Morgan Stanley Horizon Funds
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pdf MS Horizon Prospectus
pdf MS Horizon Product Notice: Data Protection Notification
Fund Name KII1 ISIN Currency NAV2
As of 22-Aug-2019
Cedola Obbigazioni Globali 2020 AX pdf LU1409374441 EUR* 0.9818
Multiactivos Global Conservador Fund Z pdf LU1780476120 EUR* 25.3819
Multiactivos Global Prudente Fund Z pdf LU1780476633 EUR* 25.6089
Multiactivos Global Prudente Fund ZX pdf LU1780476807 EUR* 25.4062
Multiactivos Global Equilibrado Fund Z pdf LU1780477102 EUR* 25.1056
Multiactivos Global Equilibrado Fund ZX pdf LU1780477284 EUR* 25.0648
Global Multi-Asset Risk Control Fund of Funds Z pdf LU1409372742 USD* 10,889.2915
Global Multi-Asset Risk Control Fund of Funds ZH pdf LU1409373393 EUR* 10,205.3600
Global Multi-Asset Growth Fund Z pdf LU1409373716 USD* 11,214.7497
Global Multi-Asset Growth Fund ZH pdf LU1409374102 EUR* 10,507.6941
Global Solutions Defensive Fund A pdf LU1965932251 USD* 25.2863
Global Solutions Defensive Fund I pdf LU1965932418 USD* 25.3277
Global Solutions Balanced Fund A pdf LU1965932681 USD* 25.2556
Global Solutions Balanced Fund I pdf LU1965932848 USD* 25.2958

* Base currency
1 Key Investor Information
2 NAV is the Net Asset Value per share of the Fund (NAV), which represents the value of the assets of a fund less its liabilities.

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