Insights

Filter by
+
Checked Icon Unchecked Icon Hover Icon Article
Checked Icon Unchecked Icon Hover Icon audio
Checked Icon Unchecked Icon Hover Icon Media Appearance
Checked Icon Unchecked Icon Hover Icon Video
+
Checked Icon Unchecked Icon Hover Icon Absolute Return
Checked Icon Unchecked Icon Hover Icon Alternatives
Checked Icon Unchecked Icon Hover Icon Commodities
Checked Icon Unchecked Icon Hover Icon Emerging Markets Debt
Checked Icon Unchecked Icon Hover Icon Equity
Checked Icon Unchecked Icon Hover Icon Fixed Income
Checked Icon Unchecked Icon Hover Icon Global Equity
Checked Icon Unchecked Icon Hover Icon Hedge Funds
Checked Icon Unchecked Icon Hover Icon International Equity
Checked Icon Unchecked Icon Hover Icon Investment Grade Credit
Checked Icon Unchecked Icon Hover Icon Leveraged Credit
Checked Icon Unchecked Icon Hover Icon Liquidity
Checked Icon Unchecked Icon Hover Icon Multi-Asset
Checked Icon Unchecked Icon Hover Icon Multi-Sector
Checked Icon Unchecked Icon Hover Icon Private Credit
Checked Icon Unchecked Icon Hover Icon Private Equity
Checked Icon Unchecked Icon Hover Icon Securitized
Checked Icon Unchecked Icon Hover Icon Big Picture
Checked Icon Unchecked Icon Hover Icon Caron's Corner
Checked Icon Unchecked Icon Hover Icon Consilient Observer
Checked Icon Unchecked Icon Hover Icon Convergence
Checked Icon Unchecked Icon Hover Icon EDGE
Checked Icon Unchecked Icon Hover Icon Engagement Report
Checked Icon Unchecked Icon Hover Icon Global Equity Observer
Checked Icon Unchecked Icon Hover Icon Global Fixed Income Bulletin
Checked Icon Unchecked Icon Hover Icon Global Multi-Asset Viewpoint
Checked Icon Unchecked Icon Hover Icon Slimmon's TAKE
Checked Icon Unchecked Icon Hover Icon Market Alert
Checked Icon Unchecked Icon Hover Icon Takeaways & Key Expectations
Checked Icon Unchecked Icon Hover Icon Tales From the Emerging World
Checked Icon Unchecked Icon Hover Icon The BEAT
Checked Icon Unchecked Icon Hover Icon Alternatives
Checked Icon Unchecked Icon Hover Icon Resilience
Checked Icon Unchecked Icon Hover Icon Sustainable Investing
Checked Icon Unchecked Icon Hover Icon AIP Hedge Fund Team
Checked Icon Unchecked Icon Hover Icon Applied Equity Advisors Team
Checked Icon Unchecked Icon Hover Icon Broad Markets Fixed Income Team
Checked Icon Unchecked Icon Hover Icon Calvert Research and Management
Checked Icon Unchecked Icon Hover Icon Counterpoint Global
Checked Icon Unchecked Icon Hover Icon Eaton Vance Equity Global Team
Checked Icon Unchecked Icon Hover Icon Emerging Markets Debt Team
Checked Icon Unchecked Icon Hover Icon Emerging Markets Equity Team
Checked Icon Unchecked Icon Hover Icon Fixed Income Team
Checked Icon Unchecked Icon Hover Icon Floating-Rate Loans Team
Checked Icon Unchecked Icon Hover Icon Global Listed Real Assets Team
Checked Icon Unchecked Icon Hover Icon Global Multi-Asset Team
Checked Icon Unchecked Icon Hover Icon Global Opportunity
Checked Icon Unchecked Icon Hover Icon High Yield Team
Checked Icon Unchecked Icon Hover Icon International Equity Team
Checked Icon Unchecked Icon Hover Icon Managed Futures Team
Checked Icon Unchecked Icon Hover Icon Morgan Stanley Capital Partners
Checked Icon Unchecked Icon Hover Icon Morgan Stanley Private Credit
Checked Icon Unchecked Icon Hover Icon Morgan Stanley Private Equity Asia
Checked Icon Unchecked Icon Hover Icon Morgan Stanley Private Equity Secondaries Team
Checked Icon Unchecked Icon Hover Icon Morgan Stanley Private Equity Solutions Team
Checked Icon Unchecked Icon Hover Icon Morgan Stanley Real Estate Investing
Checked Icon Unchecked Icon Hover Icon Mortgage & Securitized Team
Checked Icon Unchecked Icon Hover Icon Municipals Team
Checked Icon Unchecked Icon Hover Icon Portfolio Solutions Group
+
Checked Icon Unchecked Icon Hover Icon Article Reprints
Checked Icon Unchecked Icon Hover Icon Market Insights
Checked Icon Unchecked Icon Hover Icon All
Checked Icon Unchecked Icon Hover Icon Past Month
Checked Icon Unchecked Icon Hover Icon Past Quarter
Checked Icon Unchecked Icon Hover Icon Past Year
page
Market Insights  •  11-Oct-2024

Breaking from the herd: What the differing pace of central bank easing could mean for fixed income 

Broad Markets Fixed Income
Central banks are lowering policy rates, but the pace and magnitude varies by market. The Broad Markets Fixed Income team explains what the variable policy paths could mean for fixed income investing ahead.

insight_breaking-from-the-herd-Tile-1x1
 
alternatives page
Alternatives  •  11-Oct-2024

An Introduction to Private Equity Basics 

Morgan Stanley Private Equity Solutions Team
Within the private alternatives universe, private equity is one of the most rapidly growing asset classes. With a range of strategies, private equity investing offers distictive qualitative characteristics that differentiate the asset class.

insight_introduction-to-private-equity-basics_Tile-1x1
 
page
Insight Article  •  10-Oct-2024

How Higher Yields and Growing Alpha Opportunities May Lift Hedge Funds 

AIP Hedge Fund Team
The MSIM Hedge Fund Team explores the ways in which hedge funds may directly benefit from a higher cash yield environment making them compelling options as sources of returns and diversification.

