# Morgan Stanley Insti Fd Advantage Portfolio Cl I (MPAIX)

> Financial Services · US · Reports in USD

Fundamental indicators from Sponda, adjusted for inflation.

[HTML version](https://sponda.capital/en/MPAIX/fundamentals)

## Annual figures

| Year | Revenue (M) | Net Inc. (M) | FCF (M) | Debt (M) | Equity (M) |
| --- | --- | --- | --- | --- | --- |
| 2025 | $ 35.02B | $ 8.04B | $ -13.95B | $ 315.70B | $ 108.18B |
| 2024 | $ 64.64B | $ 14.07B | $ -2.21B | $ 264.41B | $ 104.51B |
| 2023 | $ 57.97B | $ 9.22B | $ -39.95B | $ 241.77B | $ 99.04B |
| 2022 | $ 59.64B | $ 11.77B | $ -10.58B | $ 216.43B | $ 100.14B |
| 2021 | $ 71.02B | $ 17.31B | $ 37.64B | $ 216.32B | $ 105.44B |
| 2020 | $ 61.14B | $ 13.38B | $ -33.98B | $ 192.60B | $ 101.78B |
| 2019 | $ 53.46B | $ 10.99B | $ 50.27B | $ 175.38B | $ 81.55B |
| 2018 | $ 52.97B | $ 10.86B | $ 7.18B | $ 164.91B | $ 80.25B |
| 2017 | $ 51.12B | $ 7.55B | $ -8.26B | $ 171.42B | $ 77.39B |
| 2016 | $ 47.65B | $ 7.58B | $ 5.65B | $ 144.85B | $ 76.05B |
| 2015 | $ 49.46B | $ 7.98B | $ 3.23B | $ 159.40B | $ 75.18B |
| 2014 | $ 48.01B | $ 4.47B | $ 132.82M | $ 160.09B | $ 70.90B |
| 2013 | $ 46.12B | $ 3.84B | $ 48.69B | $ 163.56B | $ 65.92B |
| 2012 | $ 9.92B | $ 916.78M | $ 2.23B | $ 0 | $ 62.11B |

Columns not available in this view: annualPriceMultiples, dividends. They require live market data and are shown on the HTML page instead.

## Leverage and liquidity

| Indicator | Value |
| --- | --- |
| Gross Debt / Eq | 2.92 |
| Liabilities / Eq | 11.50 |

## Debt coverage

| Indicator | Value |
| --- | --- |
| Gross Debt / Earnings | 27.90 |
| Gross Debt / FCF | 406.00 |

## Other views

- [Metrics](https://sponda.capital/en/MPAIX.md)
- [Charts](https://sponda.capital/en/MPAIX/charts.md)
- [Compare](https://sponda.capital/en/MPAIX/compare.md)
- [Indicator definitions](https://sponda.capital/en/screener.md)

Data as of 2026-08-27.
