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MSD Morgan Stanley Emerg Mkts Debt Fd Inc

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  • 7.790
  • +0.020+0.26%
Close Nov 29 13:00 ET
157.28MMarket Cap8.75P/E (TTM)

Morgan Stanley Emerg Mkts Debt Fd Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q2)Jun 30, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q2)Jun 30, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
(Q2)Jun 30, 2021
Assets
Cash cash equivalents and federal funds sold
2,187.91%2.08M
--0
--0
-61.92%91K
1,140.00%310K
1,140.00%310K
-4.78%239K
4.17%25K
4.17%25K
765.52%251K
-Cash and cash equivalents
2,187.91%2.08M
--0
--0
-61.92%91K
1,140.00%310K
1,140.00%310K
-4.78%239K
4.17%25K
4.17%25K
765.52%251K
Receivables
-30.52%5.38M
5.88%5.21M
5.88%5.21M
104.60%7.74M
55.66%4.92M
55.66%4.92M
29.49%3.78M
4.46%3.16M
4.46%3.16M
-3.31%2.92M
-Available for sale securities
-57.95%1.8M
-52.42%7.42M
-52.42%7.42M
54.44%4.28M
131.07%15.59M
131.07%15.59M
-83.39%2.77M
-27.71%6.75M
-27.71%6.75M
68.62%16.68M
Derivative assets
285.94%494K
-52.50%38K
-52.50%38K
106.45%128K
--80K
--80K
-54.07%62K
----
----
3,275.00%135K
Other assets
-63.41%30K
8.70%25K
8.70%25K
110.26%82K
-11.54%23K
-11.54%23K
-15.22%39K
13.04%26K
13.04%26K
4.55%46K
Total assets
0.31%160.6M
0.67%159.78M
0.67%159.78M
0.92%160.1M
-23.94%158.71M
-23.94%158.71M
-28.29%158.65M
-5.92%208.65M
-5.92%208.65M
6.91%221.25M
Liabilities
Payables
16.46%6.75M
59.47%4.21M
59.47%4.21M
88.52%5.8M
-6.22%2.64M
-6.22%2.64M
2.36%3.08M
18.53%2.82M
18.53%2.82M
12.97%3M
-Accounts payable
16.70%6.53M
65.09%4.04M
65.09%4.04M
94.10%5.59M
-4.00%2.45M
-4.00%2.45M
4.27%2.88M
19.01%2.55M
19.01%2.55M
13.33%2.76M
-Other payable
9.76%225K
-11.34%172K
-11.34%172K
5.67%205K
-27.34%194K
-27.34%194K
-19.50%194K
14.10%267K
14.10%267K
9.05%241K
Long term debt and capital lease obligation
----
--52K
--52K
--803K
----
----
----
----
----
----
Derivative product liabilities
-78.70%118K
-6.22%452K
-6.22%452K
27,600.00%554K
1,135.90%482K
1,135.90%482K
0.00%2K
160.00%39K
160.00%39K
--2K
Other liabilities
-62.07%11K
-22.22%35K
-22.22%35K
-40.82%29K
-11.76%45K
-11.76%45K
11.36%49K
13.33%51K
13.33%51K
18.92%44K
Total liabilities
-6.28%7.24M
15.26%5.18M
15.26%5.18M
48.74%7.73M
-36.33%4.49M
-36.33%4.49M
-56.18%5.2M
10.44%7.06M
10.44%7.06M
117.46%11.86M
Shareholders'equity
Share capital
0.00%202K
-0.98%202K
-0.98%202K
-0.98%202K
0.00%204K
0.00%204K
0.00%204K
0.00%204K
0.00%204K
0.00%204K
-common stock
0.00%202K
-0.98%202K
-0.98%202K
-0.98%202K
0.00%204K
0.00%204K
0.00%204K
0.00%204K
0.00%204K
0.00%204K
Paid-in capital
-0.08%231.88M
-0.72%231.55M
-0.72%231.55M
-0.50%232.07M
0.00%233.23M
0.00%233.23M
0.00%233.23M
0.00%233.23M
0.00%233.23M
-0.55%233.23M
Retained earnings
1.46%-78.73M
2.60%-77.16M
2.60%-77.16M
0.10%-79.9M
-148.78%-79.22M
-148.78%-79.22M
-232.66%-79.98M
-76.47%-31.84M
-76.47%-31.84M
27.65%-24.04M
Total stockholders'equity
0.64%153.35M
0.25%154.6M
0.25%154.6M
-0.70%152.37M
-23.50%154.21M
-23.50%154.21M
-26.71%153.45M
-6.41%201.59M
-6.41%201.59M
3.91%209.39M
Total equity
0.64%153.35M
0.25%154.6M
0.25%154.6M
-0.70%152.37M
-23.50%154.21M
-23.50%154.21M
-26.71%153.45M
-6.41%201.59M
-6.41%201.59M