10468317_Higher-Yields_Insight-Tile-1x1
 
market-monitor page
Market Monitor  •  10-Oct-2024

Emerging Markets Debt Monitor – Q3 2024 

Emerging Markets Debt Team
In-depth review of fundamentals and valuations across emerging markets debt.

Insight-Tile-1x1-Emerging
 
market-monitor page
Market Monitor  •  04-Oct-2024

Floating-Rate Loan Market Monitor – Q3 2024 

Floating-Rate Loan Group
Insight on loan market fundamentals and the role of floating-rate loans within portfolios.

Insight-Tile-1x1-Floating
 
carons-corner audio
Caron's Corner  •  03-Oct-2024  •  7:19 Min

The BEAT for October – Key Themes and Top Ideas 

Jim Caron
Jim Caron, CIO of the Portfolio Solutions Group, shares his macro thematic views on key market drivers.

caronscorner-Insight-Tile-1x1
Insight thumbnail audio icon
 
tales-from-the-emerging-world page
Tales From the Emerging World  •  02-Oct-2024

Malaysia's Newfound Stability 

Amay Hattangadi, Uday Tharar, Aayushi Kukreja
After four years of political turmoil, Malaysia’s recent stability is paving the way for the government to implement critical reforms, ultimately making the country’s prospects promising. Amay Hattangadi, Uday Tharar and Aayushi Kukreja explain.

insight_malaysia-newfound-stability-Tile-1x1
 
alternatives page
Alternatives  •  26-Sep-2024

Outlook for Direct Lending 

Morgan Stanley Private Credit
Direct lending continues to offer compelling relative value compared to other asset classes and offers attractive diversification alternative to public fixed income. Further, when considered in the context of public markets, direct lending has significant room to grow.

24Q30588_Direct-Lending_Insight-Tile-1x1
 
global-fixed-income-bulletin video
Global Fixed Income Bulletin  •  24-Sep-2024

Video: In Like a Lion, Out Like a Lamb? 

Broad Markets Fixed Income Team
When the Fed says "cut," investors ask "How deep?" Find out where we stand on current rate forecasts, plus our outlook for the credit market and the US dollar.

utkarsh.sharma
Insight thumbnail video icon
 
video
Media Appearance  •  20-Sep-2024

Lauren Hochfelder on Bloomberg The Close 

Lauren Hochfelder
Lauren Hochfelder, Co-CEO of Morgan Stanley Real Estate Investing, joined Bloomberg The Close to discuss the megatrends driving investment opportunities in commercial real estate, including the impacts of global supply chain changes, aging demographics and office preferences.

10552780_Lauren-Hochfelder-CNBC-Media-Tile-1x1
Insight thumbnail video icon
 
page
Media Appearance  •  20-Sep-2024

Jitania Kandhari on Bloomberg Surveillance 

Jitania Kandhari
Jitania Kandhari, Deputy CIO of the Solutions and Multi-Asset Group of Morgan Stanley Investment Management, on Bloomberg Surveillance to discuss the equity and fixed income markets. She speaks to the impacts of inflation, how investors should think about the 60/40 allocation and how the dollar view impacts the positioning in international markets.

10586588 Big Picture Insight-Tile-1x1
 
alternatives page
Alternatives  •  20-Sep-2024

Why Invest in Asian Private Equity? India as a Potential Breakout PE/VC Market 

Pamela Fung
With Indian public markets having experienced a strong run-up since 2020, global allocators have been turning to Indian private equity. In this paper, we aim to examine the promising performance potential of Indian private equity.

insight_why-invest-in-asian-private-equity-Tile-1x1
 
alternatives page
Alternatives  •  20-Sep-2024

Private Credit Q&A: Talking sponsored vs. nonsponsored deals with Morgan Stanley’s Ashwin Krishnan 

Ashwin Krishnan
Debtwire caught up with Ashwin Krishnan, co-head of North America private credit and head of opportunistic credit at Morgan Stanley Private Credit, in a conversation debating the merits of sponsored versus non-sponsored deals and formalized partnerships for deal origination.

Bridge and spanning wires
 
page
Insight Article  •  20-Sep-2024

Climate Change is Here… And So Is the Need to Embrace Sustainability in Real Estate 

Laurel Durkay, Mona Benisi
The MSIM Global Listed Real Assets Team explores why investing sustainably matters in real estate, who is setting the priorities for sustainability, how we integrate ESG into real estate investing and where we see sustainability trends evolving.

10272886_Climate-Change_Insight-Tile-1x1
 
2024-outlooks page
2024 Outlooks  •  19-Sep-2024

2024 Midyear Outlook: Hedge Funds 

Mark van der Zwan, Jarrod Quigley
Our hedge fund team discusses their outlook and the opportunities they are seeing for the remainder of 2024.

2023-outlooks-Insight-Tile-1x1
 
video
Insight Video  •  18-Sep-2024

Look to Emerging Markets When Rates Fall Again (Video) 

Brad Godfrey
Co-head of emerging market debt Brad Godfrey shares the potential diversification, income and return advantages of a growing and powerful asset class.

insights_when-rates-fall-again-bradford-godfrey_Tile-1x1
Insight thumbnail video icon
 
global-fixed-income-bulletin page
Global Fixed Income Bulletin  •  18-Sep-2024

In Like a Lion, Out Like a Lamb? 

