Morgan Stanley Institutional Liquidity Government Portfolio Institutional Class Returns Calculator
Calculate historical returns and project future compounding for Morgan Stanley Inst Government. Test different monthly amounts, tenures, and step-up scenarios using real historical NAV performance.
Category
Money Market (US)
AUM
$1.00 Million
Expense Ratio
0.15%
Fund Manager
Morgan Stanley Investment Management
Morgan Stanley Inst Government Historical SIP Performance & Returns Table
Historical value of standard monthly SIP investments based on actual fund CAGRs.
| Monthly SIP | 3 Years @ 4.9% CAGR | 5 Years @ 3.3% CAGR | 10 Years @ 2.1% CAGR |
|---|---|---|---|
| $100/mo | $3,887 Invested: $3,600 | $6,528 Invested: $6,000 | $13,363 Invested: $12,000 |
| $250/mo | $9,716 Invested: $9,000 | $16,320 Invested: $15,000 | $33,409 Invested: $30,000 |
| $500/mo | $19,433 Invested: $18,000 | $32,641 Invested: $30,000 | $66,817 Invested: $60,000 |
| $1,000/mo | $38,866 Invested: $36,000 | $65,282 Invested: $60,000 | $133,634 Invested: $120,000 |
| $2,500/mo | $97,165 Invested: $90,000 | $163,205 Invested: $150,000 | $334,086 Invested: $300,000 |
* Projections calculated using actual historical 3-year (4.92%), 5-year (3.28%), and 10-year (2.1%) performance data. Actual mutual fund returns fluctuate with market NAV.
About Morgan Stanley Institutional Liquidity Government Portfolio Institutional Class
Morgan Stanley Institutional Liquidity Government Portfolio is a top-tier institutional cash fund managing over $217 Billion. It invests in short-term U.S. government obligations and repo agreements to provide high liquidity and capital preservation at a 0.15% fee.
Investment Strategy
Institutional Government Liquidity Strategy â Seeks high current income consistent with stability and daily liquidity by investing in short-term U.S. government securities and collateralized repurchase agreements.
Key Facts
- Maintains a stable $1.00 net asset value (NAV) per share
- Competitive 0.15% institutional net expense ratio
- Over $217 Billion in institutional portfolio assets
- High liquidity with same-day and next-day settlement integration
Historical Returns
3-Year CAGR
4.92% (Compound Yield)
5-Year CAGR
3.28% (Compound Yield)
10-Year CAGR
2.10% (Compound Yield)
Benchmark
Crane Institutional Government Money Fund Index
Money market funds are not FDIC insured.
Top Holdings & Sector Allocation
As of September 2026, Morgan Stanley Inst Government's portfolio includes:
Top 5 Holdings
- U.S. Treasury Bills & Notes (~50-60%)
- U.S. Government Agency Repurchase Agreements (~40-50%)
- Cash Equivalents (<1%)
Sector Allocation
U.S. Treasury Debt 56.8%, Government Agency Repos 42.9%, Cash Equivalents 0.3%
Risk & Drawdowns
Near-zero NAV volatility seeking constant $1.00 share price.
Maintained continuous $1.00 NAV across all financial market cycles.
Tax Treatment
Distributions are taxable federally. Treasury portion is exempt from state and local income taxes.
Who Should NOT Invest in Morgan Stanley Inst Government?
Retail savers seeking sub-$1,000 access or long-term growth investors.
About the Fund Manager
Managed by Morgan Stanley Investment Management Global Liquidity team.
Who Is This Fund Suitable For?
Ideal for Morgan Stanley wealth management clients, institutional corporate accounts, and liquidity managers seeking sovereign safety and wholesale yields.
More Funds from Morgan & Similar Schemes
Similar Funds to Consider
- Goldman Sachs FS Government Fund (FGTXX)
- Fidelity Institutional Government Portfolio (FRGXX)
- State Street US Government Money Market Fund (GVMXX)
Or compare side by side using our main SIP calculator â you can test different funds with the same investment amount and dates to see which performed better.
Other Tools for Morgan Stanley Inst Government Investors
- FIRE Calculator â Plan your retirement corpus with Morgan Stanley Inst Government as part of your portfolio
- Cost of Delay Calculator â See how much delaying your SIP in Morgan Stanley Inst Government could cost you
- SIP vs EMI Calculator â Compare investing in Morgan Stanley Inst Government vs paying off loans
Frequently Asked Questions About Morgan Stanley Inst Government
What is the historical SIP return of Morgan Stanley Inst Government?
Based on the latest data, Morgan Stanley Inst Government has delivered an annualized return (CAGR) of 4.92% (Compound Yield) over 3 years, 3.28% (Compound Yield) over 5 years, and 2.10% (Compound Yield) over 10 years. Maintained continuous $1.00 NAV across all financial market cycles.
How is Morgan Stanley Inst Government SIP return calculated?
SIP returns are calculated using the XIRR (Extended Internal Rate of Return) method. Each monthly installment buys units at the fund's Net Asset Value (NAV) on that specific day. When markets are down, your SIP buys more units, and when markets are up, it buys fewer units (rupee cost averaging). Our calculator replays this exact process using historical NAV data to compute the precise current value of your accumulated units.
How much return would $500 monthly SIP in Morgan Stanley Inst Government generate over 5 years?
At an estimated annual return rate of 3.28%, a monthly $500 investment ($30,000 total invested) would grow to approximately $32,641 in 5 years, yielding an estimated wealth gain of $2,641. Use our interactive calculator above to test custom amounts with actual historical NAV data.
What are the top holdings in Morgan Stanley Inst Government?
Morgan Stanley Inst Government's top holdings include U.S. Treasury Bills & Notes (~50-60%), U.S. Government Agency Repurchase Agreements (~40-50%), Cash Equivalents (<1%), and others. The fund's sector allocation is U.S. Treasury Debt 56.8%, Government Agency Repos 42.9%, Cash Equivalents 0.3%.
What is the risk profile of Morgan Stanley Inst Government?
Near-zero NAV volatility seeking constant $1.00 share price. This fund may not be suitable for retail savers seeking sub-$1,000 access or long-term growth investors..
What are the tax implications of investing in Morgan Stanley Inst Government?
Distributions are taxable federally. Treasury portion is exempt from state and local income taxes.
Data last updated: September 2026 | Fund data sourced from SEC filings and public exchanges
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