MS 5.466% 350118


Fund Information

Ask Price

102.14

Ask Yield

5.175%

Bid Price

100.26

Bid Yield

5.428%

Maturity Date

18 Jan 2035

Call Date

18 January 2034

Issuer

MORGAN STANLEY

Minimum Investment Amount

USD 200,000

Annual Coupon Rate

5.466

Coupon Frequency

Semi-Annual

Currency

USD

Coupon Type

VARIABLE

Issue Size

0

Minimum Investment Amount

NA