Global Multi-Asset Team
Capabilities: Solutions & Multi-Asset
Global Multi-Asset Team
Capabilities: Solutions & Multi-Asset

Global Multi-Asset Team

Capabilities: Solutions & Multi-Asset

 
 
Summary

The Global Multi-Asset (GMA) team, part of Solutions & Multi-Asset capability and based in New York and London, uses a top-down global macro approach, investing across a variety of asset classes, including global stocks, bonds, currencies and commodities. The team manages a variety of multi-asset strategies, including Absolute Return, Global Tactical Asset Allocation, Global Balanced Risk Control, Global Balanced Income, and Global Multi-Asset Income.

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We look across multi-asset classes for significant macroeconomic changes.

 
 
 
Portfolio Managers
Head of Global Multi-Asset Team
27 years industry experience
Managing Director
22 years industry experience
Managing Director
37 years industry experience
Managing Director
35 years industry experience
Executive Director
11 years industry experience
 
 
Strategies
Invests across global asset classes, aiming to manage total portfolio risk while enhancing returns from tactical positioning and providing a stable, attractive income stream.  
Invests across global asset classes, aiming to manage tracking error around a fixed-weight benchmark while enhancing returns from tactical positioning and seeking excess returns, with downside protection in volatile markets.  
Invests across global asset classes, aiming to manage total portfolio risk while enhancing returns from tactical positioning and seeking to deliver attractive returns and downside protection in volatile markets.  
Invests across global asset classes including stocks, bonds, currencies and commodities seeking to create a portfolio that can deliver potential excess returns while managing downside risks in volatile markets.  
Seeks to identify and exploit inefficiencies and provides diversified exposure across global asset classes.  
Invests in core equity and fixed income securities, high-yielding investments and an options-writing overlay with the goal of income generation.  
Invests across global asset classes, including stocks, bonds, currencies and commodities, seeking to exploit inefficiencies between markets, regions and sectors aiming to deliver returns in excess of the benchmark.  
 
 

 

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