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skills/datapoint-finder/references/buckets/ref-operations.md
2.65 KB · Sep 30, 2026 · 22:50 UTC
# Fund Operations Morningstar datapoints for **Reference Data & Fund Information → Fund Operations**. | Datapoint name | |---| | Active/Passive Strategy Type | | Active/Passive Strategy Type Effective Date | | Actively Managed | | AUT Tax Transparency | | Available For Retirement Plan | | Available In Insurance Product | | Average Brand Obsolete Rate 5-Year - Parent Pillar | | Base Currency | | Base Unit | | Business Country | | CCR Approved | | Class Accumulated Initial Investment | | Country AFS (Performance level) | | Country Available for Sale | | Country Registered for Sale | | Currency Hedged | | Currency Hedged To | | Defined Contribution | | Delisting Date | | DEU Tax Transparency | | Domicile | | Enhanced Index | | EOFY Date (Realised) | | Exchange | | Exchange Country | | Feeder Fund | | Fund Accumulated Initial Investment | | Fund Legal Name | | Fund Legal Structure | | Fund of Funds | | High Net Worth (Canada) | | In-House FOF | | Inception Date | | Inception Date of Fund's Oldest Share Class | | Index Fund | | Institutional | | Interval Fund | | Inverse/Short Fund | | IPO End Date | | IPO Start Date | | Is Business Development Company | | Is REIT | | Is Tender Offer Fund | | Latest Accounting Date | | Legal Name | | Life Cycle | | Listing Date | | Local Fund Legal Name - KR | | Local Legal Name - JP | | Local Legal Name - KR | | Master Fund | | Master Portfolio Id | | Minimum Additional Purchase | | Minimum Initial Purchase | | Minimum Investment (Base Currency) | | Non Diversified | | Obsolete Date | | On Tax Exempt List | | Open for Investment | | Operations Data Ready | | PEA | | Performance Data Ready | | Portfolio Currency | | Portfolio Data Ready | | Portfolio Date | | Price Data Ready | | Pricing Delay | | Pricing Frequency | | Public | | Region of Sale | | Registration Date TW | | Repurchase Offer Frequency | | Repurchase Offer Intended Frequency | | Repurchase Pricing Date | | Repurchase Request Deadline Date | | Repurchase Request Start Date | | Repurchase Withdrawal Intended Percent Maximum | | Repurchase Withdrawal Percent | | Repurchase Withdrawal Percent Maximum | | Repurchase Withdrawal Percent Minimum | | Restructure Date | | Return Date (Daily) | | Return Date (Mo-End) | | Return Date (Qtr-End) | | Risk Date (Mo-End) | | Sharia Compliant | | Singapore Restricted | | SMA | | Start Date for Managed Investment | | Status | | Strategy Description | | Strategy Inception Date | | Strategy Inception Year | | Strategy Provider Company | | StrategyId | | Subadvised | | Subadvisor | | Superannuation | | UK Investment Trust (s842) | | UK Reporting Status | | UK Reporting Status Date | | Valuation Country | | Virtual Class | | Yield Date |
SHA-256: 37ae02dcabd0f27dea9a64dc006e6a5450fad811cfa481dc2acd4fc2d085a50e