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Morgan Stanley Institutional Fund Inc., et al. – ‘485BPOS’ on 4/28/22 – ‘EX-99.(H)(9)’

On:  Thursday, 4/28/22, at 9:50pm ET   ·   As of:  4/29/22   ·   Effective:  4/29/22   ·   Accession #:  1133228-22-2883   ·   File #s:  33-23166, 811-05624

Previous ‘485BPOS’:  ‘485BPOS’ on 12/21/21   ·   Next:  ‘485BPOS’ on 5/4/22   ·   Latest:  ‘485BPOS’ on 4/29/24   ·   90 References:   

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  As Of               Filer                 Filing    For·On·As Docs:Size             Issuer                      Filing Agent

 4/29/22  Morgan Stanley Inst’l Fund Inc.   485BPOS     4/29/22   28:55M                                    Broadridge Fin’l… Inc/FAAdvantage Portfolio Class A (MAPPX) — Class C (MSPRX) — Class I (MPAIX) — Class L (MAPLX) — Class R6 (MADSX)Asia Opportunity Portfolio Class A (MSAUX) — Class C (MSAWX) — Class I (MSAQX) — Class R6 (MSAYX)China Equity Portfolio Class A (MAKAX) — Class C (MAKCX) — Class I (MAKIX) — Class IS (MAKSX)Counterpoint Global Portfolio A (GLCAX) — C (GLCDX) — I (GLCIX) — R6 (GLCSX)Developing Opportunity Portfolio Class A (MDOAX) — Class C (MDOBX) — Class I (MDOEX) — Class R6 (MDODX)Emerging Markets Fixed Income Opportunities Portfolio Class A (MEAPX) — Class C (MSEDX) — Class I (MEAIX) — Class IS (MRDPX) — Class L (MEALX)Emerging Markets Leaders Portfolio Class A (MELAX) — Class C (MEMLX) — Class I (MELIX) — Class IR (MSIWX) — Class R6 (MELSX)Emerging Markets Portfolio Class A (MMKBX) — Class C (MSEPX) — Class I (MGEMX) — Class IR (MRGEX) — Class L (MSELX) — Class R6 (MMMPX)Global Concentrated Portfolio Class A (MLNAX) — Class C (MLNCX) — Class I (MLNIX) — Class R6 (MLNSX)Global Core Portfolio Class A (MLMAX) — Class C (MLMCX) — Class I (MLMIX) — Class R6 (MLMSX)Global Endurance Portfolio Class A (MSJAX) — Class C (MSJCX) — Class I (MSJIX) — Class R6 (MSJSX)Global Focus Real Estate Portfolio Class A (MSBEX) — Class C (MSBKX) — Class I (MSBDX) — Class R6 (MSBPX)Global Franchise Portfolio Class A (MSFBX) — Class C (MSGFX) — Class I (MSFAX) — Class L (MSFLX) — Class R6 (MGISX)Global Infrastructure Portfolio Class A (MTIPX) — Class C (MSGTX) — Class I (MTIIX) — Class IR (MRGOX) — Class L (MTILX) — Class R6 (MSGPX)Global Insight Portfolio Class A (MIGPX) — Class C (MSPTX) — Class I (MIGIX) — Class L (MIGLX) — Class R6 (MGZZX)Global Opportunity Portfolio Class A (MGGPX) — Class C (MSOPX) — Class I (MGGIX) — Class IR (MGORX) — Class L (MGGLX) — Class R6 (MGTSX)Global Permanence Portfolio Class A (MGKAX) — Class C (MGKCX) — Class I (MGKIX) — Class R6 (MGKQX)Global Real Estate Portfolio Class A (MRLBX) — Class C (MSRDX) — Class I (MRLAX) — Class IR (MRLEX) — Class L (MGRLX) — Class R6 (MGREX)Global Sustain Portfolio Class A (MGQAX) — Class C (MSGQX) — Class I (MGQIX) — Class L (MGQLX) — Class R6 (MGQSX)Growth Portfolio Class A (MSEGX) — Class C (MSGUX) — Class I (MSEQX) — Class IR (MGHRX) — Class L (MSHLX) — Class R6 (MGRPX)Inception Portfolio Class A (MSSMX) — Class C (MSCOX) — Class I (MSSGX) — Class L (MSSLX) — Class R6 (MFLLX)International Advantage Portfolio Class A (MFAPX) — Class C (MSIAX) — Class I (MFAIX) — Class L (MSALX) — Class R6 (IDVSX)International Equity Portfolio Class A (MIQBX) — Class C (MSECX) — Class I (MSIQX) — Class L (MSQLX) — Class R6 (MIQPX)International Opportunity Portfolio Class A (MIOPX) — Class C (MSOCX) — Class I (MIOIX) — Class IR (MRNPX) — Class L (MIOLX) — Class R6 (MNOPX)Next Gen Emerging Markets Portfolio Class A (MFMPX) — Class C (MSFEX) — Class I (MFMIX) — Class L (MFMLX) — Class R6 (MSRFX)Passport Overseas Equity Portfolio Class A (MSIBX) — Class C (MSAAX) — Class I (MSACX) — Class IR (MAIHX) — Class L (MSLLX) — Class R6 (MAIJX)Permanence Portfolio Class A (MSHNX) — Class C (MSHOX) — Class I (MSHMX) — Class R6 (MSHPX)U.S. Focus Real Estate Portfolio Class A (MAAYX) — Class C (MABBX) — Class I (MAAWX) — Class R6 (MABCX)U.S. Real Estate Portfolio Class A (MUSDX) — Class C (MSURX) — Class I (MSUSX) — Class IR (MRETX) — Class L (MSULX) — Class R6 (MURSX)US Core Portfolio Class A (MUOAX) — Class C (MUOCX) — Class I (MUOIX) — Class R6 (MUOSX)Vitality Portfolio Class A (MSVEX) — Class C (MSVMX) — Class I (MSVDX) — Class R6 (MSVOX)

