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We are committed to delivering exceptional service and superior investment results. We have a client-centric approach to portfolio management and an innovative asset allocation methodology designed to address the increasing diversity of investment options.
 

 
 

Biography

Rui is head of the Solutions & Multi-Asset Group, overseeing businesses that offer multi-asset, alternative, sustainable and specialty solutions. He is a member of the Morgan Stanley Global Investment Committee and the Morgan Stanley Investment Management Operating Committee as well as a senior sponsor of the Morgan Stanley Investment Management Sustainability Council.

Prior to joining Morgan Stanley in 2007, Rui led research on behalf of Citi Alternative Investments, developing and implementing leading-edge research on portfolio strategy with alternative investments. He also has strategy consulting experience from his time at Boston Consulting Group and Alliance Consulting Group. He has over 25 years of financial services experience.

Rui has published extensively in finance, economics, law and political science journals. He is a tenured professor at the Graduate School and an associate professor (emeritus) at the Haas School of Business at the University of California, Berkeley. Rui holds an AB degree from Harvard University, and a PhD and two master’s degrees from Stanford University.

 
 
 
 

May not represent all Team Members.

The information on this page is for informational purposes only. It is intended for the benefit of third party issuers and those seeking information about alternatives investment strategies. The information contained herein does not constitute and should not be construed as an offering of advisory services or an offer to sell or a solicitation of an offer to buy any securities in any jurisdiction in which such offer or solicitation, purchase or sale would be unlawful under the securities, insurance or other laws of such jurisdiction.

All investing involves risks, including a loss of principal. Alternative investments are speculative and involve a high degree of risk. These investments are designed for investors who understand and are willing to accept these risks. Performance may be volatile, and an investor could lose all or a substantial portion of his or her investment.

Please refer to the strategy detail page for important information on the strategy, including additional risk considerations.

 

This is a Marketing Communication.

Please be aware that liquidity instruments may be subject to certain additional risks. Fixed-income securities are subject to the ability of an issuer to make timely principal and interest payments (credit risk), changes in interest rates (interest-rate risk), the creditworthiness of the issuer and general market liquidity (market risk). In a rising interest-rate environment, bond prices may fall. In a declining interest-rate environment, the portfolio may generate less income.

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