Shareholder Report | 12 Months Ended |
Sep. 30, 2024 USD ($) Holding | Sep. 30, 2023 |
Shareholder Report [Line Items] | | |
Document Type | N-CSR | |
Amendment Flag | false | |
Registrant Name | Morgan Stanley Institutional Fund Trust | |
Entity Central Index Key | 0000741375 | |
Entity Investment Company Type | N-1A | |
Document Period End Date | Sep. 30, 2024 | |
C000011548 | | |
Shareholder Report [Line Items] | | |
Fund Name | Morgan Stanley Institutional Fund Trust - Corporate Bond Portfolio | |
Class Name | A | |
Trading Symbol | MIGAX | |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about Morgan Stanley Institutional Fund Trust - Corporate Bond Portfolio for the period of October 1, 2023 to September 30, 2024. | |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report | |
Additional Information [Text Block] | You can find additional information about the Fund at www.morganstanley.com/im/shareholderreports | |
Additional Information Phone Number | 1-800-869-6397 | |
Additional Information Website | www.morganstanley.com/im/shareholderreports</span>" id="sjs-B19"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.morganstanley.com/im/shareholderreports</span> | |
Expenses [Text Block] | What were the Fund costs for the last year? (based on a hypothetical $10,000 investment) Class Name Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class A $48 0.45% | |
Expenses Paid, Amount | $ 48 | |
Expense Ratio, Percent | 0.45% | |
Factors Affecting Performance [Text Block] | How did the Fund perform last year and what affected its performance? Key contributors to (↑) and detractors from (↓) performance, relative to the Bloomberg U.S. Corporate Index: ↑ The portfolio’s overall investment grade credit positioning ↑ Overweight to high yield corporate bonds benefited as spreads tightened ↑ Overweight to investment grade financial institutions ↑ Overweight to certain subsectors and security selection within investment grade industrials ↑ Overweight to investment grade utilities ↑ The portfolio’s duration exposure ↓ Underweight to investment grade communications | |
Line Graph [Table Text Block] | Class A with maximum sales charge Bloomberg U.S. Universal Index Bloomberg U.S. Corporate Index 9/14 $9,678 $10,000 $10,000 10/14 $9,749 $10,098 $10,102 11/14 $9,801 $10,152 $10,170 12/14 $9,828 $10,134 $10,177 1/15 $10,066 $10,327 $10,485 2/15 $10,013 $10,267 $10,379 3/15 $10,022 $10,309 $10,412 4/15 $9,952 $10,297 $10,339 5/15 $9,881 $10,279 $10,272 6/15 $9,712 $10,164 $10,083 7/15 $9,731 $10,224 $10,151 8/15 $9,642 $10,194 $10,091 9/15 $9,642 $10,233 $10,166 10/15 $9,749 $10,266 $10,209 11/15 $9,713 $10,229 $10,186 12/15 $9,589 $10,178 $10,107 1/16 $9,525 $10,290 $10,143 2/16 $9,580 $10,363 $10,225 3/16 $10,439 $10,490 $10,508 4/16 $10,622 $10,562 $10,652 5/16 $10,613 $10,570 $10,644 6/16 $10,823 $10,756 $10,884 7/16 $11,000 $10,844 $11,043 8/16 $11,046 $10,856 $11,064 9/16 $11,321 $10,859 $11,037 10/16 $11,231 $10,787 $10,947 11/16 $10,935 $10,544 $10,653 12/16 $11,003 $10,576 $10,725 1/17 $11,077 $10,613 $10,758 2/17 $11,198 $10,695 $10,881 3/17 $11,170 $10,691 $10,856 4/17 $11,281 $10,780 $10,972 5/17 $11,403 $10,863 $11,098 6/17 $11,459 $10,854 $11,132 7/17 $11,552 $10,908 $11,213 8/17 $11,627 $11,002 $11,300 9/17 $11,608 $10,963 $11,281 10/17 $11,646 $10,976 $11,326 11/17 $11,617 $10,960 $11,310 12/17 $11,720 $11,008 $11,413 1/18 $11,625 $10,902 $11,304 2/18 $11,415 $10,799 $11,120 3/18 $11,424 $10,853 $11,148 4/18 $11,307 $10,781 $11,045 5/18 $11,355 $10,840 $11,104 6/18 $11,268 $10,824 $11,040 7/18 $11,391 $10,847 $11,132 8/18 $11,420 $10,900 $11,186 9/18 $11,391 $10,853 $11,147 10/18 $11,199 $10,763 $10,984 11/18 $11,131 $10,811 $10,966 12/18 $11,228 $10,980 $11,127 1/19 $11,522 $11,132 $11,388 2/19 $11,581 $11,144 $11,413 3/19 $11,865 $11,345 $11,699 4/19 $11,965 $11,361 $11,763 5/19 $12,104 $11,535 $11,931 6/19 $12,420 $11,698 $12,223 7/19 $12,511 $11,733 $12,291 8/19 $12,880 $11,998 $12,678 9/19 $12,787 $11,946 $12,595 10/19 $12,864 $11,985 $12,672 11/19 $12,901 $11,982 $12,704 12/19 $12,957 $12,000 $12,744 1/20 $13,249 $12,216 $13,043 2/20 $13,378 $12,399 $13,218 3/20 $12,343 $12,156 $12,281 4/20 $13,006 $12,400 $12,925 5/20 $13,262 $12,516 $13,127 6/20 $13,570 $12,620 $13,385 7/20 $14,010 $12,842 $13,820 8/20 $13,836 $12,768 $13,629 9/20 $13,795 $12,745 $13,590 10/20 $13,763 $12,699 $13,566 11/20 $14,182 $12,865 $13,944 12/20 $14,253 $12,909 $14,004 1/21 $14,050 $12,828 $13,825 2/21 $13,805 $12,663 $13,587 3/21 $13,558 $12,515 $13,353 4/21 $13,675 $12,621 $13,501 5/21 $13,749 $12,669 $13,605 6/21 $14,005 $12,761 $13,827 7/21 $14,175 $12,889 $14,016 8/21 $14,118 $12,881 $13,974 9/21 $13,963 $12,771 $13,827 10/21 $14,002 $12,760 $13,861 11/21 $13,967 $12,776 $13,870 12/21 $13,947 $12,767 $13,858 1/22 $13,502 $12,487 $13,392 2/22 $13,209 $12,317 $13,124 3/22 $12,886 $11,986 $12,793 4/22 $12,170 $11,539 $12,094 5/22 $12,226 $11,603 $12,207 6/22 $11,836 $11,371 $11,865 7/22 $12,231 $11,657 $12,249 8/22 $11,873 $11,354 $11,890 9/22 $11,247 $10,865 $11,265 10/22 $11,107 $10,745 $11,148 11/22 $11,663 $11,146 $11,726 12/22 $11,643 $11,108 $11,674 1/23 $12,134 $11,453 $12,142 2/23 $11,791 $11,171 $11,756 3/23 $12,072 $11,434 $12,083 4/23 $12,170 $11,503 $12,176 5/23 $12,014 $11,384 $11,999 6/23 $12,091 $11,366 $12,049 7/23 $12,146 $11,378 $12,090 8/23 $12,050 $11,309 $11,996 9/23 $11,718 $11,040 $11,676 10/23 $11,479 $10,874 $11,457 11/23 $12,176 $11,363 $12,142 12/23 $12,771 $11,794 $12,669 1/24 $12,771 $11,766 $12,647 2/24 $12,601 $11,625 $12,457 3/24 $12,779 $11,739 $12,618 4/24 $12,463 $11,465 $12,297 5/24 $12,704 $11,655 $12,527 6/24 $12,799 $11,761 $12,607 7/24 $13,091 $12,028 $12,907 8/24 $13,303 $12,205 $13,110 9/24 $13,515 $12,373 $13,343 | |
Average Annual Return [Table Text Block] | AATR 1 Year 5 Years 10 Years Class A 15.34% 1.11% 3.40% Class A with maximum 3.25% sales charge 11.54% 0.45% 3.06% Bloomberg U.S. Universal Index Footnote Reference 12.08% 0.70% 2.15% Bloomberg U.S. Corporate Index 14.28% 1.16% 2.93% | |
AssetsNet | $ 124,472,852 | |
Holdings Count | Holding | 242 | |
Advisory Fees Paid, Amount | $ 113,800 | |
InvestmentCompanyPortfolioTurnover | 183% | |
Additional Fund Statistics [Text Block] | Key Fund Statistics Total Net Assets $124,472,852 # of Portfolio Holdings 242 Portfolio Turnover Rate 183% Total Advisory Fees Paid $113,800 | |
Holdings [Text Block] | Asset Allocation (% of total investments) Value Value Sovereign 0.2% Commercial Mortgage-Backed Securities 1.1% Investment Companies 1.3% Short-Term Investments 5.4% Corporate Bonds 92.0% Credit Quality (% of net assets) Footnote Reference Value Value Cash 3.3% Not Rated 1.3% B 0.5% BB 1.3% BBB 45.4% A 34.8% AA 10.3% AAA 3.1% Footnote Description Footnote a Security ratings disclosed with the exception for those labeled "Not Rated" is an aggregation of the highest security level rating amongst S&P Global Ratings, Moody's Investors Services, Inc., and Fitch Ratings, each a Nationally Recognized Statistical Ratings Organization. | |
Material Fund Change [Text Block] | | |
Updated Prospectus Web Address | www.morganstanley.com/im/shareholderreports</span>" id="sjs-B33"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.morganstanley.com/im/shareholderreports</span> | |
C000155931 | | |
Shareholder Report [Line Items] | | |
Fund Name | Morgan Stanley Institutional Fund Trust - Corporate Bond Portfolio | |
Class Name | C | |
Trading Symbol | MSBOX | |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about Morgan Stanley Institutional Fund Trust - Corporate Bond Portfolio for the period of October 1, 2023 to September 30, 2024. | |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report | |
Additional Information [Text Block] | You can find additional information about the Fund at www.morganstanley.com/im/shareholderreports | |
Additional Information Phone Number | 1-800-869-6397 | |
Additional Information Website | www.morganstanley.com/im/shareholderreports</span>" id="sjs-B43"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.morganstanley.com/im/shareholderreports</span> | |
Expenses [Text Block] | What were the Fund costs for the last year? (based on a hypothetical $10,000 investment) Class Name Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class C $140 1.31% | |
Expenses Paid, Amount | $ 140 | |
Expense Ratio, Percent | 1.31% | |
Factors Affecting Performance [Text Block] | How did the Fund perform last year and what affected its performance? Key contributors to (↑) and detractors from (↓) performance, relative to the Bloomberg U.S. Corporate Index: ↑ The portfolio’s overall investment grade credit positioning ↑ Overweight to high yield corporate bonds benefited as spreads tightened ↑ Overweight to investment grade financial institutions ↑ Overweight to certain subsectors and security selection within investment grade industrials ↑ Overweight to investment grade utilities ↑ The portfolio’s duration exposure ↓ Underweight to investment grade communications | |
Line Graph [Table Text Block] | Class C Bloomberg U.S. Universal Index Bloomberg U.S. Corporate Index 4/15 $10,000 $10,000 $10,000 5/15 $9,929 $10,000 $10,000 6/15 $9,750 $9,871 $9,752 7/15 $9,768 $9,929 $9,818 8/15 $9,669 $9,899 $9,760 9/15 $9,660 $9,938 $9,833 10/15 $9,759 $9,970 $9,874 11/15 $9,714 $9,933 $9,852 12/15 $9,588 $9,884 $9,775 1/16 $9,516 $9,993 $9,810 2/16 $9,570 $10,064 $9,889 3/16 $10,413 $10,187 $10,163 4/16 $10,596 $10,257 $10,303 5/16 $10,578 $10,265 $10,295 6/16 $10,778 $10,445 $10,526 7/16 $10,958 $10,531 $10,680 8/16 $10,985 $10,543 $10,701 9/16 $11,251 $10,545 $10,675 10/16 $11,155 $10,475 $10,588 11/16 $10,851 $10,240 $10,304 12/16 $10,907 $10,270 $10,373 1/17 $10,981 $10,307 $10,405 2/17 $11,101 $10,386 $10,524 3/17 $11,055 $10,383 $10,500 4/17 $11,157 $10,469 $10,612 5/17 $11,268 $10,550 $10,734 6/17 $11,324 $10,541 $10,767 7/17 $11,408 $10,593 $10,845 8/17 $11,473 $10,684 $10,929 9/17 $11,454 $10,647 $10,911 10/17 $11,477 $10,660 $10,955 11/17 $11,439 $10,644 $10,939 12/17 $11,539 $10,690 $11,038 1/18 $11,435 $10,588 $10,933 2/18 $11,227 $10,487 $10,755 3/18 $11,217 $10,540 $10,783 4/18 $11,110 $10,470 $10,683 5/18 $11,139 $10,527 $10,740 6/18 $11,053 $10,512 $10,677 7/18 $11,171 $10,534 $10,766 8/18 $11,190 $10,585 $10,819 9/18 $11,152 $10,540 $10,781 10/18 $10,952 $10,452 $10,623 11/18 $10,885 $10,499 $10,606 12/18 $10,963 $10,663 $10,762 1/19 $11,252 $10,810 $11,015 2/19 $11,290 $10,822 $11,039 3/19 $11,560 $11,017 $11,315 4/19 $11,656 $11,033 $11,377 5/19 $11,782 $11,202 $11,540 6/19 $12,083 $11,360 $11,822 7/19 $12,164 $11,394 $11,888 8/19 $12,516 $11,652 $12,262 9/19 $12,417 $11,601 $12,182 10/19 $12,482 $11,639 $12,256 11/19 $12,510 $11,637 $12,287 12/19 $12,557 $11,654 $12,326 1/20 $12,832 $11,863 $12,615 2/20 $12,949 $12,041 $12,784 3/20 $11,933 $11,806 $11,878 4/20 $12,571 $12,042 $12,501 5/20 $12,813 $12,155 $12,697 6/20 $13,104 $12,256 $12,945 7/20 $13,513 $12,471 $13,366 8/20 $13,336 $12,399 $13,182 9/20 $13,297 $12,377 $13,144 10/20 $13,250 $12,333 $13,121 11/20 $13,647 $12,494 $13,486 12/20 $13,705 $12,537 $13,545 1/21 $13,488 $12,458 $13,371 2/21 $13,250 $12,297 $13,141 3/21 $13,003 $12,154 $12,915 4/21 $13,105 $12,256 $13,058 5/21 $13,167 $12,303 $13,159 6/21 $13,394 $12,393 $13,373 7/21 $13,558 $12,517 $13,556 8/21 $13,493 $12,509 $13,515 9/21 $13,334 $12,402 $13,373 10/21 $13,352 $12,392 $13,406 11/21 $13,318 $12,407 $13,414 12/21 $13,288 $12,399 $13,404 1/22 $12,861 $12,127 $12,952 2/22 $12,571 $11,961 $12,693 3/22 $12,253 $11,640 $12,373 4/22 $11,558 $11,206 $11,697 5/22 $11,604 $11,268 $11,806 6/22 $11,233 $11,043 $11,475 7/22 $11,594 $11,320 $11,847 8/22 $11,255 $11,026 $11,499 9/22 $10,661 $10,551 $10,895 10/22 $10,511 $10,435 $10,782 11/22 $11,034 $10,824 $11,341 12/22 $11,000 $10,788 $11,291 1/23 $11,468 $11,122 $11,743 2/23 $11,134 $10,849 $11,370 3/23 $11,394 $11,104 $11,686 4/23 $11,479 $11,171 $11,776 5/23 $11,312 $11,056 $11,605 6/23 $11,377 $11,038 $11,653 7/23 $11,433 $11,049 $11,693 8/23 $11,333 $10,983 $11,603 9/23 $11,011 $10,721 $11,293 10/23 $10,778 $10,560 $11,081 11/23 $11,431 $11,035 $11,744 12/23 $11,978 $11,454 $12,253 1/24 $11,967 $11,426 $12,232 2/24 $11,809 $11,289 $12,048 3/24 $11,957 $11,400 $12,204 4/24 $11,650 $11,134 $11,893 5/24 $11,868 $11,318 $12,116 6/24 $11,948 $11,422 $12,193 7/24 $12,214 $11,681 $12,484 8/24 $12,393 $11,853 $12,680 9/24 $12,596 $12,015 $12,905 | |
Average Annual Return [Table Text Block] | AATR 1 Year 5 Years Since 4/30/15 (Inception) Class C 14.39% 0.29% 2.48% Class C with maximum deferred sales charge 13.39% 0.29% 2.48% Bloomberg U.S. Universal Index Footnote Reference 12.08% 0.70% 2.75% Bloomberg U.S. Corporate Index 14.28% 1.16% 2.48% | |
Performance Inception Date | Apr. 30, 2015 | |
AssetsNet | $ 124,472,852 | |
Holdings Count | Holding | 242 | |
Advisory Fees Paid, Amount | $ 113,800 | |
InvestmentCompanyPortfolioTurnover | 183% | |
Additional Fund Statistics [Text Block] | Key Fund Statistics Total Net Assets $124,472,852 # of Portfolio Holdings 242 Portfolio Turnover Rate 183% Total Advisory Fees Paid $113,800 | |
Holdings [Text Block] | Asset Allocation (% of total investments) Value Value Sovereign 0.2% Commercial Mortgage-Backed Securities 1.1% Investment Companies 1.3% Short-Term Investments 5.4% Corporate Bonds 92.0% Credit Quality (% of net assets) Footnote Reference Value Value Cash 3.3% Not Rated 1.3% B 0.5% BB 1.3% BBB 45.4% A 34.8% AA 10.3% AAA 3.1% Footnote Description Footnote a Security ratings disclosed with the exception for those labeled "Not Rated" is an aggregation of the highest security level rating amongst S&P Global Ratings, Moody's Investors Services, Inc., and Fitch Ratings, each a Nationally Recognized Statistical Ratings Organization. | |
Material Fund Change [Text Block] | | |
Updated Prospectus Web Address | www.morganstanley.com/im/shareholderreports</span>" id="sjs-B58"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.morganstanley.com/im/shareholderreports</span> | |
C000011549 | | |
Shareholder Report [Line Items] | | |
Fund Name | Morgan Stanley Institutional Fund Trust - Corporate Bond Portfolio | |
Class Name | I | |
Trading Symbol | MPFDX | |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about Morgan Stanley Institutional Fund Trust - Corporate Bond Portfolio for the period of October 1, 2023 to September 30, 2024. | |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report | |
Additional Information [Text Block] | You can find additional information about the Fund at www.morganstanley.com/im/shareholderreports | |
Additional Information Phone Number | 1-800-869-6397 | |
Additional Information Website | www.morganstanley.com/im/shareholderreports</span>" id="sjs-B68"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.morganstanley.com/im/shareholderreports</span> | |
Expenses [Text Block] | What were the Fund costs for the last year? (based on a hypothetical $10,000 investment) Class Name Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class I $22 0.20% | |
Expenses Paid, Amount | $ 22 | |
Expense Ratio, Percent | 0.20% | |
Factors Affecting Performance [Text Block] | How did the Fund perform last year and what affected its performance? Key contributors to (↑) and detractors from (↓) performance, relative to the Bloomberg U.S. Corporate Index: ↑ The portfolio’s overall investment grade credit positioning ↑ Overweight to high yield corporate bonds benefited as spreads tightened ↑ Overweight to investment grade financial institutions ↑ Overweight to certain subsectors and security selection within investment grade industrials ↑ Overweight to investment grade utilities ↑ The portfolio’s duration exposure ↓ Underweight to investment grade communications | |
Line Graph [Table Text Block] | Class I Bloomberg U.S. Universal Index Bloomberg U.S. Corporate Index 9/14 $1,000,000 $1,000,000 $1,000,000 10/14 $1,007,220 $1,009,792 $1,010,237 11/14 $1,012,655 $1,015,242 $1,017,043 12/14 $1,016,317 $1,013,408 $1,017,662 1/15 $1,040,950 $1,032,698 $1,048,535 2/15 $1,036,388 $1,026,679 $1,037,910 3/15 $1,037,300 $1,030,917 $1,041,222 4/15 $1,029,937 $1,029,721 $1,033,931 5/15 $1,023,506 $1,027,919 $1,027,182 6/15 $1,006,049 $1,016,447 $1,008,303 7/15 $1,008,840 $1,022,366 $1,015,109 8/15 $999,584 $1,019,354 $1,009,101 9/15 $999,584 $1,023,344 $1,016,622 10/15 $1,010,760 $1,026,615 $1,020,872 11/15 $1,007,030 $1,022,871 $1,018,639 12/15 $994,908 $1,017,761 $1,010,697 1/16 $988,326 $1,028,996 $1,014,281 2/16 $994,908 $1,036,306 $1,022,471 3/16 $1,083,303 $1,049,006 $1,050,834 4/16 $1,104,131 $1,056,153 $1,065,222 5/16 $1,102,236 $1,056,978 $1,064,398 6/16 $1,124,982 $1,075,586 $1,088,358 7/16 $1,143,994 $1,084,449 $1,104,261 8/16 $1,147,814 $1,085,619 $1,106,423 9/16 $1,177,416 $1,085,877 $1,103,682 10/16 $1,167,825 $1,078,673 $1,094,703 11/16 $1,138,004 $1,054,427 $1,065,336 12/16 $1,144,841 $1,057,560 $1,072,465 1/17 $1,153,566 $1,061,291 $1,075,769 2/17 $1,166,168 $1,069,479 $1,088,108 3/17 $1,163,260 $1,069,121 $1,085,577 4/17 $1,174,958 $1,077,992 $1,097,178 5/17 $1,188,632 $1,086,309 $1,109,793 6/17 $1,194,492 $1,085,388 $1,113,186 7/17 $1,204,331 $1,090,794 $1,121,326 8/17 $1,213,187 $1,100,205 $1,130,033 9/17 $1,212,203 $1,096,333 $1,128,073 10/17 $1,215,162 $1,097,650 $1,132,627 11/17 $1,213,179 $1,095,989 $1,130,977 12/17 $1,223,877 $1,100,820 $1,141,296 1/18 $1,213,894 $1,090,227 $1,130,383 2/18 $1,192,931 $1,079,889 $1,112,034 3/18 $1,193,929 $1,085,336 $1,114,850 4/18 $1,182,639 $1,078,094 $1,104,507 5/18 $1,187,668 $1,083,973 $1,110,424 6/18 $1,179,622 $1,082,401 $1,103,972 7/18 $1,192,753 $1,084,667 $1,113,151 8/18 $1,195,785 $1,090,010 $1,118,648 9/18 $1,192,753 $1,085,340 $1,114,658 10/18 $1,172,355 $1,076,261 $1,098,382 11/18 $1,166,239 $1,081,101 $1,096,552 12/18 $1,176,478 $1,098,015 $1,112,679 1/19 $1,208,358 $1,113,155 $1,138,850 2/19 $1,213,500 $1,114,368 $1,141,319 3/19 $1,244,351 $1,134,491 $1,169,909 4/19 $1,255,784 $1,136,079 $1,176,259 5/19 $1,269,265 $1,153,482 $1,193,115 6/19 $1,303,485 $1,169,797 $1,222,295 7/19 $1,313,905 $1,173,279 $1,229,132 8/19 $1,351,871 $1,199,827 $1,267,786 9/19 $1,343,461 $1,194,629 $1,259,540 10/19 $1,350,826 $1,198,489 $1,267,184 11/19 $1,355,059 $1,198,249 $1,270,375 12/19 $1,361,394 $1,200,035 $1,274,439 1/20 $1,392,142 $1,221,573 $1,304,324 2/20 $1,407,035 $1,239,864 $1,321,775 3/20 $1,297,307 $1,215,645 $1,228,122 4/20 $1,367,499 $1,239,996 $1,292,515 5/20 $1,394,896 $1,251,577 $1,312,733 6/20 $1,427,688 $1,262,020 $1,338,468 7/20 $1,474,383 $1,284,189 $1,381,978 8/20 $1,456,411 $1,276,784 $1,362,922 9/20 $1,453,481 $1,274,483 $1,359,022 10/20 $1,450,568 $1,269,928 $1,356,576 11/20 $1,494,995 $1,286,499 $1,394,370 12/20 $1,501,780 $1,290,942 $1,400,442 1/21 $1,480,439 $1,282,828 $1,382,473 2/21 $1,454,677 $1,266,275 $1,358,655 3/21 $1,428,877 $1,251,539 $1,335,342 4/21 $1,441,394 $1,262,063 $1,350,134 5/21 $1,449,416 $1,266,877 $1,360,507 6/21 $1,476,704 $1,276,113 $1,382,701 7/21 $1,494,961 $1,288,927 $1,401,627 8/21 $1,489,276 $1,288,066 $1,397,386 9/21 $1,474,479 $1,277,067 $1,382,677 10/21 $1,477,892 $1,276,023 $1,386,105 11/21 $1,474,469 $1,277,564 $1,386,959 12/21 $1,472,808 $1,276,703 $1,385,848 1/22 $1,426,930 $1,248,712 $1,339,198 2/22 $1,396,288 $1,231,687 $1,312,412 3/22 $1,362,372 $1,198,643 $1,279,318 4/22 $1,285,782 $1,153,936 $1,209,366 5/22 $1,292,015 $1,160,286 $1,220,656 6/22 $1,252,219 $1,137,100 $1,186,479 7/22 $1,293,280 $1,165,689 $1,224,887 8/22 $1,256,889 $1,135,386 $1,188,969 9/22 $1,190,952 $1,086,469 $1,126,482 10/22 $1,176,489 $1,074,548 $1,114,833 11/22 $1,235,800 $1,114,614 $1,172,562 12/22 $1,233,002 $1,110,828 $1,167,417 1/23 $1,286,347 $1,145,286 $1,214,193 2/23 $1,250,302 $1,117,145 $1,175,570 3/23 $1,280,427 $1,143,352 $1,208,301 4/23 $1,291,107 $1,150,337 $1,217,552 5/23 $1,273,603 $1,138,410 $1,199,919 6/23 $1,282,056 $1,136,641 $1,204,856 7/23 $1,289,513 $1,137,771 $1,209,012 8/23 $1,279,622 $1,130,920 $1,199,619 9/23 $1,244,719 $1,103,953 $1,167,596 10/23 $1,219,735 $1,087,351 $1,145,732 11/23 $1,292,972 $1,136,287 $1,214,225 12/23 $1,356,973 $1,179,403 $1,266,867 1/24 $1,358,242 $1,176,580 $1,264,712 2/24 $1,340,411 $1,162,474 $1,245,701 3/24 $1,358,333 $1,173,887 $1,261,807 4/24 $1,324,917 $1,146,456 $1,229,697 5/24 $1,350,744 $1,165,459 $1,252,731 6/24 $1,361,076 $1,176,114 $1,260,698 7/24 $1,392,438 $1,202,809 $1,290,748 8/24 $1,415,319 $1,220,515 $1,311,047 9/24 $1,439,634 $1,237,255 $1,334,291 | |
Average Annual Return [Table Text Block] | AATR 1 Year 5 Years 10 Years Class I 15.66% 1.39% 3.71% Bloomberg U.S. Universal Index Footnote Reference 12.08% 0.70% 2.15% Bloomberg U.S. Corporate Index 14.28% 1.16% 2.93% | |
AssetsNet | $ 124,472,852 | |
Holdings Count | Holding | 242 | |
Advisory Fees Paid, Amount | $ 113,800 | |
InvestmentCompanyPortfolioTurnover | 183% | |
Additional Fund Statistics [Text Block] | Key Fund Statistics Total Net Assets $124,472,852 # of Portfolio Holdings 242 Portfolio Turnover Rate 183% Total Advisory Fees Paid $113,800 | |
Holdings [Text Block] | Asset Allocation (% of total investments) Value Value Sovereign 0.2% Commercial Mortgage-Backed Securities 1.1% Investment Companies 1.3% Short-Term Investments 5.4% Corporate Bonds 92.0% Credit Quality (% of net assets) Footnote Reference Value Value Cash 3.3% Not Rated 1.3% B 0.5% BB 1.3% BBB 45.4% A 34.8% AA 10.3% AAA 3.1% Footnote Description Footnote a Security ratings disclosed with the exception for those labeled "Not Rated" is an aggregation of the highest security level rating amongst S&P Global Ratings, Moody's Investors Services, Inc., and Fitch Ratings, each a Nationally Recognized Statistical Ratings Organization. | |
Material Fund Change [Text Block] | | |
Updated Prospectus Web Address | www.morganstanley.com/im/shareholderreports</span>" id="sjs-B82"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.morganstanley.com/im/shareholderreports</span> | |
C000065127 | | |
Shareholder Report [Line Items] | | |
Fund Name | Morgan Stanley Institutional Fund Trust - Corporate Bond Portfolio | |
Class Name | L | |
Trading Symbol | MGILX | |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about Morgan Stanley Institutional Fund Trust - Corporate Bond Portfolio for the period of October 1, 2023 to September 30, 2024. | |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report | |
Additional Information [Text Block] | You can find additional information about the Fund at www.morganstanley.com/im/shareholderreports | |
Additional Information Phone Number | 1-800-869-6397 | |
Additional Information Website | www.morganstanley.com/im/shareholderreports</span>" id="sjs-B92"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.morganstanley.com/im/shareholderreports</span> | |