Broad Markets Fixed Income Team
Fixed income put in another solid performance in August despite unprecedented volatility in the first two weeks. The Broad Markets Fixed Income Team explores.

10433994_GFI-Bulletin_Insight-Tile-1x1
 
takeaways-key-expectations page
Takeaways & Key Expectations  •  17-Sep-2024

Equity Market Commentary - September 2024 

Andrew Slimmon
"In his September TAKE, Senior Portfolio Manager Andrew Slimmon discusses why, like in previous US Presidential election years, this time of equity market volatility is a period to be a patient and intentional investor, in preparation for a likely strong finish to 2024."

tile-index-slimmons-take
 
carons-corner audio
Caron's Corner  •  16-Sep-2024  •  4:25 Min

Have Glory Days Passed You By? Maybe Not. 

Jim Caron
Jim Caron, CIO of the Portfolio Solutions Group, shares his macro thematic views on key market drivers.

caronscorner-Insight-Tile-1x1
Insight thumbnail audio icon
 
carons-corner audio
Caron's Corner  •  05-Sep-2024  •  8:12 Min

The BEAT for September – Key Themes and Top Ideas 

Jim Caron
Jim Caron, CIO of the Portfolio Solutions Group, shares his macro thematic views on key market drivers.

caronscorner-Insight-Tile-1x1
Insight thumbnail audio icon
 
tales-from-the-emerging-world page
Tales From the Emerging World  •  04-Sep-2024

The Industrial Reset in Emerging Markets 

Jitania Kandhari, Saumya Jain
Assembly lines worldwide are humming with activity, signaling a promising revival of the manufacturing sector after decades of sluggishness. In emerging markets, this capital expenditure revival is being supported by governments and better macro conditions. Jitania Kandhari and Saumya Jain explain.

insight_emerging-markets-factory-reset_Tile-1x1
 
carons-corner audio
Caron's Corner  •  26-Aug-2024  •  7:56 Min

A Tale of Two Economies: The Best of Times, The Worst of Times 

Jim Caron
Jim Caron, CIO of the Portfolio Solutions Group, shares his macro thematic views on key market drivers.

caronscorner-Insight-Tile-1x1
Insight thumbnail audio icon
 
global-equity-observer page
Global Equity Observer  •  26-Aug-2024

Niches: Searching for roads less travelled  

Richard Perrott
While many of the companies we own are large businesses with well established, familiar brands, in our experience, excellent companies and investment opportunities can also be found by looking at players focused on specialised niches — particularly those that play a critical role within a market and enjoy close customer relationships. Undeservedly – but perhaps not surprisingly – these companies often sit outside the market limelight, and can fall between the cracks of sell-side coverage.

insight_niches_Tile-1x1
 
alternatives page
Alternatives  •  23-Aug-2024

All About Alpha: Capturing Returns in Today's Market Environment 

Kara O'Halloran
Discover why the current market is conducive to market-neutral strategies, with the ability to generate alpha on both the long and short sides of portfolios.

insight_all-about-alpha_Tile-1x1
 
page
Insight Article  •  15-Aug-2024

A Compelling Opportunity in REITs 

Laurel Durkay
Given the Fed is expected to start cutting interest rates in 2H24, we believe now is an excellent time to consider an allocation to REITs.

10637934_trough-nav-discount_Tile-1x1
 
global-fixed-income-bulletin video
GLOBAL FIXED INCOME BULLETIN VIDEO  •  15-Aug-2024

Video: Can the Fed Take Home a Gold? 

Broad Markets Fixed Income Team
Explore the latest expectations for Fed rate cuts, reasons to closely watch the US elections, and why we continue to favor short-duration credit.

24Q30407_albert-giroux-related-tile-1x1
Insight thumbnail video icon
 
global-fixed-income-bulletin page
Global Fixed Income Bulletin  •  12-Aug-2024

Can the Fed Take Home a Gold? 

Broad Markets Fixed Income Team
Despite central bank’s reluctance to pre-commit to policy paths, bond investors’ optimism has increased. The Broad Market Fixed Income Team explores.

10433994_GFI-Bulletin_Insight-Tile-1x1
 
carons-corner audio
Caron's Corner  •  12-Aug-2024  •  7:00 Min

There Is Nothing to Fear, but FEAR Itself! 

Jim Caron
Jim Caron, CIO of the Portfolio Solutions Group, shares his macro thematic views on key market drivers.

caronscorner-Insight-Tile-1x1
Insight thumbnail audio icon
 
market-alert audio
Market Alert  •  12-Aug-2024  •  7:09 Min

Market Alert with Andrew Slimmon 

Andrew Slimmon
Andrew Slimmon, Head of the Applied Equity Advisors Team, offers a timely perspective on what is shaping the markets now as well as insights on investment opportunities and risk within global equities. Listen to his Market Alert.

Audio-Page-Tile
Insight thumbnail audio icon
 
tales-from-the-emerging-world page
Tales From the Emerging World  •  07-Aug-2024

A New Era in South Africa 

Paul Psaila
In a remarkable twist of events, South African President Cyril Ramaphosa turned a potentially career-ending electoral defeat into a victory that may reshape the nation's political and economic landscape. Paul Psaila explains.

