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Morgan Stanley Investment Funds - Quantactive Global Infrastructure Fund B (0P0000P0Z8)

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64.470 +0.010    +0.02%
03/01 - Closed. Currency in USD
Type:  Fund
Market:  Luxembourg
ISIN:  LU0384385067 
Asset Class:  Equity
  • Morningstar Rating:
  • Total Assets: 576.97M
Morgan Stanley Investment Funds Global Infrastru 64.470 +0.010 +0.02%

Morgan Stanley Investment Funds - Quantactive Global Infrastructure Fund B Overview

 
On this page you'll find an in-depth profile of Morgan Stanley Investment Funds - Quantactive Global Infrastructure Fund B. Learn about the key management, total assets, investment strategy and contact information of 0P0000P0Z8 among other information.
Category

Sector Equity Infrastructure

Total Assets

576.97M

Expenses

2.74%

Inception Date

Jun 14, 2010

Investment Strategy

The Fund’s investment objective is to increase the value of your investment over the long term, mainly through growth of capital. The fund invests, directly or indirectly through funds, at least 70% of total net assets in equities of companies in the infrastructure sector such as the storage and distribution of energy and natural resources, renewable energy, water treatment and distribution, waste management, transportation infrastructure and telecommunications. These investments may be located anywhere in the world, including emerging markets.

Contact Information

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

Top Executives

Name Title Since Until
Mehdi Barone - 2024 Now
Biography Mehdi Barone joined Morgan Stanley in 2007 and has 23 years of investment experience. M. Barone is a portfolio Manager and CEO of FundLogic SAS (part of Morgan Stanley Investment Management (MSIM)). Prior to joining, he was an absolute return and quantitative balanced fund manager at HSBC Sinopia Asset Management. In January 2013 he joined J.P. Morgan in London as Head of Fund Management within J.P. Morgan Mansart Management Limited. Mehdi returned to FundLogic as Head of Portfolio Management in January 2016 and as deputy of the French Management Company. Mehdi graduated from the Ceram (Skema Business School) with a specialization in Finance and he holds a Master's degree from the University Paris-Dauphine with a specialization in Asset Management.
Emmanuel Caro - 2024 Now
Biography Emmanuel Caro joined Morgan Stanley in 2018 and has 12 years of investment experience. M. Caro is a Portfolio Manager for FundLogic SAS (part of Morgan Stanley Investment Management (MSIM)). Prior to joining, he held the position of Portfolio Manager for Gresham Asset Management (former Legal & General), he also previously worked at Rothschild & Cie and Optimum Gestion Financière; where he has managed active and passive funds and mandates for institutional clients across all asset classes using a quantitative and fundamental analysis coupled with a bottom-up and top-down approach. Emmanuel graduated from Audencia School of Management in 2012 with a Master's degree in Finance and he is a CFA Charterholder.
Celine Karanci - 2024 Now
Biography Céline Karanci joined Morgan Stanley in July 2012 and has 12 years of investment experience as Portfolio Manager FundLogic SAS (part of Morgan Stanley Investment Management (MSIM)). Ms. Karanci is predominantly focused on the structuring and management of Index tracking funds: Mutual Funds and Exchange-Traded Funds (ETF) within FundLogic. She has expertise on efficient factor market and bespoke indices replication. In addition to equity and commodities underlying assets, she also has experience in managing emerging markets funds with environmental, social and governance (ESG) characteristics. She graduated from Ecole Supérieure de Gestion et de Finance- Paris, with a Master's degree in Financial Markets.
Matthew King Vice President 2010 2024
Biography Matthew ("Matt") King joined Morgan Stanley in 2008 and has been with financial industry since 2000. He is a Managing Director at Morgan Stanley Investment Management and since joining the firm, continues to be Portfolio Manager for the Global Infrastructure Securities Strategy, where he is responsible for primary, day-to-day management of the portfolios as well as directing the team’s sector and company research. Previously, Matt worked at Bear Stearns in a variety of roles including investment banking and research, during which time he provided research and analytical support for a number of infrastructure-related financings. Matt received a B.A. magna cum laude in diplomacy and world affairs from Occidental College, and an MBA with honors from Columbia Business School.
Theodore R. Bigman Managing Director 2010 2020
Biography Ted joined Morgan Stanley in 1995 and has 26 years of investment experience. He is a Managing Director at Morgan Stanley Investment Management and is the Head of Global Real Estate Securities Investing. Ted is the portfolio manager for the U.S. and global real estate securities portfolios and oversees the global team, which has investment teams in New York, Amsterdam and Singapore. Ted is also the lead portfolio manager for the Global Infrastructure Securities strategy. The teams have over $20 billion of assets under management in these strategies. Prior to joining the Firm in 1995, he was a Director at CS First Boston, where he worked for eight years in the real estate investment banking group. He established and managed the REIT effort at CS First Boston, and had primary responsibility for $2.5 billion of REIT initial public offerings. Ted also worked at Bain & Company as an Associate Consultant for two years. Ted received a B.A. from Brandeis University in Economics and an M.B.A. from Harvard Business School and studied at the London School of Economics. He was the 2011 recipient of the Industry Achievement Award from the National Association of Real Estate Investment Trusts, the leading REIT industry group, for his approach to securities research on listed real estate companies, which has been influential in making REITs a standard component of institutional real estate portfolios.
Christian G. Roth Portfolio Manager 2010 2013
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.
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