Go Pro

Morgan Stanley India Investment Fund (IIF) Short Interest Ratio & Short Volume

Morgan Stanley India Investment Fund logo
$23.20 +0.14 (+0.61%)
As of 08/21/2026 03:57 PM Eastern

Morgan Stanley India Investment Fund Short Interest Overview

As of July 31, 2026, Morgan Stanley India Investment Fund (IIF) had a short interest of 8,707 shares sold short, representing 0.09% of the public float. This marks a -19.33% decrease in short interest since the prior report. The short interest ratio (days to cover) is 0.3, meaning it would take 0.3 days of the average trading volume of 34,563 shares to cover all short positions.

Current Short Interest
8,707 shares
Previous Short Interest
10,794 shares
Change Vs. Previous Month
-19.33%
Dollar Volume Sold Short
$200.26 thousand
Short Interest Ratio
0.3 Days to Cover
Last Record Date
July 31, 2026
Outstanding Shares
9,440,000 shares
Short Percent of Float
0.09%
Today's Trading Volume
20,691 shares
Average Trading Volume
34,563 shares
Today's Volume Vs. Average
60%
Short Selling Morgan Stanley India Investment Fund?
A Guide To High-Short-Interest Stocks

Sign up to receive the latest short interest report for Morgan Stanley India Investment Fund and its competitors with MarketBeat's FREE newsletter.

Get Report
SMS is currently available in Australia, Belgium, Canada, France, Germany, Ireland, Italy, New Zealand, the Netherlands, Singapore, South Africa, Spain, Switzerland, the United Kingdom, and the United States. By entering your phone number and clicking the sign-up button, you agree to receive periodic text messages from MarketBeat at the phone number you submitted, including texts that may be sent using an automatic telephone dialing system. Message and data rates may apply. Message frequency will vary. Messages will consist of stock alerts, news stories, and partner advertisements/offers. Consent is not a condition of the purchase of any goods or services. Text HELP for help/customer support. Unsubscribe at any time by replying "STOP" to any text message that you receive from MarketBeat or by visiting our mailing preferences page. Read our full terms of service and privacy policy.
Skip Charts & View Short Interest History

IIF Short Interest Over Time

IIF Days to Cover Over Time

IIF Percentage of Float Shorted Over Time

Morgan Stanley India Investment Fund Tesla Short Interest History & Recent Changes

Report DateTotal Shares Sold ShortDollar Volume Sold ShortChange from Previous ReportPercentage of Float ShortedDays to CoverPrice on Report Date
7/31/20268,707 shares $200.26 thousand -19.3%0.1%0.28 $23.00
7/15/202610,794 shares $247.93 thousand +529.0%0.1%0.31 $22.97
6/30/20261,716 shares $39.18 thousand -67.5%0.0%0.07 $22.83
6/15/20265,286 shares $118.31 thousand +22.1%0.1%0.14 $22.38
5/29/20264,329 shares $94.81 thousand -8.9%0.0%0.12 $21.90
5/15/20264,752 shares $102.07 thousand +136.1%0.1%0.13 $21.48
4/30/20262,013 shares $44.29 thousand -20.9%0.0%0.06 $22.00
4/15/20262,546 shares $57.78 thousand -80.5%0.0%0.06 $22.70
3/31/202613,022 shares $268.37 thousand +44.9%0.1%0.26 $20.61
3/13/20268,989 shares $193.58 thousand +120.6%0.1%0.14 $21.54
2/27/20264,074 shares $97.21 thousand -56.5%0.0%0.09 $23.86
2/13/20269,368 shares $227.60 thousand +8.0%0.1%0.21 $24.30
1/30/20268,671 shares $203.51 thousand +47.4%0.1%0.16 $23.47
1/15/20265,883 shares $143.31 thousand -53.2%0.1%0.11 $24.36
12/31/202512,575 shares $314.12 thousand +12.5%0.1%0.24 $24.98
12/15/202511,179 shares $298.70 thousand +567.4%0.1%0.41 $26.72
11/28/20251,675 shares $45.21 thousand -66.1%0.0%0.07 $26.99
11/14/20254,945 shares $132.70 thousand +69.2%0.1%0.21 $26.84
10/31/20252,923 shares $80.15 thousand +8.2%0.0%0.21 $27.42
10/15/20252,700 shares $72.90 thousand -34.2%0.0%0.1 $27.00
9/30/20254,100 shares $108.06 thousand -56.8%N/A0.2 $26.36
9/15/20259,500 shares $258.31 thousand +126.2%N/A0.4 $27.19
8/31/20254,200 shares $110.46 thousand -57.1%0.0%0.2 $26.30
8/15/20259,800 shares $265.25 thousand -65.5%N/A0.4 $27.07
7/31/202528,400 shares $776.31 thousand +47.2%0.3%1 $27.34
7/15/202519,300 shares $535.58 thousand -30.3%N/A0.6 $27.75
6/30/202527,700 shares $782.25 thousand +15.9%0.3%0.8 $28.24
6/15/202523,900 shares $652.59 thousand +57.2%0.3%0.6 $27.31
5/31/202515,200 shares $407.06 thousand -63.7%0.2%0.4 $26.78
5/15/202541,900 shares $1.13 million +0.7%0.4%1 $26.92
4/30/202541,600 shares $1.09 million +243.8%N/A0.9 $26.16
4/15/202512,100 shares $293.30 thousand -51.2%0.1%0.3 $24.24
3/31/202524,800 shares $604.87 thousand +6.4%0.3%0.5 $24.39
3/15/202523,300 shares $542.07 thousand -33.8%0.2%0.6 $23.27
2/28/202535,200 shares $816.99 thousand -23.1%0.4%0.8 $23.21
2/15/202545,800 shares $1.09 million +5.1%0.5%1 $23.70
1/31/202543,600 shares $1.07 million +285.8%N/A0.9 $24.54
1/15/202511,300 shares $278.55 thousand -44.3%N/A0.2 $24.65
12/31/202420,300 shares $512.98 thousand -25.9%N/A0.5 $25.27
12/15/202427,400 shares $725.55 thousand +4.6%N/A0.6 $26.48
Porter flew 3,300 miles to investigate this system (Ad)