Expenses [Text Block] | What were the Fund costs for the last year? (based on a hypothetical $10,000 investment) Class Name Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class L $100 0.93% | |
Expenses Paid, Amount | $ 100 | |
Expense Ratio, Percent | 0.93% | |
Factors Affecting Performance [Text Block] | How did the Fund perform last year and what affected its performance? Key contributors to (↑) and detractors from (↓) performance, relative to the Bloomberg U.S. Corporate Index: ↑ The portfolio’s overall investment grade credit positioning ↑ Overweight to high yield corporate bonds benefited as spreads tightened ↑ Overweight to investment grade financial institutions ↑ Overweight to certain subsectors and security selection within investment grade industrials ↑ Overweight to investment grade utilities ↑ The portfolio’s duration exposure ↓ Underweight to investment grade communications | |
Line Graph [Table Text Block] | Class L Bloomberg U.S. Universal Index Bloomberg U.S. Corporate Index 9/14 $10,000 $10,000 $10,000 10/14 $10,066 $10,098 $10,102 11/14 $10,120 $10,152 $10,170 12/14 $10,141 $10,134 $10,177 1/15 $10,387 $10,327 $10,485 2/15 $10,332 $10,267 $10,379 3/15 $10,341 $10,309 $10,412 4/15 $10,262 $10,297 $10,339 5/15 $10,198 $10,279 $10,272 6/15 $10,015 $10,164 $10,083 7/15 $10,037 $10,224 $10,151 8/15 $9,935 $10,194 $10,091 9/15 $9,935 $10,233 $10,166 10/15 $10,048 $10,266 $10,209 11/15 $10,001 $10,229 $10,186 12/15 $9,874 $10,178 $10,107 1/16 $9,800 $10,290 $10,143 2/16 $9,856 $10,363 $10,225 3/16 $10,742 $10,490 $10,508 4/16 $10,932 $10,562 $10,652 5/16 $10,914 $10,570 $10,644 6/16 $11,129 $10,756 $10,884 7/16 $11,309 $10,844 $11,043 8/16 $11,347 $10,856 $11,064 9/16 $11,630 $10,859 $11,037 10/16 $11,526 $10,787 $10,947 11/16 $11,222 $10,544 $10,653 12/16 $11,290 $10,576 $10,725 1/17 $11,367 $10,613 $10,758 2/17 $11,491 $10,695 $10,881 3/17 $11,453 $10,691 $10,856 4/17 $11,569 $10,780 $10,972 5/17 $11,684 $10,863 $11,098 6/17 $11,742 $10,854 $11,132 7/17 $11,829 $10,908 $11,213 8/17 $11,906 $11,002 $11,300 9/17 $11,887 $10,963 $11,281 10/17 $11,914 $10,976 $11,326 11/17 $11,885 $10,960 $11,310 12/17 $11,990 $11,008 $11,413 1/18 $11,882 $10,902 $11,304 2/18 $11,677 $10,799 $11,120 3/18 $11,677 $10,853 $11,148 4/18 $11,557 $10,781 $11,045 5/18 $11,597 $10,840 $11,104 6/18 $11,508 $10,824 $11,040 7/18 $11,636 $10,847 $11,132 8/18 $11,655 $10,900 $11,186 9/18 $11,626 $10,853 $11,147 10/18 $11,414 $10,763 $10,984 11/18 $11,354 $10,811 $10,966 12/18 $11,444 $10,980 $11,127 1/19 $11,744 $11,132 $11,388 2/19 $11,793 $11,144 $11,413 3/19 $12,083 $11,345 $11,699 4/19 $12,185 $11,361 $11,763 5/19 $12,315 $11,535 $11,931 6/19 $12,637 $11,698 $12,223 7/19 $12,729 $11,733 $12,291 8/19 $13,099 $11,998 $12,678 9/19 $13,000 $11,946 $12,595 10/19 $13,073 $11,985 $12,672 11/19 $13,107 $11,982 $12,704 12/19 $13,155 $12,000 $12,744 1/20 $13,442 $12,216 $13,043 2/20 $13,579 $12,399 $13,218 3/20 $12,513 $12,156 $12,281 4/20 $13,192 $12,400 $12,925 5/20 $13,448 $12,516 $13,127 6/20 $13,757 $12,620 $13,385 7/20 $14,188 $12,842 $13,820 8/20 $14,007 $12,768 $13,629 9/20 $13,970 $12,745 $13,590 10/20 $13,933 $12,699 $13,566 11/20 $14,353 $12,865 $13,944 12/20 $14,413 $12,909 $14,004 1/21 $14,198 $12,828 $13,825 2/21 $13,944 $12,663 $13,587 3/21 $13,690 $12,515 $13,353 4/21 $13,814 $12,621 $13,501 5/21 $13,873 $12,669 $13,605 6/21 $14,126 $12,761 $13,827 7/21 $14,304 $12,889 $14,016 8/21 $14,242 $12,881 $13,974 9/21 $14,081 $12,771 $13,827 10/21 $14,104 $12,760 $13,861 11/21 $14,074 $12,776 $13,870 12/21 $14,043 $12,767 $13,858 1/22 $13,595 $12,487 $13,392 2/22 $13,295 $12,317 $13,124 3/22 $12,965 $11,986 $12,793 4/22 $12,239 $11,539 $12,094 5/22 $12,291 $11,603 $12,207 6/22 $11,894 $11,371 $11,865 7/22 $12,276 $11,657 $12,249 8/22 $11,922 $11,354 $11,890 9/22 $11,289 $10,865 $11,265 10/22 $11,143 $10,745 $11,148 11/22 $11,697 $11,146 $11,726 12/22 $11,667 $11,108 $11,674 1/23 $12,160 $11,453 $12,142 2/23 $11,812 $11,171 $11,756 3/23 $12,089 $11,434 $12,083 4/23 $12,182 $11,503 $12,176 5/23 $12,020 $11,384 $11,999 6/23 $12,081 $11,366 $12,049 7/23 $12,143 $11,378 $12,090 8/23 $12,041 $11,309 $11,996 9/23 $11,704 $11,040 $11,676 10/23 $11,461 $10,874 $11,457 11/23 $12,153 $11,363 $12,142 12/23 $12,737 $11,794 $12,669 1/24 $12,737 $11,766 $12,647 2/24 $12,561 $11,625 $12,457 3/24 $12,733 $11,739 $12,618 4/24 $12,400 $11,465 $12,297 5/24 $12,633 $11,655 $12,527 6/24 $12,733 $11,761 $12,607 7/24 $13,018 $12,028 $12,907 8/24 $13,210 $12,205 $13,110 9/24 $13,427 $12,373 $13,343 | |
Average Annual Return [Table Text Block] | AATR 1 Year 5 Years 10 Years Class L 14.71% 0.65% 2.99% Bloomberg U.S. Universal Index Footnote Reference 12.08% 0.70% 2.15% Bloomberg U.S. Corporate Index 14.28% 1.16% 2.93% | |
AssetsNet | $ 124,472,852 | |
Holdings Count | Holding | 242 | |
Advisory Fees Paid, Amount | $ 113,800 | |
InvestmentCompanyPortfolioTurnover | 183% | |
Additional Fund Statistics [Text Block] | Key Fund Statistics Total Net Assets $124,472,852 # of Portfolio Holdings 242 Portfolio Turnover Rate 183% Total Advisory Fees Paid $113,800 | |
Holdings [Text Block] | Asset Allocation (% of total investments) Value Value Sovereign 0.2% Commercial Mortgage-Backed Securities 1.1% Investment Companies 1.3% Short-Term Investments 5.4% Corporate Bonds 92.0% Credit Quality (% of net assets) Footnote Reference Value Value Cash 3.3% Not Rated 1.3% B 0.5% BB 1.3% BBB 45.4% A 34.8% AA 10.3% AAA 3.1% Footnote Description Footnote a Security ratings disclosed with the exception for those labeled "Not Rated" is an aggregation of the highest security level rating amongst S&P Global Ratings, Moody's Investors Services, Inc., and Fitch Ratings, each a Nationally Recognized Statistical Ratings Organization. | |
Material Fund Change [Text Block] | | |
Updated Prospectus Web Address | www.morganstanley.com/im/shareholderreports</span>" id="sjs-B106"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.morganstanley.com/im/shareholderreports</span> | |
C000011562 | | |
Shareholder Report [Line Items] | | |
Fund Name | Morgan Stanley Institutional Fund Trust - Discovery Portfolio | |
Class Name | A | |
Trading Symbol | MACGX | |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about Morgan Stanley Institutional Fund Trust - Discovery Portfolio for the period of October 1, 2023 to September 30, 2024. | |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report | |
Additional Information [Text Block] | You can find additional information about the Fund at www.morganstanley.com/im/shareholderreports | |
Additional Information Phone Number | 1-800-869-6397 | |
Additional Information Website | www.morganstanley.com/im/shareholderreports</span>" id="sjs-B116"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.morganstanley.com/im/shareholderreports</span> | |
Expenses [Text Block] | What were the Fund costs for the last year? (based on a hypothetical $10,000 investment) Class Name Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class A $118 0.98% | |
Expenses Paid, Amount | $ 118 | |
Expense Ratio, Percent | 0.98% | |
Factors Affecting Performance [Text Block] | How did the Fund perform last year and what affected its performance? Key contributors to (↑) and detractors from (↓) performance, relative to the Russell Midcap ® ↑ Stock selection in consumer discretionary, ↑ Stock selection in financials, ↑ Stock selection and an average overweight in communication services, ↓ Stock selection in health care, ↓ Stock selection and an average underweight in industrials, ↓ No exposure to utilities. | |
Line Graph [Table Text Block] | Class A with maximum sales charge Russell 3000 ® Russell Midcap ® 9/14 $9,474 $10,000 $10,000 10/14 $9,871 $10,275 $10,276 11/14 $9,909 $10,524 $10,614 12/14 $9,721 $10,524 $10,584 1/15 $9,612 $10,231 $10,405 2/15 $10,213 $10,824 $11,122 3/15 $10,003 $10,713 $11,153 4/15 $10,065 $10,762 $11,075 5/15 $9,979 $10,911 $11,206 6/15 $9,945 $10,728 $11,026 7/15 $10,052 $10,908 $11,204 8/15 $9,281 $10,249 $10,553 9/15 $8,867 $9,951 $10,145 10/15 $8,904 $10,736 $10,783 11/15 $9,154 $10,796 $10,807 12/15 $9,126 $10,574 $10,563 1/16 $8,079 $9,978 $9,763 2/16 $7,729 $9,975 $9,916 3/16 $8,248 $10,677 $10,624 4/16 $8,272 $10,743 $10,617 5/16 $8,346 $10,935 $10,791 6/16 $8,429 $10,958 $10,790 7/16 $8,963 $11,393 $11,324 8/16 $8,966 $11,422 $11,291 9/16 $8,856 $11,440 $11,285 10/16 $8,328 $11,192 $10,827 11/16 $8,189 $11,693 $11,297 12/16 $7,881 $11,921 $11,337 1/17 $8,499 $12,145 $11,715 2/17 $8,612 $12,597 $12,052 3/17 $8,859 $12,606 $12,118 4/17 $9,246 $12,739 $12,298 5/17 $9,962 $12,870 $12,592 6/17 $10,023 $12,986 $12,629 7/17 $10,096 $13,231 $12,840 8/17 $10,363 $13,256 $12,931 9/17 $10,260 $13,579 $13,296 10/17 $10,564 $13,876 $13,668 11/17 $10,940 $14,297 $14,125 12/17 $10,946 $14,440 $14,201 1/18 $11,760 $15,201 $15,005 2/18 $11,905 $14,641 $14,534 3/18 $11,852 $14,347 $14,510 4/18 $11,698 $14,402 $14,373 5/18 $12,979 $14,808 $14,911 6/18 $13,378 $14,905 $14,968 7/18 $13,079 $15,400 $15,289 8/18 $14,889 $15,940 $16,171 9/18 $15,119 $15,967 $16,102 10/18 $13,417 $14,791 $14,507 11/18 $13,547 $15,087 $14,877 12/18 $12,238 $13,683 $13,527 1/19 $14,031 $14,858 $15,081 2/19 $15,236 $15,380 $15,965 3/19 $15,471 $15,605 $16,181 4/19 $16,373 $16,228 $16,908 5/19 $16,324 $15,178 $15,936 6/19 $17,441 $16,244 $17,055 7/19 $18,185 $16,485 $17,453 8/19 $17,695 $16,149 $17,135 9/19 $15,785 $16,433 $16,940 10/19 $15,814 $16,786 $17,254 11/19 $17,392 $17,424 $18,112 12/19 $17,072 $17,928 $18,324 1/20 $18,296 $17,908 $18,496 2/20 $18,138 $16,442 $17,220 3/20 $16,006 $14,181 $14,652 4/20 $19,815 $16,059 $16,947 5/20 $23,885 $16,918 $18,649 6/20 $27,161 $17,304 $19,086 7/20 $30,766 $18,287 $20,611 8/20 $32,614 $19,612 $21,172 9/20 $33,917 $18,898 $20,875 10/20 $33,464 $18,490 $20,901 11/20 $39,823 $20,739 $23,708 12/20 $41,290 $21,672 $24,845 1/21 $44,842 $21,576 $24,763 2/21 $45,901 $22,250 $25,185 3/21 $40,367 $23,048 $24,705 4/21 $41,501 $24,236 $26,093 5/21 $39,246 $24,346 $25,694 6/21 $44,293 $24,947 $27,440 7/21 $41,863 $25,369 $27,723 8/21 $42,199 $26,092 $28,618 9/21 $40,031 $24,921 $27,232 10/21 $44,517 $26,607 $29,141 11/21 $41,352 $26,202 $27,910 12/21 $36,256 $27,234 $28,008 1/22 $27,965 $25,631 $24,394 2/22 $27,437 $24,986 $24,097 3/22 $25,967 $25,796 $24,484 4/22 $20,031 $23,481 $21,727 5/22 $16,357 $23,450 $20,886 6/22 $15,132 $21,488 $19,325 7/22 $17,318 $23,504 $21,690 8/22 $17,450 $22,627 $20,980 9/22 $15,471 $20,528 $19,199 10/22 $15,584 $22,212 $20,708 11/22 $14,679 $23,371 $21,834 12/22 $13,228 $22,003 $20,524 1/23 $15,509 $23,518 $22,315 2/23 $14,924 $22,968 $22,095 3/23 $15,452 $23,583 $22,399 4/23 $14,397 $23,834 $22,074 5/23 $15,622 $23,927 $22,088 6/23 $17,167 $25,560 $23,795 7/23 $18,674 $26,477 $24,515 8/23 $16,752 $25,966 $23,707 9/23 $15,848 $24,729 $22,552 10/23 $14,435 $24,073 $21,401 11/23 $16,526 $26,318 $24,012 12/23 $19,353 $27,714 $25,833 1/24 $17,732 $28,021 $25,694 2/24 $20,088 $29,538 $27,625 3/24 $20,841 $30,491 $28,286 4/24 $18,693 $29,149 $26,643 5/24 $18,750 $30,526 $26,927 6/24 $19,428 $31,471 $27,377 7/24 $19,843 $32,056 $27,543 8/24 $21,124 $32,754 $28,227 9/24 $22,368 $33,432 $29,168 | |
Average Annual Return [Table Text Block] | AATR 1 Year 5 Years 10 Years Class A 41.14% 7.22% 8.97% Class A with maximum 5.25% sales charge 33.67% 6.07% 8.38% Russell 3000 ® Index Footnote Reference 35.19% 15.26% 12.83% Russell Midcap ® 29.34% 11.48% 11.30% | |
AssetsNet | $ 898,865,646 | |
Holdings Count | Holding | 41 | |
Advisory Fees Paid, Amount | $ 4,544,247 | |
InvestmentCompanyPortfolioTurnover | 46% | |
Additional Fund Statistics Significance or Limits [Text Block] | Key Fund Statistics Total Net Assets $898,865,646 # of Portfolio Holdings 41 Portfolio Turnover Rate 46% Total Advisory Fees Paid $4,544,247 | |
Holdings [Text Block] | Sector Allocation (% of total investments) Value Value Industrials 0.2% Consumer Staples 1.5% Short-Term Investments 1.9% Communication Services 12.9% Health Care 12.9% Financials 13.2% Consumer Discretionary 21.5% Information Technology 35.9% Top Ten Holdings (% of total investments) Footnote Reference DoorDash, Inc., Class A 8.5% Cloudflare, Inc., Class A 7.5% Trade Desk, Inc., Class A 7.4% Affirm Holdings, Inc. 6.8% Samsara, Inc., Class A 6.8% ROBLOX Corp., Class A 5.5% Global-e Online Ltd. 5.3% Carvana Co. 4.9% Royalty Pharma PLC, Class A 4.5% MicroStrategy, Inc., Class A 4.3% Total 61.5% Footnote Description Footnote a Excluding cash equivalents | |
Material Fund Change [Text Block] | | |
Updated Prospectus Web Address | www.morganstanley.com/im/shareholderreports</span>" id="sjs-B130"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.morganstanley.com/im/shareholderreports</span> | |
C000155934 | | |
Shareholder Report [Line Items] | | |
Fund Name | Morgan Stanley Institutional Fund Trust - Discovery Portfolio | |
Class Name | C | |
Trading Symbol | MSMFX | |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about Morgan Stanley Institutional Fund Trust - Discovery Portfolio for the period of October 1, 2023 to September 30, 2024. | |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report | |
Additional Information [Text Block] | You can find additional information about the Fund at www.morganstanley.com/im/shareholderreports | |
Additional Information Phone Number | 1-800-869-6397 | |
Additional Information Website | www.morganstanley.com/im/shareholderreports</span>" id="sjs-B140"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.morganstanley.com/im/shareholderreports</span> | |
Expenses [Text Block] | What were the Fund costs for the last year? (based on a hypothetical $10,000 investment) Class Name Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class C $211 1.76% | |
Expenses Paid, Amount | $ 211 | |
Expense Ratio, Percent | 1.76% | |
Factors Affecting Performance [Text Block] | How did the Fund perform last year and what affected its performance? Key contributors to (↑) and detractors from (↓) performance, relative to the Russell Midcap ® ↑ Stock selection in consumer discretionary, ↑ Stock selection in financials, ↑ Stock selection and an average overweight in communication services, ↓ Stock selection in health care, ↓ Stock selection and an average underweight in industrials, ↓ No exposure to utilities. | |
Line Graph [Table Text Block] | Class C Russell 3000 ® Russell Midcap ® 5/17 $10,000 $10,000 $10,000 6/17 $10,052 $10,000 $10,000 7/17 $10,114 $10,280 $10,197 8/17 $10,377 $10,300 $10,269 9/17 $10,264 $10,552 $10,560 10/17 $10,558 $10,782 $10,855 11/17 $10,931 $11,109 $11,218 12/17 $10,924 $11,220 $11,278 1/18 $11,727 $11,812 $11,916 2/18 $11,858 $11,376 $11,542 3/18 $11,804 $11,148 $11,523 4/18 $11,642 $11,190 $11,415 5/18 $12,908 $11,506 $11,842 6/18 $13,287 $11,581 $11,887 7/18 $12,986 $11,966 $12,142 8/18 $14,769 $12,386 $12,842 9/18 $14,993 $12,406 $12,788 10/18 $13,287 $11,493 $11,521 11/18 $13,410 $11,723 $11,815 12/18 $12,107 $10,632 $10,742 1/19 $13,870 $11,545 $11,977 2/19 $15,049 $11,951 $12,679 3/19 $15,267 $12,125 $12,850 4/19 $16,149 $12,609 $13,428 5/19 $16,090 $11,793 $12,656 6/19 $17,179 $12,622 $13,544 7/19 $17,903 $12,809 $13,861 8/19 $17,407 $12,548 $13,608 9/19 $15,525 $12,768 $13,453 10/19 $15,535 $13,043 $13,703 11/19 $17,070 $13,539 $14,384 12/19 $16,746 $13,930 $14,553 1/20 $17,944 $13,915 $14,689 2/20 $17,771 $12,776 $13,676 3/20 $15,675 $11,019 $11,636 4/20 $19,395 $12,478 $13,459 5/20 $23,368 $13,145 $14,811 6/20 $26,547 $13,446 $15,158 7/20 $30,060 $14,209 $16,369 8/20 $31,845 $15,239 $16,814 9/20 $33,100 $14,684 $16,578 10/20 $32,639 $14,367 $16,599 11/20 $38,813 $16,115 $18,828 12/20 $40,220 $16,840 $19,732 1/21 $43,653 $16,765 $19,666 2/21 $44,658 $17,289 $20,002 3/21 $39,254 $17,908 $19,620 4/21 $40,335 $18,832 $20,722 5/21 $38,122 $18,918 $20,406 6/21 $42,992 $19,384 $21,792 7/21 $40,614 $19,712 $22,017 8/21 $40,920 $20,274 $22,728 9/21 $38,796 $19,364 $21,627 10/21 $43,119 $20,674 $23,143 11/21 $40,029 $20,359 $22,165 12/21 $35,085 $21,161 $22,243 1/22 $27,036 $19,916 $19,373 2/22 $26,521 $19,414 $19,138 3/22 $25,078 $20,044 $19,445 4/22 $19,322 $18,245 $17,255 5/22 $15,782 $18,221 $16,587 6/22 $14,576 $16,696 $15,347 7/22 $16,672 $18,263 $17,226 8/22 $16,791 $17,581 $16,661 9/22 $14,873 $15,951 $15,247 10/22 $14,971 $17,259 $16,446 11/22 $14,101 $18,160 $17,340 12/22 $12,697 $17,097 $16,300 1/23 $14,873 $18,274 $17,722 2/23 $14,299 $17,847 $17,547 3/23 $14,793 $18,324 $17,789 4/23 $13,785 $18,519 $17,531 5/23 $14,952 $18,591 $17,542 6/23 $16,415 $19,861 $18,898 7/23 $17,839 $20,573 $19,469 8/23 $15,980 $20,176 $18,828 9/23 $15,130 $19,215 $17,910 10/23 $13,765 $18,705 $16,996 11/23 $15,743 $20,450 $19,070 12/23 $18,432 $21,534 $20,516 1/24 $16,870 $21,773 $20,405 2/24 $19,105 $22,952 $21,939 3/24 $19,797 $23,692 $22,464 4/24 $17,740 $22,649 $21,159 5/24 $17,800 $23,720 $21,385 6/24 $18,432 $24,454 $21,742 7/24 $18,808 $24,908 $21,874 8/24 $20,015 $25,451 $22,417 9/24 $21,182 $25,977 $23,164 | |
Average Annual Return [Table Text Block] | AATR 1 Year 5 Years Since 5/31/17 (Inception) Class C 40.00% 6.41% 10.78% Class C with maximum deferred sales charge 39.00% 6.41% 10.78% Russell 3000 ® Index Footnote Reference 35.19% 15.26% 13.90% Russell Midcap ® 29.34% 11.48% 12.14% | |
Performance Inception Date | May 31, 2017 | |
AssetsNet | $ 898,865,646 | |
Holdings Count | Holding | 41 | |
Advisory Fees Paid, Amount | $ 4,544,247 | |
InvestmentCompanyPortfolioTurnover | 46% | |
Additional Fund Statistics Significance or Limits [Text Block] | Key Fund Statistics Total Net Assets $898,865,646 # of Portfolio Holdings 41 Portfolio Turnover Rate 46% Total Advisory Fees Paid $4,544,247 | |
Holdings [Text Block] | Sector Allocation (% of total investments) Value Value Industrials 0.2% Consumer Staples 1.5% Short-Term Investments 1.9% Communication Services 12.9% Health Care 12.9% Financials 13.2% Consumer Discretionary 21.5% Information Technology 35.9% Top Ten Holdings (% of total investments) Footnote Reference DoorDash, Inc., Class A 8.5% Cloudflare, Inc., Class A 7.5% Trade Desk, Inc., Class A 7.4% Affirm Holdings, Inc. 6.8% Samsara, Inc., Class A 6.8% ROBLOX Corp., Class A 5.5% Global-e Online Ltd. 5.3% Carvana Co. 4.9% Royalty Pharma PLC, Class A 4.5% MicroStrategy, Inc., Class A 4.3% Total 61.5% Footnote Description Footnote a Excluding cash equivalents | |
Material Fund Change [Text Block] | | |
Updated Prospectus Web Address | www.morganstanley.com/im/shareholderreports</span>" id="sjs-B155"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.morganstanley.com/im/shareholderreports</span> | |
C000011563 | | |
Shareholder Report [Line Items] | | |
Fund Name | Morgan Stanley Institutional Fund Trust - Discovery Portfolio | |
Class Name | I | |
Trading Symbol | MPEGX | |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about Morgan Stanley Institutional Fund Trust - Discovery Portfolio for the period of October 1, 2023 to September 30, 2024. | |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report | |
Additional Information [Text Block] | You can find additional information about the Fund at www.morganstanley.com/im/shareholderreports | |
Additional Information Phone Number | 1-800-869-6397 | |
Additional Information Website | www.morganstanley.com/im/shareholderreports</span>" id="sjs-B165"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.morganstanley.com/im/shareholderreports</span> | |
Expenses [Text Block] | What were the Fund costs for the last year? (based on a hypothetical $10,000 investment) Class Name Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class I $87 0.72% | |
Expenses Paid, Amount | $ 87 | |
Expense Ratio, Percent | 0.72% | |
Factors Affecting Performance [Text Block] | How did the Fund perform last year and what affected its performance? Key contributors to (↑) and detractors from (↓) performance, relative to the Russell Midcap ® ↑ Stock selection in consumer discretionary, ↑ Stock selection in financials, ↑ Stock selection and an average overweight in communication services, ↓ Stock selection in health care, ↓ Stock selection and an average underweight in industrials, ↓ No exposure to utilities. | |
Line Graph [Table Text Block] | Class I Russell 3000 ® Russell Midcap ® 9/14 $1,000,000 $1,000,000 $1,000,000 10/14 $1,041,806 $1,027,513 $1,027,611 11/14 $1,046,054 $1,052,414 $1,061,386 12/14 $1,026,390 $1,052,402 $1,058,378 1/15 $1,015,432 $1,023,112 $1,040,546 2/15 $1,079,092 $1,082,351 $1,112,164 3/15 $1,056,916 $1,071,348 $1,115,298 4/15 $1,063,960 $1,076,194 $1,107,469 5/15 $1,055,089 $1,091,079 $1,120,621 6/15 $1,051,697 $1,072,825 $1,102,573 7/15 $1,063,177 $1,090,768 $1,120,440 8/15 $981,776 $1,024,919 $1,055,252 9/15 $938,205 $995,053 $1,014,483 10/15 $942,118 $1,073,648 $1,078,333 11/15 $968,731 $1,079,600 $1,080,688 12/15 $966,264 $1,057,440 $1,056,261 1/16 $855,589 $997,774 $976,302 2/16 $818,993 $997,453 $991,603 3/16 $873,887 $1,067,679 $1,062,378 4/16 $876,544 $1,074,296 $1,061,733 5/16 $884,512 $1,093,516 $1,079,145 6/16 $893,366 $1,095,764 $1,078,979 7/16 $950,622 $1,139,252 $1,132,416 8/16 $951,212 $1,142,158 $1,129,090 9/16 $939,997 $1,143,953 $1,128,525 10/16 $883,922 $1,119,203 $1,082,677 11/16 $869,460 $1,169,290 $1,129,745 12/16 $836,763 $1,192,107 $1,133,669 1/17 $902,862 $1,214,544 $1,171,466 2/17 $915,102 $1,259,715 $1,205,152 3/17 $941,542 $1,260,572 $1,211,830 4/17 $983,160 $1,273,934 $1,229,807 5/17 $1,059,541 $1,286,971 $1,259,172 6/17 $1,065,906 $1,298,586 $1,262,907 7/17 $1,073,740 $1,323,070 $1,284,006 8/17 $1,102,627 $1,325,620 $1,293,066 9/17 $1,091,856 $1,357,949 $1,329,627 10/17 $1,124,660 $1,387,582 $1,366,833 11/17 $1,165,299 $1,429,716 $1,412,518 12/17 $1,166,026 $1,444,006 $1,420,125 1/18 $1,253,322 $1,520,120 $1,500,473 2/18 $1,268,564 $1,464,089 $1,453,375 3/18 $1,263,714 $1,434,699 $1,451,004 4/18 $1,247,779 $1,440,152 $1,437,300 5/18 $1,384,266 $1,480,808 $1,491,058 6/18 $1,427,221 $1,490,492 $1,496,818 7/18 $1,396,044 $1,539,955 $1,528,948 8/18 $1,588,649 $1,594,035 $1,617,075 9/18 $1,614,284 $1,596,674 $1,610,196 10/18 $1,432,763 $1,479,106 $1,450,749 11/18 $1,446,620 $1,508,731 $1,487,651 12/18 $1,307,635 $1,368,314 $1,352,660 1/19 $1,499,410 $1,485,762 $1,508,096 2/19 $1,628,391 $1,538,015 $1,596,525 3/19 $1,653,848 $1,560,473 $1,618,065 4/19 $1,751,433 $1,622,785 $1,690,829 5/19 $1,746,342 $1,517,772 $1,593,556 6/19 $1,865,140 $1,624,375 $1,705,470 7/19 $1,946,602 $1,648,522 $1,745,289 8/19 $1,893,143 $1,614,916 $1,713,499 9/19 $1,690,336 $1,643,259 $1,693,984 10/19 $1,693,731 $1,678,633 $1,725,387 11/19 $1,861,746 $1,742,441 $1,811,227 12/19 $1,828,099 $1,792,752 $1,832,444 1/20 $1,960,584 $1,790,794 $1,849,591 2/20 $1,943,428 $1,644,176 $1,722,049 3/20 $1,715,630 $1,418,072 $1,465,223 4/20 $2,124,522 $1,605,882 $1,694,665 5/20 $2,562,008 $1,691,762 $1,864,902 6/20 $2,912,759 $1,730,439 $1,908,613 7/20 $3,300,682 $1,828,699 $2,061,093 8/20 $3,499,886 $1,961,178 $2,117,165 9/20 $3,639,996 $1,889,770 $2,087,518 10/20 $3,592,339 $1,848,982 $2,090,077 11/20 $4,275,732 $2,073,917 $2,370,814 12/20 $4,434,285 $2,167,218 $2,484,547 1/21 $4,816,887 $2,157,579 $2,476,250 2/21 $4,931,770 $2,225,019 $2,518,539 3/21 $4,337,865 $2,304,770 $2,470,503 4/21 $4,461,980 $2,423,579 $2,609,313 5/21 $4,219,905 $2,434,642 $2,569,438 6/21 $4,762,523 $2,494,678 $2,744,040 7/21 $4,503,010 $2,536,865 $2,772,303 8/21 $4,540,962 $2,609,210 $2,861,787 9/21 $4,308,119 $2,492,141 $2,723,187 10/21 $4,792,269 $2,660,670 $2,914,123 11/21 $4,452,748 $2,620,172 $2,790,996 12/21 $3,905,574 $2,723,350 $2,800,785 1/22 $3,012,911 $2,563,119 $2,439,360 2/22 $2,956,168 $2,498,556 $2,409,748 3/22 $2,799,779 $2,579,600 $2,448,437 4/22 $2,158,999 $2,348,100 $2,172,744 5/22 $1,763,183 $2,344,952 $2,088,640 6/22 $1,631,705 $2,148,777 $1,932,509 7/22 $1,866,981 $2,350,370 $2,169,002 8/22 $1,882,204 $2,262,656 $2,097,957 9/22 $1,669,072 $2,052,842 $1,919,889 10/22 $1,681,528 $2,221,188 $2,070,778 11/22 $1,584,650 $2,337,125 $2,183,435 12/22 $1,429,645 $2,200,278 $2,052,389 1/23 $1,674,608 $2,351,818 $2,231,486 2/23 $1,612,329 $2,296,849 $2,209,455 3/23 $1,669,072 $2,358,265 $2,239,893 4/23 $1,555,586 $2,383,391 $2,207,448 5/23 $1,689,832 $2,392,664 $2,208,812 6/23 $1,855,909 $2,556,048 $2,379,534 7/23 $2,019,218 $2,647,674 $2,451,536 8/23 $1,811,622 $2,596,564 $2,370,712 9/23 $1,714,743 $2,472,879 $2,255,228 10/23 $1,561,122 $2,407,326 $2,140,147 11/23 $1,788,094 $2,631,805 $2,401,241 12/23 $2,096,720 $2,771,401 $2,583,277 1/24 $1,920,956 $2,802,116 $2,569,360 2/24 $2,175,607 $2,953,796 $2,762,542 3/24 $2,257,261 $3,049,077 $2,828,599 4/24 $2,024,754 $2,914,913 $2,664,326 5/24 $2,033,057 $3,052,634 $2,692,727 6/24 $2,106,408 $3,147,135 $2,737,707 7/24 $2,152,079 $3,205,637 $2,754,299 8/24 $2,290,477 $3,275,420 $2,822,729 9/24 $2,427,490 $3,343,175 $2,916,789 | |
