10-day Volatility
26.42%
-0.09%-0.34%
03 January 2025
1-month Volatility
23.37%
+0.93%+4.14%
03 January 2025
3-month Volatility
16.64%
+0.18%+1.09%
03 January 2025
1-year Volatility
12.86%
+0.07%+0.55%
03 January 2025
Summary:
Morgan Stanley Emerging Markets Debt Fund stock 10-day historical volatility is 26.42%, with the most recent change of -0.09% (-0.34%) on 03 January 2025.MSD Volatility Chart
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MSD Volatility Performance
PeriodPeriod | 10-day volatility10-day volatility | 1-month volatility1-month volatility | 3-month volatility3-month volatility | 1-year volatility1-year volatility |
---|---|---|---|---|
todaytoday | -0.3% | +4.1% | +1.1% | +0.6% |
1 m1 month | +165.0% | +112.7% | +29.2% | +7.3% |
3 m3 months | +95.8% | +78.0% | +52.1% | -2.7% |
6 m6 months | +81.2% | +78.9% | +46.9% | -5.4% |
ytdytd | +0.1% | +4.1% | +1.6% | +0.8% |
1 y1 year | +87.2% | +46.5% | -6.3% | -16.4% |
5 y5 years | +249.0% | +261.8% | +152.9% | +65.7% |
MSD Volatility High & Low
PeriodPeriod | HighHigh | Current vs highvs high | LowLow | Current vs lowvs low | |
---|---|---|---|---|---|
1 m | 1 month | 26.51% | -0.3% | 9.80% | -62.9% |
3 m | 3 months | 26.51% | -0.3% | 5.52% | -79.1% |
6 m | 6 months | 26.51% | -0.3% | 5.52% | -79.1% |
1 y | 1 year | 26.51% | -0.3% | 3.84% | -85.5% |
3 y | 3 years | 33.43% | -21.0% | 3.84% | -85.5% |
5 y | 5 years | 131.39% | -79.9% | 3.03% | -88.5% |
alltime | all time | 136.76% | -80.7% | 0.00% | -100.0% |
Morgan Stanley Emerging Markets Debt Fund Stock Volatility History
Date | Value |
---|---|
2025 | 26.42%(+0.1%) |
2024 | 26.39%(+73.4%) |
2023 | 15.22%(+8.7%) |
2022 | 14.00%(+24.8%) |
2021 | 11.22%(+35.3%) |
2020 | 8.29%(+27.5%) |
2019 | 6.50%(-68.1%) |
2018 | 20.36%(+133.5%) |
2017 | 8.72%(-10.4%) |
2016 | 9.73%(+38.8%) |
2015 | 7.01%(-14.6%) |
2014 | 8.21%(-52.6%) |
2013 | 17.31%(+29.6%) |
2012 | 13.36%(-4.9%) |
2011 | 14.05%(-44.6%) |
2010 | 25.35%(+93.4%) |
Date | Value |
---|---|
2009 | 13.11%(-63.7%) |
2008 | 36.12%(+236.3%) |
2007 | 10.74%(-19.5%) |
2006 | 13.34%(-46.9%) |
2005 | 25.13%(+67.9%) |
2004 | 14.97%(-4.6%) |
2003 | 15.70%(+50.7%) |
2002 | 10.42%(-63.9%) |
2001 | 28.90%(-36.4%) |
2000 | 45.41%(+76.4%) |
1999 | 25.74%(-44.8%) |
1998 | 46.67%(+119.2%) |
1997 | 21.29%(-20.6%) |
1996 | 26.82%(-22.0%) |
1995 | 34.37%(-34.0%) |
1994 | 52.06%(+114.3%) |
1993 | 24.29% |
FAQ
- What is Morgan Stanley Emerging Markets Debt Fund 10-day historical volatility?
- What is the all time high 10-day volatility for Morgan Stanley Emerging Markets Debt Fund?
- What is MSD 10-day historical volatility year-to-date change?
- What is Morgan Stanley Emerging Markets Debt Fund 10-day volatility year-on-year change?
What is Morgan Stanley Emerging Markets Debt Fund 10-day historical volatility?
The current 10-day volatility of MSD is 26.42%
What is the all time high 10-day volatility for Morgan Stanley Emerging Markets Debt Fund?
Morgan Stanley Emerging Markets Debt Fund all-time high 10-day historical volatility is 136.76%
What is MSD 10-day historical volatility year-to-date change?
Morgan Stanley Emerging Markets Debt Fund 10-day historical volatility has changed by +0.03% (+0.11%) since the beginning of the year
What is Morgan Stanley Emerging Markets Debt Fund 10-day volatility year-on-year change?
Over the past year, MSD 10-day historical volatility has changed by +12.31% (+87.24%)