Morgan Stanley Asia Pacific Fund Inc logo

Morgan Stanley Asia Pacific Fund Inc - CE with IsEquityFund

TSE:8682 (USA)   CE with IsEquityFundamentalDataAvailable = 1 in Gid
(Delisted) 円 1834.00 (0%) Apr 9
At Loss
Market Cap:
円 24.13B ($ 151.00M)
Enterprise V:
円 24.13B ($ 151.00M)
Volume:
-
Avg Vol (2M):
-
PE Ratio PS Ratio PB Ratio Price-to-FCF Market Cap
Current and historical daily PE Ratio for Morgan Stanley Asia Pacific Fund Inc ( TSE:8682 ) from 2013 to Jun 23 2024. The price to earnings ratio is calculated by taking the current stock price and dividing it by the most recent trailing twelve-month earnings per share (EPS) number. The data is updated every 20 minutes during market hours. The PE ratio can be viewed as the number of years it takes for the company to earn back the price you pay for the stock. Therefore, lower-P/E stocks are more attractive than higher P/E stocks so long as the PE ratio is positive. Also for stocks with the same PE ratio, the one with faster growth business is more attractive. Morgan Stanley Asia Pacific Fund stock (TSE:8682) PE ratio as of Jun 23 2024 is 0. More Details

Morgan Stanley Asia Pacific Fund Inc (TSE:8682) PE Ratio (TTM) Chart

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Morgan Stanley Asia Pacific Fund Inc (TSE:8682) PE Ratio (TTM) Historical Data

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Morgan Stanley Asia Pacific Fund PE Ratio (TTM) Historical Data
Date PE Ratio (TTM) Data Date PE Ratio (TTM) Data

Morgan Stanley Asia Pacific Fund Inc (TSE:8682) PE Ratio (TTM) Comparison

Company Market Cap(Mil) PE Ratio (TTM)

Business Description

Business Description

Morgan Stanley Asia Pacific Fund Inc logo
Morgan Stanley Asia Pacific Fund Inc
NAICS : 525920 SIC : 6733
ISIN : US61744U1060

Share Class Description:

TSE:8682: CE with IsEquityFundamentalDataAvailable = 1 in Gid
Description
Morgan Stanley Asia Pacific Fund Inc is US-based closed-end management investment company. The fund's investment objective is to seek long-term capital appreciation through investments in equity securities of Asian-Pacific issuers and in debt securities issued or guaranteed by Asian Pacific governments or governmental entities. Its investment portfolio includes common stocks, warrants, and short-term investments. The company may also use derivative instruments to enhance its returns. Its majority of the revenue is generated from interest income, dividend and other income from investment made.