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global-equity-observer page
Global Equity Observer  •  31-mag-2023

Building Resilience with Quality Capital Allocation 

Alistair Corden-Lloyd
The resilience to navigate the sorts of global challenges we’ve seen over the last few years requires quality capital allocations. We’ve seen remarkable resilience in our holdings because the companies we look for exhibit deep, wide and well-managed economic moats that protect and grow market share, sustain or improve profitability, and potentially deliver attractive long-term returns. But maintaining those moats requires sustained investment in the unique attributes of the company’s offerings.

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Caron's Corner  •  30-mag-2023  •  10:02 Min

Il teatrino o il dramma del tetto del debito: cosa monitorare nei prossimi sviluppi di mercato 

Jim Caron
Jim Caron, Co-Lead Global Portfolio Manager e Co-Chief Investment Officer, Global Balanced Risk Control Team, illustra i suoi giudizi tematici macro sui principali fattori di sostegno dei mercati.

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Tales From the Emerging World  •  24-mag-2023

Brazil at a Turning Point 

Paul Psaila, Uday Tharar
Brazil’s president Lula has unveiled ambitious spending plans to appease his supporters, but we believe he will moderate his tone and embrace responsible economic policies to manage the fiscal policy and allow the central bank to start cutting rates.

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Caron's Corner  •  22-mag-2023  •  8:08 Min

I mercati hanno deluso al rialzo, presentando una serie di rischi peculiari 

Jim Caron
Jim Caron, Co-Lead Global Portfolio Manager e Co-Chief Investment Officer, Global Balanced Risk Control Team, illustra i suoi giudizi tematici macro sui principali fattori di sostegno dei mercati.

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Market Alert  •  16-mag-2023  •  6:40 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.

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Global Fixed Income Bulletin  •  15-mag-2023

Il vento sta cambiando? 

Fixed Income Team
Dopo i problemi di marzo, gli investitori hanno beneficiato di un mese relativamente tranquillo ad aprile. Tuttavia, data la continua incertezza, il team Fixed Income consiglia di mantenere un approccio flessibile.

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Caron's Corner  •  8-mag-2023  •  8:16 Min

Salari, inflazione, stabilità, politiche monetarie… prima o poi qualcosa dovrà cedere. 

Jim Caron
Jim Caron, Co-Lead Global Portfolio Manager e Co-Chief Investment Officer, Global Balanced Risk Control Team, illustra i suoi giudizi tematici macro sui principali fattori di sostegno dei mercati.

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Global Equity Observer  •  8-mag-2023

La resa dei conti è solo rimandata 

Bruno Paulson
Il mercato azionario sembra gratificante. Di fronte al perdurare dell’inflazione salariale, ai segnali pessimistici del mercato obbligazionario, all’irrigidimento delle condizioni di finanziamento, al calo della fiducia delle piccole imprese, alla revisione al ribasso del PIL e alle aspettative di un indebolimento dei consumi – in breve, ad una possibile, se non addirittura probabile, recessione negli Stati Uniti – il mercato azionario continua a scambiare a multipli elevati. Si tratta di un fattore preoccupante se si considera che la resa dei conti economica sia stata semplicemente rinviata piuttosto che scongiurata.

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PATH  •  5-mag-2023

Il binomio inflazione e recessione 

Andrew Harmstone, Jim Caron
Sebbene il rischio di recessione nel breve periodo sembra essersi attenuato, gli effetti complessivi delle misure di irrigidimento adottate dalle banche centrali non si sono ancora fatti sentire appieno. Nonostante il recente miglioramento della qualità dei dati, una diversificazione bilanciata del portafoglio continua a essere fondamentale. Di seguito spieghiamo il modo in cui stiamo affrontando questa problematica.

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Media Appearance  •  3-mag-2023

Lauren Hochfelder interview for Commercial Observer - Video 

Lauren Hochfelder
Lauren Hochfelder, CEO of Morgan Stanley Real Estate Investing (MSREI) and Head of MSREI Americas, talks commercial real estate outlook, opportunities and lessons learned in this interview for the Commercial Observer.

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Caron's Corner  •  3-mag-2023  •  6:00 Min

Fed Recap: A Hawkish Pause, but No Mea Culpa - Inflation Still the Primary Risk 

Jim Caron
Jim Caron, Co-Lead Global Portfolio Manager and Co-Chief Investment Officer, Global Balanced Risk Control Team, shares his macro thematic views on key market drivers.