Average Annual Return [Table Text Block] | AATR 1 Year 5 Years 10 Years Class I 41.57% 7.51% 9.27% Russell 3000 ® Index Footnote Reference 35.19% 15.26% 12.83% Russell Midcap ® 29.34% 11.48% 11.30% | |
AssetsNet | $ 898,865,646 | |
Holdings Count | Holding | 41 | |
Advisory Fees Paid, Amount | $ 4,544,247 | |
InvestmentCompanyPortfolioTurnover | 46% | |
Additional Fund Statistics Significance or Limits [Text Block] | Key Fund Statistics Total Net Assets $898,865,646 # of Portfolio Holdings 41 Portfolio Turnover Rate 46% Total Advisory Fees Paid $4,544,247 | |
Holdings [Text Block] | Sector Allocation (% of total investments) Value Value Industrials 0.2% Consumer Staples 1.5% Short-Term Investments 1.9% Communication Services 12.9% Health Care 12.9% Financials 13.2% Consumer Discretionary 21.5% Information Technology 35.9% Top Ten Holdings (% of total investments) Footnote Reference DoorDash, Inc., Class A 8.5% Cloudflare, Inc., Class A 7.5% Trade Desk, Inc., Class A 7.4% Affirm Holdings, Inc. 6.8% Samsara, Inc., Class A 6.8% ROBLOX Corp., Class A 5.5% Global-e Online Ltd. 5.3% Carvana Co. 4.9% Royalty Pharma PLC, Class A 4.5% MicroStrategy, Inc., Class A 4.3% Total 61.5% Footnote Description Footnote a Excluding cash equivalents | |
Material Fund Change [Text Block] | | |
Updated Prospectus Web Address | www.morganstanley.com/im/shareholderreports</span>" id="sjs-B179"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.morganstanley.com/im/shareholderreports</span> | |
C000113795 | | |
Shareholder Report [Line Items] | | |
Fund Name | Morgan Stanley Institutional Fund Trust - Discovery Portfolio | |
Class Name | L | |
Trading Symbol | MSKLX | |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about Morgan Stanley Institutional Fund Trust - Discovery Portfolio for the period of October 1, 2023 to September 30, 2024. | |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report | |
Additional Information [Text Block] | You can find additional information about the Fund at www.morganstanley.com/im/shareholderreports | |
Additional Information Phone Number | 1-800-869-6397 | |
Additional Information Website | www.morganstanley.com/im/shareholderreports</span>" id="sjs-B189"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.morganstanley.com/im/shareholderreports</span> | |
Expenses [Text Block] | What were the Fund costs for the last year? (based on a hypothetical $10,000 investment) Class Name Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class L $182 1.51% | |
Expenses Paid, Amount | $ 182 | |
Expense Ratio, Percent | 1.51% | |
Factors Affecting Performance [Text Block] | How did the Fund perform last year and what affected its performance? Key contributors to (↑) and detractors from (↓) performance, relative to the Russell Midcap ® ↑ Stock selection in consumer discretionary, ↑ Stock selection in financials, ↑ Stock selection and an average overweight in communication services, ↓ Stock selection in health care, ↓ Stock selection and an average underweight in industrials, ↓ No exposure to utilities. | |
Line Graph [Table Text Block] | Class L Russell 3000 ® Russell Midcap ® 9/14 $10,000 $10,000 $10,000 10/14 $10,412 $10,275 $10,276 11/14 $10,445 $10,524 $10,614 12/14 $10,245 $10,524 $10,584 1/15 $10,125 $10,231 $10,405 2/15 $10,755 $10,824 $11,122 3/15 $10,526 $10,713 $11,153 4/15 $10,590 $10,762 $11,075 5/15 $10,493 $10,911 $11,206 6/15 $10,454 $10,728 $11,026 7/15 $10,563 $10,908 $11,204 8/15 $9,746 $10,249 $10,553 9/15 $9,306 $9,951 $10,145 10/15 $9,342 $10,736 $10,783 11/15 $9,598 $10,796 $10,807 12/15 $9,566 $10,574 $10,563 1/16 $8,464 $9,978 $9,763 2/16 $8,098 $9,975 $9,916 3/16 $8,636 $10,677 $10,624 4/16 $8,655 $10,743 $10,617 5/16 $8,728 $10,935 $10,791 6/16 $8,808 $10,958 $10,790 7/16 $9,362 $11,393 $11,324 8/16 $9,359 $11,422 $11,291 9/16 $9,238 $11,440 $11,285 10/16 $8,684 $11,192 $10,827 11/16 $8,534 $11,693 $11,297 12/16 $8,209 $11,921 $11,337 1/17 $8,848 $12,145 $11,715 2/17 $8,961 $12,597 $12,052 3/17 $9,210 $12,606 $12,118 4/17 $9,612 $12,739 $12,298 5/17 $10,353 $12,870 $12,592 6/17 $10,404 $12,986 $12,629 7/17 $10,472 $13,231 $12,840 8/17 $10,749 $13,256 $12,931 9/17 $10,630 $13,579 $13,296 10/17 $10,941 $13,876 $13,668 11/17 $11,332 $14,297 $14,125 12/17 $11,324 $14,440 $14,201 1/18 $12,167 $15,201 $15,005 2/18 $12,306 $14,641 $14,534 3/18 $12,254 $14,347 $14,510 4/18 $12,089 $14,402 $14,373 5/18 $13,409 $14,808 $14,911 6/18 $13,808 $14,905 $14,968 7/18 $13,504 $15,400 $15,289 8/18 $15,354 $15,940 $16,171 9/18 $15,597 $15,967 $16,102 10/18 $13,825 $14,791 $14,507 11/18 $13,956 $15,087 $14,877 12/18 $12,613 $13,683 $13,527 1/19 $14,449 $14,858 $15,081 2/19 $15,681 $15,380 $15,965 3/19 $15,920 $15,605 $16,181 4/19 $16,844 $16,228 $16,908 5/19 $16,775 $15,178 $15,936 6/19 $17,916 $16,244 $17,055 7/19 $18,680 $16,485 $17,453 8/19 $18,155 $16,149 $17,135 9/19 $16,205 $16,433 $16,940 10/19 $16,217 $16,786 $17,254 11/19 $17,824 $17,424 $18,112 12/19 $17,498 $17,928 $18,324 1/20 $18,738 $17,908 $18,496 2/20 $18,562 $16,442 $17,220 3/20 $16,379 $14,181 $14,652 4/20 $20,274 $16,059 $16,947 5/20 $24,440 $16,918 $18,649 6/20 $27,770 $17,304 $19,086 7/20 $31,436 $18,287 $20,611 8/20 $33,310 $19,612 $21,172 9/20 $34,631 $18,898 $20,875 10/20 $34,146 $18,490 $20,901 11/20 $40,616 $20,739 $23,708 12/20 $42,103 $21,672 $24,845 1/21 $45,704 $21,576 $24,763 2/21 $46,774 $22,250 $25,185 3/21 $41,108 $23,048 $24,705 4/21 $42,253 $24,236 $26,093 5/21 $39,948 $24,346 $25,694 6/21 $45,056 $24,947 $27,440 7/21 $42,570 $25,369 $27,723 8/21 $42,916 $26,092 $28,618 9/21 $40,686 $24,921 $27,232 10/21 $45,222 $26,607 $29,141 11/21 $41,997 $26,202 $27,910 12/21 $36,814 $27,234 $28,008 1/22 $28,381 $25,631 $24,394 2/22 $27,825 $24,986 $24,097 3/22 $26,335 $25,796 $24,484 4/22 $20,301 $23,481 $21,727 5/22 $16,564 $23,450 $20,886 6/22 $15,327 $21,488 $19,325 7/22 $17,523 $23,504 $21,690 8/22 $17,649 $22,627 $20,980 9/22 $15,655 $20,528 $19,199 10/22 $15,756 $22,212 $20,708 11/22 $14,822 $23,371 $21,834 12/22 $13,357 $22,003 $20,524 1/23 $15,655 $23,518 $22,315 2/23 $15,049 $22,968 $22,095 3/23 $15,579 $23,583 $22,399 4/23 $14,519 $23,834 $22,074 5/23 $15,756 $23,927 $22,088 6/23 $17,296 $25,560 $23,795 7/23 $18,786 $26,477 $24,515 8/23 $16,842 $25,966 $23,707 9/23 $15,933 $24,729 $22,552 10/23 $14,493 $24,073 $21,401 11/23 $16,614 $26,318 $24,012 12/23 $19,442 $27,714 $25,833 1/24 $17,801 $28,021 $25,694 2/24 $20,149 $29,538 $27,625 3/24 $20,907 $30,491 $28,286 4/24 $18,735 $29,149 $26,643 5/24 $18,786 $30,526 $26,927 6/24 $19,467 $31,471 $27,377 7/24 $19,871 $32,056 $27,543 8/24 $21,134 $32,754 $28,227 9/24 $22,396 $33,432 $29,168 | |
Average Annual Return [Table Text Block] | AATR 1 Year 5 Years 10 Years Class L 40.57% 6.69% 8.40% Russell 3000 ® Index Footnote Reference 35.19% 15.26% 12.83% Russell Midcap ® 29.34% 11.48% 11.30% | |
AssetsNet | $ 898,865,646 | |
Holdings Count | Holding | 41 | |
Advisory Fees Paid, Amount | $ 4,544,247 | |
InvestmentCompanyPortfolioTurnover | 46% | |
Additional Fund Statistics Significance or Limits [Text Block] | Key Fund Statistics Total Net Assets $898,865,646 # of Portfolio Holdings 41 Portfolio Turnover Rate 46% Total Advisory Fees Paid $4,544,247 | |
Holdings [Text Block] | Sector Allocation (% of total investments) Value Value Industrials 0.2% Consumer Staples 1.5% Short-Term Investments 1.9% Communication Services 12.9% Health Care 12.9% Financials 13.2% Consumer Discretionary 21.5% Information Technology 35.9% Top Ten Holdings (% of total investments) Footnote Reference DoorDash, Inc., Class A 8.5% Cloudflare, Inc., Class A 7.5% Trade Desk, Inc., Class A 7.4% Affirm Holdings, Inc. 6.8% Samsara, Inc., Class A 6.8% ROBLOX Corp., Class A 5.5% Global-e Online Ltd. 5.3% Carvana Co. 4.9% Royalty Pharma PLC, Class A 4.5% MicroStrategy, Inc., Class A 4.3% Total 61.5% Footnote Description Footnote a Excluding cash equivalents | |
Material Fund Change [Text Block] | | |
Updated Prospectus Web Address | www.morganstanley.com/im/shareholderreports</span>" id="sjs-B203"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.morganstanley.com/im/shareholderreports</span> | |
C000129401 | | |
Shareholder Report [Line Items] | | |
Fund Name | Morgan Stanley Institutional Fund Trust - Discovery Portfolio | |
Class Name | R6 | |
Trading Symbol | MMCGX | |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about Morgan Stanley Institutional Fund Trust - Discovery Portfolio for the period of October 1, 2023 to September 30, 2024. | |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report | |
Additional Information [Text Block] | You can find additional information about the Fund at www.morganstanley.com/im/shareholderreports | |
Additional Information Phone Number | 1-800-869-6397 | |
Additional Information Website | www.morganstanley.com/im/shareholderreports</span>" id="sjs-B213"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.morganstanley.com/im/shareholderreports</span> | |
Expenses [Text Block] | What were the Fund costs for the last year? (based on a hypothetical $10,000 investment) Class Name Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class R6 $74 0.61% | |
Expenses Paid, Amount | $ 74 | |
Expense Ratio, Percent | 0.61% | |
Factors Affecting Performance [Text Block] | How did the Fund perform last year and what affected its performance? Key contributors to (↑) and detractors from (↓) performance, relative to the Russell Midcap ® ↑ Stock selection in consumer discretionary, ↑ Stock selection in financials, ↑ Stock selection and an average overweight in communication services, ↓ Stock selection in health care, ↓ Stock selection and an average underweight in industrials, ↓ No exposure to utilities. | |
Line Graph [Table Text Block] | Class R6 Russell 3000 ® Russell Midcap ® 9/14 $5,000,000 $5,000,000 $5,000,000 10/14 $5,210,938 $5,137,566 $5,138,057 11/14 $5,232,143 $5,262,069 $5,306,931 12/14 $5,134,494 $5,262,010 $5,291,890 1/15 $5,079,719 $5,115,560 $5,202,729 2/15 $5,399,239 $5,411,756 $5,560,819 3/15 $5,288,385 $5,356,740 $5,576,492 4/15 $5,324,902 $5,380,970 $5,537,347 5/15 $5,280,560 $5,455,396 $5,603,105 6/15 $5,263,606 $5,364,125 $5,512,863 7/15 $5,322,294 $5,453,842 $5,602,199 8/15 $4,915,395 $5,124,596 $5,276,258 9/15 $4,698,903 $4,975,266 $5,072,415 10/15 $4,719,770 $5,368,239 $5,391,663 11/15 $4,852,795 $5,397,998 $5,403,438 12/15 $4,840,474 $5,287,202 $5,281,303 1/16 $4,287,403 $4,988,870 $4,881,508 2/16 $4,104,521 $4,987,263 $4,958,017 3/16 $4,380,319 $5,338,397 $5,311,888 4/16 $4,393,593 $5,371,482 $5,308,663 5/16 $4,434,888 $5,467,580 $5,395,723 6/16 $4,480,609 $5,478,822 $5,394,896 7/16 $4,765,256 $5,696,260 $5,662,080 8/16 $4,768,206 $5,710,790 $5,645,449 9/16 $4,710,686 $5,719,767 $5,642,626 10/16 $4,431,939 $5,596,017 $5,413,383 11/16 $4,359,671 $5,846,451 $5,648,723 12/16 $4,196,542 $5,960,533 $5,668,347 1/17 $4,528,555 $6,072,722 $5,857,329 2/17 $4,589,586 $6,298,576 $6,025,759 3/17 $4,721,415 $6,302,861 $6,059,148 4/17 $4,928,923 $6,369,670 $6,149,034 5/17 $5,312,202 $6,434,857 $6,295,862 6/17 $5,346,380 $6,492,928 $6,314,535 7/17 $5,385,440 $6,615,352 $6,420,028 8/17 $5,529,475 $6,628,098 $6,465,331 9/17 $5,475,767 $6,789,743 $6,648,136 10/17 $5,639,332 $6,937,910 $6,834,166 11/17 $5,841,957 $7,148,580 $7,062,589 12/17 $5,847,887 $7,220,030 $7,100,624 1/18 $6,285,531 $7,600,601 $7,502,365 2/18 $6,361,344 $7,320,446 $7,266,873 3/18 $6,337,222 $7,173,495 $7,255,018 4/18 $6,257,963 $7,200,759 $7,186,501 5/18 $6,943,720 $7,404,039 $7,455,290 6/18 $7,157,373 $7,452,460 $7,484,091 7/18 $7,002,302 $7,699,777 $7,644,742 8/18 $7,970,633 $7,970,176 $8,085,376 9/18 $8,098,135 $7,983,369 $8,050,978 10/18 $7,184,941 $7,395,532 $7,253,744 11/18 $7,257,308 $7,543,654 $7,438,253 12/18 $6,563,333 $6,841,571 $6,763,299 1/19 $7,523,821 $7,428,810 $7,540,479 2/19 $8,172,572 $7,690,075 $7,982,625 3/19 $8,303,164 $7,802,364 $8,090,326 4/19 $8,787,621 $8,113,927 $8,454,147 5/19 $8,766,558 $7,588,860 $7,967,782 6/19 $9,364,756 $8,121,876 $8,527,351 7/19 $9,769,172 $8,242,608 $8,726,444 8/19 $9,503,774 $8,074,580 $8,567,493 9/19 $8,484,309 $8,216,296 $8,469,920 10/19 $8,501,160 $8,393,167 $8,626,933 11/19 $9,352,118 $8,712,206 $9,056,136 12/19 $9,185,824 $8,963,761 $9,162,222 1/20 $9,847,354 $8,953,970 $9,247,954 2/20 $9,762,300 $8,220,879 $8,610,246 3/20 $8,618,798 $7,090,362 $7,326,116 4/20 $10,674,267 $8,029,411 $8,473,325 5/20 $12,871,494 $8,458,811 $9,324,509 6/20 $14,638,725 $8,652,195 $9,543,065 7/20 $16,585,515 $9,143,496 $10,305,464 8/20 $17,587,261 $9,805,891 $10,585,825 9/20 $18,296,044 $9,448,848 $10,437,591 10/20 $18,055,058 $9,244,912 $10,450,387 11/20 $21,490,291 $10,369,585 $11,854,068 12/20 $22,290,534 $10,836,092 $12,422,734 1/21 $24,210,730 $10,787,894 $12,381,251 2/21 $24,794,917 $11,125,094 $12,592,695 3/21 $21,807,945 $11,523,849 $12,352,514 4/21 $22,432,771 $12,117,894 $13,046,567 5/21 $21,218,678 $12,173,212 $12,847,188 6/21 $23,951,656 $12,473,390 $13,720,199 7/21 $22,651,206 $12,684,323 $13,861,514 8/21 $22,844,241 $13,046,052 $14,308,935 9/21 $21,675,868 $12,460,703 $13,615,933 10/21 $24,114,212 $13,303,352 $14,570,616 11/21 $22,407,371 $13,100,858 $13,954,979 12/21 $19,657,892 $13,616,752 $14,003,927 1/22 $15,172,839 $12,815,595 $12,196,800 2/22 $14,886,559 $12,492,779 $12,048,738 3/22 $14,095,881 $12,897,998 $12,242,186 4/22 $10,871,823 $11,740,502 $10,863,720 5/22 $8,881,495 $11,724,761 $10,443,201 6/22 $8,220,325 $10,743,883 $9,662,543 7/22 $9,406,342 $11,751,852 $10,845,010 8/22 $9,481,320 $11,313,282 $10,489,786 9/22 $8,411,178 $10,264,211 $9,599,447 10/22 $8,472,524 $11,105,938 $10,353,890 11/22 $7,981,758 $11,685,626 $10,917,177 12/22 $7,204,713 $11,001,392 $10,261,945 1/23 $8,438,443 $11,759,088 $11,157,428 2/23 $8,124,898 $11,484,246 $11,047,277 3/23 $8,411,178 $11,791,325 $11,199,467 4/23 $7,845,435 $11,916,954 $11,037,242 5/23 $8,513,421 $11,963,320 $11,044,059 6/23 $9,358,629 $12,780,241 $11,897,672 7/23 $10,176,572 $13,238,371 $12,257,681 8/23 $9,133,694 $12,982,821 $11,853,560 9/23 $8,649,745 $12,364,394 $11,276,142 10/23 $7,872,699 $12,036,630 $10,700,736 11/23 $9,024,635 $13,159,025 $12,006,206 12/23 $10,578,727 $13,857,005 $12,916,386 1/24 $9,692,622 $14,010,578 $12,846,800 2/24 $10,974,066 $14,768,978 $13,812,711 3/24 $11,389,853 $15,245,387 $14,142,997 4/24 $10,217,469 $14,574,564 $13,321,630 5/24 $10,258,366 $15,263,169 $13,463,636 6/24 $10,626,440 $15,735,677 $13,688,533 7/24 $10,858,191 $16,028,187 $13,771,494 8/24 $11,560,258 $16,377,100 $14,113,647 9/24 $12,255,509 $16,715,874 $14,583,945 | |
Average Annual Return [Table Text Block] | AATR 1 Year 5 Years 10 Years Class R6 41.69% 7.63% 9.38% Russell 3000 ® Index Footnote Reference 35.19% 15.26% 12.83% Russell Midcap ® 29.34% 11.48% 11.30% | |
AssetsNet | $ 898,865,646 | |
Holdings Count | Holding | 41 | |
Advisory Fees Paid, Amount | $ 4,544,247 | |
InvestmentCompanyPortfolioTurnover | 46% | |
Additional Fund Statistics Significance or Limits [Text Block] | Key Fund Statistics Total Net Assets $898,865,646 # of Portfolio Holdings 41 Portfolio Turnover Rate 46% Total Advisory Fees Paid $4,544,247 | |
Holdings [Text Block] | Sector Allocation (% of total investments) Value Value Industrials 0.2% Consumer Staples 1.5% Short-Term Investments 1.9% Communication Services 12.9% Health Care 12.9% Financials 13.2% Consumer Discretionary 21.5% Information Technology 35.9% Top Ten Holdings (% of total investments) Footnote Reference DoorDash, Inc., Class A 8.5% Cloudflare, Inc., Class A 7.5% Trade Desk, Inc., Class A 7.4% Affirm Holdings, Inc. 6.8% Samsara, Inc., Class A 6.8% ROBLOX Corp., Class A 5.5% Global-e Online Ltd. 5.3% Carvana Co. 4.9% Royalty Pharma PLC, Class A 4.5% MicroStrategy, Inc., Class A 4.3% Total 61.5% Footnote Description Footnote a Excluding cash equivalents | |
Material Fund Change [Text Block] | | |
Updated Prospectus Web Address | www.morganstanley.com/im/shareholderreports</span>" id="sjs-B227"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.morganstanley.com/im/shareholderreports</span> | |
C000226178 | | |
Shareholder Report [Line Items] | | |
Fund Name | Morgan Stanley Institutional Fund Trust - Dynamic Value Portfolio | |
Class Name | A | |
Trading Symbol | MAAUX | |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about Morgan Stanley Institutional Fund Trust - Dynamic Value Portfolio for the period of October 1, 2023 to September 30, 2024. | |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report | |
Additional Information [Text Block] | You can find additional information about the Fund at www.morganstanley.com/im/shareholderreports | |
Additional Information Phone Number | 1-800-869-6397 | |
Additional Information Website | www.morganstanley.com/im/shareholderreports</span>" id="sjs-B237"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.morganstanley.com/im/shareholderreports</span> | |
Expenses [Text Block] | What were the Fund costs for the last year? (based on a hypothetical $10,000 investment) Class Name Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class A $97 0.88% | |
Expenses Paid, Amount | $ 97 | |
Expense Ratio, Percent | 0.88% | |
Factors Affecting Performance [Text Block] | How did the Fund perform last year and what affected its performance? Key contributors to (↑) and detractors from (↓) performance, relative to the Russell 1000 ® ↓ The portfolio’s systematic security selection process ↓ The portfolio’s dynamic allocation ↓ The Fund’s exposure to deep Value stocks and stocks with smaller market capitalizations ↑ There were no material positive contributors | |
Line Graph [Table Text Block] | Class A with maximum sales charge Russell 1000 ® Russell 1000 ® 3/21 $9,479 $10,000 $10,000 3/21 $9,498 $10,000 $10,000 4/21 $9,763 $10,674 $10,471 5/21 $10,227 $10,724 $10,716 6/21 $9,848 $10,993 $10,593 7/21 $9,829 $11,221 $10,677 8/21 $10,000 $11,546 $10,889 9/21 $9,877 $11,016 $10,510 10/21 $10,009 $11,780 $11,044 11/21 $9,716 $11,622 $10,655 12/21 $10,461 $12,093 $11,327 1/22 $10,738 $11,411 $11,063 2/22 $10,768 $11,098 $10,935 3/22 $10,976 $11,472 $11,243 4/22 $10,550 $10,450 $10,609 5/22 $11,351 $10,434 $10,815 6/22 $10,046 $9,560 $9,870 7/22 $10,778 $10,450 $10,525 8/22 $10,303 $10,049 $10,211 9/22 $9,117 $9,119 $9,316 10/22 $10,323 $9,851 $10,271 11/22 $11,114 $10,384 $10,913 12/22 $10,501 $9,780 $10,473 1/23 $11,671 $10,436 $11,016 2/23 $11,132 $10,187 $10,627 3/23 $10,196 $10,509 $10,578 4/23 $10,185 $10,640 $10,738 5/23 $9,687 $10,689 $10,324 6/23 $10,572 $11,411 $11,009 7/23 $11,254 $11,804 $11,397 8/23 $10,857 $11,597 $11,089 9/23 $10,389 $11,052 $10,661 10/23 $9,819 $10,785 $10,285 11/23 $10,613 $11,792 $11,061 12/23 $11,646 $12,374 $11,674 1/24 $11,418 $12,547 $11,686 2/24 $11,501 $13,224 $12,117 3/24 $12,279 $13,648 $12,722 4/24 $11,615 $13,068 $12,179 5/24 $12,030 $13,683 $12,565 6/24 $11,573 $14,136 $12,447 7/24 $12,465 $14,342 $13,083 8/24 $12,455 $14,682 $13,434 9/24 $12,455 $14,996 $13,621 | |
Average Annual Return [Table Text Block] | AATR 1 Year Since 3/19/21 (Inception) Class A 19.89% 8.03% Class A with maximum 5.25% sales charge 13.55% 6.41% Russell 1000 ® Index Footnote Reference 35.68% 12.15% Russell 1000 ® 27.76% 9.14% | |
Performance Inception Date | Mar. 19, 2021 | |
AssetsNet | $ 9,919,429 | |
Holdings Count | Holding | 201 | |
Advisory Fees Paid, Amount | $ 148,390 | |
InvestmentCompanyPortfolioTurnover | 207% | |
Additional Fund Statistics Significance or Limits [Text Block] | Key Fund Statistics Total Net Assets $9,919,429 # of Portfolio Holdings 201 Portfolio Turnover Rate 207% Total Advisory Fees Paid $148,390 | |
Holdings [Text Block] | Sector Allocation (% of total investments) Value Value Short-term Investments 1.8% Communication Services 4.1% Materials 4.5% Utilities 4.8% Real Estate 4.8% Consumer Discretionary 6.2% Energy 6.4% Consumer Staples 7.9% Information Technology 8.9% Industrials 14.4% Health Care 15.2% Financials 21.0% Top Ten Holdings (% of total investments) Footnote Reference AT&T, Inc. 1.8% Bank OZK 1.0% Kimberly-Clark Corp. 0.9% East West Bancorp, Inc. 0.9% FNB Corp. 0.9% Reynolds Consumer Products, Inc. 0.9% Huntington Bancshares, Inc. 0.9% Webster Financial Corp. 0.9% Zions Bancorp NA 0.9% First Citizens BancShares, Inc. 0.9% Total 10.0% Footnote Description Footnote a Excluding cash equivalents. | |
Material Fund Change [Text Block] | | |
Updated Prospectus Web Address | www.morganstanley.com/im/shareholderreports</span>" id="sjs-B252"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.morganstanley.com/im/shareholderreports</span> | |
C000226179 | | |
Shareholder Report [Line Items] | | |
Fund Name | Morgan Stanley Institutional Fund Trust - Dynamic Value Portfolio | |
Class Name | C | |
Trading Symbol | MAAOX | |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about Morgan Stanley Institutional Fund Trust - Dynamic Value Portfolio for the period of October 1, 2023 to September 30, 2024. | |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report | |
