Ratings & Risk for Morgan Stanley Flexible Income A (DINAX)

Morningstar Category: Multisector Bond
Number of funds in Category: —
  • Morningstar Ratings

    Return Risk Rating # of Funds
    3-Year Low Above Average
    48
    5-Year Low Average
    35
    10-Year Low Average
    29
    Overall Low Average
    Morningstar's Overall Rating is derived from a weighted average of the fund's 3, 5 and 10 year rating,
    which are based on risk-adjusted performance. Data as of 10/31/2009
  • Volatility Data

    Standard Deviation Mean Sharpe Ratio
    3-Year 10.71 0.21 0.02
    5-Year 8.44 0.31 0.08
    10-Year 6.91 0.27 0.05
    15-Year 5.87 0.33 0.06
    20-Year
    Trailing data as of 10/31/2009
  • Modern Portfolio Theory Statistics

    R-Squared Beta Alpha
    1-Year 3.99 0.41 21.18
    3-Year 32.88 1.50 -5.61
    5-Year 28.98 1.23 -1.77
    10-Year 26.92 0.96 -2.80

    Barclays US Aggregate Bond TR USD

    Trailing data as of 10/31/2009