Morgan Stanley Investment Management
Recent News About Morgan Stanley Investment Management
-
Morgan Stanley Investment Management outlines guidelines on manager evaluation
Morgan Stanley Investment Management (MSIM) has released material discussing the challenges faced by good managers and how to determine when it may be appropriate to let them go.
-
Morgan Stanley outlook sees opportunity as commercial real estate prices reset
The 2025 real estate mid-year outlook from Morgan Stanley Real Estate Investing (MSREI) highlights the resilience of commercial real estate amid a volatile macroeconomic environment.
-
Morgan Stanley discusses potential opportunities in uncertain financial markets
Uncertainty in the financial markets is creating potential opportunities for longer-duration assets in developed markets, as well as value in emerging markets debt and securitized credit.
-
Insights from Chris Dyer on managing teams and mitigating biases at Morgan Stanley
Perspectives on personalities and investing have influenced Chris Dyer's approach to leading teams, empowering individuals, mitigating behavioral bias, and delivering strong performance for clients.
-
Health care stocks face challenges amid policy uncertainty
Health care stocks have lagged behind the broader market in 2025, facing challenges from policy uncertainty and company-specific issues.
-
Morgan Stanley evolves sovereign ESG methodology for sustainable bond investments
Since 2019, Morgan Stanley Investment Management has been refining its Sovereign ESG Methodology to enhance the evaluation of countries' sustainability performance in sovereign bond investments.
-
Morgan Stanley presents new European private debt fund
Mark Jochims, Head of European Private Credit at Morgan Stanley Private Credit, recently discussed the Morgan Stanley Dette Privée Europe SLP.
-
Emerging markets debt team reviews Q2 2025 fundamentals
In a recent publication dated July 11, 2025, the Emerging Markets Debt Team provides an in-depth review of fundamentals and valuations across emerging markets debt.
-
Morgan Stanley releases Q2 2025 floating-rate loan market insights
Insight on loan market fundamentals and the role of floating-rate loans within portfolios has been shared by the Floating-Rate Loans Team.
-
Active management crucial for identifying undervalued quality small-caps
Historically, the quality approach to small-cap investing has delivered attractive risk-adjusted returns.
-
Morgan Stanley releases July 2025 edition of "The BEAT
Morgan Stanley Investment Management has released its latest edition of "The BEAT" for July 2025, providing insights into the current investment environment.
-
U.S.-centric portfolios may need rebalancing for future global growth
For the past 15 years, U.S. equity markets have led global investing, outperforming other regions and drawing significant capital inflows.
-
Morgan Stanley highlights economic resilience amidst uncertainty
Morgan Stanley Investment Management has released new material regarding the current state of risk assets and the global economy.
-
Morgan Stanley launches European private income fund
Morgan Stanley has announced the launch of its new European Private Income Fund.
-
Active management's edge in fixed income markets amid rising volatility
In the realm of fixed income investing, active management appears to hold a distinct advantage over passive strategies.
-
Investment experts stress sticking with proven strategies amid market volatility
In a recent analysis, investment professionals discussed the challenges of managing portfolios amidst market volatility.
-
Michael Occi discusses direct lending's role amid economic changes
In a recent interview published in the Private Debt Investor’s 2025 Mid-Market Lending report, Michael Occi, President of Morgan Stanley Private Credit's BDCs, discussed the evolving landscape of direct lending.
-
Morgan Stanley releases June 2025 edition of The BEAT newsletter
Morgan Stanley Investment Management has released its latest edition of The BEAT for June 2025, providing insights into the current investment environment.
-
Morgan Stanley's fixed income unit focuses on ESG issues through new engagement program
Morgan Stanley Investment Management (MSIM) Fixed Income has implemented a targeted engagement program focusing on environmental, social, and governance (ESG) issues.