NYSE · IIF

Morgan Stanley India Investment Fund, Inc. (IIF)

$21.69−1.50%
Close Sep 28, 2026 · split-adjusted
Sep 28, 2026$21.69▼ 18.06% in range
Sep 29, 2025Low $19.96 · High $27.81Sep 28, 2026
What changed · written from our data
As of Sep 28, 2026

Morgan Stanley India Investment Fund closed at $21.69 on Sep 28, down 1.50%, 22.0% below its 52-week closing high. Volume of 48.9K shares was 1.94× its 20-day average (above normal).

Split-adjusted performance: -6.1% over one month, +7.7% over six months, -18.9% over one year.

Short interest was 12.3K shares at the Sep 15 settlement, up 163.0% from the prior report (0.1% of float, 1.0 days to cover).

Market cap$203.6M9.4M shares
Revenue · quarter——
Diluted EPS——
P/E · TTM—
Net margin—
Dividend yield9.15%$1.9852 last paid
52-week range19.96 – 27.81−22.0% from high
Volume48.9K1.94× 20-day avg
Volatility · 60d12.4%Annualised
Short % of float0.1%1.0 days to cover
Net cash—
Next earnings—Not scheduled
Split-adjusted performance
1W −2.6%1M −6.1%3M −4.4%6M +7.7%YTD −13.2%1Y −18.9%3Y −3.3%5Y −21.4%

Earnings reactions

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No reported quarters with price history yet.

Rank within industry

Not enough peers to rank

6-month momentum—
Revenue growth—
Net margin—
Value (low P/E)—
Size—

Short interest

Details →
Shares short12.3K+163.0% vs prior
Days to cover1.0Settled Sep 15
% of float0.1%
Short vol. 10d40.9%of daily volume

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Quick answers

What does Morgan Stanley India Investment Fund do?
Morgan Stanley India Investment Fund, Inc. is the United States based non-diversified, closed-end management investment company.
What is IIF's market cap?
$203.60M, based on the Sep 28 close of $21.69.
Does Morgan Stanley India Investment Fund pay a dividend?
Yes. The latest regular dividend was $1.985 per share (ex-date Dec 19), an annualised yield of 9.15%.
How much of IIF is sold short?
12.3K shares, 0.1% of float, as of Sep 15, 2026.

About Morgan Stanley India Investment Fund

Morgan Stanley India Investment Fund, Inc. is the United States based non-diversified, closed-end management investment company. Its investment objective is to achieve long-term capital appreciation through investment in equity securities of Indian Issuers. The company's portfolio of investments consists of the investment in different sectors such as auto components, banks, capital markets, construction and engineering, pharmaceuticals and others.

Listed Feb 18, 1994morganstanley.com

Sources: Massive / Polygon daily aggregates (split-adjusted) · SEC filings via Massive · FINRA settlements via Massive · Financial Modeling Prep. Figures are dated where shown; research is informational, not investment advice. Methodology