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Morgan Stanley Investment Funds - stockselection

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<strong>Morgan</strong> <strong>Stanley</strong> <strong>Investment</strong> <strong>Funds</strong> 30 June 2009 164<br />

Statement of share and net assets statistics (continued)<br />

As at 30 June 2009<br />

Net asset value per share class I<br />

31 December 2006<br />

31 December 2007<br />

31 December 2008<br />

30 June 2009<br />

Net asset value per share class A<br />

31 December 2006<br />

31 December 2007<br />

31 December 2008<br />

30 June 2009<br />

Net asset value per share class B<br />

31 December 2006<br />

31 December 2007<br />

31 December 2008<br />

30 June 2009<br />

Net asset value per share class C<br />

31 December 2006<br />

31 December 2007<br />

31 December 2008<br />

30 June 2009<br />

Net asset value per share class IX<br />

31 December 2006<br />

31 December 2007<br />

31 December 2008<br />

30 June 2009<br />

Net asset value per share class AX<br />

31 December 2006<br />

31 December 2007<br />

31 December 2008<br />

30 June 2009<br />

Net asset value per share class BX<br />

31 December 2006<br />

31 December 2007<br />

31 December 2008<br />

30 June 2009<br />

Net asset value per share class CX<br />

31 December 2006<br />

31 December 2007<br />

31 December 2008<br />

30 June 2009<br />

Net asset value per share class ZX<br />

31 December 2006<br />

31 December 2007<br />

31 December 2008<br />

30 June 2009<br />

Net asset value per share class N<br />

31 December 2006<br />

31 December 2007<br />

31 December 2008<br />

30 June 2009<br />

Net asset value per share class NX<br />

31 December 2006<br />

31 December 2007<br />

31 December 2008<br />

30 June 2009<br />

The accompanying notes are an integral part of these financial statements.<br />

US US Alpha Advantage Emerging Emerging Euro Euro<br />

Small Cap Value European Fixed Markets Markets Euro Corporate Strategic<br />

Growth Equity Income Debt Domestic Debt Bond Bond Bond<br />

Fund Fund Fund Fund Fund Fund Fund Fund<br />

USD USD EUR USD USD EUR EUR EUR<br />

49.79 24.91 - 55.08 - 11.00 32.14 30.07<br />

50.67 24.10 - 58.77 28.04 11.10 31.87 30.03<br />

31.69 15.18 26.34 49.79 25.46 11.75 30.41 30.17<br />

31.77 15.93 27.68 57.23 28.19 12.02 33.65 31.61<br />

46.87 23.42 - 51.95 - 10.55 31.39 28.85<br />

47.35 22.48 - 55.12 27.91 10.61 31.00 28.69<br />

29.41 14.05 26.23 46.44 25.18 11.19 29.46 28.70<br />

29.39 14.69 27.48 53.22 27.80 11.41 32.52 30.01<br />

42.59 21.33 - 47.26 - 9.65 29.78 26.28<br />

42.60 20.27 - 49.64 27.68 9.61 29.12 25.88<br />

26.24 12.54 26.07 41.40 24.72 10.03 27.39 25.63<br />

26.11 13.05 27.20 47.21 27.16 10.18 30.10 26.67<br />

- - - - - - - -<br />

- - - - - - - -<br />

17.49 18.34 - 21.05 21.04 26.53 24.11 -<br />

- - - 24.04 23.16 27.00 26.53 -<br />

- 22.61 - 53.69 - 10.83 - 28.98<br />

- 21.66 - - 27.75 10.57 - -<br />

- 13.40 - - - 10.91 - -<br />

- 13.95 - - - 10.63 - -<br />

46.89 23.40 - 51.04 - 10.41 - 27.93<br />

47.37 21.97 - 51.93 27.67 - - 26.97<br />

29.42 13.63 - 41.77 22.84 - - -<br />

- 14.20 - 46.11 22.21 - - -<br />

- - - - - - - -<br />

- - - - - - - -<br />

- - - - - - - -<br />

- - - - - - - -<br />

- - - - - - - -<br />

- - - - - - - -<br />

- - - 21.05 21.05 - - -<br />

- - - 23.48 22.87 - - -<br />

- - - - - - - -<br />

- - - - - - - -<br />

- - - - - - - -<br />

- - - - - - - -<br />

- - - - - - - -<br />

- - - - - - - -<br />

- - - - - - - -<br />

- - - - - - - -<br />

- - - - - - - -<br />

- - - - - - - -<br />

- - - 20.74 - - - -<br />

- - - 23.03 - - - -

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