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The BEAT 2026 Outlook — Morgan Stanley Investment Management Global Market and Asset Allocation Guide

68 diapositives

The BEAT 2026 Outlook — Morgan Stanley Investment Management's monthly global market and asset allocation guide covering Bonds, Equities, Alternatives, and Transition for 2026.

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Description

Sujet principal

The BEAT 2026 Outlook — Morgan Stanley Investment Management's monthly global market and asset allocation guide covering Bonds, Equities, Alternatives, and Transition for 2026.

Avantages clés

  • •Comprehensive 68-page institutional investment outlook covering all major asset classes
  • •Actionable overweight/underweight views with conviction ratings across bonds, equities, and alternatives
  • •Data-driven macro framework with scenario analysis for 2026 growth, inflation, and policy risks
  • •Deep-dive Market Monitor with 29 pages of performance tables, valuation, spreads, and factor data
  • •Private markets outlook covering private equity, private credit, infrastructure, and real estate

Public cible

  • •Institutional investors and portfolio managers
  • •Wealth management professionals and financial advisors
  • •Asset allocators and multi-asset fund managers
  • •Research analysts covering global markets
  • •CIOs and investment committees

Cas d'utilisation

  • •Annual investment planning and strategic asset allocation
  • •Client presentation decks on 2026 market outlook
  • •Portfolio positioning relative to consensus views
  • •Benchmarking internal views against a major institutional house
  • •Educational reference for investment frameworks and market data

Propositions de valeur uniques

  • •Morgan Stanley Investment Management's full institutional research quality in presentation format
  • •Covers public and private markets under one unified framework
  • •Includes 'Transition' section bridging correlation analysis and portfolio construction
  • •Market Monitor section provides granular Bloomberg/FactSet data tables rarely available in public formats
  • •U-shaped recovery thesis with specific driver analysis and risk scenario framework

Pages de diapositives (68)

Vue détaillée de chaque page de diapositive, incluant la mise en page, le contenu clé et les éléments visuels.

Page 1
Cover

Cover Page — The BEAT 2026 Outlook

Contenu

Cover page featuring the title 'The BEAT', subtitle 'Bonds | Equities | Alternatives | Transition', and '2026 Outlook' branding on a navy blue background with abstract purple/magenta wave graphics.

Structure de la mise en page

Full-bleed cover with centered title text, Morgan Stanley Investment Management logo, and abstract decorative wave graphic in lower portion.

Éléments visuels clés

  • •Morgan Stanley logo
  • •abstract wave graphic in purple/magenta
  • •navy blue background
  • •BEAT acronym title treatment
Page 2
Table of Contents

Table of Contents

Contenu

Lists six main sections (Top Views p3, Bonds p18, Equities p22, Alternatives p27, Transition p32, Market Monitor p33) and describes The BEAT as a desk reference connecting market events to portfolio implications.

Structure de la mise en page

Clean two-column layout with section names on left and page numbers on right, introductory paragraph at top describing the guide's purpose.

Éléments visuels clés

  • •section navigation list
  • •page number references
  • •introductory description paragraph
Page 3
Top Views

The Shape of Things To Come in 2026: From K Shaped to U

Contenu

Presents the thesis that 2026 may see a U-shaped economic recovery supported by procyclical policy, inflation/labor stabilization, deregulation focus, and international pro-growth policies including EU reindustrialization.

Structure de la mise en page

Text-driven executive summary page with bullet-point thesis statements and supporting narrative under bold section header.

Éléments visuels clés

  • •K-to-U shaped recovery framework
  • •policy driver bullet points
  • •bold section header
Page 4
Top Views

Top Active Views

Contenu

Six numbered active investment views: overweight US equities, prefer US large-cap with mid-cap exposure, selective Europe overweights, underweight duration with steepening bias, prefer higher-yielding credit, and Non-Agency MBS/RMBS as highest conviction bond overweight.

Structure de la mise en page

Numbered list format with six distinct views, each with a concise headline and supporting rationale in a structured grid.

Éléments visuels clés

  • •numbered view list
  • •O/W and U/W labels
  • •conviction indicators
Page 5
Top Views

Capital Markets Investment Framework

Contenu

Asset allocation matrix spanning Bonds, Equities, Alternatives, and Transition with conviction dots ranging from double-underweight to double-overweight for each sub-asset class.