24Q30341_a-new-era-in-south-africa_Insight-Tile-1x1
 
alternatives audio
Media Appearance  •  06-Aug-2024  •  28:05 Min

Jeff Levin & Ashwin Krishnan on InsuranceAUM Podcast 

Jeff Levin, Ashwin Krishnan
Jeff Levin and Ashwin Krishnan discuss private credit, its outlook and where they see opportunities, on InsuranceAUM’s podcast.

PC-CloseUp-Bridge-Related-Article-1x1
Insight thumbnail audio icon
 
alternatives audio
Media Appearance  •  06-Aug-2024  •  36:45 Min

Aaron Sack on InsuranceAUM Podcast 

Aaron Sack
Head of Morgan Stanley Capital Partners, Aaron Sack, discusses how to build a successful middle market buyout strategy, and the role of private equity in market growth.

10520247_Founder_Insight-Tile-1x1
Insight thumbnail audio icon
 
carons-corner audio
Caron's Corner  •  05-Aug-2024  •  5:29 Min

The BEAT for August – Key Themes and Top Ideas 

Jim Caron
Jim Caron, CIO of the Portfolio Solutions Group, shares his macro thematic views on key market drivers.

caronscorner-Insight-Tile-1x1
Insight thumbnail audio icon
 
global-equity-observer page
Global Equity Observer  •  29-Jul-2024

Nvidious position 

Bruno Paulson, Laura Bottega
The market seems to be dominated by the twin beliefs in the invulnerability of the U.S. economy and the massive impact of GenAI. This is not the easiest environment for an investment philosophy that seeks established winners with resilient earnings in tough times. However, high expectations generally, and increasingly for one company in particular, make us nervous about the market’s prospects. We remain steadfast in following our quality process and focus on absolute, long-term compounding.

24Q30307_geo-nvidious-position_Insight-Tile-1x1
 
carons-corner audio
Caron's Corner  •  29-Jul-2024  •  6:55 Min

Introducing our FEAR Framework: Fed, Employment, Assets and Rates  

Jim Caron
Jim Caron, CIO of the Portfolio Solutions Group, shares his macro thematic views on key market drivers.

caronscorner-Insight-Tile-1x1
Insight thumbnail audio icon
 
alternatives page
Alternatives  •  25-Jul-2024

How Multi-Manager Platforms Find Strength in Numbers 

AIP Hedge Fund Team
In recent years, multi-manager platforms (Multi-PMs) have completely transformed the hedge fund world. In this FAQ, we answer fundamental questions about these Multi-PMs. What are they and why are they attracting so many investors?

10223292-multi-manager-platforms-insight-tile-1x1
 
consilient-observer page
Consilient Observer  •  24-Jul-2024

Which One Is It? Equity Issuance and Retirement 

Michael Mauboussin, Dan Callahan
Consilient Research considers the phenomenon of companies that both issue and retire shares around the same time. This behavior may fail the central goal of capital allocation, which is to buy low and sell high. Which one is it?

insight-consilience-tile-1x1
 
global-fixed-income-bulletin video
GLOBAL FIXED INCOME BULLETIN VIDEO  •  23-Jul-2024

Video: Roller Coaster Continues as Elections Generate Volatility 

Broad Markets Fixed Income Team
Co-Head of Broad Markets Fixed Income Vishal Khanduja discusses the probability for a U.S. soft landing, the heightened political uncertainty and how investors should think about positioning for volatility.

24Q30304NTC Video-Insight-Tile-1x1
Insight thumbnail video icon
 
page
Insight Article  •  23-Jul-2024

After Trough NAV Discount Comes Trough NAV 

Laurel Durkay, Simon Robson Brown, Christopher Freemantle
Historically, the trough in European listed real estate NAV discounts has preceded the trough in values and NAVs by around six to nine months. We think this time is no different, and that now we’re at—or very close to—trough NAV for the sector.

10637934_trough-nav-discount_Tile-1x1
 
takeaways-key-expectations page
Takeaways & Key Expectations  •  23-Jul-2024

Equity Market Commentary - July 2024 

Andrew Slimmon
In his July TAKE, Senior Portfolio Manager Andrew Slimmon reiterates the rational behavior of the stock market so far this year given corporate fundamentals and stock performance appear closely aligned. And discusses why, in spite of nearer term volatility, the market could finish the year higher still.

tile-index-slimmons-take
 
market-monitor page
Market Monitor  •  16-Jul-2024

Floating-Rate Loan Market Monitor – Q2 2024 

Floating-Rate Loan Group
Insight on loan market fundamentals and the role of floating-rate loans within portfolios.

Insight-Tile-1x1-Floating
 
market-monitor page
Market Monitor  •  16-Jul-2024

Emerging Markets Debt Monitor – Q2 2024 

Emerging Markets Debt Team
In-depth review of fundamentals and valuations across emerging markets debt.

Insight-Tile-1x1-Emerging
 
page
Insight Article  •  16-Jul-2024

Look to securitized markets for alternative sources of yield 

Andrew Szczurowski, Gregory Finck
The impressive performance of corporate credit markets to start the year has prompted many investors to begin seeking out alternative sources of yield and total return in the global fixed income markets.

24Q30225_Securitized-markets_Insight-Tile-1x1
 
global-fixed-income-bulletin page
Global Fixed Income Bulletin  •  16-Jul-2024

Roller Coaster Continues as Elections Generate Volatility 

Fixed Income
June was a mixed month for fixed income. Lower US yields were supported by weaker-than-expected inflation and increased market expectations of further rate cuts.What was the impact on fixed income markets? The Broad Markets Fixed Income team explains.

10433994_GFI-Bulletin_Insight-Tile-1x1
 
market-monitor page
Market Monitor  •  16-Jul-2024

Municipal Bond Market Monitor – Q2 2024 

Municipal Bond Group
Overview of the trends and developments in the muni bond markets.

