EX-99.4 5 dex994.htm CHART SHOWING GROSS ASSETS AND THE AMOUNT OF THE SINGLE INSURED BOND Chart Showing Gross Assets and the Amount of the Single Insured Bond

Exhibit 4

REVIEW OF FIDELITY BOND COVERAGE

 

MORGAN STANLEY RETAIL FUNDS

   GROSS
ASSETS
(In millions)
   MINIMUM
COVERAGE
REQUIRED
     
     

ACTIVE ASSETS CALIF TAX-FREE

   2,429.00    1,700,000

ACTIVE ASSETS GOVERNMENT TRUST

   245.00    600,000

ACTIVE ASSETS INSTITUTIONAL MONEY TRUST

   1,379.00    1,250,000

ACTIVE ASSETS INSTL GOVT SEC

   2,356.00    1,700,000

ACTIVE ASSETS MONEY TRUST

   2,768.00    1,900,000

ACTIVE ASSETS TAX FREE TRUST

   9,324.00    2,500,000

BALANCED FUND

   159.00    600,000

CAL QUALITY MUNI

   163.00    600,000

CALIF INSURED MUNI INCOME.

   202.00    600,000

CALIF TAX FREE DAILY INC

   157.00    600,000

CALIFORNIA TAX-FREE INCOME

   346.00    750,000

CAPITAL OPPORTUNITIES TRUST

   207.00    600,000

CONVERTIBLE SEC. TRUST

   84.00    450,000

DIVIDEND GROWTH

   1,095.00    1,250,000

EQUALLY WEIGHTED S&P

   672.00    900,000

EUROPEAN EQUITY FD

   211.00    600,000

FLEXIBLE INCOME FUND

   105.00    525,000

FOCUS GROWTH FUND

   1,035.00    1,250,000

FUNDAMENTAL VALUE FUND

   38.00    350,000

FX SERIES

   161.00    600,000

MS FX ALPHA PLUS STRATEGY

     

MS FX ALPHA STRATEGY

     

GLOBAL ADVANTAGE FUND

   100.00    525,000

GLOBAL DIVIDEND GROWTH SEC

   382.00    750,000

HEALTH SCIENCES TR

   147.00    525,000

HIGH YIELD SECURITIES

   109.00    525,000

INCOME SEC INC

   131.00    525,000

INCOME TRUST

   27.00    300,000

INSRD MUNI INC TR

   390.00    750,000

INSURED CAL MUNI

   48.00    350,000

INSURED MUNI BOND

   74.00    400,000

INSURED MUNI SEC

   89.00    450,000

INSURED MUNI TR

   324.00    750,000

INTERNATIONAL FUND

   116.00    525,000

INTERNATIONAL VALUE EQUITY

   256.00    750,000

LIMITED DURATION FUND

   43.00    350,000

LIMITED DURATION US GOVT TRUST

   82.00    450,000

LIMITED TERM MUNICIPAL TR

   20.00    250,000

LIQUID ASSET FUND

   4,742.00    2,500,000

MID CAP GROWTH FUND

   167.00    600,000

MID-CAP VALUE FUND

   84.00    450,000

MORTGAGE SECURITIES TRUST

   102.00    525,000

MUNICIPAL INC OPPORTUNITIES

   108.00    525,000

MUNICIPAL INC OPPORTUNITIES II

   99.00    450,000

MUNICIPAL INC OPPORTUNITIES III

   57.00    400,000

MUNICIPAL PREMIUM INCOME TRUST

   197.00    600,000

N Y MUNI MONEY MARKET TRUST

   462.00    750,000

N Y QUAL MUNI

   73.00    400,000


REVIEW OF FIDELITY BOND COVERAGE

 

MORGAN STANLEY RETAIL FUNDS

        GROSS
ASSETS

(in millions)
   MINIMUM
COVERAGE
REQUIRED

NATURAL RESOURCE

      83.00    450,000

NEW YORK TAX-FREE INCOME

      68.00    400,000

PACIFIC GROWTH FUND

      83.00    450,000

PRIME INCOME TRUST

      567.00    900,000

QUALITY MUNI INC

      419.00    750,000

QUALITY MUNI SEC

      242.00    600,000

QUALITY MUNICIPAL INVESTMENT

      245.00    600,000

REAL ESTATE FUND

      19.00    225,000

MS SERIES

      46.00    350,000

COMMODITIES ALPHA

        

US MULTI CAP ALPHA

        

ALTERNATIVE OPPORTUNITIES

        

S&P 500 INDEX FD

      430.00    750,000

STRATEGIST FUND

      522.00    900,000

TECHNOLOGY FUND

      100.00    525,000

SELECT DIMENSIONS INVESTMENT SERIES

      579    900,000

BALANCED PORTFOLIO

        

CAPITAL GROWTH

        

CAPITAL OPPORTUNITIES

        

DIVIDEND GROWTH

        

EQUALLY WEIGHTED S&P

        

FLEXIBLE INCOME

        

FOCUS GROWTH

        

GLOBAL EQUITY

        

MID CAP GROWTH

        

MONEY MARKET

        

GLOBAL INFRASTRUCTURE

        

SMALL-MID SPECIAL VALUE FUND

      70.00    400.000

SPECIAL GROWTH FUND

      30.00    300,000

SPECIAL VALUE FUND

      210.00    600,000

TAX-EXEMPT SEC TR

      757.00    1,000,000

TAX-FREE DAILY INC.

      403.00    750,000

U.S. GOVERNMENT SEC TR

      1,563.00    1 ,500,000

U.S. GOVT MONEY MKT

      1,589.00    1,500,000

GLOBAL INFRASTRUCTURE

      340.00    750,000

VALUE FUND

      81.00    450,000

VARIABLE INVESTMENT SERIES

      1,428.00    1,250,000

AGGRESSIVE EQUITY

        

CAPITAL OPPORTUNITIES

        

DIVIDEND GROWTH

        

EUROPEAN EQUITY

        

GLOBAL ADVANTAGE

        

GLOBAL DIVIDEND

        

HIGH YIELD

        

INCOME BUILDER

        

INCOME PLUS

        

LIMITED DURATION

        

MONEY

        

S&P 500

        

STRATEGIST

        

GLOBAL INFRASTRUCTURE

        
        

COMBINED TOTAL

      41,431    51,000,000

(CURRENT AMOUNT OF FIDELITY BOND IN EFFECT IS $65 MILLION)