Structure de la mise en page

Four-column matrix table with conviction dot scale (-- to ++) for each asset class row, color-coded by BEAT section.

Éléments visuels clés

  • •conviction dot scale
  • •four-column BEAT matrix
  • •color-coded section headers
Page 6
Top Views

Representative Allocations — Commentary

Contenu

Narrative commentary on the representative portfolio positions: duration underweight with 10-year UST above 4%, credit underweight due to tight spreads, equities neutral with US overweight regionally, and commodities neutral with precious metals structural tailwinds.

Structure de la mise en page

Four-section commentary block with bold category headers (Duration, Credit, Equities, Commodities) and supporting prose paragraphs.

Éléments visuels clés

  • •four asset class commentary sections
  • •bold category labels
  • •O/W and U/W annotations
Page 7
Bonds

Global Fixed Income — Allocation Matrix

Contenu

Detailed allocation matrix for fixed income covering government bonds (USTs, TIPS, Eurozone, EM hard/local) and public credit (munis, IG, MBS/ABS, HY, bank loans) with conviction ratings; highest conviction overweight in MBS/ABS.

Structure de la mise en page

Two-section table (Government Bonds and Public Credit) with sub-asset class rows and conviction ratings column.

Éléments visuels clés

  • •fixed income allocation table
  • •conviction dots
  • •MBS/ABS highlighted
  • •EM hard currency O/W
Page 8
Bonds

Global Fixed Income — Representative Allocations Commentary

Contenu

Detailed per-sub-asset-class commentary on positioning rationale for each fixed income segment including rationale for underweighting IG, overweighting TIPS and European peripherals, and overweighting bank loans.

Structure de la mise en page

Multi-paragraph commentary organized by sub-asset class with bold subheadings for each fixed income category.

Éléments visuels clés

  • •sub-asset class headings
  • •O/W and U/W labels
  • •detailed prose commentary
Page 9
Equities

Global Equity — Allocation Matrix

Contenu

Equity allocation matrix covering US, Eurozone, Japan, and EM by style (growth vs value, quality, size, cyclicals vs defensives) with conviction ratings; overweight US, targeted Europe exposure, prefer large-caps and cyclicals.

Structure de la mise en page

Regional and style-factor matrix table with conviction ratings, organized by geography and investment style rows.

Éléments visuels clés

  • •regional equity allocation table
  • •style-factor rows
  • •conviction dots
  • •large-cap/cyclical preferences
Page 10
Equities

Global Equity — Representative Allocations Commentary

Contenu

Commentary on US overweight driven by 3Q25 earnings strength and AI adoption; Europe neutral with targeted bank/German mid-cap overweights; Japan neutral due to tariff uncertainty; EM neutral with China trade truce and India headwinds noted.

Structure de la mise en page

Four-region commentary block (US, Europe, Japan, EM) with bold country/region subheadings and supporting rationale paragraphs.

Éléments visuels clés

  • •four-region commentary
  • •AI adoption reference
  • •O/W and U/W labels
  • •regional flags or indicators
Page 11
Top Views

Investment Themes Table

Contenu

Four key 2026 investment themes with implementation ideas: Global Fiscal Expansion, EU Investment Renaissance, US Productivity Boom, and Corporate Credit Is Expensive — each showing overweight and underweight trade ideas.

Structure de la mise en page

Four-row table with theme name, description, and implementation columns; green text for overweights and red text for underweights.

Éléments visuels clés

  • •four-theme table
  • •green O/W trade ideas
  • •red U/W trade ideas
  • •theme description column
Page 12
Top Views

2026 Outlook: The Mid-Cycle Rebound Was Interrupted, but May Resume

Contenu

Line chart of US Industrial Capacity Utilization, JOLTS Job Opening Rate, and NY Fed Financial Conditions from 2015–2025 showing softening labor market and industrial cycle that interrupted the mid-cycle rebound.

Structure de la mise en page

Full-width line chart with three data series, legend, time axis 2015–2025, and chart title with explanatory caption below.

Éléments visuels clés

  • •multi-line time series chart
  • •capacity utilization line
  • •JOLTS job openings line
  • •financial conditions index line
Page 13
Top Views

Drivers of 2026 Growth Acceleration

Contenu

Table outlining four growth acceleration drivers for 2026: Fed Policy easing, Fiscal Policy via OBBBA tax breaks, Trade Policy with peak tariff headwinds fading in 2H26, and Deregulation.

