Morgan Stanley Institutional Fund Trust Discovery Portfolio Class A MACGX:NASDAQ

Net Asset Value$22.13Previous Close - 6/03/2020
1-Day Change+0.16(0.73%)
YTD Change+7.07(46.95%)

Mid-Cap Growth Fund Classification:  Total Expense Ratio Classification Comparison

Top Peers by   Performance
 

Morgan Stanley Institutional Fund Trust: Discovery Portfolio; Class A Shares

Net Asset Value:  $22.13
1-Day Change:  +0.16 (0.73%)
6/03/2020
 
Total Expense Ratio:  0.99%
 

Morgan Stanley Institutional Fund Trust: Discovery Portfolio; Class I Shares

Net Asset Value:  $28.23
1-Day Change:  +0.21 (0.75%)
6/03/2020
 
Total Expense Ratio:  0.73%
 

Virtus Equity Trust: Virtus KAR Mid-Cap Growth Fund; Class I Shares

Net Asset Value:  $51.81
1-Day Change:  +0.75 (1.47%)
6/03/2020
 
Total Expense Ratio:  1.11%
 

Virtus Equity Trust: Virtus KAR Mid-Cap Growth Fund; Class A Shares

Net Asset Value:  $50.04
1-Day Change:  +0.73 (1.48%)
6/03/2020
 
Total Expense Ratio:  1.40%
 

Virtus Equity Trust: Virtus KAR Mid-Cap Growth Fund; Class C Shares

Net Asset Value:  $39.04
1-Day Change:  +0.56 (1.46%)
6/03/2020
 
Total Expense Ratio:  2.15%

Fund Minimums

Initial$1,000IRA$0
Additional$0Additional IRA$0

Front-End Sales Charge Breakpoints

$0 to $25,0005.25%$250,000 to $500,0002.50%
$25,000 to $50,0004.75%$500,000 to $1,000,0002.00%
$50,000 to $100,0004.00%Greater than $1,000,0000.00%
$100,000 to $250,0003.00%

Annual Expenses

Net Expense Ratio1.00%
Total Expense Ratio0.99%
12b-1 Fee0.25%
Maximum 12b- Fee--

Sales Charge

Front-End Load5.25%
Back-End Loadnone
Redemption Feenone