Additional Information [Text Block] | You can find additional information about the Fund at www.morganstanley.com/im/shareholderreports | |
Additional Information Phone Number | 1-800-869-6397 | |
Additional Information Website | www.morganstanley.com/im/shareholderreports</span>" id="sjs-B262"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.morganstanley.com/im/shareholderreports</span> | |
Expenses [Text Block] | What were the Fund costs for the last year? (based on a hypothetical $10,000 investment) Class Name Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class C $179 1.63% | |
Expenses Paid, Amount | $ 179 | |
Expense Ratio, Percent | 1.63% | |
Factors Affecting Performance [Text Block] | How did the Fund perform last year and what affected its performance? Key contributors to (↑) and detractors from (↓) performance, relative to the Russell 1000 ® ↓ The portfolio’s systematic security selection process ↓ The portfolio’s dynamic allocation ↓ The Fund’s exposure to deep Value stocks and stocks with smaller market capitalizations ↑ There were no material positive contributors | |
Line Graph [Table Text Block] | Class C Russell 1000 ® Russell 1000 ® 3/21 $10,000 $10,000 $10,000 3/21 $10,020 $10,000 $10,000 4/21 $10,300 $10,674 $10,471 5/21 $10,770 $10,724 $10,716 6/21 $10,370 $10,993 $10,593 7/21 $10,340 $11,221 $10,677 8/21 $10,520 $11,546 $10,889 9/21 $10,380 $11,016 $10,510 10/21 $10,510 $11,780 $11,044 11/21 $10,200 $11,622 $10,655 12/21 $10,974 $12,093 $11,327 1/22 $11,255 $11,411 $11,063 2/22 $11,286 $11,098 $10,935 3/22 $11,494 $11,472 $11,243 4/22 $11,036 $10,450 $10,609 5/22 $11,879 $10,434 $10,815 6/22 $10,505 $9,560 $9,870 7/22 $11,255 $10,450 $10,525 8/22 $10,755 $10,049 $10,211 9/22 $9,516 $9,119 $9,316 10/22 $10,765 $9,851 $10,271 11/22 $11,577 $10,384 $10,913 12/22 $10,964 $9,780 $10,473 1/23 $12,173 $10,436 $11,016 2/23 $11,596 $10,187 $10,627 3/23 $10,622 $10,509 $10,578 4/23 $10,601 $10,640 $10,738 5/23 $10,077 $10,689 $10,324 6/23 $10,997 $11,411 $11,009 7/23 $11,692 $11,804 $11,397 8/23 $11,275 $11,597 $11,089 9/23 $10,783 $11,052 $10,661 10/23 $10,184 $10,785 $10,285 11/23 $10,997 $11,792 $11,061 12/23 $12,066 $12,374 $11,674 1/24 $11,820 $12,547 $11,686 2/24 $11,895 $13,224 $12,117 3/24 $12,687 $13,648 $12,722 4/24 $11,991 $13,068 $12,179 5/24 $12,419 $13,683 $12,565 6/24 $11,938 $14,136 $12,447 7/24 $12,847 $14,342 $13,083 8/24 $12,826 $14,682 $13,434 9/24 $12,836 $14,996 $13,621 | |
Average Annual Return [Table Text Block] | AATR 1 Year Since 3/19/21 (Inception) Class C 19.05% 7.32% Class C with maximum deferred sales charge 18.05% 7.32% Russell 1000 ® Index Footnote Reference 35.68% 12.15% Russell 1000 ® 27.76% 9.14% | |
Performance Inception Date | Mar. 19, 2021 | |
AssetsNet | $ 9,919,429 | |
Holdings Count | Holding | 201 | |
Advisory Fees Paid, Amount | $ 148,390 | |
InvestmentCompanyPortfolioTurnover | 207% | |
Additional Fund Statistics Significance or Limits [Text Block] | Key Fund Statistics Total Net Assets $9,919,429 # of Portfolio Holdings 201 Portfolio Turnover Rate 207% Total Advisory Fees Paid $148,390 | |
Holdings [Text Block] | Sector Allocation (% of total investments) Value Value Short-term Investments 1.8% Communication Services 4.1% Materials 4.5% Utilities 4.8% Real Estate 4.8% Consumer Discretionary 6.2% Energy 6.4% Consumer Staples 7.9% Information Technology 8.9% Industrials 14.4% Health Care 15.2% Financials 21.0% Top Ten Holdings (% of total investments) Footnote Reference AT&T, Inc. 1.8% Bank OZK 1.0% Kimberly-Clark Corp. 0.9% East West Bancorp, Inc. 0.9% FNB Corp. 0.9% Reynolds Consumer Products, Inc. 0.9% Huntington Bancshares, Inc. 0.9% Webster Financial Corp. 0.9% Zions Bancorp NA 0.9% First Citizens BancShares, Inc. 0.9% Total 10.0% Footnote Description Footnote a Excluding cash equivalents. | |
Material Fund Change [Text Block] | | |
Updated Prospectus Web Address | www.morganstanley.com/im/shareholderreports</span>" id="sjs-B277"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.morganstanley.com/im/shareholderreports</span> | |
C000226180 | | |
Shareholder Report [Line Items] | | |
Fund Name | Morgan Stanley Institutional Fund Trust - Dynamic Value Portfolio | |
Class Name | I | |
Trading Symbol | MAAQX | |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about Morgan Stanley Institutional Fund Trust - Dynamic Value Portfolio for the period of October 1, 2023 to September 30, 2024. | |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report | |
Additional Information [Text Block] | You can find additional information about the Fund at www.morganstanley.com/im/shareholderreports | |
Additional Information Phone Number | 1-800-869-6397 | |
Additional Information Website | www.morganstanley.com/im/shareholderreports</span>" id="sjs-B287"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.morganstanley.com/im/shareholderreports</span> | |
Expenses [Text Block] | What were the Fund costs for the last year? (based on a hypothetical $10,000 investment) Class Name Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class I $58 0.53% | |
Expenses Paid, Amount | $ 58 | |
Expense Ratio, Percent | 0.53% | |
Factors Affecting Performance [Text Block] | How did the Fund perform last year and what affected its performance? Key contributors to (↑) and detractors from (↓) performance, relative to the Russell 1000 ® ↓ The portfolio’s systematic security selection process ↓ The portfolio’s dynamic allocation ↓ The Fund’s exposure to deep Value stocks and stocks with smaller market capitalizations ↑ There were no material positive contributors | |
Line Graph [Table Text Block] | Class I Russell 1000 ® Russell 1000 ® 3/21 $1,000,000 $1,000,000 $1,000,000 3/21 $1,002,000 $1,000,000 $1,000,000 4/21 $1,031,000 $1,067,359 $1,047,108 5/21 $1,079,000 $1,072,426 $1,071,552 6/21 $1,040,000 $1,099,298 $1,059,281 7/21 $1,039,000 $1,122,134 $1,067,747 8/21 $1,057,000 $1,154,611 $1,088,922 9/21 $1,044,000 $1,101,575 $1,051,019 10/21 $1,058,000 $1,178,011 $1,104,387 11/21 $1,028,000 $1,162,208 $1,065,468 12/21 $1,107,290 $1,209,284 $1,132,685 1/22 $1,136,567 $1,141,104 $1,106,300 2/22 $1,140,749 $1,109,791 $1,093,462 3/22 $1,162,707 $1,147,241 $1,124,330 4/22 $1,117,746 $1,044,975 $1,060,913 5/22 $1,203,485 $1,043,387 $1,081,537 6/22 $1,065,466 $956,003 $987,041 7/22 $1,142,841 $1,045,045 $1,052,494 8/22 $1,092,652 $1,004,919 $1,021,135 9/22 $968,226 $911,936 $931,594 10/22 $1,095,789 $985,074 $1,027,111 11/22 $1,180,482 $1,038,364 $1,091,297 12/22 $1,116,379 $977,985 $1,047,305 1/23 $1,240,181 $1,043,554 $1,101,576 2/23 $1,183,124 $1,018,722 $1,062,736 3/23 $1,084,082 $1,050,947 $1,057,842 4/23 $1,084,082 $1,063,970 $1,073,780 5/23 $1,031,331 $1,068,925 $1,032,367 6/23 $1,124,991 $1,141,118 $1,100,944 7/23 $1,197,119 $1,180,359 $1,139,659 8/23 $1,156,211 $1,159,711 $1,108,892 9/23 $1,106,690 $1,105,209 $1,066,100 10/23 $1,046,403 $1,078,497 $1,028,486 11/23 $1,131,450 $1,179,224 $1,106,085 12/23 $1,242,086 $1,237,437 $1,167,354 1/24 $1,217,860 $1,254,694 $1,168,563 2/24 $1,226,670 $1,322,450 $1,211,671 3/24 $1,309,255 $1,364,844 $1,272,248 4/24 $1,238,782 $1,306,766 $1,217,903 5/24 $1,283,929 $1,368,302 $1,256,511 6/24 $1,236,580 $1,413,588 $1,244,691 7/24 $1,331,278 $1,434,160 $1,308,322 8/24 $1,330,177 $1,468,154 $1,343,418 9/24 $1,332,379 $1,499,564 $1,362,057 | |
Average Annual Return [Table Text Block] | AATR 1 Year Since 3/19/21 (Inception) Class I 20.39% 8.46% Russell 1000 ® Index Footnote Reference 35.68% 12.15% Russell 1000 ® 27.76% 9.14% | |
Performance Inception Date | Mar. 19, 2021 | |
AssetsNet | $ 9,919,429 | |
Holdings Count | Holding | 201 | |
Advisory Fees Paid, Amount | $ 148,390 | |
InvestmentCompanyPortfolioTurnover | 207% | |
Additional Fund Statistics Significance or Limits [Text Block] | Key Fund Statistics Total Net Assets $9,919,429 # of Portfolio Holdings 201 Portfolio Turnover Rate 207% Total Advisory Fees Paid $148,390 | |
Holdings [Text Block] | Sector Allocation (% of total investments) Value Value Short-term Investments 1.8% Communication Services 4.1% Materials 4.5% Utilities 4.8% Real Estate 4.8% Consumer Discretionary 6.2% Energy 6.4% Consumer Staples 7.9% Information Technology 8.9% Industrials 14.4% Health Care 15.2% Financials 21.0% Top Ten Holdings (% of total investments) Footnote Reference AT&T, Inc. 1.8% Bank OZK 1.0% Kimberly-Clark Corp. 0.9% East West Bancorp, Inc. 0.9% FNB Corp. 0.9% Reynolds Consumer Products, Inc. 0.9% Huntington Bancshares, Inc. 0.9% Webster Financial Corp. 0.9% Zions Bancorp NA 0.9% First Citizens BancShares, Inc. 0.9% Total 10.0% Footnote Description Footnote a Excluding cash equivalents. | |
Material Fund Change [Text Block] | | |
Updated Prospectus Web Address | www.morganstanley.com/im/shareholderreports</span>" id="sjs-B302"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.morganstanley.com/im/shareholderreports</span> | |
C000226177 | | |
Shareholder Report [Line Items] | | |
Fund Name | Morgan Stanley Institutional Fund Trust - Dynamic Value Portfolio | |
Class Name | R6 | |
Trading Symbol | MAADX | |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about Morgan Stanley Institutional Fund Trust - Dynamic Value Portfolio for the period of October 1, 2023 to September 30, 2024. | |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report | |
Additional Information [Text Block] | You can find additional information about the Fund at www.morganstanley.com/im/shareholderreports | |
Additional Information Phone Number | 1-800-869-6397 | |
Additional Information Website | www.morganstanley.com/im/shareholderreports</span>" id="sjs-B312"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.morganstanley.com/im/shareholderreports</span> | |
Expenses [Text Block] | What were the Fund costs for the last year? (based on a hypothetical $10,000 investment) Class Name Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class R6 $53 0.48% | |
Expenses Paid, Amount | $ 53 | |
Expense Ratio, Percent | 0.48% | |
Factors Affecting Performance [Text Block] | How did the Fund perform last year and what affected its performance? Key contributors to (↑) and detractors from (↓) performance, relative to the Russell 1000 ® ↓ The portfolio’s systematic security selection process ↓ The portfolio’s dynamic allocation ↓ The Fund’s exposure to deep Value stocks and stocks with smaller market capitalizations ↑ There were no material positive contributors | |
Line Graph [Table Text Block] | Class R6 Russell 1000 ® Russell 1000 ® 3/21 $5,000,000 $5,000,000 $5,000,000 3/21 $5,010,000 $5,000,000 $5,000,000 4/21 $5,155,000 $5,336,794 $5,235,540 5/21 $5,395,000 $5,362,128 $5,357,760 6/21 $5,200,000 $5,496,488 $5,296,406 7/21 $5,195,000 $5,610,671 $5,338,736 8/21 $5,285,000 $5,773,057 $5,444,611 9/21 $5,220,000 $5,507,877 $5,255,095 10/21 $5,295,000 $5,890,053 $5,521,935 11/21 $5,140,000 $5,811,041 $5,327,342 12/21 $5,537,010 $6,046,420 $5,663,425 1/22 $5,683,408 $5,705,521 $5,531,501 2/22 $5,704,322 $5,548,953 $5,467,312 3/22 $5,814,122 $5,736,204 $5,621,649 4/22 $5,589,295 $5,224,876 $5,304,567 5/22 $6,018,034 $5,216,934 $5,407,686 6/22 $5,327,869 $4,780,016 $4,935,206 7/22 $5,714,780 $5,225,224 $5,262,472 8/22 $5,463,810 $5,024,595 $5,105,674 9/22 $4,836,387 $4,559,682 $4,657,972 10/22 $5,479,496 $4,925,369 $5,135,555 11/22 $5,897,778 $5,191,821 $5,456,484 12/22 $5,577,547 $4,889,925 $5,236,524 1/23 $6,202,059 $5,217,769 $5,507,882 2/23 $5,916,722 $5,093,609 $5,313,680 3/23 $5,421,418 $5,254,737 $5,289,210 4/23 $5,421,418 $5,319,848 $5,368,902 5/23 $5,157,615 $5,344,627 $5,161,834 6/23 $5,631,384 $5,705,591 $5,504,720 7/23 $5,992,094 $5,901,796 $5,698,293 8/23 $5,782,128 $5,798,557 $5,544,459 9/23 $5,534,477 $5,526,047 $5,330,502 10/23 $5,232,988 $5,392,486 $5,142,430 11/23 $5,658,303 $5,896,120 $5,530,426 12/23 $6,211,498 $6,187,186 $5,836,771 1/24 $6,095,755 $6,273,472 $5,842,814 2/24 $6,139,848 $6,612,248 $6,058,354 3/24 $6,553,213 $6,824,218 $6,361,240 4/24 $6,200,475 $6,533,832 $6,089,516 5/24 $6,426,447 $6,841,508 $6,282,554 6/24 $6,183,940 $7,067,941 $6,223,457 7/24 $6,663,443 $7,170,800 $6,541,611 8/24 $6,691,001 $7,340,772 $6,717,089 9/24 $6,674,466 $7,497,821 $6,810,287 | |
Average Annual Return [Table Text Block] | AATR 1 Year Since 3/19/21 (Inception) Class R6 20.60% 8.52% Russell 1000 ® Index Footnote Reference 35.68% 12.15% Russell 1000 ® 27.76% 9.14% | |
Performance Inception Date | Mar. 19, 2021 | |
AssetsNet | $ 9,919,429 | |
Holdings Count | Holding | 201 | |
Advisory Fees Paid, Amount | $ 148,390 | |
InvestmentCompanyPortfolioTurnover | 207% | |
Additional Fund Statistics Significance or Limits [Text Block] | Key Fund Statistics Total Net Assets $9,919,429 # of Portfolio Holdings 201 Portfolio Turnover Rate 207% Total Advisory Fees Paid $148,390 | |
Holdings [Text Block] | Sector Allocation (% of total investments) Value Value Short-term Investments 1.8% Communication Services 4.1% Materials 4.5% Utilities 4.8% Real Estate 4.8% Consumer Discretionary 6.2% Energy 6.4% Consumer Staples 7.9% Information Technology 8.9% Industrials 14.4% Health Care 15.2% Financials 21.0% Top Ten Holdings (% of total investments) Footnote Reference AT&T, Inc. 1.8% Bank OZK 1.0% Kimberly-Clark Corp. 0.9% East West Bancorp, Inc. 0.9% FNB Corp. 0.9% Reynolds Consumer Products, Inc. 0.9% Huntington Bancshares, Inc. 0.9% Webster Financial Corp. 0.9% Zions Bancorp NA 0.9% First Citizens BancShares, Inc. 0.9% Total 10.0% Footnote Description Footnote a Excluding cash equivalents. | |
Material Fund Change [Text Block] | | |
Updated Prospectus Web Address | www.morganstanley.com/im/shareholderreports</span>" id="sjs-B327"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.morganstanley.com/im/shareholderreports</span> | |
C000011555 | | |
Shareholder Report [Line Items] | | |
Fund Name | Morgan Stanley Institutional Fund Trust - Global Strategist Portfolio | |
Class Name | A | |
Trading Symbol | MBAAX | |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about Morgan Stanley Institutional Fund Trust - Global Strategist Portfolio for the period of October 1, 2023 to September 30, 2024. | |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report | |
Additional Information [Text Block] | You can find additional information about the Fund at www.morganstanley.com/im/shareholderreports | |
Additional Information Phone Number | 1-800-869-6397 | |
Additional Information Website | www.morganstanley.com/im/shareholderreports</span>" id="sjs-B337"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.morganstanley.com/im/shareholderreports</span> | |
Expenses [Text Block] | What were the Fund costs for the last year? (based on a hypothetical $10,000 investment) Class Name Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class A $107 0.96% | |
Expenses Paid, Amount | $ 107 | |
Expense Ratio, Percent | 0.96% | |
Factors Affecting Performance [Text Block] | How did the Fund perform last year and what affected its performance? Key contributors to (↑) and detractors from (↓) performance, relative to the MSCI All Country World Index: ↓ Overweight U.S. Value stocks vs. U.S. expensive stocks ↓ Underweight U.S. cyclical stocks vs. U.S. defensive stocks ↓ Overweight VIX Roll Harvesting Strategy ↑ Overweight South African 10-year bonds vs. U.S. 10-year Treasury bonds and South African banks vs. emerging markets equities ↑ Directional overweight in U.S. 10-year Treasury inflation-protected securities (TIPS) ↑ Overweight European Union (EMU) banks vs. EMU | |
Line Graph [Table Text Block] | Class A with maximum sales charge MSCI All Country World Index Customized MSIM Global Allocation Index 9/14 $9,473 $10,000 $10,000 10/14 $9,456 $10,070 $10,034 11/14 $9,523 $10,239 $10,095 12/14 $9,371 $10,041 $9,917 1/15 $9,305 $9,884 $9,788 2/15 $9,560 $10,435 $10,105 3/15 $9,394 $10,273 $9,962 4/15 $9,549 $10,571 $10,196 5/15 $9,430 $10,557 $10,121 6/15 $9,193 $10,309 $9,974 7/15 $9,258 $10,398 $9,977 8/15 $8,860 $9,685 $9,567 9/15 $8,605 $9,334 $9,358 10/15 $9,003 $10,067 $9,808 11/15 $8,896 $9,984 $9,675 12/15 $8,763 $9,804 $9,569 1/16 $8,508 $9,213 $9,237 2/16 $8,436 $9,149 $9,258 3/16 $8,953 $9,827 $9,758 4/16 $9,102 $9,972 $9,916 5/16 $9,030 $9,985 $9,885 6/16 $8,971 $9,924 $9,942 7/16 $9,209 $10,352 $10,190 8/16 $9,250 $10,387 $10,188 9/16 $9,292 $10,451 $10,256 10/16 $9,108 $10,273 $10,067 11/16 $9,084 $10,351 $10,000 12/16 $9,224 $10,575 $10,125 1/17 $9,373 $10,864 $10,333 2/17 $9,511 $11,169 $10,525 3/17 $9,637 $11,305 $10,591 4/17 $9,805 $11,482 $10,722 5/17 $9,978 $11,735 $10,910 6/17 $10,032 $11,789 $10,936 7/17 $10,212 $12,118 $11,193 8/17 $10,236 $12,164 $11,263 9/17 $10,374 $12,399 $11,353 10/17 $10,481 $12,657 $11,477 11/17 $10,631 $12,902 $11,661 12/17 $10,724 $13,110 $11,790 1/18 $11,074 $13,850 $12,246 2/18 $10,781 $13,268 $11,894 3/18 $10,762 $12,984 $11,792 4/18 $10,737 $13,108 $11,784 5/18 $10,622 $13,124 $11,757 6/18 $10,584 $13,053 $11,698 7/18 $10,775 $13,447 $11,901 8/18 $10,737 $13,552 $11,963 9/18 $10,756 $13,611 $11,953 10/18 $10,266 $12,591 $11,362 11/18 $10,380 $12,776 $11,476 12/18 $10,022 $11,876 $11,083 1/19 $10,589 $12,813 $11,676 2/19 $10,705 $13,156 $11,837 3/19 $10,829 $13,322 $11,985 4/19 $11,032 $13,771 $12,214 5/19 $10,698 $12,954 $11,845 6/19 $11,192 $13,803 $12,416 7/19 $11,141 $13,843 $12,424 8/19 $11,011 $13,515 $12,348 9/19 $11,120 $13,799 $12,453 10/19 $11,338 $14,177 $12,691 11/19 $11,468 $14,523 $12,839 12/19 $11,792 $15,034 $13,140 1/20 $11,585 $14,868 $13,120 2/20 $10,950 $13,667 $12,519 3/20 $9,725 $11,822 $11,393 4/20 $10,470 $13,089 $12,215 5/20 $10,810 $13,658 $12,555 6/20 $11,061 $14,094 $12,840 7/20 $11,556 $14,840 $13,411 8/20 $11,984 $15,748 $13,896 9/20 $11,748 $15,240 $13,607 10/20 $11,578 $14,870 $13,414 11/20 $12,656 $16,703 $14,503 12/20 $13,113 $17,478 $14,985 1/21 $13,084 $17,399 $14,892 2/21 $13,315 $17,802 $14,996 3/21 $13,494 $18,277 $15,121 4/21 $13,867 $19,076 $15,594 5/21 $14,181 $19,373 $15,798 6/21 $14,032 $19,628 $15,867 7/21 $14,069 $19,764 $16,017 8/21 $14,196 $20,258 $16,231 9/21 $13,830 $19,421 $15,714 10/21 $14,114 $20,413 $16,180 11/21 $13,867 $19,921 $15,927 12/21 $14,207 $20,718 $16,300 1/22 $13,869 $19,701 $15,686 2/22 $13,604 $19,192 $15,369 3/22 $13,532 $19,607 $15,381 4/22 $12,590 $18,038 $14,306 5/22 $12,767 $18,059 $14,331 6/22 $11,762 $16,537 $13,422 7/22 $12,317 $17,692 $14,099 8/22 $11,762 $17,040 $13,565 9/22 $10,788 $15,409 $12,507 10/22 $11,182 $16,339 $12,926 11/22 $12,035 $17,606 $13,770 12/22 $11,792 $16,913 $13,475 1/23 $12,544 $18,126 $14,231 2/23 $12,075 $17,606 $13,798 3/23 $12,367 $18,149 $14,227 4/23 $12,439 $18,410 $14,375 5/23 $12,205 $18,213 $14,170 6/23 $12,658 $19,270 $14,663 7/23 $12,997 $19,976 $15,026 8/23 $12,698 $19,418 $14,692 9/23 $12,229 $18,615 $14,156 10/23 $11,970 $18,055 $13,833 11/23 $12,852 $19,721 $14,878 12/23 $13,434 $20,669 $15,554 1/24 $13,337 $20,790 $15,523 2/24 $13,547 $21,682 $15,844 3/24 $13,830 $22,363 $16,178 4/24 $13,418 $21,625 $15,694 5/24 $13,879 $22,503 $16,159 6/24 $14,008 $23,004 $16,384 7/24 $14,364 $23,375 $16,724 8/24 $14,655 $23,969 $17,137 9/24 $14,922 $24,526 $17,492 | |
Average Annual Return [Table Text Block] | AATR 1 Year 5 Years 10 Years Class A 22.02% 6.06% 4.65% Class A with maximum 5.25% sales charge 15.60% 4.92% 4.08% MSCI All Country World Index 31.76% 12.19% 9.39% Customized MSIM Global Allocation Index Footnote Reference 23.57% 7.03% 5.75% | |
AssetsNet | $ 614,052,374 | |
Holdings Count | Holding | 1,531 | |
Advisory Fees Paid, Amount | $ 2,496,863 | |
InvestmentCompanyPortfolioTurnover | 93% | |
Additional Fund Statistics Significance or Limits [Text Block] | Key Fund Statistics Total Net Assets $614,052,374 # of Portfolio Holdings 1,531 Portfolio Turnover Rate 93% Total Advisory Fees Paid $2,496,863 | |
Holdings [Text Block] | Country Allocation (% of total investments) Value Value Other 10.1% Australia 1.9% South Africa 2.0% Spain 2.1% Japan 2.1% China 2.9% Canada 3.4% France 3.8% United Kingdom 3.8% Germany 3.8% United States 64.1% Top Ten Holdings (% of total investments) Footnote Reference U.S. Treasury Securities 6.9% China Government Bonds, 3.130%, 11/21/2029 2.6% Uniform Mortgage-Backed Security, TBA, 5.500%, 10/1/2054 2.2% Apple, Inc. 1.8% Microsoft Corp. 1.6% Bundesrepublik Deutschland Bundesanleihe, 0.000%, 8/15/2031 1.6% NVIDIA Corp. 1.6% Federal National Mortgage Association, 3.000%, 6/1/2052 1.4% Brazil Notas do Tesouro Nacional, 10.000%, 1/1/2029 1.1% U.K. Gilts, 0.875%, 7/31/2033 1.1% Total 12.6% Footnote Description Footnote a Excluding cash equivalents. | |
Material Fund Change [Text Block] | | |
Updated Prospectus Web Address | www.morganstanley.com/im/shareholderreports</span>" id="sjs-B351"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.morganstanley.com/im/shareholderreports</span> | |
C000155933 | | |
Shareholder Report [Line Items] | | |
Fund Name | Morgan Stanley Institutional Fund Trust - Global Strategist Portfolio | |
Class Name | C | |
Trading Symbol | MSSOX | |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about Morgan Stanley Institutional Fund Trust - Global Strategist Portfolio for the period of October 1, 2023 to September 30, 2024. | |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report | |
Additional Information [Text Block] | You can find additional information about the Fund at www.morganstanley.com/im/shareholderreports | |
Additional Information Phone Number | 1-800-869-6397 | |
Additional Information Website | www.morganstanley.com/im/shareholderreports</span>" id="sjs-B361"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.morganstanley.com/im/shareholderreports</span> | |
Expenses [Text Block] | What were the Fund costs for the last year? (based on a hypothetical $10,000 investment) Class Name Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class C $198 1.79% | |
Expenses Paid, Amount | $ 198 | |
Expense Ratio, Percent | 1.79% | |
Factors Affecting Performance [Text Block] | How did the Fund perform last year and what affected its performance? Key contributors to (↑) and detractors from (↓) performance, relative to the MSCI All Country World Index: ↓ Overweight U.S. Value stocks vs. U.S. expensive stocks ↓ Underweight U.S. cyclical stocks vs. U.S. defensive stocks ↓ Overweight VIX Roll Harvesting Strategy ↑ Overweight South African 10-year bonds vs. U.S. 10-year Treasury bonds and South African banks vs. emerging markets equities ↑ Directional overweight in U.S. 10-year Treasury inflation-protected securities (TIPS) ↑ Overweight European Union (EMU) banks vs. EMU | |