Post-Effective Amendment of a Form N-1 or N-1A Registration   —   Rule 485(b)

Filing Table of Contents

Document/Exhibit                   Description                      Pages   Size 

 1: 485BPOS     Msif Inc.-485Bpos (Ixbrl)                           HTML  12.87M 
 2: EX-99.(B)   Amended and Restated By-Laws                        HTML     63K 
 3: EX-99.(H)(9)  Form of Fund of Funds Investment Agreement        HTML     30K 
 4: EX-99.(I)(89)  Opinion and Consent of Dechert LLP               HTML     10K 
 5: EX-99.(J)   Consent of Independent Registered Public            HTML     11K 
                Accounting Firm                                                  
 6: EX-99.(N)   Amended and Restated Multiple Class 18F-3 Plan      HTML     56K 
12: R1          Document And Entity Information                     HTML     28K 
13: R2          MSIF - Non U.S. and Global Portfolios               HTML   1.40M 
14: R3          MSIF - Advantage Portfolios                         HTML    450K 
15: R4          MSIF - Counterpoint Global Portfolios               HTML   1.16M 
16: R5          MSIF - Listed Real Asset Portfolios                 HTML    799K 
17: R6          MSIF - Opportunity Portfolios                       HTML    746K 
18: R7          MSIF - Emerging Markets Fixed Income Opportunities  HTML    320K 
                Portfolio                                                        
19: R8          MSIF - Applied Equity Portfolios                    HTML    513K 
20: R9          MSIF - Non U.S. and Global Portfolios - Class IR    HTML    457K 
21: R10         MSIF - Growth Portfolio - Class IR                  HTML    216K 
22: R11         MSIF - Listed Real Asset Portfolios - Class IR      HTML    418K 
23: R12         MSIF - Opportunity Portfolios - Class IR            HTML    336K 
24: R13         Risk/Return Detail Data                             HTML   5.27M 
26: XML         IDEA XML File -- Filing Summary                      XML     52K 
25: XML         XBRL Instance -- msifi-html4879_485bpos_htm          XML   6.82M 
 8: EX-101.CAL  XBRL Calculations -- stanley-20220429_cal            XML     23K 
 9: EX-101.DEF  XBRL Definitions -- stanley-20220429_def             XML   2.10M 
10: EX-101.LAB  XBRL Labels -- stanley-20220429_lab                  XML    875K 
11: EX-101.PRE  XBRL Presentations -- stanley-20220429_pre           XML   2.07M 
 7: EX-101.SCH  XBRL Schema -- stanley-20220429                      XSD    158K 
27: JSON        XBRL Instance as JSON Data -- MetaLinks              188±   309K 
28: ZIP         XBRL Zipped Folder -- 0001133228-22-002883-xbrl      Zip   2.63M 


‘EX-99.(H)(9)’   —   Form of Fund of Funds Investment Agreement


This Exhibit is an HTML Document rendered as filed.  [ Alternative Formats ]



Exhibit (h)(9)

 

FORM OF FUND OF FUNDS INVESTMENT AGREEMENT

 

THIS AGREEMENT, dated as of January 19, 2022, is made [between/among] [the/each] Acquiring Fund(s)[, severally and not jointly] (each, an “Acquiring Fund”), and [the/each] Acquired Fund(s)[, severally and not jointly] (each, an “Acquired Fund” and together with the Acquiring Fund[s], the “Funds”), listed on Schedule A. 