24Q110167_municipal-bond_Tile-1x1
 
tales-from-the-emerging-world page
Tales From the Emerging World  •  11-Jul-2024

Hidden Gems: Unearthing the Potential of Overlooked Markets  

Steven Quattry
Small emerging and frontier market countries have weathered crises this decade, but are implementing reforms based on orthodox economic policies. Despite massive currency depreciations, the equity markets in many of these countries, such as Argentina and Pakistan, have generated stronger earnings per share—in dollar terms—compared to the broader MSCI EM Index. Steven Quattry explains why these countries merit a closer look.

10641515_Hidden-Gems_Insight-Tile-1x1
 
global-equity-observer page
Global Equity Observer  •  11-Jul-2024

Independent thinking 

William Lock
While active versus passive is a well-worn debate, it needn’t be an either/or decision. We would argue there’s a strong case for both index investing and active management to co-exist in portfolios. While passive funds provide broad-based exposure and nimble, cheap access to tactical themes, there is still an opportunity to be selective – particularly given indices’ biases. When stock prices become disconnected from fundamentals, skilled stock pickers can take advantage if they have the luxury of a longer time horizon and a lopsided multiples-powered bull run still has momentum.

24Q30093_Independent-Thinking_Insight-Tile-1x1
 
carons-corner audio
Caron's Corner  •  03-Jul-2024  •  6:09 Min

The BEAT for July – Our Key Themes and Top Ideas 

Jim Caron
Jim Caron, CIO of the Portfolio Solutions Group, shares his macro thematic views on key market drivers.

caronscorner-Insight-Tile-1x1
Insight thumbnail audio icon
 
sustainable-investing page
Sustainable Investing  •  30-Jun-2024

Morgan Stanley’s Sustainable Finance Summit Digest 

Calvert Research and Management
Morgan Stanley’s 2024 Annual Sustainable Finance Summit brought together some of Investment Management’s leading thinkers, research analysts and portfolio managers to discuss and debate topical issues related to sustainability.

24Q30065 Insight-Tile-1x1
 
page
Media Appearance  •  28-Jun-2024

Jim Caron on InvestmentNews: US Stocks Fully Valued, Look at Japan Instead 

Jim Caron
In a discussion with InvestmentNews, Jim Caron, Chief Investment Officer of the Portfolio Solutions Group, explains why he believes U.S. stocks may suffer a setback before year-end and that Japanese equities are currently his highest conviction overweight, one that offers attractive upside.

10150228-Jim-Caron-Insight-Tile-1x1
 
page
Insight Article  •  26-Jun-2024

Systematic Liquid Alternatives: A New Perspective On Alpha 

Kara O'Halloran
Learn why our Hedge Fund Team believes the shift in the alternative investment space has evolved alpha, and how multiple ARP strategies are critical components of systematic liquid alternatives.

24Q20026-Insight-Tile-1x1
 
global-fixed-income-bulletin video
GLOBAL FIXED INCOME BULLETIN VIDEO  •  25-Jun-2024

Video: Lost in the Forest 

Fixed Income Team, Broad Markets Fixed Income Team
The market is pricing in rate cuts for the U.S., as global central banks move to ease policy. But are investors getting ahead of themselves? The Federal Reserve remains cautious, and hard data suggests rate-cut delays – not cuts. Will markets reassess their views? Will the Fed change tact? And will rate uncertainty affect opportunities within global fixed income?

24Q30140_NTC Insights Video Thumbnail-without-icon-Media-Tile-1x1
Insight thumbnail video icon
 
carons-corner audio
Caron's Corner  •  24-Jun-2024  •  5:55 Min

2H 2024: Chasing the White Rabbit, but Where Will it Lead Investors? 

Jim Caron
Jim Caron, CIO of the Portfolio Solutions Group, shares his macro thematic views on key market drivers.

caronscorner-Insight-Tile-1x1
Insight thumbnail audio icon
 
consilient-observer audio
Consilient Observer  •  14-Jun-2024  •  49:31 Min

Counterpoint Global’s Michael Mauboussin on Capital Allocators: Pattern Recognition and Public Markets 

Michael Mauboussin
Michael Mauboussin and Ted Seides discuss the recent Consilient Observer article on pattern recognition, including when it works and when it doesn’t. They then transition to discussing the changing nature of public markets, inspired by another of Michael’s recent research reports, Birth, Death, and Wealth Creation. They examine which companies have had the largest stock market capitalizations and how that population has changed.

michael.mauboussin
Insight thumbnail audio icon
 
takeaways-key-expectations page
Takeaways & Key Expectations  •  14-Jun-2024

Equity Market Commentary - June 2024 

Andrew Slimmon
In his June TAKE, Senior Portfolio Manager Andrew Slimmon discusses earnings revisions as a major driver of stock performance this year and talks about the importance of using highly active managers and avoiding closet indexers.

tile-index-slimmons-take
 
global-fixed-income-bulletin page
Global Fixed Income Bulletin  •  14-Jun-2024

Lost in the Forest 

Broad Markets Fixed Income Team
Despite still high levels of growth and inflation (relative to targets), bond investors have become optimistic about future Fed policy. What is the impact on fixed income markets? The Broad Markets Fixed Income team explains.

10433994_GFI-Bulletin_Insight-Tile-1x1
 
sustainable-investing engagement-report page
Engagement Report  •  13-Jun-2024

Emerging Markets Equity Annual Stewardship Report 2024 

Eric Carlson, Dana Phillips, Candy Chao, Harrison Jamin
Our Emerging Markets Equity annual stewardship report illustrates our proactive engagement with portfolio companies to navigate operating landscapes and assist them in their growth. Discover how we initiate progress in the global energy transition, tackle regulatory challenges and encourage greater corporate transparency and disclosures, especially with regards to executive compensation issues.

