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Morgan Stanley Investment Funds - Global Bond Fund Z (0P00015VDJ)

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26.800 -0.100    -0.37%
04/11 - Closed. Currency in GBP
  • Morningstar Rating:
  • Total Assets: 1.21B
Type:  Fund
Market:  United Kingdom
Issuer:  Morgan Stanley Investment Management (ACD) Limited
Asset Class:  Bond
Morgan Stanley Investment Funds Global Bond Fund Z 26.800 -0.100 -0.37%

0P00015VDJ Overview

 
On this page you'll find an in-depth profile of Morgan Stanley Investment Funds - Global Bond Fund Z. Learn about the key management, total assets, investment strategy and contact information of 0P00015VDJ among other information.
Category

Global Bond

Total Assets

1.21B

Expenses

0.56%

Inception Date

Jun 30, 2008

Investment Strategy

The Fund’s investment objective is to provide an attractive rate of return, measured in US Dollars, through market, instrument and currency selection. The Fund will invest primarily in domestic, international, emerging market and Euromarket Fixed Income Securities of varying maturities denominated in US Dollars and other currencies, including asset-backed securities (including mortgage backed securities), loan participations and loan assignments, to the extent that these instruments are securitised.

Contact Information

Address The Observatory, 7-11 Sir John Rogerson’s Quay, Dublin 2
Dublin,
Ireland
Phone -

Top Executives

Name Title Since Until
Leon Grenyer Portfolio Manager 2022 Now
Biography Leon Grenyer is the Head of European Multi-Sector and a portfolio manager on the Multi-Sector team. He joined Morgan Stanley in 2002 and began his career in the investment industry in 1996. Prior to joining Morgan Stanley, Leon was a credit analyst and investment analyst at Abbey National Treasury Services. He received a B.S. in geography from the University of Bristol.
Utkarsh Sharma - 2021 Now
Biography Mr. Sharma is a portfolio manager on the Global Fixed Income team. He joined Morgan Stanley in 2014.
Richard Ford Member 2014 Now
Biography Ric is head of European Fixed Income. He joined Morgan Stanley in 1991 and has 25 years of investment experience. During his time at the firm he has worked as a risk manager and as a proprietary trader before joining MSIM in 2002. In addition to his experiences at Morgan Stanley, Ric was a chartered accountant with Ernst and Young and a portfolio manager with Pimco. Ric received a B.Com. in business studies from Edinburgh University and is a qualified Chartered Accountant.
Michael B. Kushma Portfolio Manager 1995 Now
Biography Michael is Chief Investment Officer of Global Fixed Income. He joined Morgan Stanley in 1987 and has 22 years of investment experience. Previously, he was a global fixed income strategist for the firm's Fixed Income Division. Prior to joining the firm, he was a senior lecturer of economics at Columbia University. Michael received an A.B. in economics from Princeton University, an M.Sc. in economics from the London School of Economics and an M.Phil. in economics from Columbia University.
Christian G. Roth Portfolio Manager 1995 2023
Biography Chris is Global Head of Credit. He joined Morgan Stanley in 1991 and has 26 years of investment experience. Prior to joining the firm, he was a senior associate in the merchant banking group of Dean Witter Capital Corporation. Chris received a B.S. in economics from the Wharton School of the University of Pennsylvania. He holds the Chartered Financial Analyst designation and is a member of the UK Society of Investment Professionals.
Jim Caron Managing Director 2014 2022
Biography Jim is a portfolio manager and senior member of the MSIM Global Fixed Income team and a member of the Asset Allocation Committee focusing on macro strategies. He joined Morgan Stanley in 2006 and has been with financial industry since 1992. Prior to this role, Jim held the position of global head of interest rates, foreign exchange and emerging markets strategy with Morgan Stanley Research. He authored two interest rate publications, the monthly Global Perspectives and the weekly Interest Rate Strategist. Previously, he was a director at Merrill Lynch where he headed the U.S. interest rate strategy group. Prior to that, Jim held various trading positions. He headed the U.S. options trading desk at Sanwa Bank, was a proprietary trader at Tokai Securities and traded U.S. Treasuries at JP Morgan. Jim received a B.A. in physics from Bowdoin College, a B.S. in aeronautical engineering from the California Institute of Technology and an M.B.A in finance from New York University, Stern School of Business.
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