Porter Stansberry flew the Porter and Co. team 3,300 miles to Dublin to investigate a 17-year investing experiment called Project Prophet - and documented everything on film. Rooted in the laws of physics, this quantitative approach challenges conventional wealth-building wisdom. With 17 years of verified data behind it, Porter calls it unlike anything he has seen in nearly 30 years in the business.tc pixel

Watch the full investigation and decide for yourself
11/30/202426,200 shares $739.10 thousand +47.2%N/A0.6 $28.21
11/15/202417,800 shares $485.23 thousand -13.2%N/A0.4 $27.26
10/31/202420,500 shares $568.26 thousand +58.9%N/A0.5 $27.72
10/15/202412,900 shares $370.99 thousand -47.6%N/A0.3 $28.76
9/30/202424,600 shares $739.97 thousand +35.2%N/A0.5 $30.08
9/15/202418,200 shares $521.07 thousand +8.3%N/A0.4 $28.63
8/31/202416,800 shares $468.38 thousand +24.4%N/A0.4 $27.88
8/15/202413,500 shares $361.40 thousand -33.2%N/A0.3 $26.77
7/31/202420,200 shares $556.71 thousand -9.0%N/A0.5 $27.56
7/15/202422,200 shares $610.50 thousand +30.6%N/A0.5 $27.50
6/30/202417,000 shares $454.75 thousand +18.9%N/A0.5 $26.75
6/15/202414,300 shares $361.50 thousand -13.9%N/A0.4 $25.28
5/31/202416,600 shares $398.23 thousand -10.3%N/A0.4 $23.99
5/15/202418,500 shares $438.64 thousand +12.1%N/A0.5 $23.71
4/30/202416,500 shares $387.09 thousand +13.8%N/A0.4 $23.46
4/15/202414,500 shares $330.60 thousand +66.7%N/A0.4 $22.80
3/31/20248,700 shares $199.58 thousand -13.9%N/A0.2 $22.94
3/15/202410,100 shares $228.77 thousand +8.6%N/A0.2 $22.65
2/29/20249,300 shares $214.64 thousand +1.1%N/A0.2 $23.08
2/15/20249,200 shares $211.78 thousand -28.7%N/A0.1 $23.02
1/31/202412,900 shares $289.73 thousand +122.4%N/A0.2 $22.46
1/15/20245,800 shares $130.73 thousand -53.2%N/A0.1 $22.54
12/31/202312,400 shares $266.23 thousand -63.6%N/A0.2 $21.47
12/15/202334,100 shares $728.04 thousand +244.4%N/A0.6 $21.35
11/30/20239,900 shares $225.23 thousand +17.9%N/A0.3 $22.75
11/15/20238,400 shares $187.32 thousand -22.9%N/A0.3 $22.30
10/31/202310,900 shares $233.59 thousand +26.7%N/A0.4 $21.43
10/15/20238,600 shares $191.69 thousand -12.2%N/A0.4 $22.29
9/30/20239,800 shares $219.03 thousand -6.7%N/A0.4 $22.35
9/15/202310,500 shares $239.09 thousand -20.5%N/A0.4 $22.77
8/31/202313,200 shares $293.96 thousand +30.7%N/A0.5 $22.27
8/15/202310,100 shares $221.39 thousand +2.0%N/A0.4 $21.92
7/31/20239,900 shares $222.75 thousand +37.5%N/A0.3 $22.50
7/15/20237,200 shares $159.19 thousand +50.0%N/A0.2 $22.11
6/30/20234,800 shares $103.87 thousand -50.5%N/A0.1 $21.64
6/15/20239,700 shares $205.35 thousand +9.0%N/A0.3 $21.17
5/31/20238,900 shares $180.85 thousand +48.3%N/A0.3 $20.32
5/15/20236,000 shares $121.74 thousand -55.2%N/A0.2 $20.29
4/30/202313,400 shares $265.45 thousand +219.1%N/A0.4 $19.81
4/15/20234,200 shares $82.45 thousand -10.6%N/A0.1 $19.63
3/31/20234,700 shares $91.46 thousand -59.1%N/A0.1 $19.46
3/15/202311,500 shares $218.39 thousand +33.7%N/A0.3 $18.99
2/28/20238,600 shares $169.16 thousand +126.3%N/A0.2 $19.67
2/15/20233,800 shares $77.29 thousand -67.0%N/A0.1 $20.34
1/31/202311,500 shares $231.04 thousand +721.4%N/A0.3 $20.09
1/15/20231,400 shares $29.75 thousand -81.3%N/A0 $21.25
12/30/20227,500 shares $152.25 thousand -57.9%N/A0.2 $20.30
12/15/202217,800 shares $368.64 thousand +263.3%N/A0.4 $20.71
11/30/20224,900 shares $121.28 thousand -73.1%N/A0.1 $24.75
11/15/202218,200 shares $444.63 thousand +188.9%N/A0.5 $24.43
Ready to give options a try? Your first trade (Ticker included) -INSIDE (Ad)