Line Graph [Table Text Block] | Class C MSCI All Country World Index Customized MSIM Global Allocation Index 4/15 $10,000 $10,000 $10,000 5/15 $9,875 $10,000 $10,000 6/15 $9,626 $9,752 $9,783 7/15 $9,682 $9,837 $9,786 8/15 $9,264 $9,162 $9,383 9/15 $8,989 $8,830 $9,178 10/15 $9,401 $9,523 $9,619 11/15 $9,283 $9,445 $9,489 12/15 $9,137 $9,274 $9,386 1/16 $8,868 $8,715 $9,059 2/16 $8,787 $8,655 $9,080 3/16 $9,318 $9,296 $9,571 4/16 $9,468 $9,434 $9,725 5/16 $9,387 $9,446 $9,696 6/16 $9,318 $9,388 $9,751 7/16 $9,561 $9,793 $9,994 8/16 $9,599 $9,826 $9,993 9/16 $9,630 $9,886 $10,059 10/16 $9,430 $9,718 $9,874 11/16 $9,399 $9,792 $9,808 12/16 $9,543 $10,004 $9,930 1/17 $9,686 $10,277 $10,134 2/17 $9,824 $10,566 $10,323 3/17 $9,942 $10,695 $10,388 4/17 $10,111 $10,861 $10,516 5/17 $10,286 $11,101 $10,701 6/17 $10,336 $11,152 $10,726 7/17 $10,511 $11,463 $10,978 8/17 $10,529 $11,507 $11,047 9/17 $10,667 $11,730 $11,135 10/17 $10,773 $11,973 $11,257 11/17 $10,917 $12,205 $11,438 12/17 $11,002 $12,402 $11,564 1/18 $11,357 $13,101 $12,011 2/18 $11,048 $12,551 $11,665 3/18 $11,021 $12,283 $11,565 4/18 $10,988 $12,400 $11,557 5/18 $10,870 $12,415 $11,531 6/18 $10,817 $12,348 $11,473 7/18 $11,008 $12,720 $11,673 8/18 $10,955 $12,820 $11,733 9/18 $10,969 $12,876 $11,723 10/18 $10,461 $11,911 $11,144 11/18 $10,573 $12,086 $11,255 12/18 $10,208 $11,234 $10,871 1/19 $10,777 $12,121 $11,452 2/19 $10,882 $12,446 $11,609 3/19 $11,001 $12,602 $11,755 4/19 $11,204 $13,028 $11,979 5/19 $10,852 $12,255 $11,618 6/19 $11,353 $13,057 $12,177 7/19 $11,294 $13,095 $12,185 8/19 $11,151 $12,785 $12,111 9/19 $11,249 $13,054 $12,214 10/19 $11,466 $13,411 $12,448 11/19 $11,586 $13,738 $12,592 12/19 $11,912 $14,222 $12,888 1/20 $11,691 $14,065 $12,868 2/20 $11,044 $12,929 $12,279 3/20 $9,803 $11,184 $11,174 4/20 $10,549 $12,382 $11,980 5/20 $10,884 $12,920 $12,314 6/20 $11,128 $13,333 $12,594 7/20 $11,615 $14,038 $13,154 8/20 $12,041 $14,897 $13,629 9/20 $11,790 $14,417 $13,346 10/20 $11,615 $14,067 $13,156 11/20 $12,688 $15,800 $14,225 12/20 $13,135 $16,534 $14,698 1/21 $13,096 $16,459 $14,606 2/21 $13,318 $16,840 $14,708 3/21 $13,494 $17,290 $14,831 4/21 $13,853 $18,046 $15,295 5/21 $14,159 $18,327 $15,495 6/21 $13,998 $18,568 $15,563 7/21 $14,029 $18,696 $15,710 8/21 $14,143 $19,164 $15,920 9/21 $13,769 $18,372 $15,412 10/21 $14,044 $19,310 $15,869 11/21 $13,792 $18,845 $15,621 12/21 $14,116 $19,599 $15,988 1/22 $13,770 $18,637 $15,385 2/22 $13,499 $18,155 $15,074 3/22 $13,417 $18,548 $15,086 4/22 $12,480 $17,064 $14,031 5/22 $12,644 $17,084 $14,056 6/22 $11,641 $15,644 $13,165 7/22 $12,184 $16,736 $13,828 8/22 $11,625 $16,120 $13,305 9/22 $10,655 $14,577 $12,267 10/22 $11,041 $15,456 $12,677 11/22 $11,871 $16,655 $13,506 12/22 $11,627 $16,000 $13,216 1/23 $12,361 $17,147 $13,958 2/23 $11,891 $16,655 $13,533 3/23 $12,171 $17,169 $13,954 4/23 $12,229 $17,416 $14,099 5/23 $11,990 $17,229 $13,898 6/23 $12,427 $18,229 $14,382 7/23 $12,757 $18,897 $14,738 8/23 $12,452 $18,369 $14,410 9/23 $11,981 $17,609 $13,884 10/23 $11,717 $17,080 $13,567 11/23 $12,584 $18,656 $14,592 12/23 $13,145 $19,552 $15,255 1/24 $13,038 $19,667 $15,225 2/24 $13,227 $20,511 $15,540 3/24 $13,500 $21,155 $15,867 4/24 $13,087 $20,457 $15,393 5/24 $13,524 $21,288 $15,849 6/24 $13,640 $21,762 $16,070 7/24 $13,978 $22,113 $16,403 8/24 $14,251 $22,674 $16,808 9/24 $14,498 $23,201 $17,157 | |
Average Annual Return [Table Text Block] | AATR 1 Year 5 Years Since 4/30/15 (Inception) Class C 21.01% 5.21% 4.02% Class C with maximum deferred sales charge 20.01% 5.21% 4.02% MSCI All Country World Index 31.76% 12.19% 9.35% Customized MSIM Global Allocation Index Footnote Reference 23.57% 7.03% 5.90% | |
Performance Inception Date | Apr. 30, 2015 | |
AssetsNet | $ 614,052,374 | |
Holdings Count | Holding | 1,531 | |
Advisory Fees Paid, Amount | $ 2,496,863 | |
InvestmentCompanyPortfolioTurnover | 93% | |
Additional Fund Statistics Significance or Limits [Text Block] | Key Fund Statistics Total Net Assets $614,052,374 # of Portfolio Holdings 1,531 Portfolio Turnover Rate 93% Total Advisory Fees Paid $2,496,863 | |
Holdings [Text Block] | Country Allocation (% of total investments) Value Value Other 10.1% Australia 1.9% South Africa 2.0% Spain 2.1% Japan 2.1% China 2.9% Canada 3.4% France 3.8% United Kingdom 3.8% Germany 3.8% United States 64.1% Top Ten Holdings (% of total investments) Footnote Reference U.S. Treasury Securities 6.9% China Government Bonds, 3.130%, 11/21/2029 2.6% Uniform Mortgage-Backed Security, TBA, 5.500%, 10/1/2054 2.2% Apple, Inc. 1.8% Microsoft Corp. 1.6% Bundesrepublik Deutschland Bundesanleihe, 0.000%, 8/15/2031 1.6% NVIDIA Corp. 1.6% Federal National Mortgage Association, 3.000%, 6/1/2052 1.4% Brazil Notas do Tesouro Nacional, 10.000%, 1/1/2029 1.1% U.K. Gilts, 0.875%, 7/31/2033 1.1% Total 12.6% Footnote Description Footnote a Excluding cash equivalents. | |
Material Fund Change [Text Block] | | |
Updated Prospectus Web Address | www.morganstanley.com/im/shareholderreports</span>" id="sjs-B376"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.morganstanley.com/im/shareholderreports</span> | |
C000011556 | | |
Shareholder Report [Line Items] | | |
Fund Name | Morgan Stanley Institutional Fund Trust - Global Strategist Portfolio | |
Class Name | I | |
Trading Symbol | MPBAX | |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about Morgan Stanley Institutional Fund Trust - Global Strategist Portfolio for the period of October 1, 2023 to September 30, 2024. | |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report | |
Additional Information [Text Block] | You can find additional information about the Fund at www.morganstanley.com/im/shareholderreports | |
Additional Information Phone Number | 1-800-869-6397 | |
Additional Information Website | www.morganstanley.com/im/shareholderreports</span>" id="sjs-B386"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.morganstanley.com/im/shareholderreports</span> | |
Expenses [Text Block] | What were the Fund costs for the last year? (based on a hypothetical $10,000 investment) Class Name Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class I $77 0.69% | |
Expenses Paid, Amount | $ 77 | |
Expense Ratio, Percent | 0.69% | |
Factors Affecting Performance [Text Block] | How did the Fund perform last year and what affected its performance? Key contributors to (↑) and detractors from (↓) performance, relative to the MSCI All Country World Index: ↓ Overweight U.S. Value stocks vs. U.S. expensive stocks ↓ Underweight U.S. cyclical stocks vs. U.S. defensive stocks ↓ Overweight VIX Roll Harvesting Strategy ↑ Overweight South African 10-year bonds vs. U.S. 10-year Treasury bonds and South African banks vs. emerging markets equities ↑ Directional overweight in U.S. 10-year Treasury inflation-protected securities (TIPS) ↑ Overweight European Union (EMU) banks vs. EMU | |
Line Graph [Table Text Block] | Class I MSCI All Country World Index Customized MSIM Global Allocation Index 9/14 $1,000,000 $1,000,000 $1,000,000 10/14 $998,823 $1,007,043 $1,003,425 11/14 $1,006,474 $1,023,889 $1,009,482 12/14 $990,031 $1,004,127 $991,745 1/15 $983,780 $988,432 $978,754 2/15 $1,010,656 $1,043,460 $1,010,486 3/15 $993,781 $1,027,288 $996,167 4/15 $1,010,031 $1,057,098 $1,019,570 5/15 $998,156 $1,055,718 $1,012,073 6/15 $973,155 $1,030,863 $997,434 7/15 $980,030 $1,039,816 $997,744 8/15 $938,154 $968,536 $956,665 9/15 $911,278 $933,447 $935,799 10/15 $954,405 $1,006,706 $980,760 11/15 $943,154 $998,395 $967,473 12/15 $929,165 $980,390 $956,922 1/16 $902,260 $921,262 $923,667 2/16 $894,752 $914,921 $925,815 3/16 $950,439 $982,726 $975,782 4/16 $966,708 $997,232 $991,566 5/16 $958,573 $998,492 $988,530 6/16 $952,942 $992,443 $994,157 7/16 $978,596 $1,035,214 $1,018,976 8/16 $983,601 $1,038,695 $1,018,817 9/16 $987,981 $1,045,061 $1,025,568 10/16 $967,959 $1,027,323 $1,006,695 11/16 $966,082 $1,035,131 $1,000,028 12/16 $980,985 $1,057,491 $1,012,472 1/17 $997,440 $1,086,406 $1,033,277 2/17 $1,011,996 $1,116,881 $1,052,489 3/17 $1,025,920 $1,130,545 $1,059,110 4/17 $1,043,641 $1,148,164 $1,072,165 5/17 $1,062,628 $1,173,519 $1,091,002 6/17 $1,068,324 $1,178,855 $1,093,596 7/17 $1,087,944 $1,211,800 $1,119,288 8/17 $1,091,108 $1,216,443 $1,126,296 9/17 $1,106,298 $1,239,945 $1,135,294 10/17 $1,117,690 $1,265,692 $1,147,721 11/17 $1,134,145 $1,290,194 $1,166,150 12/17 $1,144,540 $1,310,994 $1,179,046 1/18 $1,182,309 $1,384,956 $1,224,577 2/18 $1,150,610 $1,326,790 $1,189,373 3/18 $1,149,261 $1,298,388 $1,179,160 4/18 $1,146,563 $1,310,787 $1,178,362 5/18 $1,135,097 $1,312,423 $1,175,669 6/18 $1,131,051 $1,305,316 $1,169,758 7/18 $1,151,959 $1,344,680 $1,190,143 8/18 $1,147,912 $1,355,245 $1,196,252 9/18 $1,149,935 $1,361,143 $1,195,251 10/18 $1,098,003 $1,259,140 $1,136,168 11/18 $1,110,143 $1,277,556 $1,147,559 12/18 $1,072,511 $1,187,572 $1,108,343 1/19 $1,133,511 $1,281,342 $1,167,602 2/19 $1,146,637 $1,315,614 $1,183,651 3/19 $1,159,764 $1,332,159 $1,198,510 4/19 $1,182,156 $1,377,141 $1,221,372 5/19 $1,145,865 $1,295,450 $1,184,517 6/19 $1,199,915 $1,380,276 $1,241,559 7/19 $1,194,510 $1,384,320 $1,242,362 8/19 $1,180,612 $1,351,481 $1,234,784 9/19 $1,192,966 $1,379,918 $1,245,349 10/19 $1,216,903 $1,417,685 $1,269,117 11/19 $1,230,801 $1,452,292 $1,283,856 12/19 $1,266,034 $1,503,435 $1,313,977 1/20 $1,244,030 $1,486,828 $1,311,978 2/20 $1,176,445 $1,366,737 $1,251,927 3/20 $1,044,419 $1,182,223 $1,139,298 4/20 $1,125,364 $1,308,869 $1,221,474 5/20 $1,162,300 $1,365,793 $1,255,491 6/20 $1,189,805 $1,409,434 $1,284,022 7/20 $1,243,244 $1,483,974 $1,341,148 8/20 $1,289,610 $1,574,801 $1,389,581 9/20 $1,263,677 $1,524,025 $1,360,699 10/20 $1,246,388 $1,486,978 $1,341,373 11/20 $1,362,696 $1,670,267 $1,450,334 12/20 $1,412,024 $1,747,816 $1,498,530 1/21 $1,409,635 $1,739,867 $1,489,161 2/21 $1,434,323 $1,780,169 $1,499,605 3/21 $1,454,233 $1,827,716 $1,512,098 4/21 $1,494,850 $1,907,628 $1,559,406 5/21 $1,529,095 $1,937,315 $1,579,825 6/21 $1,513,167 $1,962,844 $1,586,741 7/21 $1,517,946 $1,976,370 $1,601,749 8/21 $1,531,484 $2,025,837 $1,623,139 9/21 $1,492,461 $1,942,150 $1,571,372 10/21 $1,523,520 $2,041,284 $1,617,977 11/21 $1,497,239 $1,992,129 $1,592,707 12/21 $1,534,559 $2,071,815 $1,630,043 1/22 $1,498,432 $1,970,063 $1,568,648 2/22 $1,470,906 $1,919,182 $1,536,882 3/22 $1,463,164 $1,960,750 $1,538,133 4/22 $1,361,663 $1,803,808 $1,430,556 5/22 $1,381,447 $1,805,919 $1,433,122 6/22 $1,272,205 $1,653,686 $1,342,244 7/22 $1,332,417 $1,769,167 $1,409,897 8/22 $1,273,925 $1,704,036 $1,356,499 9/22 $1,168,123 $1,540,910 $1,250,706 10/22 $1,211,132 $1,633,899 $1,292,552 11/22 $1,303,171 $1,760,630 $1,377,036 12/22 $1,278,143 $1,691,347 $1,347,502 1/23 $1,360,353 $1,812,578 $1,423,148 2/23 $1,309,297 $1,760,629 $1,379,751 3/23 $1,341,315 $1,814,914 $1,422,727 4/23 $1,349,103 $1,840,999 $1,437,508 5/23 $1,324,008 $1,821,281 $1,417,030 6/23 $1,373,333 $1,927,026 $1,466,350 7/23 $1,411,410 $1,997,570 $1,502,620 8/23 $1,378,526 $1,941,751 $1,469,204 9/23 $1,328,335 $1,861,458 $1,415,584 10/23 $1,299,778 $1,805,489 $1,383,279 11/23 $1,396,698 $1,972,129 $1,487,783 12/23 $1,460,735 $2,066,858 $1,555,395 1/24 $1,450,351 $2,078,974 $1,552,281 2/24 $1,472,850 $2,168,190 $1,584,446 3/24 $1,504,869 $2,236,264 $1,617,783 4/24 $1,459,870 $2,162,483 $1,569,427 5/24 $1,510,061 $2,250,309 $1,615,898 6/24 $1,524,772 $2,300,429 $1,638,419 7/24 $1,563,714 $2,337,529 $1,672,371 8/24 $1,595,732 $2,396,894 $1,713,682 9/24 $1,625,155 $2,452,576 $1,749,234 | |
Average Annual Return [Table Text Block] | AATR 1 Year 5 Years 10 Years Class I 22.35% 6.38% 4.98% MSCI All Country World Index 31.76% 12.19% 9.39% Customized MSIM Global Allocation Index Footnote Reference 23.57% 7.03% 5.75% | |
AssetsNet | $ 614,052,374 | |
Holdings Count | Holding | 1,531 | |
Advisory Fees Paid, Amount | $ 2,496,863 | |
InvestmentCompanyPortfolioTurnover | 93% | |
Additional Fund Statistics Significance or Limits [Text Block] | Key Fund Statistics Total Net Assets $614,052,374 # of Portfolio Holdings 1,531 Portfolio Turnover Rate 93% Total Advisory Fees Paid $2,496,863 | |
Holdings [Text Block] | Country Allocation (% of total investments) Value Value Other 10.1% Australia 1.9% South Africa 2.0% Spain 2.1% Japan 2.1% China 2.9% Canada 3.4% France 3.8% United Kingdom 3.8% Germany 3.8% United States 64.1% Top Ten Holdings (% of total investments) Footnote Reference U.S. Treasury Securities 6.9% China Government Bonds, 3.130%, 11/21/2029 2.6% Uniform Mortgage-Backed Security, TBA, 5.500%, 10/1/2054 2.2% Apple, Inc. 1.8% Microsoft Corp. 1.6% Bundesrepublik Deutschland Bundesanleihe, 0.000%, 8/15/2031 1.6% NVIDIA Corp. 1.6% Federal National Mortgage Association, 3.000%, 6/1/2052 1.4% Brazil Notas do Tesouro Nacional, 10.000%, 1/1/2029 1.1% U.K. Gilts, 0.875%, 7/31/2033 1.1% Total 12.6% Footnote Description Footnote a Excluding cash equivalents. | |
Material Fund Change [Text Block] | | |
Updated Prospectus Web Address | www.morganstanley.com/im/shareholderreports</span>" id="sjs-B400"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.morganstanley.com/im/shareholderreports</span> | |
C000113792 | | |
Shareholder Report [Line Items] | | |
Fund Name | Morgan Stanley Institutional Fund Trust - Global Strategist Portfolio | |
Class Name | L | |
Trading Symbol | MSDLX | |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about Morgan Stanley Institutional Fund Trust - Global Strategist Portfolio for the period of October 1, 2023 to September 30, 2024. | |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report | |
Additional Information [Text Block] | You can find additional information about the Fund at www.morganstanley.com/im/shareholderreports | |
Additional Information Phone Number | 1-800-869-6397 | |
Additional Information Website | www.morganstanley.com/im/shareholderreports</span>" id="sjs-B410"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.morganstanley.com/im/shareholderreports</span> | |
Expenses [Text Block] | What were the Fund costs for the last year? (based on a hypothetical $10,000 investment) Class Name Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class L $164 1.48% | |
Expenses Paid, Amount | $ 164 | |
Expense Ratio, Percent | 1.48% | |
Factors Affecting Performance [Text Block] | How did the Fund perform last year and what affected its performance? Key contributors to (↑) and detractors from (↓) performance, relative to the MSCI All Country World Index: ↓ Overweight U.S. Value stocks vs. U.S. expensive stocks ↓ Underweight U.S. cyclical stocks vs. U.S. defensive stocks ↓ Overweight VIX Roll Harvesting Strategy ↑ Overweight South African 10-year bonds vs. U.S. 10-year Treasury bonds and South African banks vs. emerging markets equities ↑ Directional overweight in U.S. 10-year Treasury inflation-protected securities (TIPS) ↑ Overweight European Union (EMU) banks vs. EMU | |
Line Graph [Table Text Block] | Class L MSCI All Country World Index Customized MSIM Global Allocation Index 9/14 $10,000 $10,000 $10,000 10/14 $9,982 $10,070 $10,034 11/14 $10,048 $10,239 $10,095 12/14 $9,881 $10,041 $9,917 1/15 $9,805 $9,884 $9,788 2/15 $10,075 $10,435 $10,105 3/15 $9,893 $10,273 $9,962 4/15 $10,050 $10,571 $10,196 5/15 $9,925 $10,557 $10,121 6/15 $9,667 $10,309 $9,974 7/15 $9,730 $10,398 $9,977 8/15 $9,310 $9,685 $9,567 9/15 $9,034 $9,334 $9,358 10/15 $9,454 $10,067 $9,808 11/15 $9,335 $9,984 $9,675 12/15 $9,189 $9,804 $9,569 1/16 $8,919 $9,213 $9,237 2/16 $8,843 $9,149 $9,258 3/16 $9,383 $9,827 $9,758 4/16 $9,534 $9,972 $9,916 5/16 $9,452 $9,985 $9,885 6/16 $9,383 $9,924 $9,942 7/16 $9,634 $10,352 $10,190 8/16 $9,672 $10,387 $10,188 9/16 $9,710 $10,451 $10,256 10/16 $9,509 $10,273 $10,067 11/16 $9,484 $10,351 $10,000 12/16 $9,628 $10,575 $10,125 1/17 $9,779 $10,864 $10,333 2/17 $9,917 $11,169 $10,525 3/17 $10,043 $11,305 $10,591 4/17 $10,212 $11,482 $10,722 5/17 $10,389 $11,735 $10,910 6/17 $10,439 $11,789 $10,936 7/17 $10,621 $12,118 $11,193 8/17 $10,640 $12,164 $11,263 9/17 $10,785 $12,399 $11,353 10/17 $10,892 $12,657 $11,477 11/17 $11,036 $12,902 $11,661 12/17 $11,129 $13,110 $11,790 1/18 $11,488 $13,850 $12,246 2/18 $11,175 $13,268 $11,894 3/18 $11,155 $12,984 $11,792 4/18 $11,129 $13,108 $11,784 5/18 $11,009 $13,124 $11,757 6/18 $10,962 $13,053 $11,698 7/18 $11,155 $13,447 $11,901 8/18 $11,109 $13,552 $11,963 9/18 $11,122 $13,611 $11,953 10/18 $10,610 $12,591 $11,362 11/18 $10,723 $12,776 $11,476 12/18 $10,354 $11,876 $11,083 1/19 $10,935 $12,813 $11,676 2/19 $11,049 $13,156 $11,837 3/19 $11,169 $13,322 $11,985 4/19 $11,373 $13,771 $12,214 5/19 $11,026 $12,954 $11,845 6/19 $11,532 $13,803 $12,416 7/19 $11,479 $13,843 $12,424 8/19 $11,335 $13,515 $12,348 9/19 $11,441 $13,799 $12,453 10/19 $11,668 $14,177 $12,691 11/19 $11,789 $14,523 $12,839 12/19 $12,117 $15,034 $13,140 1/20 $11,895 $14,868 $13,120 2/20 $11,243 $13,667 $12,519 3/20 $9,984 $11,822 $11,393 4/20 $10,744 $13,089 $12,215 5/20 $11,089 $13,658 $12,555 6/20 $11,342 $14,094 $12,840 7/20 $11,841 $14,840 $13,411 8/20 $12,279 $15,748 $13,896 9/20 $12,025 $15,240 $13,607 10/20 $11,849 $14,870 $13,414 11/20 $12,946 $16,703 $14,503 12/20 $13,409 $17,478 $14,985 1/21 $13,370 $17,399 $14,892 2/21 $13,602 $17,802 $14,996 3/21 $13,779 $18,277 $15,121 4/21 $14,150 $19,076 $15,594 5/21 $14,474 $19,373 $15,798 6/21 $14,312 $19,628 $15,867 7/21 $14,343 $19,764 $16,017 8/21 $14,459 $20,258 $16,231 9/21 $14,081 $19,421 $15,714 10/21 $14,366 $20,413 $16,180 11/21 $14,111 $19,921 $15,927 12/21 $14,446 $20,718 $16,300 1/22 $14,098 $19,701 $15,686 2/22 $13,832 $19,192 $15,369 3/22 $13,749 $19,607 $15,381 4/22 $12,787 $18,038 $14,306 5/22 $12,961 $18,059 $14,331 6/22 $11,932 $16,537 $13,422 7/22 $12,488 $17,692 $14,099 8/22 $11,924 $17,040 $13,565 9/22 $10,936 $15,409 $12,507 10/22 $11,326 $16,339 $12,926 11/22 $12,181 $17,606 $13,770 12/22 $11,932 $16,913 $13,475 1/23 $12,690 $18,126 $14,231 2/23 $12,207 $17,606 $13,798 3/23 $12,499 $18,149 $14,227 4/23 $12,565 $18,410 $14,375 5/23 $12,324 $18,213 $14,170 6/23 $12,774 $19,270 $14,663 7/23 $13,115 $19,976 $15,026 8/23 $12,807 $19,418 $14,692 9/23 $12,324 $18,615 $14,156 10/23 $12,057 $18,055 $13,833 11/23 $12,949 $19,721 $14,878 12/23 $13,524 $20,669 $15,554 1/24 $13,424 $20,790 $15,523 2/24 $13,624 $21,682 $15,844 3/24 $13,907 $22,363 $16,178 4/24 $13,490 $21,625 $15,694 5/24 $13,940 $22,503 $16,159 6/24 $14,065 $23,004 $16,384 7/24 $14,415 $23,375 $16,724 8/24 $14,699 $23,969 $17,137 9/24 $14,965 $24,526 $17,492 | |
Average Annual Return [Table Text Block] | AATR 1 Year 5 Years 10 Years Class L 21.43% 5.52% 4.11% MSCI All Country World Index 31.76% 12.19% 9.39% Customized MSIM Global Allocation Index Footnote Reference 23.57% 7.03% 5.75% | |
AssetsNet | $ 614,052,374 | |
Holdings Count | Holding | 1,531 | |
Advisory Fees Paid, Amount | $ 2,496,863 | |
InvestmentCompanyPortfolioTurnover | 93% | |
Additional Fund Statistics Significance or Limits [Text Block] | Key Fund Statistics Total Net Assets $614,052,374 # of Portfolio Holdings 1,531 Portfolio Turnover Rate 93% Total Advisory Fees Paid $2,496,863 | |
Holdings [Text Block] | Country Allocation (% of total investments) Value Value Other 10.1% Australia 1.9% South Africa 2.0% Spain 2.1% Japan 2.1% China 2.9% Canada 3.4% France 3.8% United Kingdom 3.8% Germany 3.8% United States 64.1% Top Ten Holdings (% of total investments) Footnote Reference U.S. Treasury Securities 6.9% China Government Bonds, 3.130%, 11/21/2029 2.6% Uniform Mortgage-Backed Security, TBA, 5.500%, 10/1/2054 2.2% Apple, Inc. 1.8% Microsoft Corp. 1.6% Bundesrepublik Deutschland Bundesanleihe, 0.000%, 8/15/2031 1.6% NVIDIA Corp. 1.6% Federal National Mortgage Association, 3.000%, 6/1/2052 1.4% Brazil Notas do Tesouro Nacional, 10.000%, 1/1/2029 1.1% U.K. Gilts, 0.875%, 7/31/2033 1.1% Total 12.6% Footnote Description Footnote a Excluding cash equivalents. | |
Material Fund Change [Text Block] | | |
Updated Prospectus Web Address | www.morganstanley.com/im/shareholderreports</span>" id="sjs-B424"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.morganstanley.com/im/shareholderreports</span> | |
C000156275 | | |
Shareholder Report [Line Items] | | |
Fund Name | Morgan Stanley Institutional Fund Trust - Global Strategist Portfolio | |
Class Name | R6 | |
Trading Symbol | MGPOX | |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about Morgan Stanley Institutional Fund Trust - Global Strategist Portfolio for the period of October 1, 2023 to September 30, 2024. | |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report | |
Additional Information [Text Block] | You can find additional information about the Fund at www.morganstanley.com/im/shareholderreports | |
Additional Information Phone Number | 1-800-869-6397 | |
Additional Information Website | www.morganstanley.com/im/shareholderreports</span>" id="sjs-B434"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.morganstanley.com/im/shareholderreports</span> | |
Expenses [Text Block] | What were the Fund costs for the last year? (based on a hypothetical $10,000 investment) Class Name Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class R6 $70 0.63% | |
Expenses Paid, Amount | $ 70 | |
Expense Ratio, Percent | 0.63% | |
Factors Affecting Performance [Text Block] | How did the Fund perform last year and what affected its performance? Key contributors to (↑) and detractors from (↓) performance, relative to the MSCI All Country World Index: ↓ Overweight U.S. Value stocks vs. U.S. expensive stocks ↓ Underweight U.S. cyclical stocks vs. U.S. defensive stocks ↓ Overweight VIX Roll Harvesting Strategy ↑ Overweight South African 10-year bonds vs. U.S. 10-year Treasury bonds and South African banks vs. emerging markets equities ↑ Directional overweight in U.S. 10-year Treasury inflation-protected securities (TIPS) ↑ Overweight European Union (EMU) banks vs. EMU | |