Structure de la mise en page

Four-row table with driver name and detailed description columns, bold driver headings and explanatory prose.

Éléments visuels clés

  • •four-driver table
  • •Fed/Fiscal/Trade/Deregulation headers
  • •OBBBA reference
  • •2H26 timeline
Page 14
Top Views

2026: The First Clear Signs of an AI Productivity Lift?

Contenu

Charts showing 62% of S&P 500 firms discussed AI on 3Q25 earnings calls, with a sector breakdown led by Communication Services, Financials, and Information Technology.

Structure de la mise en page

Dual-panel chart page with a headline statistic (62%), a bar chart of sector AI discussion rates, and explanatory text.

Éléments visuels clés

  • •62% headline statistic
  • •sector AI discussion bar chart
  • •S&P 500 earnings call analysis
  • •sector color coding
Page 15
Top Views

Two 2026 Economic Risk Scenarios Worth Monitoring

Contenu

Two downside risk scenarios: Downside #1 is labor market deterioration illustrated by an initial jobless claims chart; Downside #2 is non-tariff inflation rise illustrated by Atlanta Fed Wage Tracker chart.

Structure de la mise en page

Two-panel layout with each downside scenario in its own column, each containing a chart and descriptive risk narrative.

Éléments visuels clés

  • •initial jobless claims chart
  • •Atlanta Fed Wage Tracker chart
  • •two-column risk scenario layout
  • •downside labels
Page 16
Top Views

Fiscal Expansion Is a Global Theme

Contenu

Germany's fiscal expansion mirrors post-Reunification (23.4% vs 19.9% cumulative change in cyclically adjusted balance) and Japan's supplementary budget is at its highest in 20 years, illustrating fiscal expansion as a global 2026 theme.

Structure de la mise en page

Two-chart layout with Germany fiscal comparison chart on one side and Japan supplementary budget bar chart on the other, with explanatory captions.

Éléments visuels clés

  • •Germany fiscal comparison chart
  • •Japan supplementary budget chart
  • •23.4% vs 19.9% annotation
  • •post-Reunification reference line
Page 17
Top Views

Global Monetary Easing Continues, but Slows

Contenu

Bar charts showing year-over-year changes in G10 and major EM central bank policy rates for 2025 and 2026, illustrating that monetary easing continues but at a slower pace globally.

Structure de la mise en page

Dual bar chart layout with G10 central banks on left and major EM central banks on right, showing 2025 vs 2026 YoY rate changes.

Éléments visuels clés

  • •G10 policy rate bar chart
  • •EM policy rate bar chart
  • •2025 vs 2026 comparison bars
  • •central bank country labels
Page 18
Bonds

Remain U/W Duration: Fewer Cuts With Stronger Growth

Contenu

Taylor Rule vs Fed Funds Rate chart (1991–2025) supporting the duration underweight case, with base case at 3.7%, market pricing at 3.1%, overheating risk at 4.9%, and recession risk at 1.5%.

Structure de la mise en page

Full-width time series chart with Taylor Rule and Fed Funds Rate overlaid, annotated scenario range bands, and supporting rate scenario table.

Éléments visuels clés

  • •Taylor Rule line
  • •Fed Funds Rate line
  • •scenario range annotations
  • •1991–2025 time axis
Page 19
Bonds

U.S. Credit Markets: Despite Tight Spreads, Fundamentals Remain Healthy

Contenu

Credit card delinquency chart and Moody's default rate forecast through 2026 showing that while spreads are tight, underlying credit fundamentals remain healthy.

Structure de la mise en page

Two-chart layout with credit card delinquency trend on left and Moody's default rate forecast bar/line chart on right.

Éléments visuels clés

  • •credit card delinquency chart
  • •Moody's default rate forecast
  • •2026 forecast bar
  • •tight spreads annotation
Page 20
Bonds

Municipal Bonds in 2026: Focus on the Curve and Active Management

Contenu

Municipal bond yield curve compared to the Treasury curve, highlighting the steepest portion from 10 to 20 years as the key area of focus for active muni management in 2026.

Structure de la mise en page

Dual yield curve chart comparing muni curve vs Treasury curve with maturity on x-axis and yield on y-axis, annotated steepest segment.

