MorganStanley

Morgan Stanley
arc beats above · slides in the middle · loops below · scroll → 0 LOOPS
SETUP TENSION ANALYSIS EVIDENCE RESOLUTION APPENDIX
HOVER FOR DETAILS · CLICK A SLIDE FOR FULLSCREEN · STEP 5
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Deck intelligence map

5
coverage by narrative range · generated from this deck JSON

Slide inventory

70
every slide · same image gating as the playbook
01
Slide 1
front_matter
Open slide detailBeat · Setup
02
summarize
Open slide detailBeat · Setup
03
other
Open slide detailBeat · Setup
04
The slide presents two distinct rankings of countries, likely comparing wealth or economic metrics, with visual annotations highlighting specific countries.analyze_data
Open slide detailBeat · Setup
05
The chart includes a table overlaying the total return percentages for the six companies listed.analyze_data
Open slide detailBeat · Setup
06
The chart displays a significant concentration of high-growth companies in the United States compared to other global markets.analyze_data
Open slide detailBeat · Data Table
07
The chart displays a clear concentration of high-growth companies in China and India compared to other emerging markets.analyze_data
Open slide detailBeat · Data Table
08
The chart highlights the growth of IT and Consumer Discretionary sectors relative to commodities-linked sectors.analyze_data
Open slide detailBeat · Industry Trends
09
The chart illustrates the increasing dominance of China and the relative decline of other emerging markets over the decade.analyze_data
Open slide detailBeat · Industry Trends
10
The chart includes forecast data points for 2023-2024.analyze_data
Open slide detailBeat · Industry Trends
11
The chart uses percentile bands (10th/90th, 20th/80th) and a median line to contextualize the current valuation spike.analyze_data
Open slide detailBeat · Industry Trends
12
The chart uses a composite indicator based on Price/Book, Forward P/E, Trailing P/E, P/CE, Dividend Yield, and P/S.compare_peers
Open slide detailBeat · Industry Trends
13
The chart displays multiple overlapping time series representing different forecast years.analyze_data
Open slide detailBeat · Industry Trends
14
The chart uses a dual-axis approach to show the correlation between regional tech earnings and global earnings, with annotations pointing to lead indicators.analyze_data
Open slide detailBeat · Industry Trends
15
The chart shows a clear disparity between developed markets (right side) and emerging markets (left side).compare_peers
Open slide detailBeat · Peer Benchmark
16
The chart uses a dual-axis approach to correlate institutional flows with index performance.analyze_data
Open slide detailBeat · Data Table
17
transition
Open slide detailBeat · Section Divider
18
The chart uses a floating bar format where the bottom represents the 2020 level and the top represents the 2040 level. A red circle highlights India and Indonesanalyze_data
Open slide detailBeat · Data Table
19
The chart uses a dual-axis approach to correlate two different financial metrics over time, with a dotted line indicating future projections.analyze_data
Open slide detailBeat · Data Table
20
The chart tracks the relative weight in basis points (bps) over a 20-year period.analyze_data
Open slide detailBeat · Data Table
21
The slide uses three distinct charts to illustrate macroeconomic trends: GDP growth (bar), fiscal deficit (bar), and capacity utilization (line).analyze_data
Open slide detailBeat · Data Table
22
transition
Open slide detailBeat · Data Table
23
The chart uses a log scale for the index value. Shaded regions likely represent periods of market stress or specific economic events.analyze_data
Open slide detailBeat · Data Table
24
The chart uses a 'spaghetti' line plot style to show how consensus forecasts for specific years evolved over time.analyze_data
Open slide detailBeat · Data Table
25
The chart uses a stacked bar approach for deposits and negative loans, with a line overlay for net assets.analyze_data
Open slide detailBeat · Data Table
26
The chart shows a significant divergence in the 2021-22 period compared to historical cycles.analyze_data
Open slide detailBeat · Data Table
27
The chart displays negative active weights across most categories, indicating underweight positions relative to benchmarks.analyze_data
Open slide detailBeat · Data Table
28
transition
Open slide detailBeat · Data Table
29
The slide uses horizontal bar charts to compare debt metrics, with Indonesia specifically highlighted in red.compare_peers
Open slide detailBeat · Data Table
30
The chart highlights Indonesia with a red bar, indicating a significant positive change in political stability compared to other countries listed.analyze_data