 

WHEREAS, each Fund is registered with the U.S. Securities and Exchange Commission (“SEC”) as an investment company under the Investment Company Act of 1940, as amended, (the “1940 Act”);

 

WHEREAS, Section 12(d)(1)(A) of the 1940 Act limits the extent to which a registered investment company may invest in shares of other registered investment companies, Section 12(d)(1)(B) limits the extent to which a registered investment company, its principal underwriter or registered brokers or dealers may knowingly sell shares of such registered investment company to other investment companies, and Section 12(d)(1)(C) limits the extent to which an investment company may invest in the shares of a registered closed-end investment company;

 

WHEREAS, Rule 12d1-4 under the 1940 Act (the “Rule”) permits registered investment companies, such as the Acquiring Funds, to invest in shares of other registered investment companies, such as the Acquired Funds, in excess of the limits of Sections 12(d)(1)(A)-(C) of the 1940 Act subject to compliance with the conditions of the Rule; and

 

WHEREAS, an Acquiring Fund may, from time to time, invest in shares of one or more Acquired Funds in excess of the limitations of Section 12(d)(1)(A) in reliance on the Rule;

 

NOW THEREFORE, in accordance with the Rule, the Acquiring Fund[s] and the Acquired Fund[s] desire to set forth the following terms pursuant to which the Acquiring Fund[s] may invest in the Acquired Fund[s] in reliance on the Rule.

 

1.Terms of Investment

 

(a) In order to help reasonably address the risk of undue influence on an Acquired Fund by an Acquiring Fund, and to assist the Acquired Fund’s investment adviser with making the required findings under the Rule, each Acquiring Fund and each Acquired Fund agree as follows:

 

(i) In-kind redemptions. The Acquiring Fund acknowledges and agrees that, if and to the extent consistent with the Acquired Fund’s registration statement, as amended from time to time, [For all Acquired Funds other than ETFs: the Acquired Fund may honor any redemption request partially or wholly in-kind in the sole discretion of the Acquired Fund (which discretion of the Acquired Fund shall include the selection of portfolio securities to distribute in-kind), even where such Acquired Fund does not ordinarily satisfy redemption requests in-kind.]/[For Acquired Funds that are ETFs: and Rule 6c-11 under the 1940 Act, the Acquired Fund may honor any redemption request from the Authorized Participant acting as intermediary to execute the Acquiring Fund’s transaction partially or wholly in kind.]

 C: 
 C: 
 

(ii) Timing/advance notice of redemptions. [For all Acquired Funds other than ETFs: The Acquiring Fund will use reasonable efforts to spread large redemption requests (greater than [1-3]% of the Acquired Fund’s total outstanding shares) over multiple days or to provide advance notification of redemption requests to the Acquired Fund(s) whenever practicable and consistent with the Acquiring Fund’s best interests. The Acquired Fund acknowledges and agrees that any notification provided pursuant to the foregoing is not a commitment to redeem and constitutes an estimate that may differ materially from the amount, timing and manner in which a redemption request is submitted, if any.] [For Acquired Funds that are ETFs: Only upon the request of the Acquired Fund, the Acquiring Fund will use reasonable efforts to spread orders given to an Authorized Participant that reasonably are expected to result in that Authorized Participant redeeming shares from the Acquired Fund (greater than [1-3]% of the Acquired Fund’s total outstanding shares) over multiple days or to provide advance notification of such orders to the Acquired Fund whenever practicable and consistent with the Acquiring Fund’s and its shareholders’ best interests. The Acquired Fund acknowledges and agrees that any notification provided pursuant to the foregoing is not a commitment to sell the Acquired Fund shares and constitutes an estimate that may differ materially from the amount, timing and manner in which a redemption request is submitted, if any. The Acquiring Fund and Acquired Fund each acknowledge and agree that this voluntary notification provision does not apply to trades placed by the Acquiring Fund in secondary markets.]

 

(iii) Scale of investment. Upon a reasonable request by an Acquired Fund, the Acquiring Fund will provide summary information regarding the anticipated timeline and scale of its contemplated investment in the Acquired Fund.