Line Graph [Table Text Block] | Class R6 MSCI All Country World Index Customized MSIM Global Allocation Index 5/15 $5,000,000 $5,000,000 $5,000,000 5/15 $5,000,000 $5,000,000 $5,000,000 6/15 $4,874,765 $4,882,284 $4,927,682 7/15 $4,909,205 $4,924,685 $4,929,213 8/15 $4,699,436 $4,587,095 $4,726,265 9/15 $4,564,809 $4,420,911 $4,623,182 10/15 $4,780,839 $4,767,871 $4,845,307 11/15 $4,727,614 $4,728,507 $4,779,665 12/15 $4,657,545 $4,643,238 $4,727,538 1/16 $4,522,771 $4,363,201 $4,563,245 2/16 $4,485,159 $4,333,168 $4,573,857 3/16 $4,764,110 $4,654,298 $4,820,711 4/16 $4,845,602 $4,723,000 $4,898,690 5/16 $4,804,856 $4,728,968 $4,883,689 6/16 $4,776,648 $4,700,321 $4,911,490 7/16 $4,908,287 $4,902,888 $5,034,104 8/16 $4,930,227 $4,919,376 $5,033,320 9/16 $4,949,033 $4,949,525 $5,066,672 10/16 $4,851,870 $4,865,518 $4,973,431 11/16 $4,842,468 $4,902,494 $4,940,495 12/16 $4,918,801 $5,008,396 $5,001,974 1/17 $4,998,085 $5,145,341 $5,104,760 2/17 $5,074,198 $5,289,675 $5,199,671 3/17 $5,140,797 $5,354,386 $5,232,381 4/17 $5,232,767 $5,437,832 $5,296,877 5/17 $5,327,908 $5,557,915 $5,389,941 6/17 $5,356,451 $5,583,190 $5,402,755 7/17 $5,454,763 $5,739,221 $5,529,683 8/17 $5,470,620 $5,761,209 $5,564,306 9/17 $5,546,733 $5,872,515 $5,608,759 10/17 $5,603,818 $5,994,460 $5,670,151 11/17 $5,686,274 $6,110,502 $5,761,197 12/17 $5,736,809 $6,209,014 $5,824,910 1/18 $5,926,120 $6,559,305 $6,049,849 2/18 $5,770,615 $6,283,826 $5,875,926 3/18 $5,760,473 $6,149,310 $5,825,473 4/18 $5,750,331 $6,208,033 $5,821,528 5/18 $5,692,862 $6,215,784 $5,808,226 6/18 $5,672,578 $6,182,123 $5,779,023 7/18 $5,773,995 $6,368,555 $5,879,730 8/18 $5,757,092 $6,418,589 $5,909,913 9/18 $5,767,234 $6,446,524 $5,904,968 10/18 $5,506,931 $5,963,429 $5,613,076 11/18 $5,567,781 $6,050,646 $5,669,353 12/18 $5,380,915 $5,624,472 $5,475,612 1/19 $5,686,737 $6,068,578 $5,768,369 2/19 $5,748,676 $6,230,895 $5,847,661 3/19 $5,818,356 $6,309,255 $5,921,069 4/19 $5,930,620 $6,522,291 $6,034,013 5/19 $5,752,547 $6,135,395 $5,851,937 6/19 $6,023,528 $6,537,138 $6,133,746 7/19 $5,996,430 $6,556,293 $6,137,712 8/19 $5,926,749 $6,400,763 $6,100,275 9/19 $5,984,816 $6,535,445 $6,152,471 10/19 $6,108,694 $6,714,311 $6,269,890 11/19 $6,178,375 $6,878,218 $6,342,707 12/19 $6,353,057 $7,120,436 $6,491,518 1/20 $6,242,706 $7,041,784 $6,481,641 2/20 $5,903,771 $6,473,020 $6,184,966 3/20 $5,245,607 $5,599,141 $5,628,538 4/20 $5,651,540 $6,198,949 $6,034,516 5/20 $5,836,772 $6,468,548 $6,202,573 6/20 $5,970,770 $6,675,234 $6,343,528 7/20 $6,238,765 $7,028,268 $6,625,749 8/20 $6,471,290 $7,458,434 $6,865,026 9/20 $6,345,174 $7,217,950 $6,722,339 10/20 $6,254,529 $7,042,492 $6,626,864 11/20 $6,841,753 $7,910,570 $7,165,169 12/20 $7,087,967 $8,277,853 $7,403,272 1/21 $7,075,980 $8,240,205 $7,356,989 2/21 $7,199,840 $8,431,077 $7,408,583 3/21 $7,299,727 $8,656,265 $7,470,303 4/21 $7,503,496 $9,034,739 $7,704,024 5/21 $7,679,297 $9,175,341 $7,804,902 6/21 $7,599,387 $9,296,248 $7,839,067 7/21 $7,619,365 $9,360,306 $7,913,213 8/21 $7,691,283 $9,594,588 $8,018,888 9/21 $7,491,510 $9,198,238 $7,763,137 10/21 $7,651,328 $9,667,749 $7,993,386 11/21 $7,519,478 $9,434,945 $7,868,543 12/21 $7,702,778 $9,812,347 $8,052,997 1/22 $7,525,752 $9,330,439 $7,749,682 2/22 $7,383,268 $9,089,460 $7,592,746 3/22 $7,344,408 $9,286,329 $7,598,929 4/22 $6,834,920 $8,543,034 $7,067,456 5/22 $6,934,227 $8,553,032 $7,080,135 6/22 $6,390,197 $7,832,042 $6,631,163 7/22 $6,692,436 $8,378,973 $6,965,395 8/22 $6,394,514 $8,070,502 $6,701,591 9/22 $5,867,755 $7,297,919 $6,178,937 10/22 $6,083,640 $7,738,327 $6,385,667 11/22 $6,545,634 $8,338,537 $6,803,050 12/22 $6,416,388 $8,010,408 $6,657,142 1/23 $6,829,088 $8,584,569 $7,030,858 2/23 $6,577,124 $8,338,535 $6,816,462 3/23 $6,737,859 $8,595,634 $7,028,782 4/23 $6,776,957 $8,719,175 $7,101,802 5/23 $6,650,975 $8,625,788 $7,000,634 6/23 $6,898,595 $9,126,609 $7,244,292 7/23 $7,089,740 $9,460,716 $7,423,478 8/23 $6,924,660 $9,196,346 $7,258,392 9/23 $6,668,352 $8,816,070 $6,993,492 10/23 $6,529,338 $8,550,998 $6,833,892 11/23 $7,015,888 $9,340,220 $7,350,178 12/23 $7,337,359 $9,788,868 $7,684,206 1/24 $7,285,229 $9,846,253 $7,668,823 2/24 $7,402,522 $10,268,788 $7,827,729 3/24 $7,558,914 $10,591,196 $7,992,426 4/24 $7,337,359 $10,241,761 $7,753,529 5/24 $7,589,323 $10,657,716 $7,983,114 6/24 $7,663,175 $10,895,086 $8,094,378 7/24 $7,858,664 $11,070,796 $8,262,110 8/24 $8,019,399 $11,351,956 $8,466,199 9/24 $8,167,102 $11,615,674 $8,641,840 | |
Average Annual Return [Table Text Block] | AATR 1 Year 5 Years Since 5/29/15 (Inception) Class R6 22.48% 6.42% 5.39% MSCI All Country World Index 31.76% 12.19% 9.45% Customized MSIM Global Allocation Index Footnote Reference 23.57% 7.03% 6.03% | |
Performance Inception Date | May 29, 2015 | |
AssetsNet | $ 614,052,374 | |
Holdings Count | Holding | 1,531 | |
Advisory Fees Paid, Amount | $ 2,496,863 | |
InvestmentCompanyPortfolioTurnover | 93% | |
Additional Fund Statistics Significance or Limits [Text Block] | Key Fund Statistics Total Net Assets $614,052,374 # of Portfolio Holdings 1,531 Portfolio Turnover Rate 93% Total Advisory Fees Paid $2,496,863 | |
Holdings [Text Block] | Country Allocation (% of total investments) Value Value Other 10.1% Australia 1.9% South Africa 2.0% Spain 2.1% Japan 2.1% China 2.9% Canada 3.4% France 3.8% United Kingdom 3.8% Germany 3.8% United States 64.1% Top Ten Holdings (% of total investments) Footnote Reference U.S. Treasury Securities 6.9% China Government Bonds, 3.130%, 11/21/2029 2.6% Uniform Mortgage-Backed Security, TBA, 5.500%, 10/1/2054 2.2% Apple, Inc. 1.8% Microsoft Corp. 1.6% Bundesrepublik Deutschland Bundesanleihe, 0.000%, 8/15/2031 1.6% NVIDIA Corp. 1.6% Federal National Mortgage Association, 3.000%, 6/1/2052 1.4% Brazil Notas do Tesouro Nacional, 10.000%, 1/1/2029 1.1% U.K. Gilts, 0.875%, 7/31/2033 1.1% Total 12.6% Footnote Description Footnote a Excluding cash equivalents. | |
Material Fund Change [Text Block] | | |
Updated Prospectus Web Address | www.morganstanley.com/im/shareholderreports</span>" id="sjs-B449"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.morganstanley.com/im/shareholderreports</span> | |
C000110150 | | |
Shareholder Report [Line Items] | | |
Fund Name | Morgan Stanley Institutional Fund Trust - High Yield Portfolio | |
Class Name | A | |
Trading Symbol | MSYPX | |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about Morgan Stanley Institutional Fund Trust - High Yield Portfolio for the period of October 1, 2023 to September 30, 2024. | |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report | |
Additional Information [Text Block] | You can find additional information about the Fund at www.morganstanley.com/im/shareholderreports | |
Additional Information Phone Number | 1-800-869-6397 | |
Additional Information Website | www.morganstanley.com/im/shareholderreports</span>" id="sjs-B459"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.morganstanley.com/im/shareholderreports</span> | |
Expenses [Text Block] | What were the Fund costs for the last year? (based on a hypothetical $10,000 investment) Class Name Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class A $101 0.94% | |
Expenses Paid, Amount | $ 101 | |
Expense Ratio, Percent | 0.94% | |
Factors Affecting Performance [Text Block] | How did the Fund perform last year and what affected its performance? Key contributors to (↑) and detractors from (↓) performance, relative to the Bloomberg U.S. Corporate High Yield Index: ↑ Credit selection in the technology sector, ↑ Sound credit selection in the metals & mining sector ↑ Underweight exposure in BB-rated bonds, ↓ A modest cash position ↓ Bonds rated CCC and below, ↓ Chemicals sector, ↓ Credit selection and an underweight position in the wirelines sector, | |
Line Graph [Table Text Block] | Class A with maximum sales charge Bloomberg U.S. Universal Index Bloomberg U.S. Corporate High Yield Index 9/14 $9,675 $10,000 $10,000 10/14 $9,675 $10,098 $10,119 11/14 $9,539 $10,152 $10,045 12/14 $9,315 $10,134 $9,900 1/15 $9,343 $10,327 $9,965 2/15 $9,604 $10,267 $10,205 3/15 $9,613 $10,309 $10,149 4/15 $9,779 $10,297 $10,272 5/15 $9,854 $10,279 $10,303 6/15 $9,769 $10,164 $10,150 7/15 $9,720 $10,224 $10,091 8/15 $9,595 $10,194 $9,915 9/15 $9,440 $10,233 $9,657 10/15 $9,595 $10,266 $9,922 11/15 $9,459 $10,229 $9,702 12/15 $9,122 $10,178 $9,457 1/16 $8,924 $10,290 $9,305 2/16 $8,943 $10,363 $9,359 3/16 $9,283 $10,490 $9,775 4/16 $9,544 $10,562 $10,157 5/16 $9,615 $10,570 $10,220 6/16 $9,655 $10,756 $10,314 7/16 $9,941 $10,844 $10,593 8/16 $10,157 $10,856 $10,815 9/16 $10,218 $10,859 $10,887 10/16 $10,280 $10,787 $10,929 11/16 $10,311 $10,544 $10,877 12/16 $10,489 $10,576 $11,077 1/17 $10,637 $10,613 $11,238 2/17 $10,753 $10,695 $11,402 3/17 $10,721 $10,691 $11,377 4/17 $10,838 $10,780 $11,508 5/17 $10,914 $10,863 $11,608 6/17 $10,902 $10,854 $11,624 7/17 $11,032 $10,908 $11,752 8/17 $11,021 $11,002 $11,748 9/17 $11,141 $10,963 $11,853 10/17 $11,240 $10,976 $11,903 11/17 $11,262 $10,960 $11,873 12/17 $11,303 $11,008 $11,909 1/18 $11,416 $10,902 $11,980 2/18 $11,336 $10,799 $11,878 3/18 $11,313 $10,853 $11,807 4/18 $11,370 $10,781 $11,883 5/18 $11,358 $10,840 $11,880 6/18 $11,427 $10,824 $11,928 7/18 $11,508 $10,847 $12,058 8/18 $11,589 $10,900 $12,147 9/18 $11,659 $10,853 $12,215 10/18 $11,453 $10,763 $12,019 11/18 $11,286 $10,811 $11,916 12/18 $11,010 $10,980 $11,661 1/19 $11,453 $11,132 $12,188 2/19 $11,633 $11,144 $12,391 3/19 $11,730 $11,345 $12,507 4/19 $11,924 $11,361 $12,685 5/19 $11,789 $11,535 $12,534 6/19 $12,018 $11,698 $12,820 7/19 $12,052 $11,733 $12,892 8/19 $12,074 $11,998 $12,944 9/19 $12,157 $11,946 $12,991 10/19 $12,192 $11,985 $13,027 11/19 $12,214 $11,982 $13,069 12/19 $12,501 $12,000 $13,331 1/20 $12,539 $12,216 $13,334 2/20 $12,357 $12,399 $13,146 3/20 $10,490 $12,156 $11,640 4/20 $10,770 $12,400 $12,164 5/20 $11,334 $12,516 $12,700 6/20 $11,532 $12,620 $12,824 7/20 $12,020 $12,842 $13,425 8/20 $12,194 $12,768 $13,553 9/20 $12,131 $12,745 $13,414 10/20 $12,207 $12,699 $13,482 11/20 $12,647 $12,865 $14,015 12/20 $12,859 $12,909 $14,279 1/21 $12,913 $12,828 $14,326 2/21 $12,982 $12,663 $14,379 3/21 $13,054 $12,515 $14,400 4/21 $13,179 $12,621 $14,557 5/21 $13,234 $12,669 $14,600 6/21 $13,385 $12,761 $14,795 7/21 $13,384 $12,889 $14,852 8/21 $13,454 $12,881 $14,928 9/21 $13,482 $12,771 $14,926 10/21 $13,440 $12,760 $14,901 11/21 $13,299 $12,776 $14,756 12/21 $13,518 $12,767 $15,032 1/22 $13,263 $12,487 $14,621 2/22 $13,087 $12,317 $14,471 3/22 $12,998 $11,986 $14,305 4/22 $12,577 $11,539 $13,797 5/22 $12,428 $11,603 $13,831 6/22 $11,597 $11,371 $12,899 7/22 $12,180 $11,657 $13,661 8/22 $11,986 $11,354 $13,346 9/22 $11,501 $10,865 $12,816 10/22 $11,825 $10,745 $13,149 11/22 $11,989 $11,146 $13,434 12/22 $11,921 $11,108 $13,351 1/23 $12,386 $11,453 $13,859 2/23 $12,258 $11,171 $13,681 3/23 $12,388 $11,434 $13,827 4/23 $12,503 $11,503 $13,965 5/23 $12,396 $11,384 $13,837 6/23 $12,600 $11,366 $14,068 7/23 $12,821 $11,378 $14,263 8/23 $12,829 $11,309 $14,302 9/23 $12,649 $11,040 $14,133 10/23 $12,437 $10,874 $13,968 11/23 $12,984 $11,363 $14,601 12/23 $13,489 $11,794 $15,145 1/24 $13,569 $11,766 $15,145 2/24 $13,609 $11,625 $15,189 3/24 $13,812 $11,739 $15,369 4/24 $13,691 $11,465 $15,224 5/24 $13,847 $11,655 $15,392 6/24 $13,988 $11,761 $15,537 7/24 $14,146 $12,028 $15,839 8/24 $14,351 $12,205 $16,097 9/24 $14,522 $12,373 $16,358 | |
Average Annual Return [Table Text Block] | AATR 1 Year 5 Years 10 Years Class A 14.81% 3.62% 4.14% Class A with maximum 3.25% sales charge 11.09% 2.93% 3.80% Bloomberg U.S. Universal Index Footnote Reference 12.08% 0.70% 2.15% Bloomberg U.S. Corporate High Yield Index 15.74% 4.72% 5.04% | |
AssetsNet | $ 65,728,163 | |
Holdings Count | Holding | 220 | |
Advisory Fees Paid, Amount | $ 112,589 | |
InvestmentCompanyPortfolioTurnover | 80% | |
Additional Fund Statistics [Text Block] | Key Fund Statistics Total Net Assets $65,728,163 # of Portfolio Holdings 220 Portfolio Turnover Rate 80% Total Advisory Fees Paid $112,589 | |
Holdings [Text Block] | Asset Allocation (% of total investments) Value Value Common Stocks 0.1% Short-Term Investments 1.7% Senior Loan Interests 7.0% Corporate Bonds 91.2% Credit Quality (% of net assets) Footnote Reference Value Value Cash 1.7% Not Rated 2.4% CCC 16.1% B 36.3% BB 40.2% BBB 3.3% Footnote Description Footnote a Security ratings disclosed with the exception for those labeled "Not Rated" is an aggregation of the highest security level rating amongst S&P Global Ratings, Moody's Investors Services, Inc., and Fitch Ratings, each a Nationally Recognized Statistical Ratings Organization. | |
Material Fund Change [Text Block] | | |
Updated Prospectus Web Address | www.morganstanley.com/im/shareholderreports</span>" id="sjs-B473"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.morganstanley.com/im/shareholderreports</span> | |
C000155936 | | |
Shareholder Report [Line Items] | | |
Fund Name | Morgan Stanley Institutional Fund Trust - High Yield Portfolio | |
Class Name | C | |
Trading Symbol | MSHDX | |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about Morgan Stanley Institutional Fund Trust - High Yield Portfolio for the period of October 1, 2023 to September 30, 2024. | |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report | |
Additional Information [Text Block] | You can find additional information about the Fund at www.morganstanley.com/im/shareholderreports | |
Additional Information Phone Number | 1-800-869-6397 | |
Additional Information Website | www.morganstanley.com/im/shareholderreports</span>" id="sjs-B483"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.morganstanley.com/im/shareholderreports</span> | |
Expenses [Text Block] | What were the Fund costs for the last year? (based on a hypothetical $10,000 investment) Class Name Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class C $181 1.69% | |
Expenses Paid, Amount | $ 181 | |
Expense Ratio, Percent | 1.69% | |
Factors Affecting Performance [Text Block] | How did the Fund perform last year and what affected its performance? Key contributors to (↑) and detractors from (↓) performance, relative to the Bloomberg U.S. Corporate High Yield Index: ↑ Credit selection in the technology sector, ↑ Sound credit selection in the metals & mining sector ↑ Underweight exposure in BB-rated bonds, ↓ A modest cash position ↓ Bonds rated CCC and below, ↓ Chemicals sector, ↓ Credit selection and an underweight position in the wirelines sector, | |
Line Graph [Table Text Block] | Class C Bloomberg U.S. Universal Index Bloomberg U.S. Corporate High Yield Index 4/15 $10,000 $10,000 $10,000 5/15 $10,070 $10,000 $10,000 6/15 $9,980 $9,871 $9,881 7/15 $9,924 $9,929 $9,824 8/15 $9,791 $9,899 $9,652 9/15 $9,625 $9,938 $9,401 10/15 $9,787 $9,970 $9,660 11/15 $9,631 $9,933 $9,445 12/15 $9,287 $9,884 $9,207 1/16 $9,076 $9,993 $9,059 2/16 $9,090 $10,064 $9,111 3/16 $9,430 $10,187 $9,516 4/16 $9,700 $10,257 $9,888 5/16 $9,756 $10,265 $9,949 6/16 $9,792 $10,445 $10,041 7/16 $10,075 $10,531 $10,312 8/16 $10,288 $10,543 $10,528 9/16 $10,343 $10,545 $10,598 10/16 $10,400 $10,475 $10,639 11/16 $10,425 $10,240 $10,589 12/16 $10,602 $10,270 $10,784 1/17 $10,741 $10,307 $10,941 2/17 $10,852 $10,386 $11,100 3/17 $10,813 $10,383 $11,075 4/17 $10,925 $10,469 $11,203 5/17 $10,994 $10,550 $11,301 6/17 $10,965 $10,541 $11,316 7/17 $11,100 $10,593 $11,441 8/17 $11,082 $10,684 $11,437 9/17 $11,195 $10,647 $11,539 10/17 $11,277 $10,660 $11,588 11/17 $11,292 $10,644 $11,559 12/17 $11,331 $10,690 $11,594 1/18 $11,445 $10,588 $11,663 2/18 $11,347 $10,487 $11,564 3/18 $11,329 $10,540 $11,494 4/18 $11,367 $10,470 $11,569 5/18 $11,360 $10,527 $11,566 6/18 $11,422 $10,512 $11,612 7/18 $11,485 $10,534 $11,739 8/18 $11,571 $10,585 $11,825 9/18 $11,633 $10,540 $11,891 10/18 $11,425 $10,452 $11,701 11/18 $11,252 $10,499 $11,600 12/18 $10,963 $10,663 $11,352 1/19 $11,405 $10,810 $11,865 2/19 $11,577 $10,822 $12,063 3/19 $11,655 $11,017 $12,176 4/19 $11,853 $11,033 $12,349 5/19 $11,712 $11,202 $12,202 6/19 $11,932 $11,360 $12,480 7/19 $11,958 $11,394 $12,551 8/19 $11,959 $11,652 $12,601 9/19 $12,046 $11,601 $12,647 10/19 $12,072 $11,639 $12,682 11/19 $12,085 $11,637 $12,723 12/19 $12,353 $11,654 $12,978 1/20 $12,390 $11,863 $12,981 2/20 $12,202 $12,041 $12,798 3/20 $10,351 $11,806 $11,331 4/20 $10,621 $12,042 $11,842 5/20 $11,176 $12,155 $12,364 6/20 $11,365 $12,256 $12,485 7/20 $11,839 $12,471 $13,070 8/20 $12,004 $12,399 $13,194 9/20 $11,934 $12,377 $13,059 10/20 $12,002 $12,333 $13,125 11/20 $12,414 $12,494 $13,644 12/20 $12,620 $12,537 $13,901 1/21 $12,673 $12,458 $13,947 2/21 $12,734 $12,297 $13,998 3/21 $12,783 $12,154 $14,019 4/21 $12,912 $12,256 $14,171 5/21 $12,944 $12,303 $14,213 6/21 $13,084 $12,393 $14,404 7/21 $13,075 $12,517 $14,458 8/21 $13,133 $12,509 $14,533 9/21 $13,151 $12,402 $14,531 10/21 $13,115 $12,392 $14,506 11/21 $12,955 $12,407 $14,365 12/21 $13,179 $12,399 $14,634 1/22 $12,902 $12,127 $14,234 2/22 $12,737 $11,961 $14,088 3/22 $12,642 $11,640 $13,927 4/22 $12,211 $11,206 $13,431 5/22 $12,059 $11,268 $13,464 6/22 $11,258 $11,043 $12,558 7/22 $11,817 $11,320 $13,299 8/22 $11,621 $11,026 $12,993 9/22 $11,143 $10,551 $12,477 10/22 $11,450 $10,435 $12,801 11/22 $11,602 $10,824 $13,079 12/22 $11,521 $10,788 $12,997 1/23 $11,972 $11,122 $13,492 2/23 $11,839 $10,849 $13,318 3/23 $11,943 $11,104 $13,461 4/23 $12,060 $11,171 $13,595 5/23 $11,950 $11,056 $13,471 6/23 $12,139 $11,038 $13,696 7/23 $12,345 $11,049 $13,885 8/23 $12,344 $10,983 $13,923 9/23 $12,163 $10,721 $13,759 10/23 $11,952 $10,560 $13,599 11/23 $12,454 $11,035 $14,215 12/23 $12,939 $11,454 $14,744 1/24 $13,016 $11,426 $14,744 2/24 $13,046 $11,289 $14,787 3/24 $13,217 $11,400 $14,962 4/24 $13,107 $11,134 $14,821 5/24 $13,232 $11,318 $14,984 6/24 $13,373 $11,422 $15,126 7/24 $13,516 $11,681 $15,420 8/24 $13,703 $11,853 $15,671 9/24 $13,858 $12,015 $15,925 | |
Average Annual Return [Table Text Block] | AATR 1 Year 5 Years Since 4/30/15 (Inception) Class C 13.94% 2.84% 3.52% Class C with maximum deferred sales charge 12.94% 2.84% 3.52% Bloomberg U.S. Universal Index Footnote Reference 12.08% 0.70% 1.97% Bloomberg U.S. Corporate High Yield Index 15.74% 4.72% 5.06% | |
Performance Inception Date | Apr. 30, 2015 | |
AssetsNet | $ 65,728,163 | |
Holdings Count | Holding | 220 | |
Advisory Fees Paid, Amount | $ 112,589 | |
InvestmentCompanyPortfolioTurnover | 80% | |
Additional Fund Statistics [Text Block] | Key Fund Statistics Total Net Assets $65,728,163 # of Portfolio Holdings 220 Portfolio Turnover Rate 80% Total Advisory Fees Paid $112,589 | |
Holdings [Text Block] | Asset Allocation (% of total investments) Value Value Common Stocks 0.1% Short-Term Investments 1.7% Senior Loan Interests 7.0% Corporate Bonds 91.2% Credit Quality (% of net assets) Footnote Reference Value Value Cash 1.7% Not Rated 2.4% CCC 16.1% B 36.3% BB 40.2% BBB 3.3% Footnote Description Footnote a Security ratings disclosed with the exception for those labeled "Not Rated" is an aggregation of the highest security level rating amongst S&P Global Ratings, Moody's Investors Services, Inc., and Fitch Ratings, each a Nationally Recognized Statistical Ratings Organization. | |
Material Fund Change [Text Block] | | |
Updated Prospectus Web Address | www.morganstanley.com/im/shareholderreports</span>" id="sjs-B498"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.morganstanley.com/im/shareholderreports</span> | |
C000110149 | | |
Shareholder Report [Line Items] | | |
Fund Name | Morgan Stanley Institutional Fund Trust - High Yield Portfolio | |
Class Name | I | |
Trading Symbol | MSYIX | |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about Morgan Stanley Institutional Fund Trust - High Yield Portfolio for the period of October 1, 2023 to September 30, 2024. | |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report | |
Additional Information [Text Block] | You can find additional information about the Fund at www.morganstanley.com/im/shareholderreports | |
Additional Information Phone Number | 1-800-869-6397 | |
Additional Information Website | www.morganstanley.com/im/shareholderreports</span>" id="sjs-B508"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.morganstanley.com/im/shareholderreports</span> | |
Expenses [Text Block] | What were the Fund costs for the last year? (based on a hypothetical $10,000 investment) Class Name Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class I $63 0.59% | |
Expenses Paid, Amount | $ 63 | |
Expense Ratio, Percent | 0.59% | |
Factors Affecting Performance [Text Block] | How did the Fund perform last year and what affected its performance? Key contributors to (↑) and detractors from (↓) performance, relative to the Bloomberg U.S. Corporate High Yield Index: ↑ Credit selection in the technology sector, ↑ Sound credit selection in the metals & mining sector ↑ Underweight exposure in BB-rated bonds, ↓ A modest cash position ↓ Bonds rated CCC and below, ↓ Chemicals sector, ↓ Credit selection and an underweight position in the wirelines sector, | |
Line Graph [Table Text Block] | Class I Bloomberg U.S. Universal Index Bloomberg U.S. Corporate High Yield Index 9/14 $1,000,000 $1,000,000 $1,000,000 10/14 $1,000,233 $1,009,792 $1,011,890 11/14 $986,359 $1,015,242 $1,004,520 12/14 $963,636 $1,013,408 $989,978 1/15 $966,513 $1,032,698 $996,518 2/15 $993,730 $1,026,679 $1,020,534 3/15 $994,935 $1,030,917 $1,014,949 4/15 $1,012,695 $1,029,721 $1,027,196 5/15 $1,020,758 $1,027,919 $1,030,314 6/15 $1,012,155 $1,016,447 $1,014,977 7/15 $1,007,447 $1,022,366 $1,009,067 8/15 $995,774 $1,019,354 $991,488 9/15 $979,044 $1,023,344 $965,689 10/15 $996,391 $1,026,615 $992,237 11/15 $981,485 $1,022,871 $970,181 12/15 $947,148 $1,017,761 $945,746 1/16 $926,624 $1,028,996 $930,547 2/16 $928,969 $1,036,306 $935,865 3/16 $964,472 $1,049,006 $977,458 4/16 $992,909 $1,056,153 $1,015,727 5/16 $999,481 $1,056,978 $1,021,998 6/16 $1,003,966 $1,075,586 $1,031,404 7/16 $1,034,991 $1,084,449 $1,059,292 8/16 $1,056,620 $1,085,619 $1,081,452 9/16 $1,064,398 $1,085,877 $1,088,660 10/16 $1,071,127 $1,078,673 $1,092,864 11/16 $1,073,594 $1,054,427 $1,087,675 12/16 $1,093,850 $1,057,560 $1,107,749 1/17 $1,108,156 $1,061,291 $1,123,839 2/17 $1,120,594 $1,069,479 $1,140,195 3/17 $1,118,629 $1,069,121 $1,137,650 4/17 $1,131,197 $1,077,992 $1,150,787 5/17 $1,139,342 $1,086,309 $1,160,794 6/17 $1,137,358 $1,085,388 $1,162,364 7/17 $1,152,394 $1,090,794 $1,175,237 8/17 $1,151,537 $1,100,205 $1,174,777 9/17 $1,164,442 $1,096,333 $1,185,325 10/17 $1,173,954 $1,097,650 $1,190,332 11/17 $1,176,555 $1,095,989 $1,187,293 12/17 $1,181,536 $1,100,820 $1,190,881 1/18 $1,194,481 $1,090,227 $1,198,023 2/18 $1,185,324 $1,079,889 $1,187,842 3/18 $1,183,260 $1,085,336 $1,180,667 4/18 $1,189,535 $1,078,094 $1,188,349 5/18 $1,189,840 $1,083,973 $1,188,019 6/18 $1,197,384 $1,082,401 $1,192,788 7/18 $1,204,987 $1,084,667 $1,205,805 8/18 $1,215,060 $1,090,010 $1,214,698 9/18 $1,222,738 $1,085,340 $1,221,462 10/18 $1,202,058 $1,076,261 $1,201,935 11/18 $1,184,988 $1,081,101 $1,191,595 12/18 $1,155,513 $1,098,015 $1,166,082 1/19 $1,201,935 $1,113,155 $1,218,793 2/19 $1,221,157 $1,114,368 $1,239,060 3/19 $1,231,613 $1,134,491 $1,250,714 4/19 $1,253,596 $1,136,079 $1,268,497 5/19 $1,239,818 $1,153,482 $1,253,422 6/19 $1,262,996 $1,169,797 $1,281,988 7/19 $1,268,171 $1,173,279 $1,289,217 8/19 $1,269,493 $1,199,827 $1,294,374 9/19 $1,279,963 $1,194,629 $1,299,088 10/19 $1,283,937 $1,198,489 $1,302,676 11/19 $1,286,568 $1,198,249 $1,306,928 12/19 $1,316,030 $1,200,035 $1,333,058 1/20 $1,321,380 $1,221,573 $1,333,412 2/20 $1,302,554 $1,239,864 $1,314,610 3/20 $1,105,238 $1,215,645 $1,163,960 4/20 $1,135,232 $1,239,996 $1,216,401 5/20 $1,195,072 $1,251,577 $1,269,989 6/20 $1,216,301 $1,262,020 $1,282,420 7/20 $1,269,437 $1,284,189 $1,342,542 8/20 $1,288,159 $1,276,784 $1,355,304 9/20 $1,281,859 $1,274,483 $1,341,364 10/20 $1,290,258 $1,269,928 $1,348,176 11/20 $1,335,619 $1,286,499 $1,401,510 12/20 $1,358,758 $1,290,942 $1,427,888 1/21 $1,365,871 $1,282,828 $1,432,611 2/21 $1,373,723 $1,266,275 $1,437,874 3/21 $1,381,606 $1,251,539 $1,440,025 4/21 $1,395,290 $1,262,063 $1,455,666 5/21 $1,401,448 $1,266,877 $1,459,972 6/21 $1,417,816 $1,276,113 $1,479,529 7/21 $1,418,173 $1,288,927 $1,485,164 8/21 $1,425,894 $1,288,066 $1,492,794 9/21 $1,427,730 $1,277,067 $1,492,631 10/21 $1,425,129 $1,276,023 $1,490,075 11/21 $1,410,620 $1,277,564 $1,475,583 12/21 $1,434,464 $1,276,703 $1,503,242 1/22 $1,407,398 $1,248,712 $1,462,138 2/22 $1,389,252 $1,231,687 $1,447,126 3/22 $1,380,139 $1,198,643 $1,430,536 4/22 $1,334,439 $1,153,936 $1,379,668 5/22 $1,319,156 $1,160,286 $1,383,050 6/22 $1,233,044 $1,137,100 $1,289,930 7/22 $1,293,718 $1,165,689 $1,366,079 8/22 $1,275,044 $1,135,386 $1,334,600 9/22 $1,223,931 $1,086,469 $1,281,590 10/22 $1,258,750 $1,074,548 $1,314,896 11/22 $1,274,930 $1,114,614 $1,343,436 12/22 $1,268,438 $1,110,828 $1,335,051 1/23 $1,319,494 $1,145,286 $1,385,879 2/23 $1,306,149 $1,117,145 $1,368,063 3/23 $1,318,689 $1,143,352 $1,382,687 4/23 $1,332,869 $1,150,337 $1,396,494 5/23 $1,321,876 $1,138,410 $1,383,697 6/23 $1,343,980 $1,136,641 $1,406,850 7/23 $1,367,911 $1,137,771 $1,426,261 8/23 $1,367,546 $1,130,920 $1,430,211 9/23 $1,350,448 $1,103,953 $1,413,291 10/23 $1,328,300 $1,087,351 $1,396,833 11/23 $1,385,226 $1,136,287 $1,460,115 12/23 $1,439,822 $1,179,403 $1,514,549 1/24 $1,450,082 $1,176,580 $1,514,488 2/24 $1,454,814 $1,162,474 $1,518,914 3/24 $1,476,836 $1,173,887 $1,536,883 4/24 $1,464,259 $1,146,456 $1,522,436 5/24 $1,479,535 $1,165,459 $1,539,162 6/24 $1,496,645 $1,176,114 $1,553,697 7/24 $1,513,901 $1,202,809 $1,583,903 8/24 $1,536,169 $1,220,515 $1,609,739 9/24 $1,554,973 $1,237,255 $1,635,783 | |