Open slide detailBeat · Data Table
31
transition
Open slide detailBeat · Data Table
32
The slide includes a table of risk/return metrics and a bar chart showing alpha performance over 1, 3, and 5-year periods.analyze_data
Open slide detailBeat · Data Table
33
front_matter
Open slide detailBeat · Data Table
34
other
Open slide detailBeat · Data Table
35
The slide uses a concentric circle/funnel metaphor to show the filtering process based on specific criteria at each stage.present_framework
Open slide detailBeat · Data Table
36
The slide uses a grid-based segmentation to map specific company holdings to their respective industry sectors and thematic drivers.present_solution
Open slide detailBeat · Data Table
37
Includes a table of market share by region and a line chart showing historical and projected market share trends for major e-commerce players in Brazil.illustrate_case
Open slide detailBeat · Data Table
38
illustrate_case
Open slide detailBeat · Data Table
39
Includes a bar chart showing the shift from basic to discretionary spending and a circular diagram illustrating a retail operational flywheel.analyze_data
Open slide detailBeat · Data Table
40
Includes both a bar chart and a summary table of excess returns.analyze_data
Open slide detailBeat · Data Table
41
The slide includes a detailed disclaimer regarding performance calculation and currency fluctuations.analyze_data
Open slide detailBeat · Data Table
42
Source: Morgan Stanley Investment Management. Excludes cash.analyze_data
Open slide detailBeat · Data Table
43
Includes market capitalization breakdown and standard risk metrics.compare_peers
Open slide detailBeat · Data Table
44
The table provides a comparison between the fund's holdings and the MSCI EM Index, highlighting the active management strategy.analyze_data
Open slide detailBeat · Data Table
45
front_matter
Open slide detailBeat · Data Table
46
Includes Co-Lead Portfolio Managers, Investment Analysts by region, and Shared Resources.other
Open slide detailBeat · Data Table
47
The slide uses a dual-column framework to define the investment strategy.present_framework
Open slide detailBeat · Data Table
48
Data as of 12/31/2022.compare_peers
Open slide detailBeat · Data Table
49
The slide details specific ESG criteria including thematic alignment, SFDR sustainable investment thresholds, exclusion policies, and carbon intensity metrics.summarize
Open slide detailBeat · Data Table
50
Includes both bar chart visualization and a summary data table for excess returns.analyze_data
Open slide detailBeat · Data Table
51
The chart displays the difference (relative weighting) between the account and the index as of December 31, 2022.analyze_data
Open slide detailBeat · Data Table
52
The chart displays active weights (overweight/underweight) for 9 countries.analyze_data
Open slide detailBeat · Data Table
53
The slide uses a dual-column layout to contrast geographic positioning with thematic investment focus.summarize
Open slide detailBeat · Data Table
54
The table is split into two sections: Overweight and Underweight, with totals for each.analyze_data
Open slide detailBeat · Data Table
55
The table includes security name, country, industry, and percentage allocation for both the fund and the benchmark index.summarize
Open slide detailBeat · Data Table
56
Includes both fundamental valuation metrics and risk-adjusted performance metrics.compare_peers
Open slide detailBeat · Data Table
57
front_matter
Open slide detailBeat · Data Table
58
summarize
Open slide detailBeat · Data Table
59
The chart displays active weights (Fund minus Index).analyze_data
Open slide detailBeat · Data Table
60
The chart displays the difference (active weight) between the fund and the benchmark.compare_peers
Open slide detailBeat · Data Table
61
The table is split into two sections: Overweight and Underweight, with totals for each.analyze_data
Open slide detailBeat · Data Table
62
The table includes security name, country, industry, and percentage allocation for both the fund and the benchmark index.summarize
Open slide detailBeat · Data Table
63
Includes detailed market capitalization breakdown and risk metrics.analyze_data
Open slide detailBeat · Data Table
64
Includes both a bar chart and a data table showing excess returns.analyze_data
Open slide detailBeat · Data Table
65
The slide includes a detailed disclaimer regarding performance calculation and fund renaming.analyze_data
Open slide detailBeat · Data Table
66
appendix
Open slide detailBeat · Data Table
67
appendix
Open slide detailBeat · Data Table
68
other
Open slide detailBeat · Data Table
69
other
Open slide detailBeat · Data Table
70
other
Open slide detailBeat · Data Table