24Q20043 Insight-Tile-1x1
 
page
Insight Article  •  12-Jun-2024

Growing Up and Out: The Impact of Aging Populations on Housing 

Morgan Stanley Real Estate Investing
While the fundamentals and investment thesis for senior housing are compelling, the subtleties of different care segments and the service-oriented nature of caring for elderly residents create operational risk, requiring a nuanced investment strategy and dedicated operating expertise.

re-Insight-Tile-1x1
 
alternatives page
Media Appearance  •  11-Jun-2024

David Miller on Bloomberg Markets - Video 

David Miller
David Miller, Morgan Stanley Investment Management's Head of Global Private Credit & Equity, speaks on "Markets Today" from SuperReturn International. David speaks to some of the concern around the rapid growth of private market investments and explains why it's important to look upon that growth in the context of overall public market caps.

Als-Newsletter-David-Miller-PCForum
 
2024-outlooks page
2024 Outlooks  •  10-Jun-2024

Midyear Commodity Outlook: Are Higher Rates Masking Tight Inventories? 

Adam Swinney, Greg Liebl
What's the outlook for commodity markets and what factors are driving commodity trends?

insights_midyear-commodity-outlook-rates-masking-tight-inventories-Tile-1x1
 
video
Insight Video  •  07-Jun-2024

Paying Resilience Forward: A Stock Story 

International Equity
Many of the companies that our International Equity team owns aren’t just resilient, but they develop products and services that help other companies build their resilience.

24Q30023 Insight-Tile-1x1
Insight thumbnail video icon
 
consilient-observer page
Consilient Observer  •  04-Jun-2024

Stock Market Concentration: How Much Is Too Much? 

Michael Mauboussin, Dan Callahan
Stock market concentration has risen sharply over the past decade, creating a tough environment for active managers. In this report, we look at concentration over the past 75 years to see where we stand. We review which companies have been the largest and how that has changed. We ask if there is a correct level of concentration by studying other global markets and by presenting the possibility it was too low before. We then examine whether corporate performance supports the current increase.

insight-consilience-tile-1x1
 
tales-from-the-emerging-world page
Tales From the Emerging World  •  03-Jun-2024

Poland’s Quiet Convergence 

Eric Carlson, Ravi Jain
Poland, on the verge of bankruptcy when the Berlin Wall came down, has defied expectations to become a crucial manufacturing hub for western companies in Europe. Eric Carlson and Ravi Jain explore how the country became one of the most successful economies to emerge from the former Soviet bloc.

10622137 Insight-Tile-1x1
 
audio
Media Appearance  •  31-May-2024  •  26:28 Min

Morgan Stanley Capital Partners’ Rohanjit Chaudhry on BDO Private Equity PErspectives: Driving Impactful Growth Despite the High Cost of Capital 

Rohanjit Chaudhry
Rohanjit Chaudhry, Executive Director of Morgan Stanley Capital Partners, joined BDO Private Equity PErspectives podcast to discuss how private equity continues to approach economic challenges, like the current high cost of capital, through a lens of cautious optimism

rohanjit.chaudhry
Insight thumbnail audio icon
 
video
Media Appearance  •  29-May-2024

Lauren Hochfelder on Bloomberg Surveillance Radio 

Lauren Hochfelder
Lauren Hochfelder, Co-Chief Executive Officer for Morgan Stanley Real Estate Investing, appears on Bloomberg Surveillance to discuss her outlook on commercial real estate and sectors where she sees potential opportunity.

10305667-Insight-Tile-1x1
Insight thumbnail video icon
 
global-equity-observer page
Global Equity Observer  •  28-May-2024

The importance of discipline in the long game 

Anton Kryachok
In a market obsessed with chasing the next big thing, we make sure that companies’ valuations look justified by the underlying fundamentals, building a portfolio of those rare companies with the ability to compound at a high and sustainable return over the long term. Because while multiples have accounted for 85% of returns this quarter, over 20 years this falls to 4%. Meanwhile, earnings growth counts for much more – as much as 71% over 20 years. Compounding requires discipline and patience.

24Q20228_Discipline_Insight-Tile-1x1
 
carons-corner audio
Caron's Corner  •  28-May-2024  •  5:07 Min

Higher Risk, but Lower Volatility? We Are Tapping on the Brakes. . .for Now 

Jim Caron
Jim Caron, CIO of the Portfolio Solutions Group, shares his macro thematic views on key market drivers.

caronscorner-Insight-Tile-1x1
Insight thumbnail audio icon
 
page
Insight Article  •  23-May-2024

Navigating the Curve 

Fixed Income Team
In this piece, fixed income managers investing across the duration spectrum outline strategies for seeking higher current income and capital appreciation during this unusual yield curve inversion.

10358129_Insight-Tile-1x1
 
big-picture page
Big Picture  •  21-May-2024

Emerging Markets: Stepping Into the Spotlight 

Jitania Kandhari
In this updated report, read how Emerging Markets are driven by more than just China. Emerging Market Equities look attractive with higher growth, reduced debt, and lower inflation. Jitania Kandhari, Deputy CIO, Solutions & Multi Asset Group and Head of Macro & Thematic Research, Emerging Markets explains.

