The Morgan Stanley Global Fixed Income Opportunities Strategy is a value-oriented fixed income strategy that seeks total return including a high level of current income by investing across the fixed income asset spectrum, inclusive of investment-grade and high-yield credit, convertible bonds, securitized assets including mortgage- and asset-backed securities, and developed and emerging market sovereign debt. To help achieve this objective, the strategy combines a top-down macroeconomic assessment, to determine optimal beta positioning for the portfolio, with rigorous bottom-up fundamental analysis and active currency management.
Effective November 1, 2022, Leon Grenyer was added as a Portfolio Manager for this strategy. Effective October 31, 2022, Jim Caron no longer serves as Portfolio Manager. Effective December 1, 2023, Vishal Khanduja was added as Portfolio Manager on the Strategy, and Chris Roth is no longer serving as Portfolio Manager.
Effective 30 August 2024, Richard Ford is no longer serving as Portfolio Manager on the Portfolio.