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Cabot S.A. SICAV
Morgan Stanley European Private Income Fund BA
Share class description
ISIN CodeLU2938647216
Name of fund (or sub-fund) including classMorgan Stanley European Private Income Fund BA
Name of UmbrellaCabot S.A. SICAV
Date of last revision to the Fund Processing Passport2026/01/14
Specific information available in FPP annexes for the following countriesN/A
Countries where the fund is registered for distributionCH GB IT LU SG
Valuation frequencyMNTH
Description of valuation frequencyMNTH
Number of decimals for prices
Historic or forward pricingN/A
Base currencyEUR
Management Company
NameMSIM Fund Management (Ireland) Limited
Address24-26 City Quay, Dublin DO2 NY19, Ireland
Telephone
FaxN/A
E-mailN/A
WebsiteN/A
BICN/A
Fund Order Desk Identification
Name
Address
Telephone
FaxN/A
E-mailN/A
BICN/A
Unit/share Identification
Physical bearerN/A
Dematerialized bearerN/A
Physical registeredN/A
Dematerialized registeredN/A
Subscription forms required for each subsequent investment of the client through the main Fund Order Desk
Number of decimals for units/shares
Single or dual pricingSING
Price publication currenciesEUR
Subscription & redemption currenciesEUR
Holding Restrictions
Holding transferableRefer to Fund Order Desk
Initial subscription minimum value25000 EUR
Subsequent subscription minimum value0 EUR
Minimum holding value0
Minimum holding periodN/A
Subscriptions Information
Application required for the initial investment of the client
Signature for the initial investment
Signature for each subsequent investment
Dealing frequency for subscriptions
Description of dealing frequency for subscriptions
Subscription period for "limited issue" fundsN/A
Subscription amount in valueYES
Subscription amount in units/sharesNO
Initial subscription minimum units/shares0 share
Subsequent subscription minimum units/shares0
Minimum holding of units/shares0
Dealing cut-off time for subscriptions
Settlement cycle for subscriptions
Redemptions Information
Redemption form required
Signature for redemption
Dealing frequency for redemptions
Description of dealing frequency for redemptions
Redemption period for "limited redemption" fundsN/A
Redemption amount in valueN/A
Redemption amount in units/sharesN/A
Maximum redemption value0
Maximum redemption units/shares0
Other redemption restrictionsRefer to Fund Order Desk
Dealing cut-off time for redemptions
Settlement cycle for redemptions
Income/Distribution
Income accumulationYES
Cash distributionNO
Distribution with reinvestmentNO
Dividend frequencyN/A
Reinvestment frequencyN/A
Fees
Front-end loadNO
Back-end loadNO
Switching feeNO
Settlements
Settlement details #1
Settlement details #2
Settlement details #3
Settlement details #4
Settlement details #5
Tax
Subject to the EU Saving DirectiveN/A