10586588 Big Picture Insight-Tile-1x1
 
page
Media Appearance  •  16-May-2024

Lauren Hochfelder on Yahoo Finance: Morgan Stanley's Top Real Estate Investing 'Megatrends' 

Lauren Hochfelder
Lauren Hochfelder on Yahoo Finance: Morgan Stanley's Top Real Estate Investing 'Megatrends'

10305667-Insight-Tile-1x1
 
global-fixed-income-bulletin page
Global Fixed Income Bulletin  •  13-May-2024

All Not So Quiet on the Western Front 

Broad Markets Fixed Income Team
The shift in expectations for rate cuts was felt across the world as yields rose in both the developed and emerging markets. The Broad Markets Fixed Income Team explores the impact on investors.

10433994_GFI-Bulletin_Insight-Tile-1x1
 
alternatives page
Article Reprint  •  10-May-2024

How Morgan Stanley's David Miller dealt with stress 

David Miller
In this piece originally published by in Private Debt Investor, David Miller, Morgan Stanley's global head of private credit and equity discusses his background working for the Troubled Asset Relief Program, and the future ahead for Morgan Stanley Investment Management's private credit platform.

24Q20197 Insight-Tile-1x1
 
page
Insight Article  •  09-May-2024

A New Management Approach for a New Market Regime 

Portfolio Solutions Group
In this paper, the Portfolio Solutions Group explains how they counter adverse impact to returns in this new regime through a new management approach with the goal of achieving stable target returns.

10455451 Insight-Tile-1x1
 
tales-from-the-emerging-world page
Tales From the Emerging World  •  07-May-2024

China Inc.: A Changing Mindset 

Amay Hattangadi, Leon Sun, Jerry Peng
As Chinese corporations navigate the complexities of post COVID growth, Beijing is actively encouraging companies to increase dividend payments and embrace share buybacks, as part of government measures to make the capital markets more resilient. The focus on investor-friendly initiatives provides an opportunity for another look at Chinese stocks.

10612692-Insight-Tile-1x1
 
carons-corner audio
Caron's Corner  •  06-May-2024  •  6:17 Min

The BEAT for May – Our Key Themes and Top Ideas  

Jim Caron
Jim Caron, CIO of the Portfolio Solutions Group, shares his macro thematic views on key market drivers.

caronscorner-Insight-Tile-1x1
Insight thumbnail audio icon
 
global-equity-observer page
Global Equity Observer  •  30-Apr-2024

Compound interest 

Bruno Paulson
A combination of ebullient and concentrated markets makes for a challenging investment environment, particularly in relative terms. The International Equity team’s response is to continue to think in absolute terms, be fussy on both quality and valuation, and look to compound over the long run.

24Q20117_Compound-Interest_Insight-Tile-1x1
 
sustainable-investing page
Sustainable Investing  •  30-Apr-2024

2024 Stewardship Trends 

Robert Walker
As the 2024 proxy season kicks off, the Morgan Stanley Investment Management Global Stewardship Team highlights three key themes: Natural Capital and Biodiversity, Workers’ Rights, and Artificial Intelligence (AI) that we believe will be high on the agenda for investors.

10604798_Stewardship-Trends_Insight-Tile-1x1
 
takeaways-key-expectations page
Takeaways & Key Expectations  •  29-Apr-2024

Equity Market Commentary - April 2024 

Andrew Slimmon
In his April TAKE, Senior Portfolio Manager Andrew Slimmon discusses investor behavior as pertaining to the puzzling swell in money market fund assets, and what Applied Equity Advisors is focused on during this earnings season.

tile-index-slimmons-take
 
consilient-observer page
Consilient Observer  •  23-Apr-2024

Valuation Multiples: What They Miss, Why They Differ, and the Link to Fundamentals 

Michael Mauboussin, Dan Callahan
Most investors “price” the stocks of companies by using valuation multiples instead of “valuing” them based on future cash flows and fundamentals. We address what multiples miss and why they have become less informative. We examine how the two most popular multiples, P/E and EV/EBITDA, can provide different signals about a stock’s relative attractiveness. We then take a deep look at EV/EBITDA. We do not discourage the use of multiples, but users should understand the underlying value drivers.

insight-consilience-tile-1x1
 
tales-from-the-emerging-world page
Tales From the Emerging World  •  22-Apr-2024

Weaving India’s Future: A Tapestry of Green and Grey Energy 

Eric Carlson, Candy Chao
India is undergoing a significant transformation to strike a balance between economic growth and sustainability, revamping its environmental reputation. India’s energy security and consumption growth is a significant investment theme for the coming decade as the country adds green capacity. Eric Carlson and Candy Chao explain.

10604922 Insight-Tile-1x1
 
carons-corner audio
Caron's Corner  •  22-Apr-2024  •  5:24 Min

Duration: Friend or Foe? 

Jim Caron
Jim Caron, CIO of the Portfolio Solutions Group, shares his macro thematic views on key market drivers.

caronscorner-Insight-Tile-1x1
Insight thumbnail audio icon
 
page
Media Appearance  •  17-Apr-2024

Morgan Stanley Real Estate Investing: Lauren Hochfelder on CNBC's The Exchange - Video 

Lauren Hochfelder
Lauren Hochfelder discusses real estate opportunities and supply chain on CNBC's The Exchange.

10552780_Lauren-Hochfelder-CNBC-Media-Tile-1x1
 
alternatives page
Article Reprint  •  17-Apr-2024

Re-writing the Playbook on Alignment 

Nash Waterman
Amid today’s environment and ongoing growth in GP-led deals, rolling carry and putting additional capital at risk are no longer enough to guarantee alignment, says Morgan Stanley Investment Management’s Nash Waterman.

