Morgan Stanley Institutional Fund Trust Corporate Bond Portfolio Class A (MIGAX)

NASDAQ · Mutual Fund · Delayed Price · Currency is USD
10.58
+0.03 (0.28%)
Jul 9, 2025, 4:00 PM EDT
0.28%
Fund Assets 110.02M
Expense Ratio 1.00%
Min. Investment $1,000
Turnover n/a
Dividend (ttm) 0.48
Dividend Yield 4.41%
Dividend Growth -7.53%
Payout Frequency Monthly
Ex-Dividend Date Jul 2, 2025
Previous Close 10.55
YTD Return 3.72%
1-Year Return 4.91%
5-Year Return -1.35%
52-Week Low 10.26
52-Week High 11.01
Beta (5Y) 0.33
Holdings 254
Inception Date May 20, 2002

About MIGAX

The Morgan Stanley Institutional Fund Trust Corporate Bond Portfolio Class A (MIGAX) seeks to achieve above-average total return, by investing in a diversified portfolio of U.S. Government securities, corporate bonds, foreign fixed-income securities and mortgage-backed securities. MIGAX ordinarily will seek to maintain an average weighted maturity between five and ten years.

Category Corporate Bond
Stock Exchange NASDAQ
Ticker Symbol MIGAX
Share Class Class A Shares
Index Bloomberg U.S. Corp Investment Grade TR

Performance

MIGAX had a total return of 4.91% in the past year, including dividends. Since the fund's inception, the average annual return has been 3.57%.

Other Share Classes

These are alternative share classes of the same fund, from the same provider.

Symbol Share Class Expense Ratio
MPFDX Class I Shares 0.65%
MGILX Class L Shares 1.47%
MSBOX Class C 1.75%

Top 10 Holdings

15.68% of assets
Name Symbol Weight
JPMorgan Chase & Co n/a 2.82%
Morgan Stanley & Co. LLC - Morgan Stanley Institutional Liquidity Funds - Government Portfolio n/a 2.64%
Bank of America Corp n/a 2.48%
Goldman Sachs Group Inc/The GS.V5.851 04.25.35 1.47%
Barclays PLC n/a 1.23%
Ford Motor Credit Co LLC n/a 1.08%
Verizon Communications Inc VZ.2.55 03.21.31 1.05%
Citigroup Inc n/a 1.00%
WELLS FARGO & COMPANY - Wells Fargo & Co WFC.V6.491 10.23.34 1.00%
VICI Properties LP n/a 0.91%
View More Holdings

Dividend History

Ex-Dividend Amount Pay Date
Jul 2, 2025 $0.03977 Jul 2, 2025
Jun 3, 2025 $0.03972 Jun 3, 2025
May 2, 2025 $0.03978 May 2, 2025
Apr 2, 2025 $0.0396 Apr 2, 2025
Mar 4, 2025 $0.03988 Mar 4, 2025
Feb 4, 2025 $0.03565 Feb 4, 2025
Full Dividend History