Average Annual Return [Table Text Block] | AATR 1 Year 5 Years 10 Years Class I 15.15% 3.97% 4.51% Bloomberg U.S. Universal Index Footnote Reference 12.08% 0.70% 2.15% Bloomberg U.S. Corporate High Yield Index 15.74% 4.72% 5.04% | |
AssetsNet | $ 65,728,163 | |
Holdings Count | Holding | 220 | |
Advisory Fees Paid, Amount | $ 112,589 | |
InvestmentCompanyPortfolioTurnover | 80% | |
Additional Fund Statistics [Text Block] | Key Fund Statistics Total Net Assets $65,728,163 # of Portfolio Holdings 220 Portfolio Turnover Rate 80% Total Advisory Fees Paid $112,589 | |
Holdings [Text Block] | Asset Allocation (% of total investments) Value Value Common Stocks 0.1% Short-Term Investments 1.7% Senior Loan Interests 7.0% Corporate Bonds 91.2% Credit Quality (% of net assets) Footnote Reference Value Value Cash 1.7% Not Rated 2.4% CCC 16.1% B 36.3% BB 40.2% BBB 3.3% Footnote Description Footnote a Security ratings disclosed with the exception for those labeled "Not Rated" is an aggregation of the highest security level rating amongst S&P Global Ratings, Moody's Investors Services, Inc., and Fitch Ratings, each a Nationally Recognized Statistical Ratings Organization. | |
Material Fund Change [Text Block] | | |
Updated Prospectus Web Address | www.morganstanley.com/im/shareholderreports</span>" id="sjs-B522"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.morganstanley.com/im/shareholderreports</span> | |
C000198829 | | |
Shareholder Report [Line Items] | | |
Fund Name | Morgan Stanley Institutional Fund Trust - High Yield Portfolio | |
Class Name | IR | |
Trading Symbol | MRHYX | |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about Morgan Stanley Institutional Fund Trust - High Yield Portfolio for the period of October 1, 2023 to September 30, 2024. | |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report | |
Additional Information [Text Block] | You can find additional information about the Fund at www.morganstanley.com/im/shareholderreports | |
Additional Information Phone Number | 1-800-869-6397 | |
Additional Information Website | www.morganstanley.com/im/shareholderreports</span>" id="sjs-B532"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.morganstanley.com/im/shareholderreports</span> | |
Expenses [Text Block] | What were the Fund costs for the last year? (based on a hypothetical $10,000 investment) Class Name Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class IR $60 0.56% | |
Expenses Paid, Amount | $ 60 | |
Expense Ratio, Percent | 0.56% | |
Factors Affecting Performance [Text Block] | How did the Fund perform last year and what affected its performance? Key contributors to (↑) and detractors from (↓) performance, relative to the Bloomberg U.S. Corporate High Yield Index: ↑ Credit selection in the technology sector, ↑ Sound credit selection in the metals & mining sector ↑ Underweight exposure in BB-rated bonds, ↓ A modest cash position ↓ Bonds rated CCC and below, ↓ Chemicals sector, ↓ Credit selection and an underweight position in the wirelines sector, | |
Line Graph [Table Text Block] | Class IR Bloomberg U.S. Universal Index Bloomberg U.S. Corporate High Yield Index 6/18 $5,000,000 $5,000,000 $5,000,000 6/18 $4,989,930 $5,000,000 $5,000,000 7/18 $5,021,734 $5,023,048 $5,025,759 8/18 $5,063,836 $5,047,795 $5,062,823 9/18 $5,095,961 $5,026,165 $5,091,016 10/18 $5,009,853 $4,984,120 $5,009,628 11/18 $4,938,835 $5,006,535 $4,966,529 12/18 $4,816,227 $5,084,865 $4,860,194 1/19 $5,009,713 $5,154,975 $5,079,889 2/19 $5,089,956 $5,160,593 $5,164,364 3/19 $5,133,651 $5,253,782 $5,212,938 4/19 $5,225,412 $5,261,136 $5,287,055 5/19 $5,168,106 $5,341,729 $5,224,222 6/19 $5,264,856 $5,417,284 $5,343,288 7/19 $5,286,557 $5,433,409 $5,373,415 8/19 $5,292,203 $5,556,353 $5,394,910 9/19 $5,335,986 $5,532,280 $5,414,558 10/19 $5,352,683 $5,550,154 $5,429,511 11/19 $5,363,788 $5,549,045 $5,447,237 12/19 $5,486,885 $5,557,313 $5,556,143 1/20 $5,509,189 $5,657,056 $5,557,620 2/20 $5,430,843 $5,741,760 $5,479,252 3/20 $4,608,268 $5,629,603 $4,851,351 4/20 $4,739,139 $5,742,372 $5,069,923 5/20 $4,988,800 $5,796,005 $5,293,275 6/20 $5,071,739 $5,844,366 $5,345,087 7/20 $5,293,436 $5,947,028 $5,595,672 8/20 $5,371,637 $5,912,735 $5,648,866 9/20 $5,345,499 $5,902,079 $5,590,764 10/20 $5,380,659 $5,880,984 $5,619,153 11/20 $5,575,837 $5,957,727 $5,841,449 12/20 $5,666,754 $5,978,301 $5,951,392 1/21 $5,696,423 $5,940,724 $5,971,077 2/21 $5,729,477 $5,864,071 $5,993,014 3/21 $5,762,604 $5,795,829 $6,001,978 4/21 $5,819,829 $5,844,565 $6,067,170 5/21 $5,845,332 $5,866,858 $6,085,116 6/21 $5,913,732 $5,909,628 $6,166,631 7/21 $5,915,408 $5,968,968 $6,190,118 8/21 $5,947,761 $5,964,984 $6,221,918 9/21 $5,959,681 $5,914,045 $6,221,238 10/21 $5,942,825 $5,909,212 $6,210,585 11/21 $5,883,302 $5,916,350 $6,150,185 12/21 $5,983,181 $5,912,361 $6,265,465 1/22 $5,870,291 $5,782,737 $6,094,146 2/22 $5,795,332 $5,703,895 $6,031,576 3/22 $5,757,413 $5,550,867 $5,962,428 4/22 $5,566,882 $5,343,834 $5,750,413 5/22 $5,504,352 $5,373,236 $5,764,511 6/22 $5,145,144 $5,265,866 $5,376,388 7/22 $5,398,462 $5,398,260 $5,693,776 8/22 $5,320,423 $5,257,925 $5,562,570 9/22 $5,107,250 $5,031,394 $5,341,627 10/22 $5,252,764 $4,976,188 $5,480,444 11/22 $5,320,405 $5,161,733 $5,599,398 12/22 $5,292,834 $5,144,201 $5,564,451 1/23 $5,505,878 $5,303,776 $5,776,301 2/23 $5,450,471 $5,173,453 $5,702,044 3/23 $5,503,089 $5,294,819 $5,762,995 4/23 $5,562,480 $5,327,164 $5,820,543 5/23 $5,516,554 $5,271,933 $5,767,206 6/23 $5,608,916 $5,263,740 $5,863,706 7/23 $5,708,927 $5,268,973 $5,944,610 8/23 $5,707,554 $5,237,244 $5,961,075 9/23 $5,636,339 $5,112,361 $5,890,553 10/23 $5,544,032 $5,035,480 $5,821,955 11/23 $5,781,775 $5,262,101 $6,085,715 12/23 $6,017,085 $5,461,768 $6,312,591 1/24 $6,052,774 $5,448,697 $6,312,340 2/24 $6,072,677 $5,383,369 $6,330,785 3/24 $6,164,747 $5,436,226 $6,405,679 4/24 $6,112,403 $5,309,190 $6,345,463 5/24 $6,176,328 $5,397,196 $6,415,177 6/24 $6,247,913 $5,446,536 $6,475,762 7/24 $6,320,105 $5,570,159 $6,601,657 8/24 $6,413,355 $5,652,157 $6,709,342 9/24 $6,492,029 $5,729,680 $6,817,893 | |
Average Annual Return [Table Text Block] | AATR 1 Year 5 Years Since 6/15/18 (Inception) Class IR 15.18% 4.00% 4.24% Bloomberg U.S. Universal Index Footnote Reference 12.08% 0.70% 2.19% Bloomberg U.S. Corporate High Yield Index 15.74% 4.72% 5.05% | |
Performance Inception Date | Jun. 15, 2018 | |
AssetsNet | $ 65,728,163 | |
Holdings Count | Holding | 220 | |
Advisory Fees Paid, Amount | $ 112,589 | |
InvestmentCompanyPortfolioTurnover | 80% | |
Additional Fund Statistics [Text Block] | Key Fund Statistics Total Net Assets $65,728,163 # of Portfolio Holdings 220 Portfolio Turnover Rate 80% Total Advisory Fees Paid $112,589 | |
Holdings [Text Block] | Asset Allocation (% of total investments) Value Value Common Stocks 0.1% Short-Term Investments 1.7% Senior Loan Interests 7.0% Corporate Bonds 91.2% Credit Quality (% of net assets) Footnote Reference Value Value Cash 1.7% Not Rated 2.4% CCC 16.1% B 36.3% BB 40.2% BBB 3.3% Footnote Description Footnote a Security ratings disclosed with the exception for those labeled "Not Rated" is an aggregation of the highest security level rating amongst S&P Global Ratings, Moody's Investors Services, Inc., and Fitch Ratings, each a Nationally Recognized Statistical Ratings Organization. | |
Material Fund Change [Text Block] | | |
Updated Prospectus Web Address | www.morganstanley.com/im/shareholderreports</span>" id="sjs-B547"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.morganstanley.com/im/shareholderreports</span> | |
C000110152 | | |
Shareholder Report [Line Items] | | |
Fund Name | Morgan Stanley Institutional Fund Trust - High Yield Portfolio | |
Class Name | L | |
Trading Symbol | MSYLX | |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about Morgan Stanley Institutional Fund Trust - High Yield Portfolio for the period of October 1, 2023 to September 30, 2024. | |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report | |
Additional Information [Text Block] | You can find additional information about the Fund at www.morganstanley.com/im/shareholderreports | |
Additional Information Phone Number | 1-800-869-6397 | |
Additional Information Website | www.morganstanley.com/im/shareholderreports</span>" id="sjs-B557"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.morganstanley.com/im/shareholderreports</span> | |
Expenses [Text Block] | What were the Fund costs for the last year? (based on a hypothetical $10,000 investment) Class Name Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class L $128 1.19% | |
Expenses Paid, Amount | $ 128 | |
Expense Ratio, Percent | 1.19% | |
Factors Affecting Performance [Text Block] | How did the Fund perform last year and what affected its performance? Key contributors to (↑) and detractors from (↓) performance, relative to the Bloomberg U.S. Corporate High Yield Index: ↑ Credit selection in the technology sector, ↑ Sound credit selection in the metals & mining sector ↑ Underweight exposure in BB-rated bonds, ↓ A modest cash position ↓ Bonds rated CCC and below, ↓ Chemicals sector, ↓ Credit selection and an underweight position in the wirelines sector, | |
Line Graph [Table Text Block] | Class L Bloomberg U.S. Universal Index Bloomberg U.S. Corporate High Yield Index 9/14 $10,000 $10,000 $10,000 10/14 $9,997 $10,098 $10,119 11/14 $9,853 $10,152 $10,045 12/14 $9,624 $10,134 $9,900 1/15 $9,643 $10,327 $9,965 2/15 $9,910 $10,267 $10,205 3/15 $9,918 $10,309 $10,149 4/15 $10,090 $10,297 $10,272 5/15 $10,166 $10,279 $10,303 6/15 $10,075 $10,164 $10,150 7/15 $10,022 $10,224 $10,091 8/15 $9,891 $10,194 $9,915 9/15 $9,730 $10,233 $9,657 10/15 $9,887 $10,266 $9,922 11/15 $9,744 $10,229 $9,702 12/15 $9,403 $10,178 $9,457 1/16 $9,189 $10,290 $9,305 2/16 $9,207 $10,363 $9,359 3/16 $9,555 $10,490 $9,775 4/16 $9,822 $10,562 $10,157 5/16 $9,893 $10,570 $10,220 6/16 $9,932 $10,756 $10,314 7/16 $10,224 $10,844 $10,593 8/16 $10,443 $10,856 $10,815 9/16 $10,504 $10,859 $10,887 10/16 $10,565 $10,787 $10,929 11/16 $10,595 $10,544 $10,877 12/16 $10,784 $10,576 $11,077 1/17 $10,925 $10,613 $11,238 2/17 $11,042 $10,695 $11,402 3/17 $11,007 $10,691 $11,377 4/17 $11,125 $10,780 $11,508 5/17 $11,211 $10,863 $11,608 6/17 $11,185 $10,854 $11,624 7/17 $11,317 $10,908 $11,752 8/17 $11,302 $11,002 $11,748 9/17 $11,423 $10,963 $11,853 10/17 $11,522 $10,976 $11,903 11/17 $11,542 $10,960 $11,873 12/17 $11,579 $11,008 $11,909 1/18 $11,695 $10,902 $11,980 2/18 $11,610 $10,799 $11,878 3/18 $11,585 $10,853 $11,807 4/18 $11,640 $10,781 $11,883 5/18 $11,637 $10,840 $11,880 6/18 $11,693 $10,824 $11,928 7/18 $11,774 $10,847 $12,058 8/18 $11,866 $10,900 $12,147 9/18 $11,923 $10,853 $12,215 10/18 $11,715 $10,763 $12,019 11/18 $11,555 $10,811 $11,916 12/18 $11,255 $10,980 $11,661 1/19 $11,708 $11,132 $12,188 2/19 $11,890 $11,144 $12,391 3/19 $11,986 $11,345 $12,507 4/19 $12,194 $11,361 $12,685 5/19 $12,041 $11,535 $12,534 6/19 $12,273 $11,698 $12,820 7/19 $12,305 $11,733 $12,892 8/19 $12,324 $11,998 $12,944 9/19 $12,407 $11,946 $12,991 10/19 $12,452 $11,985 $13,027 11/19 $12,458 $11,982 $13,069 12/19 $12,744 $12,000 $13,331 1/20 $12,783 $12,216 $13,334 2/20 $12,607 $12,399 $13,146 3/20 $10,690 $12,156 $11,640 4/20 $10,975 $12,400 $12,164 5/20 $11,548 $12,516 $12,700 6/20 $11,748 $12,620 $12,824 7/20 $12,243 $12,842 $13,425 8/20 $12,431 $12,768 $13,553 9/20 $12,350 $12,745 $13,414 10/20 $12,425 $12,699 $13,482 11/20 $12,869 $12,865 $14,015 12/20 $13,080 $12,909 $14,279 1/21 $13,148 $12,828 $14,326 2/21 $13,217 $12,663 $14,379 3/21 $13,273 $12,515 $14,400 4/21 $13,398 $12,621 $14,557 5/21 $13,450 $12,669 $14,600 6/21 $13,601 $12,761 $14,795 7/21 $13,597 $12,889 $14,852 8/21 $13,663 $12,881 $14,928 9/21 $13,688 $12,771 $14,926 10/21 $13,657 $12,760 $14,901 11/21 $13,496 $12,776 $14,756 12/21 $13,726 $12,767 $15,032 1/22 $13,452 $12,487 $14,621 2/22 $13,271 $12,317 $14,471 3/22 $13,178 $11,986 $14,305 4/22 $12,749 $11,539 $13,797 5/22 $12,596 $11,603 $13,831 6/22 $11,766 $11,371 $12,899 7/22 $12,339 $11,657 $13,661 8/22 $12,155 $11,354 $13,346 9/22 $11,646 $10,865 $12,816 10/22 $11,985 $10,745 $13,149 11/22 $12,142 $11,146 $13,434 12/22 $12,068 $11,108 $13,351 1/23 $12,539 $11,453 $13,859 2/23 $12,406 $11,171 $13,681 3/23 $12,535 $11,434 $13,827 4/23 $12,648 $11,503 $13,965 5/23 $12,537 $11,384 $13,837 6/23 $12,741 $11,366 $14,068 7/23 $12,962 $11,378 $14,263 8/23 $12,967 $11,309 $14,302 9/23 $12,783 $11,040 $14,133 10/23 $12,566 $10,874 $13,968 11/23 $13,115 $11,363 $14,601 12/23 $13,618 $11,794 $15,145 1/24 $13,699 $11,766 $15,145 2/24 $13,737 $11,625 $15,189 3/24 $13,938 $11,739 $15,369 4/24 $13,812 $11,465 $15,224 5/24 $13,966 $11,655 $15,392 6/24 $14,104 $11,761 $15,537 7/24 $14,276 $12,028 $15,839 8/24 $14,462 $12,205 $16,097 9/24 $14,632 $12,373 $16,358 | |
Average Annual Return [Table Text Block] | AATR 1 Year 5 Years 10 Years Class L 14.47% 3.35% 3.88% Bloomberg U.S. Universal Index Footnote Reference 12.08% 0.70% 2.15% Bloomberg U.S. Corporate High Yield Index 15.74% 4.72% 5.04% | |
AssetsNet | $ 65,728,163 | |
Holdings Count | Holding | 220 | |
Advisory Fees Paid, Amount | $ 112,589 | |
InvestmentCompanyPortfolioTurnover | 80% | |
Additional Fund Statistics [Text Block] | Key Fund Statistics Total Net Assets $65,728,163 # of Portfolio Holdings 220 Portfolio Turnover Rate 80% Total Advisory Fees Paid $112,589 | |
Holdings [Text Block] | Asset Allocation (% of total investments) Value Value Common Stocks 0.1% Short-Term Investments 1.7% Senior Loan Interests 7.0% Corporate Bonds 91.2% Credit Quality (% of net assets) Footnote Reference Value Value Cash 1.7% Not Rated 2.4% CCC 16.1% B 36.3% BB 40.2% BBB 3.3% Footnote Description Footnote a Security ratings disclosed with the exception for those labeled "Not Rated" is an aggregation of the highest security level rating amongst S&P Global Ratings, Moody's Investors Services, Inc., and Fitch Ratings, each a Nationally Recognized Statistical Ratings Organization. | |
Material Fund Change [Text Block] | | |
Updated Prospectus Web Address | www.morganstanley.com/im/shareholderreports</span>" id="sjs-B571"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.morganstanley.com/im/shareholderreports</span> | |
C000138838 | | |
Shareholder Report [Line Items] | | |
Fund Name | Morgan Stanley Institutional Fund Trust - High Yield Portfolio | |
Class Name | R6 | |
Trading Symbol | MSHYX | |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about Morgan Stanley Institutional Fund Trust - High Yield Portfolio for the period of October 1, 2023 to September 30, 2024. | |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report | |
Additional Information [Text Block] | You can find additional information about the Fund at www.morganstanley.com/im/shareholderreports | |
Additional Information Phone Number | 1-800-869-6397 | |
Additional Information Website | www.morganstanley.com/im/shareholderreports</span>" id="sjs-B581"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.morganstanley.com/im/shareholderreports</span> | |
Expenses [Text Block] | What were the Fund costs for the last year? (based on a hypothetical $10,000 investment) Class Name Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class R6 $60 0.56% | |
Expenses Paid, Amount | $ 60 | |
Expense Ratio, Percent | 0.56% | |
Factors Affecting Performance [Text Block] | How did the Fund perform last year and what affected its performance? Key contributors to (↑) and detractors from (↓) performance, relative to the Bloomberg U.S. Corporate High Yield Index: ↑ Credit selection in the technology sector, ↑ Sound credit selection in the metals & mining sector ↑ Underweight exposure in BB-rated bonds, ↓ A modest cash position ↓ Bonds rated CCC and below, ↓ Chemicals sector, ↓ Credit selection and an underweight position in the wirelines sector, | |
Line Graph [Table Text Block] | Class R6 Bloomberg U.S. Universal Index Bloomberg U.S. Corporate High Yield Index 9/14 $5,000,000 $5,000,000 $5,000,000 10/14 $5,001,288 $5,048,962 $5,059,452 11/14 $4,932,045 $5,076,209 $5,022,598 12/14 $4,818,672 $5,067,038 $4,949,888 1/15 $4,828,252 $5,163,490 $4,982,591 2/15 $4,969,082 $5,133,397 $5,102,672 3/15 $4,975,194 $5,154,585 $5,074,746 4/15 $5,059,154 $5,148,604 $5,135,980 5/15 $5,099,520 $5,139,597 $5,151,570 6/15 $5,056,631 $5,082,236 $5,074,884 7/15 $5,033,208 $5,111,830 $5,045,333 8/15 $4,970,080 $5,096,768 $4,957,442 9/15 $4,891,652 $5,116,718 $4,828,444 10/15 $4,978,521 $5,133,074 $4,961,184 11/15 $4,904,119 $5,114,355 $4,850,904 12/15 $4,732,719 $5,088,805 $4,728,728 1/16 $4,630,168 $5,144,980 $4,652,733 2/16 $4,641,935 $5,181,528 $4,679,326 3/16 $4,819,507 $5,245,029 $4,887,291 4/16 $4,961,696 $5,280,765 $5,078,633 5/16 $4,994,654 $5,284,889 $5,109,992 6/16 $5,022,469 $5,377,929 $5,157,022 7/16 $5,172,360 $5,422,245 $5,296,462 8/16 $5,280,581 $5,428,094 $5,407,260 9/16 $5,319,584 $5,429,384 $5,443,300 10/16 $5,353,344 $5,393,365 $5,464,318 11/16 $5,371,228 $5,272,137 $5,438,377 12/16 $5,467,270 $5,287,798 $5,538,747 1/17 $5,538,774 $5,306,454 $5,619,193 2/17 $5,601,081 $5,347,397 $5,700,975 3/17 $5,591,387 $5,345,606 $5,688,252 4/17 $5,654,348 $5,389,960 $5,753,936 5/17 $5,695,199 $5,431,545 $5,803,972 6/17 $5,685,423 $5,426,940 $5,811,822 7/17 $5,760,758 $5,453,971 $5,876,186 8/17 $5,750,907 $5,501,026 $5,873,884 9/17 $5,821,267 $5,481,666 $5,926,627 10/17 $5,868,965 $5,488,248 $5,951,658 11/17 $5,882,114 $5,479,943 $5,936,465 12/17 $5,907,308 $5,504,100 $5,954,405 1/18 $5,966,146 $5,451,135 $5,990,116 2/18 $5,926,427 $5,399,447 $5,939,209 3/18 $5,916,241 $5,426,680 $5,903,334 4/18 $5,947,762 $5,390,471 $5,941,743 5/18 $5,949,432 $5,419,867 $5,940,096 6/18 $5,981,255 $5,412,007 $5,963,940 7/18 $6,025,458 $5,423,333 $6,029,027 8/18 $6,075,976 $5,450,052 $6,073,490 9/18 $6,114,521 $5,426,699 $6,107,311 10/18 $6,011,202 $5,381,303 $6,009,676 11/18 $5,925,989 $5,405,504 $5,957,973 12/18 $5,778,876 $5,490,077 $5,830,412 1/19 $6,011,035 $5,565,773 $6,093,963 2/19 $6,107,316 $5,571,839 $6,195,301 3/19 $6,159,745 $5,672,454 $6,253,571 4/19 $6,269,846 $5,680,394 $6,342,484 5/19 $6,194,673 $5,767,409 $6,267,108 6/19 $6,317,208 $5,848,985 $6,409,942 7/19 $6,336,767 $5,866,395 $6,446,084 8/19 $6,350,022 $5,999,137 $6,471,870 9/19 $6,402,556 $5,973,146 $6,495,440 10/19 $6,422,591 $5,992,444 $6,513,378 11/19 $6,435,916 $5,991,246 $6,534,642 12/19 $6,583,617 $6,000,174 $6,665,289 1/20 $6,610,380 $6,107,865 $6,667,061 2/20 $6,516,373 $6,199,319 $6,573,048 3/20 $5,529,381 $6,078,224 $5,819,802 4/20 $5,686,410 $6,199,980 $6,082,007 5/20 $5,985,974 $6,257,887 $6,349,945 6/20 $6,092,367 $6,310,102 $6,412,101 7/20 $6,351,502 $6,420,945 $6,712,709 8/20 $6,445,333 $6,383,919 $6,776,522 9/20 $6,413,938 $6,372,414 $6,706,821 10/20 $6,456,125 $6,349,638 $6,740,878 11/20 $6,690,314 $6,432,497 $7,007,549 12/20 $6,799,404 $6,454,709 $7,139,440 1/21 $6,835,003 $6,414,139 $7,163,054 2/21 $6,874,629 $6,331,377 $7,189,370 3/21 $6,914,343 $6,257,696 $7,200,124 4/21 $6,983,006 $6,310,316 $7,278,331 5/21 $7,013,605 $6,334,386 $7,299,858 6/21 $7,095,677 $6,380,565 $7,397,646 7/21 $7,097,687 $6,444,633 $7,425,822 8/21 $7,136,474 $6,440,332 $7,463,970 9/21 $7,150,776 $6,385,334 $7,463,154 10/21 $7,137,964 $6,380,115 $7,450,374 11/21 $7,059,099 $6,387,822 $7,377,917 12/21 $7,186,430 $6,383,515 $7,516,210 1/22 $7,043,454 $6,243,562 $7,310,691 2/22 $6,953,482 $6,158,437 $7,235,631 3/22 $6,907,985 $5,993,214 $7,152,679 4/22 $6,687,003 $5,769,682 $6,898,340 5/22 $6,612,013 $5,801,428 $6,915,252 6/22 $6,173,359 $5,685,501 $6,449,651 7/22 $6,485,039 $5,828,446 $6,830,397 8/22 $6,383,630 $5,676,928 $6,672,999 9/22 $6,127,858 $5,432,344 $6,407,950 10/22 $6,302,451 $5,372,739 $6,574,479 11/22 $6,391,466 $5,573,070 $6,717,178 12/22 $6,350,398 $5,554,141 $6,675,255 1/23 $6,614,000 $5,726,432 $6,929,396 2/23 $6,539,534 $5,585,724 $6,840,316 3/23 $6,610,698 $5,716,761 $6,913,434 4/23 $6,673,827 $5,751,684 $6,982,470 5/23 $6,626,854 $5,692,052 $6,918,486 6/23 $6,729,497 $5,683,206 $7,034,250 7/23 $6,857,706 $5,688,856 $7,131,303 8/23 $6,856,058 $5,654,598 $7,151,056 9/23 $6,762,305 $5,519,764 $7,066,455 10/23 $6,651,508 $5,436,756 $6,984,164 11/23 $6,945,150 $5,681,437 $7,300,577 12/23 $7,218,954 $5,897,014 $7,572,743 1/24 $7,270,334 $5,882,902 $7,572,442 2/24 $7,294,213 $5,812,368 $7,594,570 3/24 $7,396,011 $5,869,437 $7,684,414 4/24 $7,341,873 $5,732,278 $7,612,178 5/24 $7,418,565 $5,827,297 $7,695,808 6/24 $7,504,447 $5,880,568 $7,768,487 7/24 $7,591,054 $6,014,044 $7,919,514 8/24 $7,702,925 $6,102,576 $8,048,696 9/24 $7,797,366 $6,186,276 $8,178,916 | |
Average Annual Return [Table Text Block] | AATR 1 Year 5 Years 10 Years Class R6 15.31% 4.02% 4.54% Bloomberg U.S. Universal Index Footnote Reference 12.08% 0.70% 2.15% Bloomberg U.S. Corporate High Yield Index 15.74% 4.72% 5.04% | |
AssetsNet | $ 65,728,163 | |
Holdings Count | Holding | 220 | |
Advisory Fees Paid, Amount | $ 112,589 | |
InvestmentCompanyPortfolioTurnover | 80% | |