Tired of trying tactic after tactic when it comes to options trades... only to be met with market noise and stinging losses? Dave Aquino is giving away the exact 11-hour options strategy he uses in volatile markets. You get the plain English blueprint behind the strategy and the very same "rinse and repeat" ticker he's traded nearly 900 times with a 95.3% success rate. It's so simple to understand, you could trade it tomorrow.tc pixel

10/31/20226,300 shares $149.44 thousand +40.0%N/A0.2 $23.72
10/15/20224,500 shares $103.64 thousand No ChangeN/A0.2 $23.03
9/30/20227,900 shares $183.83 thousand +690.0%N/A0.3 $23.27
9/15/20221,000 shares $25.25 thousand -80.4%N/A0 $25.25
8/31/20225,100 shares $126.74 thousand +292.3%N/A0.3 $24.85
8/15/20221,300 shares $32.94 thousand -51.9%N/A0.1 $25.34
7/31/20222,700 shares $66.29 thousand +92.9%N/A0.1 $24.55
7/15/20221,400 shares $32.19 thousand -68.9%N/A0.1 $22.99
6/30/20224,500 shares $100.58 thousand +221.4%N/A0.2 $22.35
6/15/20221,400 shares $31.33 thousand -48.2%N/A0.1 $22.38
5/31/20222,700 shares $62.53 thousand +68.8%N/A0.1 $23.16
5/15/20221,600 shares $35.31 thousand -69.8%N/A0.1 $22.07
4/30/20225,300 shares $129.48 thousand +341.7%N/A0.2 $24.43
4/15/20221,200 shares $29.98 thousand +140.0%N/A0.1 $24.98
3/31/2022500 shares $12.56 thousand -96.8%N/A0 $25.11
3/15/202215,500 shares $372.47 thousand +5,066.7%N/A0.7 $24.03
2/28/2022300 shares $7.48 thousand -93.8%N/A0 $24.94
2/15/20224,800 shares $125.04 thousand -17.2%N/A0.2 $26.05
1/31/20225,800 shares $154.51 thousand +152.2%N/A0.2 $26.64
1/15/20222,300 shares $64.58 thousand +76.9%N/A0.1 $28.08
12/31/20211,300 shares $34.71 thousand +18.2%N/A0.1 $26.70
12/15/20211,100 shares $28.90 thousand -8.3%N/A0 $26.27
11/30/20211,200 shares $31.37 thousand -29.4%N/A0.1 $26.14
11/15/20211,700 shares $47.77 thousand +466.7%N/A0.1 $28.10
10/29/2021300 shares $8.17 thousand -90.0%N/A0 $27.24
10/15/20213,000 shares $84.87 thousand -72.2%N/A0.2 $28.29
9/30/202110,800 shares $297.97 thousand +800.0%N/A0.6 $27.59
9/15/20211,200 shares $33.56 thousand -88.1%N/A0.1 $27.97
8/31/202110,100 shares $276.64 thousand +461.1%N/A0.6 $27.39

IIF Short Interest - Frequently Asked Questions

Short interest is the volume of Morgan Stanley India Investment Fund shares that have been sold short but have not yet been covered or closed out. As of July 31st, traders have sold 8,707 shares of IIF short. 0.09% of Morgan Stanley India Investment Fund's shares are currently sold short. Learn More on Morgan Stanley India Investment Fund's current short interest.