 

(b) In order to assist the Acquiring Fund’s investment adviser with evaluating the complexity of the structure and fees and expenses associated with an investment in an Acquired Fund, each Acquired Fund shall provide each Acquiring Fund with information on the fees and expenses of the Acquired Fund reasonably requested by the Acquiring Fund with reference to the Rule. Such fee and expense information shall be limited to that which is made publicly available by the Acquired Fund.

 

2.Representations of the Acquired Funds.

 

In connection with any investment by an Acquiring Fund in an Acquired Fund in excess of the limitations in Section 12(d)(1)(A), the Acquired Fund agrees to: (i) comply with all conditions of the Rule, as interpreted or modified by the SEC or its Staff from time to time, applicable to Acquired Funds; (ii) comply with its obligations under this Agreement; and (iii) promptly notify the Acquiring Fund if such Acquired Fund fails to comply with the Rule with respect to an investment by the Acquiring Fund, as interpreted or modified by the SEC or its Staff from time to time, or this Agreement.

 C: 
 
3.Representations of the Acquiring Funds.

 

(a)       In connection with any investment by an Acquiring Fund in an Acquired Fund in excess of the limitations in Section 12(d)(1)(A), the Acquiring Fund agrees to: (i) comply with all conditions of the Rule, as interpreted or modified by the SEC or its Staff from time to time, applicable to Acquiring Funds; (ii) comply with its obligations under this Agreement; and (iii) promptly notify the Acquired Fund if such Acquiring Fund fails to comply with the Rule with respect to its investment in such Acquired Fund, as interpreted or modified by the SEC or its Staff from time to time, or this Agreement.

 

[for FoF Agreements with unaffiliated Acquiring Funds only:

 

(b)       An Acquiring Fund shall promptly notify an Acquired Fund:

 

(i) of any purchase or acquisition of shares in an Acquired Fund that causes such Acquiring Fund to hold 3% or more of such Acquired Fund’s total outstanding voting securities;

 

(ii) of any purchase or acquisition of shares in an Acquired Fund that causes such Acquiring Fund to hold 5% or more of such Acquired Fund’s total outstanding voting securities;

 

(iii) of any purchase or acquisition of shares in an Acquired Fund that causes such Acquiring Fund to hold 25% or more of such Acquired Fund’s total outstanding voting securities; and

 

(iv) if at any time an Acquiring Fund no longer holds voting securities of an Acquired Fund in excess of an amount noted in (i), (ii) or (iii) above.

 

(c)       Notwithstanding anything herein to the contrary, any Acquiring Fund that has an “affiliated person” (as defined in the 1940 Act) that is: (i) a broker-dealer, (ii) a broker-dealer or bank that borrows as part of a securities lending program, or (iii) a futures commission merchant or swap dealer, will (a) not make an investment in an Acquired Fund that causes such Acquiring Fund to hold 5% or more of such Acquired Fund’s total outstanding voting securities without prior approval from the Acquired Fund, and (b) notify the Acquired Fund if any investment by the Acquiring Fund that complied with (a) at the time of purchase no longer complies.]

 

4.Indemnification.

 

(a)        Each Acquiring Fund agrees to hold harmless and indemnify each Acquired Fund, including any of its principals, directors or trustees, officers, employees and agents, against and from any and all losses, expenses or liabilities incurred by or claims or actions (“Claims”) asserted against the Acquired Fund, including any of their principals, directors or trustees, officers, employees and agents, to the extent such Claims result from a violation or alleged violation by such Acquiring Fund of any provision of this Agreement, such indemnification to include any reasonable counsel fees and

 C: 
 

expenses incurred in connection with investigating and/or defending such Claims; provided that no Acquiring Fund shall be liable for indemnifying any Acquired Fund for any Claims resulting from violations that occur directly as a result of incomplete or inaccurate information provided by the Acquired Fund to such Acquiring Fund pursuant to terms and conditions of this Agreement.

 

(b)       Each Acquired Fund agrees to hold harmless and indemnify an Acquiring Fund, including any of its principals, directors or trustees, officers, employees and agents, against and from any and all losses, expenses or liabilities incurred by or Claims asserted against the Acquiring Fund, including any of its directors or trustees, officers, employees and agents, to the extent such Claims result from a violation or alleged violation by such Acquired Fund of any provision of this Agreement, such indemnification to include any reasonable counsel fees and expenses incurred in connection with investigating and/or defending such Claims; provided that no Acquired Fund shall be liable for indemnifying any Acquiring Fund for any Claims resulting from violations that occur directly as a result of incomplete or inaccurate information provided by the Acquiring Fund to such Acquired Fund pursuant to terms and conditions of this Agreement.

