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  "notes": "The slide uses a dual-column framework to define the investment strategy.",
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      "kind": "disclaimer",
      "text": "1. In targeting its investment objective, the Strategy will consider ESG criteria in order to invest in companies which (i) perform better than their peers on one or more sustainability themes; and (ii) are positioned to benefit from, and/or contribute to, the sustainable development of the countries in which they operate based on the Investment Adviser’s ESG criteria. Certain statements made herein reflect the subjective views and opinions of Morgan Stanley and its personnel. Such statements cannot be independently verified and are subject to change. This represents how the portfolio management team generally implements its investment process under normal market conditions.",
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      "text": "Quality Growth criteria: Superior Returns (15%+ ROIC), Strong Fundamentals (EPS Growth > Index), Better Balance Sheets (Net Debt <1x EBITDA), Focus on Sustainability (90% Sustainable Alignment)",
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      "text": "Attractive Countries criteria: Growth, Inflation & Policy (Strong Growth & Reform), Competitive Currency (Fundamentals & Valuations), Contrarian (Market Positioning)",
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