The short interest ratio, also known as the "days to cover ratio", is calculated by dividing the number of shares of a stock sold short divided by its average trading volume. A short interest ratio ranging between 1 and 4 generally indicates strong positive sentiment about a stock and a lack of short sellers. A short interest ratio of 10 or greater indicates strong pessimism about a stock. IIF shares currently have a short interest ratio of 0.3. Learn More on Morgan Stanley India Investment Fund's short interest ratio.

Companies that have a short interest as a percentage of float below 10% indicates positive investor sentiment and few short sellers. Stocks with a short interest percentage above 10% is considered high, suggesting some investors are pessimistic about the stock. Companies with a short interest percentage of 20% or more indicates widespread negative sentiment. 0.09% of Morgan Stanley India Investment Fund's floating shares are currently sold short.

Morgan Stanley India Investment Fund saw a decrease in short interest in the month of July. As of July 31st, there was short interest totaling 8,707 shares, a decrease of 19.3% from the previous total of 10,794 shares. Changes in short volume can be used to identify positive and negative investor sentiment. Investors that short sell a stock are betting that its price will decline in the future. An increase in short sale volume suggests bearish (negative) sentiment among investors. A decrease on short sale volume suggests bullish (positive) sentiment.

0.09% of Morgan Stanley India Investment Fund's shares are currently sold short. Here is how the short interest of companies in the industry of "capital markets" compare to Morgan Stanley India Investment Fund: PIMCO High Income Fund (0.97%), Oxford Lane Capital Corp. (5.82%), John Hancock Financial Opportunities Fund (0.06%), MidCap Financial Investment Corporation (3.46%), Bain Capital Specialty Finance, Inc. (1.86%), Adams Natural Resources Fund, Inc. (1.42%), Royce Otc Micro (0.09%), Carlyle Secured Lending, Inc. (6.20%), Fidus Investment Corporation (4.03%), PennantPark Floating Rate Capital Ltd. (4.31%),

As of the most recent reporting period, the following stocks had the largest short interest positions: SPDR S&P 500 ETF Trust ($70.50 billion), Invesco QQQ ($50.36 billion), iShares Russell 2000 ETF ($21.20 billion), Western Digital Corporation ($13.40 billion), SPDR S&P Biotech ETF ($11.59 billion), Nebius Group N.V. ($11.46 billion), iShares 20+ Year Treasury Bond ETF ($7.84 billion), iShares iBoxx $ High Yield Corporate Bond ETF ($7.51 billion), iShares Semiconductor ETF ($6.37 billion), and Financial Select Sector SPDR Fund ($6.34 billion). View all of the most shorted stocks.

Short selling IIF is an investing strategy that aims to generate trading profit from Morgan Stanley India Investment Fund as its price is falling. IIF shares are trading up $0.14 today. To short a stock, an investor borrows shares, sells them and buys the shares back on the public market later to return it to the lender. Short sellers are betting that a stock will decline in price. If the stock does drop after selling, the short seller buys it back at a lower price and returns it to the lender. The difference between the sell price and the buy price is the trader's profit.

A short squeeze for Morgan Stanley India Investment Fund occurs when it has a large amount of short interest and its stock appreciates in price. This forces short sellers to cover their short interest positions by buying actual shares of IIF, which in turn drives the price of the stock up even further.

Short interest is typically published by a stock exchange once per month. However, NASDAQ publishes a report for U.S. stocks, including IIF, twice per month. The most recent reporting period available is July, 31 2026.

Understanding short interest metrics can help you assess how traders are positioning around a stock like IIF:

  • Shares Sold Short: The total number of shares that have been sold by short sellers but have not yet been covered or closed out. A high number may indicate bearish sentiment.
  • Short Float: The percentage of a company’s publicly available shares (or "float") that are sold short. A higher short float suggests a greater portion of the stock is being bet against.
  • Days to Cover (Short Interest Ratio): This estimates how many days it would take short sellers to cover their positions, based on average daily trading volume. Higher values can signal potential for a short squeeze if buying pressure increases.

These metrics are often used by traders to gauge sentiment, volatility risk, and the potential for price movements based on short covering activity.



Short interest data for NYSE:IIF is sourced from the Financial Industry Regulatory Authority (FINRA), with the most recent report published on 8/11/2026. FINRA publishes updated short interest twice a month.
From Our Partners