Éléments visuels clés

  • •muni yield curve
  • •Treasury yield curve
  • •10–20 year steepest segment highlight
  • •curve comparison overlay
Page 21
Bonds

Case for Mortgage-Backed Securities and Securitized Assets

Contenu

Spread percentile ranks vs 10-year history show Non-Agency RMBS at 56th percentile and CMBS at 66th percentile, with current yields above 10-year averages supporting the highest-conviction bond overweight.

Structure de la mise en page

Two-panel layout with spread percentile rank bar chart for securitized sectors and current yield vs 10-year average comparison table.

Éléments visuels clés

  • •spread percentile rank bars
  • •Non-Agency RMBS 56% label
  • •CMBS 66% label
  • •yield vs 10-year average table
Page 22
Equities

U.S. Equity Returns Generally Positive When Economic Growth Improves

Contenu

Chart of ISM Composite PMI vs S&P 500 12-month total return from 1997–2025 showing that improving PMI readings historically correlate with positive equity returns.

Structure de la mise en page

Dual-axis time series chart with ISM PMI on one axis and S&P 500 12-month return on the other, spanning 1997–2025.

Éléments visuels clés

  • •ISM PMI line
  • •S&P 500 return line
  • •dual-axis chart
  • •1997–2025 time axis
Page 23
Equities

What Could Drive 2026 EPS Outperformance vs. Expectations?

Contenu

Sector EPS growth rates for growth, cyclical, and defensive sectors from 2023 to 2026 estimates, identifying which sectors could drive upside to earnings expectations.

Structure de la mise en page

Grouped bar or line chart showing EPS growth by sector category (growth/cyclical/defensive) across 2023–2026 time period.

Éléments visuels clés

  • •sector EPS growth bars
  • •growth/cyclical/defensive grouping
  • •2026 estimate bars
  • •sector labels
Page 24
Equities

Growth Drivers Diverge Across Global Equities

Contenu

AI momentum vs cyclical recovery by region showing US at ~13% EPS growth led by growth sectors and EM at ~17% EPS growth, with different driver profiles for Europe and Japan.

Structure de la mise en page

Regional comparison matrix or quad chart showing AI momentum vs cyclical recovery positioning for US, Europe, Japan, and EM with EPS growth annotations.

Éléments visuels clés

  • •regional EPS growth comparison
  • •AI vs cyclical driver matrix
  • •~13% US annotation
  • •~17% EM annotation
Page 25
Equities

Changes Under the Hood for European Equities

Contenu

MSCI Europe EPS growth contribution by sector showing Financials and Industrials now dominating earnings contributions, a structural shift vs the 2009–2019 period.

Structure de la mise en page

Stacked bar chart of MSCI Europe sector EPS contribution comparing current period vs 2009–2019 historical baseline.

Éléments visuels clés

  • •MSCI Europe sector contribution chart
  • •Financials and Industrials highlighted
  • •2009–2019 comparison period
  • •sector color coding
Page 26
Equities

Final Stage of the Bull Market Is Likely To Extend Through 2026

Contenu

Three reasons the bull market extension is expected: Year 4 of bull markets historically averages 13.7% return, monetary policy friendly environment yields 1.7% average return when rates fall, and OBBBA provides $170.4B in consumer aid from fiscal policy.

Structure de la mise en page

Three-panel supporting evidence layout, each panel containing a chart or data point supporting the bull market extension thesis.

Éléments visuels clés

  • •bull market year 4 historical chart
  • •monetary policy return chart
  • •OBBBA $170.4B annotation
  • •three-reason structure
Page 27
Alternatives

Private Markets — 2026 Outlook and Commentary

Contenu

Overview of private markets outlook by sub-asset class: PE neutral/positive on improving M&A, Private Credit neutral with tactical caution, Infrastructure neutral/positive on data centers, Real Estate positive on living/industrial, Natural Resources neutral/positive on farmland.

Structure de la mise en page

Five-row summary table with sub-asset class, outlook rating, and key commentary columns.

Éléments visuels clés

  • •private markets summary table
  • •outlook rating indicators
  • •five sub-asset class rows
  • •neutral/positive/negative labels
Page 28
Alternatives

Private Equity

Contenu

Positive on buyouts and growth equity, neutral on venture capital; buyout valuations at 10–11x vs 14–15x for public equities, and AI consolidating more than 50% of the VC market.

Structure de la mise en page

Split-layout page with buyout/growth analysis on one side and venture capital analysis on the other, supported by valuation comparison charts.

