Title Category Description
Annual Report Date Fund Annual Report Date (ms2522).
Asset Allocation L Fund Asset Allocation L (ms36861).
BC Fund SOLID BC.
BC ID Fund SOLID BC ID.
CC Fund SOLID CC.
CC ID Fund SOLID CC ID.
Currency Code Fund The Currency Code (ms0021).
Data Readyness Fund The Data Readyness (ms0132).
Dormancy Status Fund Dormancy Status (ms4474).
Fullquote link Fund rasch fullquote link.
Global Stock Sector Fund Global Stock Sector (ms3745).
Holding Fund Holding (ms3477).
ID Fund
Inception Date Fund Inception Date (ms0022).
Investment Strategy Fund Investment Strategy (ms0019)
ISIN Fund The ISIN of the Fund (ms0023).
KIID Ongoing Charge Fund KIID Ongoing Charge (ms1688).
Max Management Fee Fund Max Management Fee (ms2585).
Monthly Sharpe Ratio 36 Months Fund Monthly Sharpe Ratio 36 Months (ms3183).
Monthly Standard Deviation 36 Months Fund Monthly Standard Deviation 36 Months (ms3204).
MS Category ID Fund The MS Category ID (ms0007).
MS Category ID ref Fund The MS Category ID (ms0007) ref.
Name Fund The name of the Fund (ms0015).
NAV Fund NAV (Fund Level) (ml4472).
NAV Date Fund NAV Date (Fund Level) (ml4473).
Net Asset End Date Fund Net Asset End Date (ms1817).
Overall Rating Fund Overall Rating (ms2808).
Performance ID Fund The Performance ID (ms0571).
Rating 120 Months Fund Rating 120 Months (ms2809).
Rating 36 Months Fund Rating 36 Month (ms2810).
Rating 60 Months Fund Rating 60 Months (ms2811).
Rating Date Fund Rating Date (ms2830).
Regional Exposure L Fund Regional Exposure L (ms37741).
Regional Exposure S Fund Regional Exposure S (ms37742).
Rendered entity Fund Renders an entity in a view mode.
Return 120 Months Fund Return 120 Months (ms2812).
Return 36 Months Fund Return 36 Months (ms2813).
Return 60 Months Fund Return 60 Months (ms2814).
Return Category Rank 120 Months Fund Return Category Rank 120 Months (ms2815).
Return Category Rank 36 Months Fund Return Category Rank 36 Months (ms2816).
Return Category Rank 60 Months Fund Return Category Rank 60 Months (ms2817).
Risk 120 Months Fund Risk 120 Months (ms2818).
Risk 36 Months Fund Risk 36 Months (ms2819).
Risk 60 Months Fund Risk 60 Months (ms2820).
Risk adjusted Return 120 Months Fund Risk adjusted Return 120 Months (ms2821).
Risk adjusted Return 36 Months Fund Risk adjusted Return 36 Months (ms2822).
Risk adjusted Return 60 Months Fund Risk adjusted Return 60 Months (ms2823).
Risk adjusted Return Category Rank 120 Months Fund Risk adjusted Return Category Rank 120 Months (ms2824).
Risk adjusted Return Category Rank 36 Months Fund Risk adjusted Return Category Rank 36 Months (ms2825).
Risk adjusted Return Category Rank 60 Months Fund Risk adjusted Return Category Rank 60 Months (ms2826).
Risk Category Rank 120 Months Fund Risk Category Rank 120 Months (ms2827).
Risk Category Rank 36 Months Fund Risk Category Rank 36 Months (ms2828).
Risk Category Rank 60 Months Fund Risk Category Rank 60 Months (ms2829).
Share Class ID Fund MS Fund Share Class ID (ms0003).
SOLID changed Fund The time that the SOLID data was last edited.
Strategy Provider Fund Strategy Provider of the Fund (ms1636).
TER Fund TER (ms2537).
Valor Fund SOLID Valor.
Contextual Links Global Display fields in a contextual links menu.
Custom text Global Provide custom text or link.
Dropbutton Global Display fields in a dropbutton.
View result counter Global Displays the actual position of the view result
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