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Sustainability Council

About the Investment Management Sustainable Investing Council 

Jan 14, 2019 

The IM Sustainable Investing Council drives IM’s global effort by promoting an overall framework for integrating ESG and ESG standards into IM’s investment processes, product development, measurement, education, client engagement and reporting.
 
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Regulatory

Updated Articles of Incorporation 

Nov 05, 2018 

The Articles of Incorporation of the Morgan Stanley Liquidity Funds have been updated as a result of the new European Union money market fund regulation.
 
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Regulatory

European Money Market Fund Reform: Updated Transition Plan Announcement 

Oct 18, 2018 

Morgan Stanley is pleased to announce its money market fund product range in response to the new European Union money market fund regulations.
 
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Regulatory

European Money Market Fund Reform Podcast 

Oct 15, 2018 

In this podcast, Kim Hochfeld, Douglas McPhail, and Scott Wachs explain some of the regulatory hurdles of EU MMFR, do a deep dive into the new fund structures and discuss what investors can do to prepare for the change.
 
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Sustainability Insight

Sustainable Signals 

Jun 11, 2018 

In a survey of institutional investors, 70% said they are integrating sustainable investing into their investment process, signaling just how quickly the ESG imperative is catching on.
 
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Sustainability Insight

Our Approach on Environmental, Social, and Governance Factors 

Oct 04, 2017 

MSIM appreciates that ESG factors can impact long-term performance. With strong support from our Corporate Governance team, our managers incorporate a deep understanding of ESG into their analysis.
 
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Please be aware that liquidity instruments may be subject to certain additional risks. Fixed-income securities are subject to the ability of an issuer to make timely principal and interest payments (credit risk), changes in interest rates (interest-rate risk), the creditworthiness of the issuer and general market liquidity (market risk). In a rising interest-rate environment, bond prices may fall. In a declining interest-rate environment, the portfolio may generate less income.

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