Sven van Kemenade joined Morgan Stanley in 1997 and has 20 years of investment experience. He is a Portfolio Manager for our European Real Estate portfolio. Prior to joining the firm, he was a research analyst for the Limburg Institute of Financial Economics. Sven received a master's in econometrics from the Maastricht University in 1999.
|Invests in publicly traded European real estate securities with the goal of attractive long-term, risk-adjusted returns.|
|Invests in the equity securities of publicly traded real estate securities primarily in developed countries worldwide.|
|Invests in the equity securities of publicly traded real estate securities worldwide, excluding U.S. or North America.|