 

(c)       Any liability pursuant to the forgoing provisions shall be several and not joint. In any action involving the parties under this Agreement, the parties agree to look solely to the individual series of the Acquiring Fund(s) or Acquired Fund(s) that is/are involved in the matter in controversy and not to any other Fund or series.

 

5.Notices

 

All notices, including all information that either party is required to provide under the terms of this Agreement and the Rule, shall be in writing and shall be delivered by registered or overnight mail, facsimile, or electronic mail to the address for each party specified below.

 

  If to the Acquiring Fund: If to the Acquired Fund:
     
 

[Name]

c/o [Company]

[Address]

[City, State, Zip]

Fax:

Email:

 

With a copy to:

[Name]

Attn: Legal Dept.

[Address]

[City, State, Zip]

Fax:

Email:

[Name]

c/o [Company]

[Address]

[City, State, Zip]

Fax:

Email:

 

With a copy to:

[Name]

Attn: Legal Dept.

[Address]

[City, State, Zip]

Fax:

Email:

 C: 
 
6.Term and Termination; Assignment; Amendment

 

(a) This Agreement shall be effective for the duration of the Acquired Funds’ and the Acquiring Funds’ reliance on the Rule, as interpreted or modified by the SEC or its Staff from time to time. While the terms of the Agreement shall only be applicable to investments in Funds made in reliance on the Rule, as interpreted or modified by the SEC or its Staff from time to time, the Agreement shall continue in effect until terminated pursuant to Section 6(b).

 

(b) This Agreement shall continue until terminated in writing by either party upon 60 days’ notice to the other party. Upon termination of this Agreement, the Acquiring Fund may not purchase additional shares of the Acquired Fund beyond the Section 12(d)(1)(A) limits in reliance on the Rule.

 

(c) This Agreement may not be assigned by either party without the prior written consent of the other.

 

(d) This Agreement may be amended only by a writing that is signed by each affected party.

 

(e) In any action involving the Acquiring Funds under this Agreement, each Acquired Fund agrees to look solely to the individual Acquiring Fund(s) that [is/are] involved in the matter in controversy and not to any other series of the Acquiring Funds.

 

(f) In any action involving the Acquired Funds under this Agreement, each Acquiring Fund agrees to look solely to the individual Acquired Fund(s) that [is/are] involved in the matter in controversy and not to any other series of the Acquired Funds.

 

[FOR Massachusetts business trusts: (g) In the case of the [applicable Fund(s)], a copy of the Declaration of Trust of [name of applicable trust(s)] is on file with the Secretary of The Commonwealth of Massachusetts, and notice is hereby given that no trustee, officer, employee, agent, employee or shareholder of the Fund[(s)] shall have any personal liability under this Agreement, and that this Agreement is binding only upon the assets and property of the [applicable Fund(s)].

 

IN WITNESS WHEREOF, the parties have executed this Agreement as of the date first written above.

 

 

[Acquired Fund]

 

Name of Authorized Signer

 

Print

 

Signature

Title:    

 

 C: 
 

[Acquiring Fund]

 

Name of Authorized Signer

 

Print

 

Signature

Title:    

 

 C: 
 

SCHEDULE A

 

List of Funds to Which the Agreement Applies

 

 

Acquiring Funds Acquired Funds
   
 C: 

Dates Referenced Herein   and   Documents Incorporated by Reference

This ‘485BPOS’ Filing    Date    Other Filings
Filed as of / Effective on:4/29/22485APOS,  497,  497K
Filed on:4/28/22
1/19/22
 List all Filings 


11 Subsequent Filings that Reference this Filing

  As Of               Filer                 Filing    For·On·As Docs:Size             Issuer                      Filing Agent

