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      "text": "Sustainable Themes allocations: Responsible Energy Transition (14.8%), Sustainable Production & Circular Economy (18.7%), Improved Access, Affordability & Sustainable Economic Growth (36.9%), Decent Work & Innovation (11.4%)",
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      "text": "Source: MSIM. Data as of 12/31/2022. This represents how the portfolio management team generally implements its investment process under normal market conditions. Although sustainability and ESG criteria are typically considered with respect to the companies or issuers in which the Fund invests, the Adviser and/or Sub-Adviser do not consider sustainability and ESG criteria with respect to every company or issuer in which the Fund invests and sustainability and ESG criteria are not the sole determinants of whether or not an investment can be made or a holding can remain in the Fund's portfolio. As a result, the Fund may, in some cases, invest in companies or issuers that do not have favorable sustainability or ESG characteristics. Cash and additional sustainable theme ESG Integration not listed, as a result, numbers may not add up to 100.",
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      "text": "China: High debt levels, increased government involvement, zero-covid recovery. Hong Kong: Political turmoil, covid recovery, faltering property market.",
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      "text": "India: Robust recovery post COVID-19, strong fiscal position and structural reform story. Indonesia: Strong economic recovery post-Covid, positive credit cycle and domestic liquidity. Taiwan: Multi-year digitalization trend, tourism rebound on border reopening.",
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      "text": "Portfolio Allocation: 36.9%",
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