Éléments visuels clés

  • •buyout valuation 10–11x chart
  • •public vs private valuation comparison
  • •AI VC market share annotation
  • •positive/neutral rating labels
Page 29
Alternatives

Private Credit

Contenu

Direct lending assessed as less attractive while special situations are better positioned; PIK interest increasing as a stress indicator and new issue spreads tightening as a caution signal.

Structure de la mise en page

Two-panel layout with direct lending assessment on one side and special situations opportunity analysis on the other, with supporting spread and PIK charts.

Éléments visuels clés

  • •PIK interest trend chart
  • •new issue spread chart
  • •direct lending vs special situations comparison
  • •stress indicator annotations
Page 30
Alternatives

Infrastructure

Contenu

Constructive on energy infrastructure and selective on digital infrastructure; strong data center demand, renewables positive, transport infrastructure negative to neutral.

Structure de la mise en page

Sub-sector breakdown table or chart with energy/digital/transport rows and constructive/selective/cautious outlook ratings.

Éléments visuels clés

  • •infrastructure sub-sector table
  • •data center demand reference
  • •renewables positive label
  • •transport neutral/negative label
Page 31
Alternatives

Real Estate

Contenu

Residential and industrial real estate supported by long-term tailwinds with cap rates at best entry point since post-GFC, while new development has significantly reduced supply.

Structure de la mise en page

Real estate sector analysis with cap rate chart showing current levels vs post-GFC historical comparison and supply/demand balance commentary.

Éléments visuels clés

  • •cap rate vs post-GFC chart
  • •living/industrial sector highlights
  • •new development supply chart
  • •positive outlook indicator
Page 32
Transition

Major Asset Classes Correlation Table

Contenu

Five-year and 10-year correlation matrix between major asset classes including S&P 500, International, EM, Small Cap, US Aggregate, Municipal, High Yield, Bank Loan, and Commodities.

Structure de la mise en page

Full correlation matrix table with asset classes on both axes, color-coded cells from high positive to high negative correlation, with 5-year and 10-year columns.

Éléments visuels clés

  • •correlation matrix table
  • •5-year and 10-year columns
  • •color gradient cells
  • •asset class row/column headers
Page 33
Market Monitor

Market Monitor — Sovereign Bond Yields

Contenu

Comparison of developed market and emerging market 10-year sovereign bond yields across countries, providing a global rates snapshot.

Structure de la mise en page

Bar chart or table comparing DM and EM 10-year sovereign yields with country labels and current yield values.

Éléments visuels clés

  • •DM sovereign yield bars
  • •EM sovereign yield bars
  • •country labels
  • •10-year yield values
Page 34
Market Monitor

Market Monitor — Key Rates (%)

Contenu

Comprehensive table of current key rates vs 12 months ago across central bank policy rates, short-term rates, and benchmark yields for major economies.

Structure de la mise en page

Multi-column data table with rate name, current value, and 12-month-ago value columns for all major global interest rates.

Éléments visuels clés

  • •key rates comparison table
  • •current vs 12-mo ago columns
  • •central bank rate rows
  • •benchmark yield rows
Page 35
Market Monitor

Market Monitor — Monetary Policy

Contenu

Central bank policy rates and market-implied forward rate expectations across major central banks globally.

Structure de la mise en page

Chart or table showing current policy rates and market-priced forward paths for the Fed, ECB, BOJ, BOE, and other major central banks.

Éléments visuels clés

  • •central bank policy rate chart
  • •forward rate expectations
  • •major central bank comparison
  • •market pricing vs current rates
Page 36
Market Monitor

Market Monitor — U.S. Treasury Yields

Contenu

US Treasury yield curves and performance table showing current curve shape, historical comparisons, and return attribution across Treasury maturities.

Structure de la mise en page

Dual-panel with US Treasury yield curve chart and performance/characteristics data table below.

Éléments visuels clés

  • •US Treasury yield curve
  • •performance table
  • •maturity breakdown
  • •historical curve comparison
Page 37
Market Monitor

Market Monitor — DM Currency Performance and Yields

Contenu

Developed market currency performance and yield comparison showing returns and current yield levels across major DM currencies vs the US dollar.

Structure de la mise en page

Bar chart of currency returns with corresponding yield table for DM currencies.

Éléments visuels clés

  • •DM currency return bars
  • •yield comparison table
  • •USD base reference
  • •currency labels
Page 38
Market Monitor

Market Monitor — Characteristics and Performance Analysis

Contenu

Comprehensive bond index characteristics and performance table covering yield, duration, spread, quality, and return metrics across all major fixed income indices.

