FFPNX
Price
$71.62
Change
-$2.63 (-3.54%)
Updated
Feb 3 closing price
Net Assets
162.72B
MSPTX
Price
$14.53
Change
-$3.90 (-21.16%)
Updated
Feb 3 closing price
Net Assets
55.18M
Interact to see
Advertisement

FFPNX vs MSPTX

Header iconFFPNX vs MSPTX Comparison
Open Charts FFPNX vs MSPTXBanner chart's image
American Funds New Perspective 529-F-2
Price$71.62
Change-$2.63 (-3.54%)
VolumeN/A
Net Assets162.72B
Morgan Stanley Inst Global Insgt C
Price$14.53
Change-$3.90 (-21.16%)
VolumeN/A
Net Assets55.18M
FFPNX vs MSPTX Comparison Chart in %
View a ticker or compare two or three
Interact to see
Advertisement
FUNDAMENTALS
Fundamentals
FFPNX has more cash in the bank: 163B vs. MSPTX (55.2M). FFPNX pays higher dividends than MSPTX: FFPNX (1.20) vs MSPTX (0.00). FFPNX was incepted earlier than MSPTX: FFPNX (5 years) vs MSPTX (11 years). MSPTX (2.47) is less costly to investors than FFPNX (0.50). MSPTX is a more actively managed with annual turnover of: 54.00 vs. FFPNX (23.00). FFPNX has a lower initial minimum investment than MSPTX: FFPNX (250) vs MSPTX (1000). FFPNX annual gain was more profitable for investors over the last year : 13.24 vs. MSPTX (-3.77). FFPNX return over 5 years is better than : 19.07 vs. MSPTX (-54.68).
FFPNXMSPTXFFPNX / MSPTX
Total Expense Ratio0.502.1024%
Annual Report Gross Expense Ratio0.502.4720%
Fund Existence5 years11 years-
Gain YTD1.632-9.695-17%
Front LoadN/AN/A-
Min. Initial Investment250100025%
Min. Initial Investment IRAN/AN/A-
Net Assets163B55.2M295,290%
Annual Yield % from dividends1.200.00-
Returns for 1 year13.24-3.77-351%
Returns for 3 years42.5285.0350%
Returns for 5 years19.07-54.68-35%
Returns for 10 yearsN/A37.90-
View a ticker or compare two or three
Interact to see
Advertisement
Interesting Tickers
1D
1W
1M
1Q
6M
1Y
5Y
1 Day
STOCK / NAMEPrice $Chg $Chg %
FMFP14.52N/A
N/A
First Community Financial Corp.
HLPMF10.00N/A
N/A
HELLENiQ ENERGY Holdings SA
PTXLF3.50N/A
N/A
PTT Exploration & Production Public Co., Ltd.
PUSOF0.01N/A
N/A
AAPKI VENTURES INC.
CPXGF7.02-0.05
-0.72%
Cineplex, Inc.