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Tales From the Emerging World  •  3-mag-2023

Reshaping Businesses Through a Circular Economy 

Eric Carlson, Candy Chao
Businesses are pushing for sustainable practices to reduce both environmental risks and operating costs, as they anticipate evolving consumer preferences and potential regulatory changes. The adoption of a circular practice shifts to a mindset of “reduce, reuse and recycle” from the “take-make-waste” model which has created a glut of waste and increasing environmental costs. Eric Carlson and Candy Chao explore.

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Market Monitor  •  3-mag-2023

Market Monitor – May 2023 

Get a quick overview and dive into market data with our comprehensive, visual review of global economic and asset class performance presented in charts and graphs.

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Caron's Corner  •  1-mag-2023  •  3:25 Min

La Fed ha agito "di testa sua" 

Jim Caron
Jim Caron, Co-Lead Global Portfolio Manager e Co-Chief Investment Officer, Global Balanced Risk Control Team, illustra i suoi giudizi tematici macro sui principali fattori di sostegno dei mercati.

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Caron's Corner  •  24-apr-2023  •  7:23 Min

Un'economia agitata, non mescolata 

Jim Caron
Jim Caron, Co-Lead Global Portfolio Manager e Co-Chief Investment Officer, Global Balanced Risk Control Team, illustra i suoi giudizi tematici macro sui principali fattori di sostegno dei mercati.

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Market Monitor  •  19-apr-2023

Credit Market Monitor – Q1 2023 

Multi-Asset Credit Team
Analysis of global credit markets and where we see future opportunities.

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Insight Article  •  18-apr-2023

Why Invest in Asian Private Equity? The Case for Outperformance 

Pamela Fung
Leverage Morgan Stanley Investment Management’s experience and insight to demystify the private equity opportunity in Asia and opportunities for outperformance.

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Consilient Observer  •  18-apr-2023

Stock-Based Compensation 

Michael Mauboussin, Dan Callahan
U.S. companies are increasingly paying employees with stock-based compensation (SBC) rather than cash. We begin with data showing overall trends, then turn to the accounting issues, and wrap up by evaluating the strengths and weaknesses of SBC. Ongoing shareholders typically realize more dilution with young companies than with old ones because SBC tends to be more significant, and buybacks less significant, for young companies. Research is equivocal on the benefits commonly cited for SBC.

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Caron's Corner  •  17-apr-2023  •  8:27 Min

What the Yield Curve and the Dollar Are Telling Us 

Jim Caron
Jim Caron, Co-Lead Global Portfolio Manager and Co-Chief Investment Officer, Global Balanced Risk Control Team, shares his macro thematic views on key market drivers.

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Calvert  •  13-apr-2023

More Women at Work: Historical Perspectives 

Yijia Chen
A new Calvert paper on gender diversity focuses on the economic and social forces behind improvements in the gender composition of the U.S. workforce — as well as international markets — over the past several decades.

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Takeaways & Key Expectations  •  13-apr-2023

Equity Market Commentary - April 2023 

Andrew Slimmon
In his April TAKE, Senior Portfolio Manager Andrew Slimmon articulates the frustrations of both bulls and bears with regard to today’s equity markets and how Applied Equity Advisors’ portfolios are positioned to capture potential opportunities.

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Market Monitor  •  11-apr-2023

Emerging Markets Debt Monitor – Q1 2023 

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

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Market Monitor  •  11-apr-2023

Floating-Rate Loan Market Monitor – Q1 2023 

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

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Caron's Corner  •  10-apr-2023  •  8:17 Min

Allacciate le cinture di sicurezza! L’atterraggio morbido sta per scontrarsi con i dati reali. 

Jim Caron
Jim Caron, Co-Lead Global Portfolio Manager e Co-Chief Investment Officer, Global Balanced Risk Control Team, illustra i suoi giudizi tematici macro sui principali fattori di sostegno dei mercati.

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Global Fixed Income Bulletin  •  10-apr-2023

Perché preoccuparsi (o non preoccuparsi) 

Global Fixed Income Team
Sebbene il Team Fixed Income sia convinto che gli eventi di marzo non rappresentino un’avvisaglia di una nuova crisi finanziaria, la situazione indica la presenza di anelli deboli nell’economia e un aumento delle tensioni che potrebbero manifestarsi nei prossimi mesi.