 4/30/24  Morgan Stanley Inst’l Fund Inc.   485APOS                1:3.5M                                   Broadridge Fin’l… Inc/FA
 4/29/24  Morgan Stanley Inst’l Fund Inc.   485BPOS     4/30/24   39:64M                                    Broadridge Fin’l… Inc/FA
 3/01/24  Morgan Stanley Inst’l Fund Inc.   485APOS                4:9.3M                                   Broadridge Fin’l… Inc/FA
 2/28/24  Morgan Stanley Inst’l Fund Inc.   485APOS                4:9.3M                                   Broadridge Fin’l… Inc/FA
 4/28/23  Morgan Stanley Inst’l Fund Inc.   485BPOS     4/28/23   29:58M                                    Broadridge Fin’l… Inc/FA
 7/13/22  Morgan Stanley Inst’l Fund Inc.   485BPOS     7/13/22   16:4.4M                                   Broadridge Fin’l… Inc/FA
 7/13/22  Morgan Stanley Inst’l Fund Inc.   485BPOS     7/13/22   23:5.3M                                   Broadridge Fin’l… Inc/FA
 5/04/22  Morgan Stanley Inst’l Fund Inc.   485BPOS     5/04/22   15:9.5M                                   Broadridge Fin’l… Inc/FA
 5/04/22  Morgan Stanley Inst’l Fund Inc.   497J        5/04/22    1:33K                                    Broadridge Fin’l… Inc/FA
 4/29/22  Morgan Stanley Inst’l Fund Inc.   485APOS                1:3M                                     Broadridge Fin’l… Inc/FA
 4/29/22  Morgan Stanley Inst’l Fund Inc.   485APOS                2:2.9M                                   Broadridge Fin’l… Inc/FA


79 Previous Filings that this Filing References

  As Of               Filer                 Filing    For·On·As Docs:Size             Issuer                      Filing Agent

