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The investment seeks a high level of current income. The fund normally invests at least 80% of its assets in mortgage-related securities. These mortgage-related securities may include mortgage-backed securities such as mortgage pass-through securities, collateralized mortgage obligations ("CMOs"), stripped mortgage-backed securities ("SMBS"), commercial mortgage-backed securities ("CMBS") and inverse floating rate obligations ("inverse floaters"). It may invest up to 50% of its net assets in high yield securities (commonly referred to as "junk bonds").
Name | Title | Since | Until |
---|---|---|---|
Matt Buckley | Portfolio Manager | 2022 | Now |
Biography | Mr. Buckley has been associated with the Adviser or its affiliates since September 2005. Mr. Buckley has worked on securitized exposures in multi-sector portfolios as a senior investor since 2005 and began his career in the investment industry in 1998. | ||
Gregory A. Finck | Portfolio Manager | 2015 | Now |
Biography | Greg is a portfolio manager and head of the Securitized team. He joined Morgan Stanley in December 2014 and has been with financial industry since 1992. Previously, he was a managing director and portfolio manager of mortgage-backed securities portfolios for various Fortress funds at Fortress Investment Group. Prior to that, Greg was a managing director at Goldman, Sachs & Co. where he ran the residential mortgage trading business. Greg received a B.S.E in civil engineering from Princeton University. | ||
Neil Stone | Managing Director | 2014 | 2022 |
Biography | Neil is a member of the Fixed Income team. He joined Morgan Stanley Investment Management in 1995 and has been with financial industry since 1985. Previously, he served as a vice president in mortgage research at Morgan Stanley. Prior to joining the firm, Neil was a director of fixed income research at Credit Suisse First Boston. He received a B.S. in accounting and decision sciences and an M.B.A. in social systems sciences from the Wharton School of the University of Pennsylvania. | ||
Michael B. Kushma | Portfolio Manager | 2014 | 2017 |
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. | ||
Sheila Huang | Portfolio Manager | 2008 | 2014 |
Biography | Ms. Huang has been associated with Morgan Stanley Investment Management Inc., in an investment management capacity since August 2008 and began managing each Portfolio in August 2008. Prior to August 2008, Huang was a Director and portfolio manager at Highland Capital from January 2007 to August 2008. From April 2004 to January 2007, she was a portfolio manager with Credit Suisse. From 1999 to 2003, she was at BlackRock Financial Management, where she was mortgage strategist and a fixed income quantitative analyst. Prior to that, she was a credit analyst at Citibank. Huang holds the Chartered Financial Analyst designation. | ||
Joseph Hondros | Portfolio Manager | 2008 | 2010 |
Biography | Joseph Hondros is a member of the Structured Products team at MetLife Investment Management (MIM). Joseph joined MIM in September 2017, in connection with the acquisition of Logan Circle Partners (LCP) by MetLife. Prior to joining Logan Circle Partners, he was the Director of Global Fixed Income research at SEI Investments, managing a team responsible for all SEI fixed income strategies. Prior to this role, he was the lead Investment Grade portfolio manager for SEI from 2009 to 2014. Before joining SEI, Joseph was an Executive Director at Morgan Stanley Investment Management for 12 years specializing primarily in ABS and CMBS analytics and trading. He began his structured products career at TIAA-CREF specializing in mortgage backed securities. Joseph received a Bachelor of Science degree cum laude in economics from Villanova University and a Master of Business Administration in finance from Indiana University and is a CFA® charterholder. | ||
Scott F. Richard | Managing Director, Portfolio Manager | 2003 | 2008 |
Biography | Richard is a managing director and portfolio manager with Morgan Stanley Investment Advisors, his employer since 1992. Previously, he was a partner with Miller, Anderson and Sherrerd. Before that, he spent five years with Goldman, Sachs and Company, where he served as head of fixed-income research and head of mortgage research. Richard was an associate editor of the Journal of Finance from 1983 to 1988. | ||
Roberto M. Sella | Managing Director, Portfolio Manager, financial Analyst | 2005 | 2008 |
Biography | Sella is a managing director of Morgan Stanley Investment Advisors Inc. He joined the firm in November 1992. Sella served as a financial analyst from 1992 until 1998 when he became a portfolio manager. | ||
Michael Luo | executive Director | 2005 | 2008 |
Biography | Luo is an executive director of Morgan Stanley Investment Advisors. He has been associated with the firm in an investment management capacity since 1998. | ||
Neil Stone | Managing Director | 2003 | 2006 |
Biography | Neil is a member of the Fixed Income team. He joined Morgan Stanley Investment Management in 1995 and has been with financial industry since 1985. Previously, he served as a vice president in mortgage research at Morgan Stanley. Prior to joining the firm, Neil was a director of fixed income research at Credit Suisse First Boston. He received a B.S. in accounting and decision sciences and an M.B.A. in social systems sciences from the Wharton School of the University of Pennsylvania. |
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