3.91%209.39M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
Unqualified Opinion
--
--
Unqualified Opinion
--
--
Unqualified Opinion
--
--
(Q2)Jun 30, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q2)Jun 30, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q2)Jun 30, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021(Q2)Jun 30, 2021
Assets
Cash cash equivalents and federal funds sold 2,187.91%2.08M--0--0-61.92%91K1,140.00%310K1,140.00%310K-4.78%239K4.17%25K4.17%25K765.52%251K
-Cash and cash equivalents 2,187.91%2.08M--0--0-61.92%91K1,140.00%310K1,140.00%310K-4.78%239K4.17%25K4.17%25K765.52%251K
Receivables -30.52%5.38M5.88%5.21M5.88%5.21M104.60%7.74M55.66%4.92M55.66%4.92M29.49%3.78M4.46%3.16M4.46%3.16M-3.31%2.92M
-Available for sale securities -57.95%1.8M-52.42%7.42M-52.42%7.42M54.44%4.28M131.07%15.59M131.07%15.59M-83.39%2.77M-27.71%6.75M-27.71%6.75M68.62%16.68M
Derivative assets 285.94%494K-52.50%38K-52.50%38K106.45%128K--80K--80K-54.07%62K--------3,275.00%135K
Other assets -63.41%30K8.70%25K8.70%25K110.26%82K-11.54%23K-11.54%23K-15.22%39K13.04%26K13.04%26K4.55%46K
Total assets 0.31%160.6M0.67%159.78M0.67%159.78M0.92%160.1M-23.94%158.71M-23.94%158.71M-28.29%158.65M-5.92%208.65M-5.92%208.65M6.91%221.25M
Liabilities
Payables 16.46%6.75M59.47%4.21M59.47%4.21M88.52%5.8M-6.22%2.64M-6.22%2.64M2.36%3.08M18.53%2.82M18.53%2.82M12.97%3M
-Accounts payable 16.70%6.53M65.09%4.04M65.09%4.04M94.10%5.59M-4.00%2.45M-4.00%2.45M4.27%2.88M19.01%2.55M19.01%2.55M13.33%2.76M
-Other payable 9.76%225K-11.34%172K-11.34%172K5.67%205K-27.34%194K-27.34%194K-19.50%194K14.10%267K14.10%267K9.05%241K
Long term debt and capital lease obligation ------52K--52K--803K------------------------
Derivative product liabilities -78.70%118K-6.22%452K-6.22%452K27,600.00%554K1,135.90%482K1,135.90%482K0.00%2K160.00%39K160.00%39K--2K
Other liabilities -62.07%11K-22.22%35K-22.22%35K-40.82%29K-11.76%45K-11.76%45K11.36%49K13.33%51K13.33%51K18.92%44K
Total liabilities -6.28%7.24M15.26%5.18M15.26%5.18M48.74%7.73M-36.33%4.49M-36.33%4.49M-56.18%5.2M10.44%7.06M10.44%7.06M117.46%11.86M
Shareholders'equity
Share capital 0.00%202K-0.98%202K-0.98%202K-0.98%202K0.00%204K0.00%204K0.00%204K0.00%204K0.00%204K0.00%204K
-common stock 0.00%202K-0.98%202K-0.98%202K-0.98%202K0.00%204K0.00%204K0.00%204K0.00%204K0.00%204K0.00%204K
Paid-in capital -0.08%231.88M-0.72%231.55M-0.72%231.55M-0.50%232.07M0.00%233.23M0.00%233.23M0.00%233.23M0.00%233.23M0.00%233.23M-0.55%233.23M
Retained earnings 1.46%-78.73M2.60%-77.16M2.60%-77.16M0.10%-79.9M-148.78%-79.22M-148.78%-79.22M-232.66%-79.98M-76.47%-31.84M-76.47%-31.84M27.65%-24.04M
Total stockholders'equity 0.64%153.35M0.25%154.6M0.25%154.6M-0.70%152.37M-23.50%154.21M-23.50%154.21M-26.71%153.45M-6.41%201.59M-6.41%201.59M3.91%209.39M
Total equity 0.64%153.35M0.25%154.6M0.25%154.6M-0.70%152.37M-23.50%154.21M-23.50%154.21M-26.71%153.45M-6.41%201.59M-6.41%201.59M3.91%209.39M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions --Unqualified Opinion----Unqualified Opinion----Unqualified Opinion----

Analysis

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Price Target

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