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Video di approfondimento  •  8-apr-2023

L’importanza delle 3 dinamiche 

David Richman
Scopri come queste dinamiche possono contribuire a conversazioni più significative.

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Video di approfondimento  •  8-apr-2023

Che cos’è un “ismo”? 

David Richman
Creare le premesse per farsi raccomandare senza chiederlo pronunciando qualche frase ad effetto – gli “ismi” – frasi che i clienti potranno ripetere nelle conversazioni con gli altri.

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Video di approfondimento  •  8-apr-2023

L’arte di attrarre nuovi clienti 

David Richman
per far crescere il business senza essere percepiti come venditori.

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Insight audio  •  8-apr-2023  •  4:44 Min

Far si che i primi incontri siano proficui 

David Richman
A prescindere dal fatto che il primo incontro si svolga in modalità virtuale o di persona, per far si che i primi incontri siano propositivi, coordinati e decisivi si applicano le stesse tecniche di base.

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Insight audio  •  8-apr-2023  •  5:18 Min

Fissare più incontri 

David Richman
ogni telefonata con un potenziale cliente può sfociare in un incontro. Per illustrare le tecniche di base che possono aiutare a convertire le telefonate di follow-up in primi incontri, ricorriamo a tre metafore sportive.

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Insight audio  •  8-apr-2023  •  4:18 Min

Cogliere i momenti significativi 

David Richman
per farsi consigliare ad altri senza chiederlo espressamente, bisogna saper inserire nelle conversazioni con i clienti qualche frase ad effetto che faccia cogliere i momenti significativi.

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Insight audio  •  8-apr-2023  •  3:52 Min

Fare in modo che i primi incontri lascino il segno 

David Richman
Diventare degli esperti nell’affrontare con successo i primi incontri.

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PATH  •  5-apr-2023

Destreggiarsi in un contesto turbolento 

Andrew Harmstone, Jim Caron
Nel breve periodo continuiamo ad aspettarci turbolenze dovute alla volatilità del settore bancario. Il rallentamento dell’inflazione negli Stati Uniti e le indicazioni della Fed in base alle quali il ciclo di rialzi potrebbe essere vicino a concludersi dovrebbero contribuire a evitare una recessione più profonda. Ecco come stiamo rispondendo.

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market-monitor page
Market Monitor  •  5-apr-2023

Market Monitor – April 2023 

Get a quick overview and dive into market data with our comprehensive, visual review of global economic and asset class performance presented in charts and graphs.

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Caron's Corner  •  3-apr-2023  •  7:55 Min

Una recessione è necessaria: costa troppo restare corti sul mercato 

Jim Caron
Jim Caron, Co-Lead Global Portfolio Manager e Co-Chief Investment Officer, Global Balanced Risk Control Team, illustra i suoi giudizi tematici macro sui principali fattori di sostegno dei mercati.

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Insight Article  •  31-mar-2023

China’s Reopening Offers Potential to Accelerate Growth Across Asia-Pacific Economies 

Laurel Durkay, Angeline Ho, Desmond Foong
The MSIM Global Listed Real Assets Team explores why the time is ripe to invest opportunistically in Hong Kong and China.

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Caron's Corner  •  27-mar-2023  •  7:07 Min

Vecchi rischi, nuove sfide 

Jim Caron
Jim Caron, Co-Lead Global Portfolio Manager e Co-Chief Investment Officer, Global Balanced Risk Control Team, illustra i suoi giudizi tematici macro sui principali fattori di sostegno dei mercati.

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Market Monitor  •  27-mar-2023

Floating-Rate Loan Market Monitor – Q4 2022 

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

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Market Monitor  •  27-mar-2023

Credit Market Monitor – Q4 2022 

Multi-Asset Credit Team
Analysis of global credit markets and where we see future opportunities.

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Market Monitor  •  27-mar-2023

Emerging Markets Debt Monitor – Q4 2022 

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

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Tales From the Emerging World  •  23-mar-2023

Untangling Supply Chain Linkages 

Jitania Kandhari, Saumya Jain
Post-pandemic, untangling global supply chains through reshoring, friend-shoring and nearshoring has created opportunities for emerging markets like India, Vietnam, Thailand, Indonesia and Mexico. Jitania Kandhari and Saumya Jain of the Emerging Markets Equity Team explain.

