Matt is a portfolio manager on the Global Fixed Income team. He re-joined Morgan Stanley in 2014 and has 27 years of investment experience. Prior to re-joining the firm, Matt managed the Municipal Valuation Rates group and was a senior taxable municipal bond analyst for the BVAL group at Bloomberg. Previously, he worked for the Customized Fixed Income group at MSIM (formerly Miller, Anderson & Sherred) in trading and portfolio management roles. Matt received a B.A. in business management and business administration from Lycoming College and an M.B.A. in financial institutions management from St. Joseph's University.
|Invests in a mix of U.S. denominated investment-grade securities, particularly U.S. government, corporate and securitized assets.|
|Invests in U.S. denominated investment-grade securities (government, corporate, and securitized) and may invest opportunistically in non-investment-grade and non-U.S. bonds and currencies.|
|Seeks a high level of income through value-oriented investing in U.S. government securities.|
|Invests in U.S. government, corporate bonds, asset-backed and mortgage-backed securities with maturities less than five years.|
|Invests in U.S. government and investment-grade corporate debt securities with at least 10 years to maturity.|
|Invests primarily in U.S. government securities and investment-grade corporate bonds with maturities less than three years.|