Nash-Reprint-Insight-Tile-1x1
 
video
Insight Video  •  16-Apr-2024

Video: Fixed income Team Capabilities 

Fixed Income Team
How can our full spectrum of fixed income solutions and specialized teams help navigate the curve and build a tailored portfolio?

10358129_Insight-Tile-1x1
Insight thumbnail video icon
 
carons-corner audio
Caron's Corner  •  15-Apr-2024  •  7:33 Min

Chips and Dip: Geopolitical Risk, Volatility and Value 

Jim Caron
Jim Caron, CIO of the Portfolio Solutions Group, shares his macro thematic views on key market drivers.

caronscorner-Insight-Tile-1x1
Insight thumbnail audio icon
 
global-fixed-income-bulletin page
Global Fixed Income Bulletin  •  10-Apr-2024

We’ll take your word for it 

Broad Markets Fixed Income Team
Bonds seem to be much more attractive now than they were in early January. The Broad Markets Fixed Income Team explains.

10433994_GFI-Bulletin_Insight-Tile-1x1
 
big-picture page
Big Picture  •  08-Apr-2024

Big Picture - Return of the 60/40 

Jitania Kandhari
In 2022, the 60/40 portfolio suffered its worst loss since 1937, prompting many market participants to question its value. Analyzing 200 years of data, Jitania Kandhari, Deputy CIO, Solutions & Multi Asset Group, evaluates the renewed relevance of the 60/40 portfolio.

10548108_60_40_Insight-Tile-1x1
 
market-monitor page
Market Monitor  •  08-Apr-2024

Emerging Markets Debt Monitor – Q1 2024 

Emerging Markets Debt Team
In-depth review of fundamentals and valuations across emerging markets debt.

Insight-Tile-1x1-Emerging
 
market-monitor page
Market Monitor  •  08-Apr-2024

Floating-Rate Loan Market Monitor – Q1 2024 

Floating-Rate Loan Group
Insight on loan market fundamentals and the role of floating-rate loans within portfolios.

Insight-Tile-1x1-Floating
 
big-picture video
Big Picture  •  08-Apr-2024

Video: Return of 60/40 

Jitania Kandhari
Jitania Kandhari, Deputy CIO, Solutions & Multi Asset Group; Head of Macro & Thematic Research, Emerging Markets; Portfolio Manager, Passport Equity, examines the return of the 60/40 portfolio strategy in 2024.

10548108_60_40_Insight-Tile-1x1
Insight thumbnail video icon
 
tales-from-the-emerging-world page
Tales From the Emerging World  •  04-Apr-2024

The Value-Up Recipe for Re-Rating Korea 

Amay Hattangadi, Rose Kim
Will the Korean market’s current value proposition solidify into a lasting investment theme? Amay Hattangadi and Rose Kim examine Korea’s de-rating over the past two decades to determine whether now is time to engage in the Korea “value trade.”

10590919 Insight-Tile-1x1
 
carons-corner audio
Caron's Corner  •  02-Apr-2024  •  8:23 Min

The BEAT for April: Our Top Themes - and One Major Allocation Change 

Jim Caron
Jim Caron, CIO of the Portfolio Solutions Group, shares his macro thematic views on key market drivers.

caronscorner-Insight-Tile-1x1
Insight thumbnail audio icon
 
page
Insight Article  •  01-Apr-2024

Overcoming Behavioral Biases: The Importance of Our Proprietary Portfolio Exercises 

Aaron Dunn, Chris Dyer
All humans have behavioral biases, those blind spots that can impact decision-making. To address investment bias, the Eaton Vance Equity Global Team has integrated proprietary Portfolio Exercises into their investment process, a differentiator in the way they manage money and an important element of their success.

10299154_Behavioral-Biases_Insight-Tile-1x1
 
big-picture video
Big Picture  •  01-Apr-2024

Video: Oil. Underappreciated, Underinvested and Undervalued 

Jitania Kandhari
Jitania Kandhari, Deputy CIO, Solutions & Multi Asset Group; Head of Macro & Thematic Research, Emerging Markets; Portfolio Manager, Passport Equity, believes oil is an underappreciated, underinvested and undervalued commodity in 2024.

10261958_Big-Picture_Insight-Tile-1x1
Insight thumbnail video icon
 
sustainable-investing page
Sustainable Investing  •  01-Apr-2024

An equity approach that seeks to deliver an attractive return journey for clients 

Ian Kirwan, Chris Dyer
The Eaton Vance Equity Global Team seeks to illustrate the merits of a "sustainable" equity investing approach.

3505837_Equity-Approach_Insight-Tile-1x1
 
global-equity-observer page
Global Equity Observer  •  26-Mar-2024

Quality is worth the wait 

William Lock
From understanding how to pick great companies to the secret of longevity in the investment business, William Lock shares 10 lessons learned from 30 years of investing in high-quality companies that are able to sustainably compound capital over the long term—providing clients with attractive long-term returns.

10590065_GEO-March_Insight-Tile-1x1
 
carons-corner audio
Caron's Corner  •  25-Mar-2024  •  8:35 Min

Take a Walk on the Supply Side 

Jim Caron
Jim Caron, CIO of the Portfolio Solutions Group, shares his macro thematic views on key market drivers.

caronscorner-Insight-Tile-1x1
Insight thumbnail audio icon
 
big-picture video
Big Picture  •  21-Mar-2024

Video: Ten Key Themes for 2024 

Jitania Kandhari
Jitania Kandhari, Deputy CIO, Solutions & Multi Asset Group; Head of Macro & Thematic Research, Emerging Markets; Portfolio Manager, Passport Equity, outlines her Ten Key Themes for 2024.