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Global Equity Observer  •  23-mar-2023

Diagnostica: lo strumento ideale per migliorare gli esiti degli interventi sanitari 

Helena Miles
Che cosa si intende per intervento sanitario di valore? Il team International Equity ritiene che un uso più diffuso di esami diagnostici e di test di screening per l'identificazione precoce delle malattie possa migliorare significativamente l'esito per i pazienti e contribuire a ottimizzare la spesa sanitaria. Per gli investitori, le aziende operanti nel settore della diagnostica offrono elevati rendimenti sul capitale operativo impiegato, grazie alle barriere all’ingresso, ai ricavi ricorrenti e alla domanda finale non discrezionale.

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Caron's Corner  •  22-mar-2023  •  12:09 Min

Fed Recap: The Fed Separates Monetary Policy from Financial Stability  

Jim Caron
Jim Caron, Co-Lead Global Portfolio Manager and Co-Chief Investment Officer, Global Balanced Risk Control Team, shares his macro thematic views on key market drivers.

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Consilient Observer  •  22-mar-2023

Confidence 

Michael Mauboussin, Dan Callahan
Probability and confidence are distinct concepts, and we believe it is useful for investors to separate them. For example, the price of two potential investments may present the same discount to expected value, but confidence in the probabilities for one may exceed those of the other. That nuance may be relevant for determining the appropriate weighting of securities or evaluating diversification.

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Insight Article  •  22-mar-2023

The Merits of Hedge Fund Co-Investments 

Jarrod Quigley
Hedge fund co-investments have an important role to play in client portfolios, explains AIP Hedge Fund Solutions Team Managing Director Jarrod Quigley.

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Caron's Corner  •  20-mar-2023  •  7:08 Min

Una triade controversa: stabilità finanziaria, politiche monetarie e politica 

Jim Caron
Jim Caron, Co-Lead Global Portfolio Manager e Co-Chief Investment Officer, Global Balanced Risk Control Team, illustra i suoi giudizi tematici macro sui principali fattori di sostegno dei mercati.

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Engagement Report  •  16-mar-2023

Emerging Markets Annual Stewardship Report 2023 

Emerging Markets Equity Team
Learn how the EM Equity team actively advocated for sustainable corporate policies during 2022 and what their ESG stewardship priorities are for 2023.

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Insight Article  •  16-mar-2023

Deconstructing the Denominator Effect 

Portfolio Solutions Group
Our Portfolio Solutions Group analyzes the key factors that impacted the "denominator effect" in 2022's market downturn.

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Insight Article  •  15-mar-2023

Private Markets Asset Allocation Framework 

Portfolio Solutions Group
Our Portfolio Solutions Group introduces their proprietary Private Markets Asset Allocation Framework (PMAAF) designed to help investors think about how to allocate their dry powder.

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Caron's Corner  •  13-mar-2023  •  7:38 Min

Un altro bel guaio: prepariamoci a operazioni di rifinanziamento e al rischio di politiche sbagliate 

Jim Caron
Jim Caron, Co-Lead Global Portfolio Manager e Co-Chief Investment Officer, Global Balanced Risk Control Team, illustra i suoi giudizi tematici macro sui principali fattori di sostegno dei mercati.

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Insight Article  •  13-mar-2023

Economic Policy's Critical Role for Shaping ESG Outcomes in Emerging Markets 

Global Fixed Income Team
In this paper, we present research to show that in countries where economic freedom improves or worsens, we see corresponding changes in ESG outcomes and sovereign debt performance, a finding that is key to shaping our approach to ESG integration.

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Articolo di approfondimento  •  13-mar-2023

Muoversi lungo la curva 

Fixed Income Team
In questa pubblicazione, i gestori obbligazionari che investono lungo l’intero spettro di duration illustrano le strategie per ricercare un reddito corrente maggiore e un apprezzamento del capitale più elevato durante questa insolita inversione della curva dei rendimenti.

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Global Fixed Income Bulletin  •  12-mar-2023

La situazione è cambiata e di conseguenza anche il mercato ha cambiato idea 

Global Fixed Income Team
Dopo un gennaio all’insegna dell’ottimismo, a febbraio i mercati hanno cambiato giudizio sulle prospettive economiche, passando dall’attesa di un atterraggio morbido dell’economia a uno scenario di “nessun atterraggio”. L’analisi del team Fixed Income.

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Articolo di approfondimento  •  8-mar-2023

Perchè preferire rendimenti stabili corretti per il rischio: Perché adesso? 

