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  "authorName": "Morgan Stanley",
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  "notes": "The slide uses a dual-column layout to contrast geographic positioning with thematic investment focus.",
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      "text": "Source: MSIM. Data as of 12/31/2022. The holdings above are provided solely to demonstrate the team's investment process and the type of analysis used in implementing their investment strategy.",
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      "text": "RESPONSIBLE ENERGY TRANSITION (17.4%): Anglo American Platinum, Anglo American, Antofagasta, Delta Electronics, Mahindra & Mahindra Financial, Mahindra & Mahindra, Norsk Hydro, Reliance, Samsung SDI, Korea Zinc. SUSTAINABLE PRODUCTION & CIRCULAR ECONOMY (24.6%): Airtac, Hindalco, Lojas Renner, LPP, Mondi, Samsung Electronics, Shenzhou, SIG, TSMC, SK Hynix. ACCESS, AFFORDABILITY & ECONOMIC GROWTH (29.3%): Bank Central Asia, Bank Rakyat, Bank Mandiri, Banorte, China Merchants Bank, KB Financial, Capitec, HDFC Bank, ICICI Bank, Max Healthcare, Medicover, Woolworths, Itau Unibanco, China Mengniu Dairy, Walmex. DECENT WORK & INNOVATION (10.8%): Infosys, EPAM, Postal Savings Bank of China.",
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      "text": "India (+7.1%): Robust recovery post COVID-19, strong fiscal position and structural reform story. South Africa (+5.6%): Positive momentum for economic and structural reform, beneficiary of global commodity recovery. Mexico (+3.4%): Improving macro environment, benefits from economic recovery in U.S. and USMCA. China (-17.5%): High debt levels, increased government involvement. Saudi Arabia (-4.1%): Economy heavily depends on energy, limited quality growth opportunities.",
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      "text": "Portfolio Weight: 29.3%",
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      "text": "MS INVF Sustainable Emerging Markets Equity Fund",
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