Additional Fund Statistics [Text Block] | Key Fund Statistics Total Net Assets $65,728,163 # of Portfolio Holdings 220 Portfolio Turnover Rate 80% Total Advisory Fees Paid $112,589 | |
Holdings [Text Block] | Asset Allocation (% of total investments) Value Value Common Stocks 0.1% Short-Term Investments 1.7% Senior Loan Interests 7.0% Corporate Bonds 91.2% Credit Quality (% of net assets) Footnote Reference Value Value Cash 1.7% Not Rated 2.4% CCC 16.1% B 36.3% BB 40.2% BBB 3.3% Footnote Description Footnote a Security ratings disclosed with the exception for those labeled "Not Rated" is an aggregation of the highest security level rating amongst S&P Global Ratings, Moody's Investors Services, Inc., and Fitch Ratings, each a Nationally Recognized Statistical Ratings Organization. | |
Material Fund Change [Text Block] | | |
Updated Prospectus Web Address | www.morganstanley.com/im/shareholderreports</span>" id="sjs-B595"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.morganstanley.com/im/shareholderreports</span> | |
C000163600 | | |
Shareholder Report [Line Items] | | |
Fund Name | Morgan Stanley Institutional Fund Trust - Ultra-Short Income Portfolio | |
Class Name | A | |
Trading Symbol | MUAIX | |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about Morgan Stanley Institutional Fund Trust - Ultra-Short Income Portfolio for the period of October 1, 2023 to September 30, 2024. | |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report | |
Additional Information [Text Block] | You can find additional information about the Fund at www.morganstanley.com/im/shareholderreports | |
Material Fund Change Notice [Text Block] | This report describes changes to the Fund that occurred during the reporting period. | |
Additional Information Phone Number | 1-800-869-6397 | |
Additional Information Website | www.morganstanley.com/im/shareholderreports</span>" id="sjs-B606"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.morganstanley.com/im/shareholderreports</span> | |
Expenses [Text Block] | What were the Fund costs for the last year? (based on a hypothetical $10,000 investment) Class Name Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class A $38 0.37% | |
Expenses Paid, Amount | $ 38 | |
Expense Ratio, Percent | 0.37% | |
Factors Affecting Performance [Text Block] | How did the Fund perform last year and what affected its performance? Key contributors to (↑) and detractors from (↓) performance, relative to the ICE BofA 3-Month U.S. Treasury Bill Index: ↑ Allocation to fixed-rate securities, ↑ Exposure to BBB rated securities ↓ Short maturity profile, | |
Line Graph [Table Text Block] | Class A Bloomberg U.S. Universal Index ICE BofA 3-Month U.S. Treasury Bill Index 4/16 $10,000 $10,000 $10,000 4/16 $10,000 $10,000 $10,000 5/16 $10,001 $10,020 $10,001 6/16 $10,003 $10,196 $10,005 7/16 $10,006 $10,280 $10,008 8/16 $10,009 $10,291 $10,010 9/16 $10,014 $10,294 $10,015 10/16 $10,018 $10,226 $10,017 11/16 $10,023 $9,996 $10,019 12/16 $10,029 $10,025 $10,023 1/17 $10,035 $10,061 $10,028 2/17 $10,041 $10,138 $10,032 3/17 $10,047 $10,135 $10,034 4/17 $10,055 $10,219 $10,040 5/17 $10,072 $10,298 $10,045 6/17 $10,080 $10,289 $10,054 7/17 $10,088 $10,340 $10,062 8/17 $10,097 $10,430 $10,072 9/17 $10,106 $10,393 $10,080 10/17 $10,115 $10,405 $10,089 11/17 $10,124 $10,390 $10,098 12/17 $10,125 $10,435 $10,109 1/18 $10,147 $10,335 $10,121 2/18 $10,157 $10,237 $10,131 3/18 $10,160 $10,289 $10,145 4/18 $10,185 $10,220 $10,158 5/18 $10,202 $10,276 $10,174 6/18 $10,218 $10,261 $10,191 7/18 $10,235 $10,282 $10,207 8/18 $10,252 $10,333 $10,225 9/18 $10,269 $10,289 $10,241 10/18 $10,287 $10,203 $10,259 11/18 $10,305 $10,249 $10,280 12/18 $10,325 $10,409 $10,299 1/19 $10,347 $10,552 $10,319 2/19 $10,377 $10,564 $10,337 3/19 $10,399 $10,755 $10,360 4/19 $10,419 $10,770 $10,380 5/19 $10,440 $10,935 $10,404 6/19 $10,460 $11,089 $10,427 7/19 $10,480 $11,122 $10,445 8/19 $10,500 $11,374 $10,467 9/19 $10,517 $11,325 $10,485 10/19 $10,535 $11,361 $10,505 11/19 $10,551 $11,359 $10,518 12/19 $10,566 $11,376 $10,533 1/20 $10,581 $11,580 $10,548 2/20 $10,594 $11,754 $10,563 3/20 $10,543 $11,524 $10,594 4/20 $10,571 $11,755 $10,595 5/20 $10,588 $11,865 $10,595 6/20 $10,592 $11,964 $10,596 7/20 $10,596 $12,174 $10,598 8/20 $10,599 $12,104 $10,599 9/20 $10,601 $12,082 $10,600 10/20 $10,592 $12,039 $10,602 11/20 $10,594 $12,196 $10,603 12/20 $10,595 $12,238 $10,604 1/21 $10,596 $12,161 $10,605 2/21 $10,596 $12,004 $10,606 3/21 $10,597 $11,864 $10,606 4/21 $10,597 $11,964 $10,607 5/21 $10,597 $12,010 $10,607 6/21 $10,598 $12,097 $10,606 7/21 $10,598 $12,219 $10,607 8/21 $10,598 $12,211 $10,607 9/21 $10,598 $12,106 $10,608 10/21 $10,599 $12,096 $10,607 11/21 $10,599 $12,111 $10,608 12/21 $10,599 $12,103 $10,609 1/22 $10,599 $11,837 $10,608 2/22 $10,589 $11,676 $10,610 3/22 $10,590 $11,363 $10,613 4/22 $10,593 $10,939 $10,615 5/22 $10,600 $10,999 $10,622 6/22 $10,610 $10,779 $10,624 7/22 $10,626 $11,050 $10,630 8/22 $10,647 $10,763 $10,647 9/22 $10,670 $10,299 $10,673 10/22 $10,687 $10,186 $10,690 11/22 $10,721 $10,566 $10,725 12/22 $10,770 $10,530 $10,763 1/23 $10,822 $10,857 $10,797 2/23 $10,861 $10,590 $10,832 3/23 $10,894 $10,839 $10,879 4/23 $10,949 $10,905 $10,913 5/23 $10,996 $10,792 $10,956 6/23 $11,033 $10,775 $11,006 7/23 $11,094 $10,786 $11,050 8/23 $11,146 $10,721 $11,100 9/23 $11,196 $10,465 $11,151 10/23 $11,249 $10,308 $11,200 11/23 $11,300 $10,772 $11,251 12/23 $11,365 $11,180 $11,303 1/24 $11,418 $11,154 $11,351 2/24 $11,468 $11,020 $11,398 3/24 $11,510 $11,128 $11,449 4/24 $11,561 $10,868 $11,498 5/24 $11,615 $11,048 $11,553 6/24 $11,666 $11,149 $11,600 7/24 $11,719 $11,402 $11,652 8/24 $11,784 $11,570 $11,708 9/24 $11,834 $11,729 $11,759 | |
Average Annual Return [Table Text Block] | AATR 1 Year 5 Years Since 4/28/16 (Inception) Class A 5.69% 2.39% 2.02% Bloomberg U.S. Universal Index Footnote Reference 12.08% 0.70% 1.91% ICE BofA 3-Month U.S. Treasury Bill Index 5.46% 2.32% 1.94% | |
Performance Inception Date | Apr. 28, 2016 | |
Material Change Date | | Sep. 30, 2023 |
AssetsNet | $ 11,231,150,088 | |
Holdings Count | Holding | 136 | |
Advisory Fees Paid, Amount | $ 17,073,139 | |
InvestmentCompanyPortfolioTurnover | 0% | |
Additional Fund Statistics [Text Block] | Key Fund Statistics Total Net Assets $11,231,150,088 # of Portfolio Holdings 136 Portfolio Turnover Rate 0% Total Advisory Fees Paid $17,073,139 | |
Holdings [Text Block] | Asset Allocation (% of total investments) Value Value Time Deposits 4.8% Certificates of Deposit 12.8% Corporate Bonds 17.3% Floating Rate Notes 18.8% Commercial Paper 22.7% Repurchase Agreements 23.6% Credit Quality (% of net assets) Footnote Reference Value Value Cash 73.5% BBB 3.6% A 18.3% AA 4.7% Footnote Description Footnote a Security ratings disclosed is an aggregation of the highest security level rating amongst S&P Global Ratings, Moody's Investors Services, Inc., and Fitch Ratings, each a Nationally Recognized Statistical Ratings Organization. | |
Material Fund Change [Text Block] | Material Fund Changes This is a summary of certain changes to the Fund since September 30, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by February 1, 2025 at www.morganstanley.com/im/shareholderreports Effective May 1, 2024, the Distributor, Morgan Stanley Distribution, Inc., has agreed to waive the 12b-1 fees on Class A shares of the Fund to the extent it exceeds 0.15% of the average daily net assets of such shares on an basis. | |
Material Fund Change Expenses [Text Block] | Effective May 1, 2024, the Distributor, Morgan Stanley Distribution, Inc., has agreed to waive the 12b-1 fees on Class A shares of the Fund to the extent it exceeds 0.15% of the average daily net assets of such shares on an basis. | |
Summary of Change Legend [Text Block] | This is a summary of certain changes to the Fund since September 30, 2023. For more complete information, you may review the Fund's next prospectus, which we expect to be available by February 1, 2025 at www.morganstanley.com/im/shareholderreports | |
Updated Prospectus Web Address | www.morganstanley.com/im/shareholderreports</span>" id="sjs-B624"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.morganstanley.com/im/shareholderreports</span> | |
C000163598 | | |
Shareholder Report [Line Items] | | |
Fund Name | Morgan Stanley Institutional Fund Trust - Ultra-Short Income Portfolio | |
Class Name | Institutional | |
Trading Symbol | MUIIX | |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about Morgan Stanley Institutional Fund Trust - Ultra-Short Income Portfolio for the period of October 1, 2023 to September 30, 2024. | |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report | |
Additional Information [Text Block] | You can find additional information about the Fund at www.morganstanley.com/im/shareholderreports | |
Additional Information Phone Number | 1-800-869-6397 | |
Additional Information Website | www.morganstanley.com/im/shareholderreports</span>" id="sjs-B634"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.morganstanley.com/im/shareholderreports</span> | |
Expenses [Text Block] | What were the Fund costs for the last year? (based on a hypothetical $10,000 investment) Class Name Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Institutional Class $31 0.30% | |
Expenses Paid, Amount | $ 31 | |
Expense Ratio, Percent | 0.30% | |
Factors Affecting Performance [Text Block] | How did the Fund perform last year and what affected its performance? Key contributors to (↑) and detractors from (↓) performance, relative to the ICE BofA 3-Month U.S. Treasury Bill Index: ↑ Allocation to fixed-rate securities, ↑ Exposure to BBB rated securities ↓ Short maturity profile, | |
Line Graph [Table Text Block] | Institutional Class Bloomberg U.S. Universal Index ICE BofA 3-Month U.S. Treasury Bill Index 4/16 $5,000,000 $5,000,000 $5,000,000 4/16 $5,000,046 $5,000,000 $5,000,000 5/16 $5,001,743 $5,009,930 $5,000,695 6/16 $5,003,792 $5,098,129 $5,002,577 7/16 $5,006,176 $5,140,140 $5,004,025 8/16 $5,008,818 $5,145,685 $5,004,915 9/16 $5,011,708 $5,146,907 $5,007,384 10/16 $5,015,005 $5,112,762 $5,008,636 11/16 $5,018,169 $4,997,841 $5,009,512 12/16 $5,021,931 $5,012,688 $5,011,641 1/17 $5,025,907 $5,030,373 $5,013,856 2/17 $5,029,564 $5,069,186 $5,015,934 3/17 $5,038,722 $5,067,488 $5,016,802 4/17 $5,043,121 $5,109,534 $5,020,169 5/17 $5,047,718 $5,148,956 $5,022,702 6/17 $5,052,413 $5,144,591 $5,026,930 7/17 $5,057,635 $5,170,215 $5,031,208 8/17 $5,062,979 $5,214,822 $5,035,921 9/17 $5,068,202 $5,196,469 $5,040,236 10/17 $5,073,616 $5,202,708 $5,044,739 11/17 $5,078,890 $5,194,836 $5,048,930 12/17 $5,085,241 $5,217,736 $5,054,540 1/18 $5,091,878 $5,167,527 $5,060,578 2/18 $5,097,993 $5,118,528 $5,065,363 3/18 $5,100,325 $5,144,344 $5,072,465 4/18 $5,113,890 $5,110,019 $5,079,096 5/18 $5,122,853 $5,137,886 $5,086,849 6/18 $5,131,820 $5,130,434 $5,095,406 7/18 $5,141,392 $5,141,171 $5,103,391 8/18 $5,150,919 $5,166,500 $5,112,592 9/18 $5,160,211 $5,144,362 $5,120,447 10/18 $5,170,256 $5,101,327 $5,129,300 11/18 $5,180,131 $5,124,270 $5,139,826 12/18 $5,190,968 $5,204,442 $5,149,288 1/19 $5,202,829 $5,276,200 $5,159,437 2/19 $5,218,776 $5,281,951 $5,168,624 3/19 $5,230,546 $5,377,331 $5,180,163 4/19 $5,241,762 $5,384,858 $5,189,907 5/19 $5,253,288 $5,467,346 $5,201,750 6/19 $5,264,212 $5,544,678 $5,213,261 7/19 $5,275,171 $5,561,182 $5,222,715 8/19 $5,285,721 $5,687,017 $5,233,429 9/19 $5,295,576 $5,662,378 $5,242,573 10/19 $5,305,241 $5,680,673 $5,252,657 11/19 $5,314,091 $5,679,537 $5,259,208 12/19 $5,322,878 $5,688,001 $5,266,715 1/20 $5,331,256 $5,790,088 $5,273,752 2/20 $5,338,788 $5,876,785 $5,281,549 3/20 $5,313,730 $5,761,990 $5,296,975 4/20 $5,328,983 $5,877,411 $5,297,388 5/20 $5,338,213 $5,932,305 $5,297,475 6/20 $5,341,261 $5,981,804 $5,298,155 7/20 $5,343,689 $6,086,880 $5,299,205 8/20 $5,345,661 $6,051,781 $5,299,611 9/20 $5,347,210 $6,040,874 $5,300,240 10/20 $5,343,097 $6,019,283 $5,300,791 11/20 $5,344,319 $6,097,831 $5,301,261 12/20 $5,345,532 $6,118,888 $5,301,847 1/21 $5,346,415 $6,080,428 $5,302,347 2/21 $5,346,921 $6,001,972 $5,302,796 3/21 $5,347,369 $5,932,125 $5,303,179 4/21 $5,347,821 $5,982,007 $5,303,259 5/21 $5,348,238 $6,004,824 $5,303,368 6/21 $5,348,649 $6,048,601 $5,303,172 7/21 $5,349,127 $6,109,336 $5,303,440 8/21 $5,349,571 $6,105,258 $5,303,650 9/21 $5,349,954 $6,053,122 $5,303,940 10/21 $5,350,328 $6,048,175 $5,303,722 11/21 $5,350,708 $6,055,480 $5,304,077 12/21 $5,351,103 $6,051,397 $5,304,454 1/22 $5,351,482 $5,918,725 $5,304,215 2/22 $5,346,530 $5,838,030 $5,304,895 3/22 $5,347,573 $5,681,403 $5,306,531 4/22 $5,349,322 $5,469,500 $5,307,277 5/22 $5,352,971 $5,499,595 $5,310,933 6/22 $5,358,400 $5,389,699 $5,312,091 7/22 $5,366,670 $5,525,207 $5,314,813 8/22 $5,377,660 $5,381,572 $5,323,391 9/22 $5,389,314 $5,149,714 $5,336,639 10/22 $5,398,470 $5,093,210 $5,345,015 11/22 $5,420,975 $5,283,117 $5,362,252 12/22 $5,440,597 $5,265,173 $5,381,660 1/23 $5,467,121 $5,428,501 $5,398,513 2/23 $5,492,518 $5,295,114 $5,416,133 3/23 $5,509,476 $5,419,333 $5,439,429 4/23 $5,532,036 $5,452,439 $5,456,550 5/23 $5,556,174 $5,395,909 $5,477,920 6/23 $5,574,761 $5,387,524 $5,502,990 7/23 $5,605,921 $5,392,879 $5,524,903 8/23 $5,632,340 $5,360,404 $5,549,849 9/23 $5,657,987 $5,232,585 $5,575,281 10/23 $5,684,819 $5,153,896 $5,600,184 11/23 $5,716,761 $5,385,846 $5,625,326 12/23 $5,743,906 $5,590,208 $5,651,546 1/24 $5,771,150 $5,576,830 $5,675,696 2/24 $5,796,608 $5,509,966 $5,698,949 3/24 $5,817,978 $5,564,065 $5,724,540 4/24 $5,844,311 $5,434,042 $5,749,102 5/24 $5,871,700 $5,524,118 $5,776,691 6/24 $5,898,225 $5,574,618 $5,800,248 7/24 $5,931,531 $5,701,149 $5,826,229 8/24 $5,958,769 $5,785,075 $5,854,100 9/24 $5,990,454 $5,864,420 $5,879,496 | |
Average Annual Return [Table Text Block] | AATR 1 Year 5 Years Since 4/28/16 (Inception) Institutional Class 5.88% 2.50% 2.17% Bloomberg U.S. Universal Index Footnote Reference 12.08% 0.70% 1.91% ICE BofA 3-Month U.S. Treasury Bill Index 5.46% 2.32% 1.94% | |
Performance Inception Date | Apr. 28, 2016 | |
AssetsNet | $ 11,231,150,088 | |
Holdings Count | Holding | 136 | |
Advisory Fees Paid, Amount | $ 17,073,139 | |
InvestmentCompanyPortfolioTurnover | 0% | |
Additional Fund Statistics [Text Block] | Key Fund Statistics Total Net Assets $11,231,150,088 # of Portfolio Holdings 136 Portfolio Turnover Rate 0% Total Advisory Fees Paid $17,073,139 | |
Holdings [Text Block] | Asset Allocation (% of total investments) Value Value Time Deposits 4.8% Certificates of Deposit 12.8% Corporate Bonds 17.3% Floating Rate Notes 18.8% Commercial Paper 22.7% Repurchase Agreements 23.6% Credit Quality (% of net assets) Footnote Reference Value Value Cash 73.5% BBB 3.6% A 18.3% AA 4.7% Footnote Description Footnote a Security ratings disclosed is an aggregation of the highest security level rating amongst S&P Global Ratings, Moody's Investors Services, Inc., and Fitch Ratings, each a Nationally Recognized Statistical Ratings Organization. | |
Material Fund Change [Text Block] | | |
Updated Prospectus Web Address | www.morganstanley.com/im/shareholderreports</span>" id="sjs-B649"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.morganstanley.com/im/shareholderreports</span> | |
C000163599 | | |
Shareholder Report [Line Items] | | |
Fund Name | Morgan Stanley Institutional Fund Trust - Ultra-Short Income Portfolio | |
Class Name | IR | |
Trading Symbol | MULSX | |
Annual or Semi-Annual Statement [Text Block] | This annual shareholder report contains important information about Morgan Stanley Institutional Fund Trust - Ultra-Short Income Portfolio for the period of October 1, 2023 to September 30, 2024. | |
Shareholder Report Annual or Semi-Annual | Annual Shareholder Report | |
Additional Information [Text Block] | You can find additional information about the Fund at www.morganstanley.com/im/shareholderreports | |
Additional Information Phone Number | 1-800-869-6397 | |
Additional Information Website | www.morganstanley.com/im/shareholderreports</span>" id="sjs-B659"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.morganstanley.com/im/shareholderreports</span> | |
Expenses [Text Block] | What were the Fund costs for the last year? (based on a hypothetical $10,000 investment) Class Name Costs of a $10,000 investment Costs paid as a percentage of a $10,000 investment Class IR $26 0.25% | |
Expenses Paid, Amount | $ 26 | |
Expense Ratio, Percent | 0.25% | |
Factors Affecting Performance [Text Block] | How did the Fund perform last year and what affected its performance? Key contributors to (↑) and detractors from (↓) performance, relative to the ICE BofA 3-Month U.S. Treasury Bill Index: ↑ Allocation to fixed-rate securities, ↑ Exposure to BBB rated securities ↓ Short maturity profile, | |
Line Graph [Table Text Block] | Class IR Bloomberg U.S. Universal Index ICE BofA 3-Month U.S. Treasury Bill Index 4/16 $10,000,000 $10,000,000 $10,000,000 4/16 $10,000,119 $10,000,000 $10,000,000 5/16 $10,003,938 $10,019,861 $10,001,390 6/16 $10,008,445 $10,196,259 $10,005,154 7/16 $10,013,638 $10,280,280 $10,008,050 8/16 $10,019,352 $10,291,369 $10,009,831 9/16 $10,025,544 $10,293,815 $10,014,768 10/16 $10,042,595 $10,225,525 $10,017,273 11/16 $10,049,341 $9,995,682 $10,019,025 12/16 $10,057,299 $10,025,376 $10,023,281 1/17 $10,065,671 $10,060,746 $10,027,712 2/17 $10,073,354 $10,138,372 $10,031,867 3/17 $10,082,034 $10,134,976 $10,033,605 4/17 $10,091,255 $10,219,068 $10,040,337 5/17 $10,100,883 $10,297,912 $10,045,405 6/17 $10,110,694 $10,289,181 $10,053,860 7/17 $10,121,578 $10,340,431 $10,062,417 8/17 $10,132,706 $10,429,644 $10,071,842 9/17 $10,143,579 $10,392,938 $10,080,471 10/17 $10,154,851 $10,405,417 $10,089,477 11/17 $10,165,822 $10,389,671 $10,097,860 12/17 $10,178,973 $10,435,473 $10,109,081 1/18 $10,192,697 $10,335,054 $10,121,156 2/18 $10,205,332 $10,237,056 $10,130,726 3/18 $10,220,649 $10,288,689 $10,144,930 4/18 $10,238,017 $10,220,038 $10,158,192 5/18 $10,256,403 $10,275,772 $10,173,698 6/18 $10,274,779 $10,260,869 $10,190,812 7/18 $10,294,383 $10,282,343 $10,206,782 8/18 $10,313,900 $10,333,000 $10,225,184 9/18 $10,332,936 $10,288,724 $10,240,893 10/18 $10,353,499 $10,202,655 $10,258,600 11/18 $10,373,703 $10,248,540 $10,279,652 12/18 $10,395,850 $10,408,884 $10,298,575 1/19 $10,430,460 $10,552,401 $10,318,874 2/19 $10,452,390 $10,563,902 $10,337,247 3/19 $10,476,422 $10,754,663 $10,360,326 4/19 $10,499,332 $10,769,716 $10,379,814 5/19 $10,522,871 $10,934,692 $10,403,501 6/19 $10,545,191 $11,089,356 $10,426,522 7/19 $10,567,598 $11,122,364 $10,445,431 8/19 $10,589,187 $11,374,034 $10,466,859 9/19 $10,609,370 $11,324,757 $10,485,145 10/19 $10,629,192 $11,361,346 $10,505,314 11/19 $10,647,363 $11,359,074 $10,518,417 12/19 $10,665,425 $11,376,001 $10,533,431 1/20 $10,682,668 $11,580,177 $10,547,504 2/20 $10,698,190 $11,753,569 $10,563,097 3/20 $10,659,136 $11,523,980 $10,593,951 4/20 $10,679,446 $11,754,822 $10,594,776 5/20 $10,698,394 $11,864,610 $10,594,950 6/20 $10,704,943 $11,963,608 $10,596,311 7/20 $10,710,261 $12,173,760 $10,598,410 8/20 $10,714,668 $12,103,561 $10,599,221 9/20 $10,718,212 $12,081,748 $10,600,481 10/20 $10,721,153 $12,038,566 $10,601,581 11/20 $10,713,312 $12,195,662 $10,602,522 12/20 $10,716,201 $12,237,775 $10,603,695 1/21 $10,718,427 $12,160,855 $10,604,694 2/21 $10,719,854 $12,003,944 $10,605,592 3/21 $10,721,210 $11,864,249 $10,606,359 4/21 $10,722,557 $11,964,014 $10,606,518 5/21 $10,723,851 $12,009,649 $10,606,735 6/21 $10,725,115 $12,097,201 $10,606,344 7/21 $10,726,530 $12,218,672 $10,606,880 8/21 $10,727,878 $12,210,516 $10,607,300 9/21 $10,729,086 $12,106,243 $10,607,879 10/21 $10,730,292 $12,096,349 $10,607,445 11/21 $10,731,496 $12,110,961 $10,608,154 12/21 $10,732,745 $12,102,794 $10,608,907 1/22 $10,733,960 $11,837,451 $10,608,429 2/22 $10,724,438 $11,676,059 $10,609,790 3/22 $10,726,987 $11,362,805 $10,613,062 4/22 $10,730,936 $10,939,001 $10,614,554 5/22 $10,738,711 $10,999,189 $10,621,865 6/22 $10,750,042 $10,779,398 $10,624,182 7/22 $10,767,089 $11,050,414 $10,629,626 8/22 $10,789,597 $10,763,144 $10,646,783 9/22 $10,813,423 $10,299,427 $10,673,279 10/22 $10,832,251 $10,186,419 $10,690,030 11/22 $10,866,945 $10,566,235 $10,724,503 12/22 $10,917,694 $10,530,347 $10,763,320 1/23 $10,971,382 $10,857,002 $10,797,026 2/23 $11,011,746 $10,590,227 $10,832,267 3/23 $11,046,207 $10,838,666 $10,878,859 4/23 $11,103,019 $10,904,878 $10,913,100 5/23 $11,151,940 $10,791,819 $10,955,841 6/23 $11,189,708 $10,775,047 $11,005,980 7/23 $11,252,731 $10,785,759 $11,049,806 8/23 $11,306,239 $10,720,808 $11,099,699 9/23 $11,358,187 $10,465,169 $11,150,562 10/23 $11,412,534 $10,307,792 $11,200,368 11/23 $11,465,642 $10,771,693 $11,250,652 12/23 $11,532,113 $11,180,416 $11,303,093 1/24 $11,587,299 $11,153,659 $11,351,393 2/24 $11,638,874 $11,019,932 $11,397,898 3/24 $11,682,275 $11,128,131 $11,449,079 4/24 $11,735,632 $10,868,084 $11,498,205 5/24 $11,791,129 $11,048,236 $11,553,382 6/24 $11,844,876 $11,149,235 $11,600,495 7/24 $11,912,275 $11,402,297 $11,652,458 8/24 $11,967,477 $11,570,150 $11,708,201 9/24 $12,031,606 $11,728,840 $11,758,991 | |
Average Annual Return [Table Text Block] | AATR 1 Year 5 Years Since 4/28/16 (Inception) Class IR 5.93% 2.55% 2.22% Bloomberg U.S. Universal Index Footnote Reference 12.08% 0.70% 1.91% ICE BofA 3-Month U.S. Treasury Bill Index 5.46% 2.32% 1.94% | |
Performance Inception Date | Apr. 28, 2016 | |
AssetsNet | $ 11,231,150,088 | |
Holdings Count | Holding | 136 | |
Advisory Fees Paid, Amount | $ 17,073,139 | |
InvestmentCompanyPortfolioTurnover | 0% | |
Additional Fund Statistics [Text Block] | Key Fund Statistics Total Net Assets $11,231,150,088 # of Portfolio Holdings 136 Portfolio Turnover Rate 0% Total Advisory Fees Paid $17,073,139 | |
Holdings [Text Block] | Asset Allocation (% of total investments) Value Value Time Deposits 4.8% Certificates of Deposit 12.8% Corporate Bonds 17.3% Floating Rate Notes 18.8% Commercial Paper 22.7% Repurchase Agreements 23.6% Credit Quality (% of net assets) Footnote Reference Value Value Cash 73.5% BBB 3.6% A 18.3% AA 4.7% Footnote Description Footnote a Security ratings disclosed is an aggregation of the highest security level rating amongst S&P Global Ratings, Moody's Investors Services, Inc., and Fitch Ratings, each a Nationally Recognized Statistical Ratings Organization. | |
Material Fund Change [Text Block] | | |
Updated Prospectus Web Address | www.morganstanley.com/im/shareholderreports</span>" id="sjs-B674"><span style="box-sizing: border-box; color: rgb(0, 0, 0); display: inline; flex-wrap: nowrap; font-size: 10.6667px; font-weight: 400; grid-area: auto; line-height: 16px; margin: 0px; overflow: visible; text-align: left;">www.morganstanley.com/im/shareholderreports</span> | |