Andrew Harmstone, Jim Caron
Il tradizionale portafoglio composto per il 60% da azionario e per il 40% da obbligazionario non funziona adeguatamente quando i rendimenti degli attivi presentano un’elevata correlazione. L’adozione di una gestione attiva e bilanciata, volta ad ottenere rendimenti corretti per il rischio più stabili, può rivelarsi la soluzione migliore e costituisce l’obiettivo principale della strategia Global Balanced Risk Control.

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Caron's Corner  •  6-mar-2023  •  7:06 Min

Finding a New Risk Balance When 60/40 is No Longer Optimal 

Jim Caron
Jim Caron, Co-Lead Global Portfolio Manager and Co-Chief Investment Officer, Global Balanced Risk Control Team, looks at the risks associated with the traditional 60/40 portfolio.

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Takeaways & Key Expectations  •  6-mar-2023

Equity Market Commentary - March 2023 

Andrew Slimmon
In his March TAKE, Senior Portfolio Manager Andrew Slimmon provides 7 reasons behind the equity rally, plus Applied Equity Advisors’ portfolio positioning to try to capture the opportunities.

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Market Monitor  •  3-mar-2023

Market Monitor – March 2023 

Get a quick overview and dive into market data with our comprehensive, visual review of global economic and asset class performance presented in charts and graphs.

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PATH  •  3-mar-2023

Buone notizie, ma ai mercati sfugge il vero significato 

Andrew Harmstone, Jim Caron
La solidità dei dati sull’occupazione e sull’inflazione ha indotto i mercati ad attendersi il mantenimento di una politica monetaria restrittiva da parte della Federal Reserve nel breve termine. Un esame dei dati elaborati con maggiore frequenza suggerisce tuttavia un raffreddamento del mercato del lavoro. Questo ribilanciamento sul fronte dell’occupazione potrebbe cambiare la situazione e sfociare in un rally.

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Global Equity Observer  •  1-mar-2023

Introduzione al concetto di vita in più fasi 

Emma Broderick, Jinny Hyun
Quali aziende sono adeguatamente posizionate per sfruttare i cambiamenti comportamentali e nello stile di vita a lungo termine che una vita in più fasi potrebbe generare? L’analisi del team International Equity.

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Media Appearance  •  28-feb-2023  •  39:39 Min

Morgan Stanley Capital Partners’ Patrick Whitehead on BDO Private Equity PErspectives: Playing Offense in a Volatile Market  

Patrick Whitehead
Patrick Whitehead and Katie Lankalis with LLR Partners joined host Todd Kinney, National Relationship Director at BDO's private equity practice, to discuss value creation strategies and how to drive growth in a volatile market environment, how restrictive financing conditions could impact private equity returns and how the deal landscape could shape up in 2023.

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Caron's Corner  •  27-feb-2023  •  11:53 Min

Is All News Really Bad News? What May Happen Next in Markets 

Jim Caron
Jim Caron, Co-Lead Global Portfolio Manager and Co-Chief Investment Officer, Global Balanced Risk Control Team, shares his macro thematic views on key market drivers.

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Sustainable Investing  •  27-feb-2023

ESG Update 

Kristian Heugh, Marc Fox
The Global Opportunity team shares its annual update on ESG engagement activity.

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Takeaways & Key Expectations  •  22-feb-2023

Equity Market Commentary - February 2023 

Andrew Slimmon
In his second February TAKE, Senior Portfolio Manager Andrew Slimmon offers up where he sees potential Fat Pitches the equity markets are offering, along with how his portfolios are positioned to try to capture the opportunities.

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Global Fixed Income Bulletin  •  17-feb-2023

Diamo il via alla festa! Ma quanto durerà? 

Global Fixed Income Team
Dopo l’impennata dei rendimenti del mese di dicembre, i mercati obbligazionari hanno fatto segnare un’inversione di rotta, calando altrettanto rapidamente a gennaio. I mercati non cambiano direzione così repentinamente senza un motivo, e in questo caso ce ne sono stati molti. Lo spiega il team Fixed Income.

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Takeaways & Key Expectations  •  17-feb-2023

Equity Market Commentary - February 2022 

Andrew Slimmon
In his February TAKE, Senior Portfolio Manager Andrew Slimmon marks to market his early January four glaring signals that equity investors were way too bearish. Find out where he thinks we are today.

