0
1996 4.35 5.31 6.31 9.77 28.76
1997 4.24 6.8 9.79 -10.74 9.1
1998 -1.24 -4.18 -11.54 2.17 -14.47
1999 -2.92 12.19 -8.97 -0.82 -1.68
2000 2.03 12.27 9.36 4.64 29.45
2001 -1.66 8.75 -4.62 5.01 7.77
2002 7.7 2.53 -9.27 0.47 -0.09
2003 0.97 12.87 11.15 8.37 37.27
2004 11.52 -4.79 9.08 17.51 36.1
2005 -5.6 14.66 3.87 4.47 17.45
2006 14.3 0.67 8.63 10.72 38.35
2007 4.54 -8.22 -2 -16.77 -17.51
2008 3.16 -7.31 3.89 -37.98 -38.39
2009 -29.32 29.92 30.73 7.76 29.36
2010 10.01 -3.97 13.05 8.04 29.03
2011 5.9 3.27 -16.04 14.64 5.27
2012 10.82 2.6 -1.6 2.85 16.03
2013 5.36 -0.89 -2.35 -1.29 0.65
2014 9.38 7.29 -2.65 14.02 30.26
2015 4.09 -9.43 1.34 7.07 2.29
2016 5.86 3.87 -1.15 -1.91 6.62
2017 -0.78 -0.3 0.19 4.14 2.97
2018 -8.2 10.08 1.71 -8.68 -8.69
2019 14.04 -2.67 3.03 -11.19 1.73
2020 -35.7 8.98 -3.47 14.55 -20.64
2021 6.8 15.08 -1.93 14.34 35.2
2022 -3 -18.93 -11.11 -4.8 -33.45
2023 3.85 2.55 -7.47 15.62 11.94
2024 -0.24 -3.51 0 0 14.81