 3/08/22  Morgan Stanley Inst’l Fund Inc.   N-CSR      12/31/21    4:34M                                    Toppan Merrill/FA
 2/28/22  Morgan Stanley Mtge Secs Trust    485BPOS     2/28/22   18:4.9M                                   Broadridge Fin’l… Inc/FA
12/21/21  Morgan Stanley Inst’l Fund Inc.   485BPOS    12/21/21   26:5.1M                                   Broadridge Fin’l… Inc/FA
 9/13/21  Morgan Stanley Inst’l Fund Inc.   485BPOS     9/13/21   23:4.8M                                   Broadridge Fin’l… Inc/FA
 8/31/21  Morgan Stanley Inst’l Fund Inc.   485BPOS     8/31/21   19:5.1M                                   Broadridge Fin’l… Inc/FA
 7/14/21  Morgan Stanley Inst’l Fund Inc.   485BPOS     7/14/21   22:4.6M                                   Broadridge Fin’l… Inc/FA
 6/30/21  Morgan Stanley Inst’l Fund Inc.   485BPOS     6/30/21   18:5.3M                                   Broadridge Fin’l… Inc/FA
 6/11/21  Morgan Stanley Inst’l Fund Inc.   485BPOS     6/11/21   18:3.8M                                   Broadridge Fin’l… Inc/FA
 4/06/21  Morgan Stanley Inst’l Fund Inc.   485BPOS     4/06/21   20:4.2M                                   Broadridge Fin’l… Inc/FA
12/31/20  Morgan Stanley Inst’l Fund Trust  485APOS                2:2.4M                                   Broadridge Fin’l… Inc/FA
 3/06/20  Morgan Stanley Inst’l Fund Inc.   485BPOS     3/06/20   10:3.5M                                   Broadridge Fin’l… Inc/FA
12/13/19  Morgan Stanley Inst’l Fund Inc.   485BPOS    12/16/19   10:3.3M                                   Broadridge Fin’l… Inc/FA
10/22/19  Morgan Stanley Inst’l Fund Inc.   485BPOS    10/22/19    4:4.2M                                   Broadridge Fin’l… Inc/FA
 8/28/19  Morgan Stanley Inst’l Fund Inc.   485BPOS     8/28/19   10:3.2M                                   Broadridge Fin’l… Inc/FA
 4/30/19  Morgan Stanley Inst’l Fund Inc.   485BPOS     4/30/19    9:34M                                    Broadridge Fin’l… Inc/FA
 4/12/19  Morgan Stanley Inst’l Fund Inc.   485BPOS     4/15/19   11:3.2M                                   Broadridge Fin’l… Inc/FA
 1/29/19  Morgan Stanley Inst’l Fund Inc.   485APOS¶               3:2.3M                                   Broadridge Fin’l… Inc/FA
10/04/18  Morgan Stanley Inst’l Fund Inc.   485BPOS    10/05/18   10:3.2M                                   Broadridge Fin’l… Inc/FA
 6/07/18  Morgan Stanley Inst’l Fund Inc.   485BPOS     6/08/18    4:7.6M                                   Broadridge Fin’l… Inc/FA
 5/29/18  Morgan Stanley Inst’l Fund Inc.   485BPOS     5/29/18   12:3.9M                                   Broadridge Fin’l… Inc/FA
 4/27/18  Morgan Stanley Inst’l Fund Inc.   485BPOS     4/30/18   14:27M                                    Broadridge Fin’l… Inc/FA
12/15/17  Morgan Stanley Inst’l Fund Inc.   485BPOS    12/18/17   10:2.2M                                   Broadridge Fin’l… Inc/FA
10/27/17  Active Assets Prime Trust         485BPOS    10/31/17    9:1.2M                                   Broadridge Fin’l… Inc/FA
 9/29/17  Morgan Stanley Inst’l Fund Inc.   485APOS¶               4:1.4M                                   Broadridge Fin’l… Inc/FA
 4/28/17  Morgan Stanley Inst’l Fund Inc.   485BPOS     5/01/17   13:13M                                    Broadridge Fin’l… Inc/FA
12/13/16  Morgan Stanley Inst’l Fund Inc.   485BPOS    12/13/16   12:3.3M                                   Toppan Merrill/FA
 9/29/16  Morgan Stanley Inst’l Fund Inc.   485APOS¶               3:1.6M                                   Toppan Merrill/FA
 8/26/16  Morgan Stanley Inst’l Fund Inc.   485BPOS     8/26/16    6:1.9M                                   Toppan Merrill/FA
 5/11/16  Morgan Stanley Inst’l Fund Inc.   485BPOS     5/11/16    4:2.2M                                   Toppan Merrill/FA
 4/26/16  Morgan Stanley Inst’l Fund Inc.   485BPOS     4/29/16   11:16M                                    Toppan Merrill/FA
12/02/15  Morgan Stanley Inst’l Fund Inc.   485BPOS12/02/15    4:1.3M                                   Toppan Merrill/FA
12/02/15  Morgan Stanley Inst’l Fund Inc.   485BPOS12/02/15   15:3.9M                                   Toppan Merrill/FA
 5/12/15  Morgan Stanley Inst’l Fund Inc.   485BPOS     5/12/15    6:2.2M                                   Toppan Merrill/FA
 4/27/15  Morgan Stanley Inst’l Fund Inc.   485BPOS4/30/15   18:16M                                    Toppan Merrill/FA
 2/13/15  Morgan Stanley Inst’l Fund Inc.   485BPOS     2/13/15    7:1.8M                                   Toppan Merrill/FA
11/26/14  Morgan Stanley Inst’l Fund Inc.   485APOS¶              15:5.7M                                   Toppan Merrill/FA
 9/26/14  Morgan Stanley Ltd Duration U… Tr 485BPOS     9/30/14    4:1.1M                                   Toppan Merrill/FA
 4/29/14  Morgan Stanley Inst’l Fund Inc.   485BPOS     4/30/14    8:16M                                    Toppan Merrill/FA
 8/16/13  Morgan Stanley Inst’l Fund Inc.   485BPOS8/19/13   16:4.7M                                   Toppan Merrill/FA