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Consilient Observer  •  15-feb-2023

Cost of Capital 

Michael Mauboussin, Dan Callahan
This is a guide to estimating the cost of capital, a measure of both expected return and the discount rate. For example, investors discount future free cash flows at the cost of capital to come up with a present value. Our goal is to find a figure that reflects opportunity cost sensibly, is economically sound, and gives the investor and businessperson a practical solution. We recommend settling on a reasonable cost of capital and then allocating the bulk of time thinking about future cash flows.

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Insight Article  •  14-feb-2023

How Hedge Funds Can Improve Portfolio Diversification 

Eban Cucinotta, Jarrod Quigley, Robert Rafter, Ping Chen
Over the past several years, investors piled into sectors like Equity Hedge and Event Driven, which fared poorly in 2022, and historically have been highly correlated with equities. However, our analysis shows that many hedge fund sectors benefit from volatility and higher interest rates and we believe they are likely to be good diversifiers for traditional portfolios in today's environment.

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Caron's Corner  •  13-feb-2023  •  09:49 Min

From Too Tight to Too Easy. What’s Next for Asset Prices?  

Jim Caron
Jim Caron, Co-Lead Global Portfolio Manager and Co-Chief Investment Officer, Global Balanced Risk Control Team, shares his macro thematic views on key market drivers.

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Insight Article  •  8-feb-2023

Going Long on Talent 

Seema Hingorani
Now more than ever, asset managers are acknowledging the critical role that talent retention plays in building long-term success. In this piece, Seema Hingorani, Managing Director and Strategic Client and Talent Engagement Lead, explores the talent-retention challenges and opportunities that exist in the industry today, while also examining the specific steps that can be taken to nurture diverse talent, while promoting a more diverse and inclusive workplace.

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Media Appearance  •  7-feb-2023

Morgan Stanley’s Lauren Hochfelder On the Firm’s Globally Local Investing 

Lauren Hochfelder
MSREI Co-CEO, Lauren Hochfelder, sat down with Commercial Observer to discuss her career, what she's seeing, and how US commercial real estate is viewed today from a global investment standpoint.

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Market Monitor  •  6-feb-2023

Market Monitor – February 2023 

Get a quick overview and dive into market data with our comprehensive, visual review of global economic and asset class performance presented in charts and graphs.

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Caron's Corner  •  6-feb-2023  •  14:07 Min

The Soft-Landing Super Bowl: Here’s Our Playbook 

Jim Caron
Jim Caron, Co-Lead Global Portfolio Manager and Co-Chief Investment Officer, Global Balanced Risk Control Team, shares his macro thematic views on key market drivers.

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Media Appearance  •  3-feb-2023

Morgan Stanley Capital Partners recognized by Inc. as a Top 50 Founder-Friendly Private Equity Firm  

Morgan Stanley Capital Partners
Inc.'s annual list of founder-friendly private equity firms shines a light on firms that have had success supporting founder-led companies.

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The Big Picture  •  2-feb-2023

Key Themes for 2023 

Jitania Kandhari
Jitania Kandhari, Deputy CIO, Solutions & Multi Asset Group; Head of Macro & Thematic Research, Emerging Markets; Portfolio Manager, AIA, outlines her Key Themes for 2023.

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PATH  •  2-feb-2023

Una finestra di opportunità 

Andrew Harmstone, Jim Caron
Le dinamiche dei mercati nel primo semestre del 2023 sembrano muoversi in senso opposto rispetto all’anno scorso: rallentamento dell’inflazione, diminuzione dei tassi di interesse, stabilizzazione o addirittura indebolimento del dollaro statunitense e riapertura della Cina. Questo quadro positivo apre uno spiraglio di opportunità che possiamo sfruttare aumentando l’esposizione al rischio. Ecco come stiamo rispondendo con il nostro posizionamento tattico.

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PATH  •  2-feb-2023

Una finestra di opportunità - MS INVF GBaR Fund 

Andrew Harmstone, Jim Caron
Le dinamiche dei mercati nel primo semestre del 2023 sembrano muoversi in senso opposto rispetto all’anno scorso: rallentamento dell’inflazione, diminuzione dei tassi di interesse, stabilizzazione o addirittura indebolimento del dollaro statunitense e riapertura della Cina. Questo quadro positivo apre uno spiraglio di opportunità che ci consente di aumentare il rischio a nostro vantaggio. Ecco come le stiamo rispecchiando nel posizionamento del nostro GBaR Fund.

