MSF - Morgan Stanley Emerging Markets Fund Inc - SEC Form 4 Insider Trading Screener

- - - MSF (878929)
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Sh Price $
Lqdty M$
Date
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Trade Date
  
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N Days Ago
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P - Purchase
S - Sale
A - Grant
D - Sale to Iss
G - Gift
F - Tax
M - Option Ex
X - Option Ex
C - Cnv Deriv
W - Inherited
No deriv Multiple Days
Traded K$
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14 results - Yahoo - Google - Finviz - Stockcharts - Tradingview - Stocktwits - SEC
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X

Filing Date

Trade Date

Ticker

Insider Name

Insider Title

Trade Type 

Share Price

Shares Traded

Shares Owned

Own chg

Value Traded

1d ret

1w ret

1m ret

6m ret

2018-01-16
MSFCity of London Investment Group Plc10%P - Purchase$18.88+10,4003,805,9110%+$196,352
2018-01-05
MSFCity of London Investment Group Plc10%P - Purchase$18.55+6,7003,795,5110%+$124,285
2018-01-04
MSFCity of London Investment Group Plc10%P - Purchase$18.46+13,6203,788,8110%+$251,425
2018-01-03
MSFCity of London Investment Group Plc10%P - Purchase$18.27+53,5012,907,091+2%+$977,463
2017-12-29
MSFCity of London Investment Group Plc10%P - Purchase$17.86+17,0313,721,6900%+$304,174
2017-12-28
MSFCity of London Investment Group Plc10%P - Purchase$17.76+30,0003,384,800+1%+$532,800
2017-12-27
MSFCity of London Investment Group Plc10%P - Purchase$17.57+9,7353,674,6590%+$171,044
2017-12-01
MSFCity of London Investment Group Plc10%P - Purchase$17.32+5,1853,664,9240%+$89,804
2017-11-29
MSFCity of London Investment Group Plc10%P - Purchase$17.47+20,0443,363,213+1%+$350,169
2017-11-28
MSFCity of London Investment Group Plc10%P - Purchase$17.56+10,0003,639,6950%+$175,600
2017-11-07
MSFCity of London Investment Group Plc10%P - Purchase$17.52+33,2683,629,695+1%+$582,855
2017-11-01
MSFCity of London Investment Group Plc10%P - Purchase$17.51+30,0003,596,427+1%+$525,300
2017-10-04
MSFCity of London Investment Group Plc10%P - Purchase$17.63+35,1693,566,427+1%+$620,029
2017-08-11
MSFCity of London Investment Group Plc10%S - Sale$16.41-15,0003,531,2580%-$246,150

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AAmended filing
DDerivative transaction in filing (usually option exercise)
EError detected in filing
MMultiple transactions in filing; earliest reported transaction date and weighted average transaction price
S - SaleSale of securities on an exchange or to another person
S - Sale+OESale of securities on an exchange or to another person (after option exercise)
F - TaxPayment of exercise price or tax liability using portion of securities received from the company
P - PurchasePurchase of securities on an exchange or from another person
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