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Morgan Stanley India Investment Fund, Inc. Morgan Stanley India Investment Fund, Inc.

Morgan Stanley India Investment Fund, Inc.

IIF
Rank in Stocks #11363
Morgan Stanley India Investment Fund, Inc. is a closed ended equity mutual fund... Morgan Stanley India Investment Fund, Inc. is a closed ended equity mutual fund launched and managed by Morgan Stanley Investment Management Inc. The fund is co-managed by Morgan Stanley Investment Management Company. It invests in the public equity markets of India. The fund invests in stocks of companies operating across diversified sectors. It benchmarks the performance of its portfolio against the U.S. dollar adjusted BSE National Index. Morgan Stanley India Investment Fund, Inc. was formed on December 22, 1993 and is domiciled in the United States.
Share Price
$19.91
Market Cap
$189.84M
Change (1 day)
-1.09%
Change (1 year)
-16.13%
Country
US
Trade Morgan Stanley India Investment Fund, Inc. (IIF)
Revenue for Morgan Stanley India Investment Fund, Inc. (IIF)
Revenue in Dec 2025 TTM: $4.72M
According to Morgan Stanley India Investment Fund, Inc. latest financial reports the company's current revenue (TTM) is $4.72M. In 2023 the company made a revenue of $2.14M a decrease compared to the revenue in the year 2022 that was $34.78M. The revenue is the total amount of income that a company generates by the sale of goods or services. Unlike with the earnings no expenses are subtracted.
Revenue history for Morgan Stanley India Investment Fund, Inc. from 2012 to 2026
Revenue at the end of each year
Year Revenue Change
2026 (TTM) $4.72M 138.91%
2024 $1.97M -7.76%
2023 $2.14M -93.85%
2022 $34.78M -57.80%
2021 $82.42M 508.41%
2020 $13.55M -827.89%
2019 $-1.86M -98.30%
2018 $-109.67M -158.54%
2017 $187.33M 3,702.82%
2016 $4.93M 25.86%
2015 $3.91M -9.98%
2014 $4.35M 18.09%
2013 $3.68M -26.70%
2012 $5.02M 0.00%
Revenue for similar companies or competitors
Company Revenue Revenue Difference Country
$24.22B 513,386.01%
US
$13.83B 293,133.59%
US
$23.98B 508,481.90%
SE
$76.13B 1,614,149.36%
CA
$40.44B 857,427.57%
US