 7/12/13  Morgan Stanley Inst’l Fund Inc.   485BPOS     7/15/13    6:1.9M                                   Toppan Merrill/FA
 6/13/13  Morgan Stanley Inst’l Fund Inc.   485BPOS     6/13/13    4:3.7M                                   Toppan Merrill/FA
 6/03/13  Morgan Stanley Inst’l Fund Inc.   485APOS¶               3:2.5M                                   Toppan Merrill/FA
 4/25/13  Morgan Stanley Inst’l Fund Inc.   485BPOS     4/30/13    7:16M                                    Toppan Merrill/FA
 6/26/12  Morgan Stanley Inst’l Fund Inc.   485BPOS6/26/12   13:2.6M                                   Toppan Merrill/FA
 5/23/12  Morgan Stanley Inst’l Fund Inc.   485BPOS5/23/12   13:3.6M                                   Toppan Merrill/FA
 4/27/12  Morgan Stanley Inst’l Fund Inc.   485BPOS4/30/12   12:10M                                    Toppan Merrill/FA
12/09/11  Morgan Stanley Inst’l Fund Inc.   485BPOS12/12/11   12:2.5M                                   Toppan Merrill/FA
 8/22/11  Morgan Stanley Inst’l Fund Inc.   485BPOS     8/23/11    8:2.1M                                   Toppan Merrill/FA
 4/27/11  Morgan Stanley Inst’l Fund Inc.   485BPOS     4/29/11    5:8.5M                                   Toppan Merrill/FA
12/22/10  Morgan Stanley Inst’l Fund Inc.   485BPOS12/22/10    5:1.2M                                   Toppan Merrill/FA
12/14/10  Morgan Stanley Inst’l Fund Inc.   485BPOS12/14/10   15:2.7M                                   Toppan Merrill/FA
10/28/10  Morgan Stanley Inst’l Fund Inc.   485BPOS    10/29/10    5:1.9M                                   Toppan Merrill/FA
 8/31/10  Morgan Stanley Inst’l Fund Inc.   485BPOS9/01/10   17:2.8M                                   Toppan Merrill/FA
 2/23/10  Morgan Stanley Inst’l Fund Inc.   485BPOS2/23/10   14:2.8M                                   Toppan Merrill/FA
 4/29/09  Morgan Stanley Inst’l Fund Inc.   485BPOS     5/01/09    8:5.2M                                   Toppan Merrill/FA
10/17/08  Morgan Stanley Inst’l Fund Inc.   485BPOS10/18/08   13:1.6M                                   Toppan Merrill/FA
 6/03/08  Morgan Stanley Inst’l Fund Inc.   485BPOS6/09/08   11:2M                                     Toppan Merrill/FA
 4/28/08  Morgan Stanley Inst’l Fund Inc.   485BPOS     5/01/08    7:4.9M                                   Toppan Merrill/FA
12/21/07  Morgan Stanley Inst’l Fund Inc.   485BPOS12/21/07    8:1.7M                                   Toppan Merrill/FA
 9/26/07  Morgan Stanley Inst’l Fund Inc.   485BPOS9/27/07   10:1.2M                                   Toppan Merrill/FA
 7/18/07  Morgan Stanley Inst’l Fund Inc.   485BPOS7/18/07    6:1M                                     Toppan Merrill/FA
 7/10/07  Morgan Stanley Inst’l Fund Inc.   485APOS¶               6:1M                                     Toppan Merrill/FA
 5/29/07  Morgan Stanley Inst’l Fund Inc.   485BPOS5/29/07    9:2.1M                                   Toppan Merrill/FA
 4/27/07  Morgan Stanley Inst’l Fund Inc.   485BPOS     4/30/07    6:4.4M                                   Toppan Merrill/FA
 8/01/06  Morgan Stanley Inst’l Fund Inc.   485BPOS     8/01/06    5:380K                                   Toppan Merrill-FA
 5/03/06  Morgan Stanley Inst’l Fund Inc.   485APOS                6:391K                                   Toppan Merrill-FA
 4/28/06  Morgan Stanley Inst’l Fund Inc.   485BPOS     4/28/06   11:1M                                     Toppan Merrill-FA
12/20/05  Morgan Stanley Inst’l Fund Inc.   485BPOS    12/21/05   11:432K                                   Toppan Merrill-FA
10/07/05  Morgan Stanley Inst’l Fund Inc.   485APOS                6:403K                                   Toppan Merrill-FA
 4/29/05  Morgan Stanley Inst’l Fund Inc.   485BPOS     4/29/05    9:1M                                     Toppan Merrill-FA
 6/06/03  Morgan Stanley Inst’l Fund Inc.   485APOS                5:405K                                   Toppan Merrill-FA
11/26/01  Morgan Stanley Inst’l Fund Inc.   485BPOS    11/26/01    7:449K                                   Toppan Merrill-FA2/FA
 4/30/01  Morgan Stanley Inst’l Fund Inc.   485BPOS     4/30/01    7:1.2M                                   Toppan Merrill-FA2/FA
 5/01/00  Morgan Stanley Inst’l Fund Inc.   485BPOS     5/01/00    9:1.1M                                   Toppan Merrill-FA2/FA
 1/27/99  Morgan Stanley Inst’l Fund Inc.   485APOS               56:928K                                   Toppan Merrill-FA
 2/27/98  Morgan Stanley Inst’l Fund Inc.   485APOS               57:2.1M                                   Toppan Merrill-FA
 5/24/96  Morgan Stanley Inst’l Fund Inc.   485APOS               30:480K                                   Toppan Merrill-FA2/FA
10/13/95  Morgan Stanley Inst’l Fund Inc.   485BPOS    10/13/95   27:1.3M                                   Toppan Merrill-FA2/FA
 8/01/95  Morgan Stanley Inst’l Fund Inc.   485APOS               31:1.2M                                   Toppan Merrill-FA2/FA
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