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Video di approfondimento  •  1-feb-2023

Rivedi il webinar del 1 febbraio "Un caffè con Anil Agarwal, Co-Gestore di Asia Opportunity" 

Anil Agarwal
Anil Agarwal, gestore del team Global Opportunity, ha fornito un aggiornamento sul portafoglio e sulle prospettive di investimento nell’attuale contesto complesso e in rapida evoluzione per i mercati emergenti asiatici

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Caron's Corner  •  1-feb-2023  •  8:08 Min

Fed Recap: The Song Remains the Same, but the End Is Near 

Jim Caron
Jim Caron, Co-Lead Global Portfolio Manager and Co-Chief Investment Officer, Global Balanced Risk Control Team, shares his macro thematic views on key market drivers.

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Sustainable Investing  •  31-gen-2023

Key Fixed Income ESG Considerations for 2023 

Barbara Calvi
While the Fixed Income team expects macro headwinds will continue to have an impact in 2023, a rebounding sustainable bond market can continue feeding opportunities for fixed income investors.

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Global Multi-Asset Viewpoint  •  31-gen-2023

2023 Global Multi-Asset Team Outlook 

Cyril Moulle-Berteaux, Sergei Parmenov
MSIM's Global Multi-Asset Team discusses their investment perspective in the latest viewpoint: "2023 Global Multi-Asset Team Outlook"

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Global Fixed Income Bulletin  •  31-gen-2023

European Short Duration: An asset class for an uncertain world 

Fixed Income Team
The prospect of less hawkish central bank policy should be supportive for short duration assets in 2023, according to the Broad Markets Fixed Income Team. They explore in this new whitepaper.

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Caron's Corner  •  30-gen-2023  •  13:13 Min

This Week’s Fed Meeting: What Words will Move Markets? 

Jim Caron
Jim Caron, Co-Lead Global Portfolio Manager and Co-Chief Investment Officer, Global Balanced Risk Control Team, shares his macro thematic views on key market drivers.

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Global Equity Observer  •  26-gen-2023

I multipli sono scomparsi. Sarà il turno degli utili? 

Bruno Paulson
Nonostante si preveda una recessione, le stime sugli utili prospettici rimangono straordinariamente solide. Bruno Paulson si chiede se il futuro non riserberà delle sorprese negative per gli utili.

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Sustainable Investing  •  25-gen-2023

Push and Pull Factors Drive the Evolution of Sustainable Investing in Private Markets 

Vikram Raju, Navindu Katugampola, Alice Vilma
The importance of sustainability continues to increase in the private markets. Here we examine the factors, such as government legislation and client preferences, that are driving the change and evolution towards better sustainable investing practices.

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Insight Article  •  25-gen-2023

Listed Infrastructure has Potential for Resilient Earnings, Strong Cash Flow 

Matthew King
The MSIM Global Listed Real Assets Team explores how even in the likelihood of economic downturn in 2023, listed infrastructure is expected to have resilient earnings, strong cash flow, and unimpacted capital programs.

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Caron's Corner  •  23-gen-2023  •  13:51 Min

The Arrival of Long and Variable Lags: How We’re Investing 

Jim Caron
Jim Caron, Co-Lead Global Portfolio Manager and Co-Chief Investment Officer, Global Balanced Risk Control Team, shares his macro thematic views on key market drivers.

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Caron's Corner  •  17-gen-2023  •  13:37 Min

"Risk-on" Is a Misunderstood Risk that Needs To Be Hedged 

Jim Caron
Jim Caron, Co-Lead Global Portfolio Manager and Co-Chief Investment Officer, Global Balanced Risk Control Team, shares his macro thematic views on key market drivers.

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Insight Article  •  12-gen-2023

ESG, Lending Recovery, and Data Growth Have Potential to Fuel REITs 

Laurel Durkay
The MSIM Global Listed Real Assets Team explores how a possible recovery in the credit market during 2023 can fuel M&A activity and favorable REIT returns.

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Caron's Corner  •  9-gen-2023  •  11:56 Min

2023 Will Feel Worse on Main Street than Wall Street 

Jim Caron
Jim Caron, Co-Lead Global Portfolio Manager and Co-Chief Investment Officer, Global Balanced Risk Control Team, shares his macro thematic views on key market drivers.

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Insight Article  •  9-gen-2023