Structure de la mise en page

Large multi-column data table with bond index rows and characteristics/performance columns including YTD, 1-year, 3-year returns.

Éléments visuels clés

  • •bond index characteristics table
  • •yield/duration/spread columns
  • •return period columns
  • •index name rows
Page 39
Market Monitor

Market Monitor — Spread Analysis (bps)

Contenu

Range chart showing current credit spreads vs historical ranges for all major credit sectors, enabling relative value assessment across the credit universe.

Structure de la mise en page

Horizontal range bar chart with credit sector rows showing minimum, maximum, average, and current spread levels in basis points.

Éléments visuels clés

  • •spread range bar chart
  • •min/max/avg/current dots
  • •basis points axis
  • •credit sector rows
Page 40
Market Monitor

Market Monitor — Corporate Bond Market Update

Contenu

Detailed investment grade and high yield corporate bond performance data including index returns, spread levels, issuance volumes, and fund flow statistics.

Structure de la mise en page

Two-section page with IG data on top and HY data below, each with performance table and supporting chart.

Éléments visuels clés

  • •IG performance table
  • •HY performance table
  • •spread level charts
  • •issuance volume data
Page 41
Market Monitor

Market Monitor — Corporate Bond Market Update (cont.)

Contenu

Continuation of corporate bond analysis with spread trend charts and default rate data for investment grade and high yield markets.

Structure de la mise en page

Two-chart layout showing spread history and default rate trends for the corporate bond market.

Éléments visuels clés

  • •IG spread trend chart
  • •HY spread trend chart
  • •default rate chart
  • •historical comparison
Page 42
Market Monitor

Market Monitor — Municipal Bond Market Update

Contenu

Municipal bond index performance table covering major muni indices by maturity, credit quality, and sector with YTD and trailing return data.

Structure de la mise en page

Multi-row performance table organized by muni index type, maturity, and credit quality with return period columns.

Éléments visuels clés

  • •muni index performance table
  • •maturity breakdown
  • •credit quality rows
  • •return period columns
Page 43
Market Monitor

Market Monitor — Municipal Bond Market Update (cont.)

Contenu

AAA municipal-to-Treasury yield ratios and credit quality spread analysis illustrating relative value in the muni market.

Structure de la mise en page

Two-chart layout with muni-to-Treasury ratio chart on left and credit quality spread chart on right.

Éléments visuels clés

  • •AAA muni-to-Treasury ratio chart
  • •credit quality spread chart
  • •ratio level annotations
  • •historical comparison lines
Page 44
Market Monitor

Market Monitor — Emerging Markets Bond Market Update

Contenu

Performance and characteristics data for EM sovereign hard currency, EM corporate, and EM local currency bond markets.

Structure de la mise en page

Three-section performance table (EM sovereign, EM corporate, EM local) with spread, yield, and return metrics.

Éléments visuels clés

  • •EM bond performance table
  • •hard currency vs local currency split
  • •spread and yield columns
  • •return data
Page 45
Market Monitor

Market Monitor — Local Sovereign Currency Yields

Contenu

Comparison of local currency sovereign yields for developed and emerging market countries, providing a global rates landscape snapshot.

Structure de la mise en page

Bar chart or table showing local sovereign yields for DM and EM countries sorted by yield level.

Éléments visuels clés

  • •DM local yield comparison
  • •EM local yield comparison
  • •country labels
  • •yield level bars or values
Page 46
Market Monitor

Market Monitor — Asset Class Return Analysis (%) — Fixed Income

Contenu

Yearly return ranking table for fixed income asset classes showing annual performance from multiple years through the current period.

Structure de la mise en page

Color-coded performance quilt/ranking table with fixed income asset classes in columns and years in rows, sorted by return.

Éléments visuels clés

  • •fixed income performance quilt
  • •yearly return rankings
  • •color-coded cells
  • •asset class labels
Page 47
Market Monitor

Market Monitor — Performance Market Barometer

Contenu

Value, core, and growth return comparison by market capitalization (large, mid, small) across 1-month, 1-year, and 3-year periods.

Structure de la mise en page

Style-box matrix grid showing returns for 9 style/size combinations across three time periods.

Éléments visuels clés

  • •style-box return matrix
  • •value/core/growth columns
  • •large/mid/small rows
  • •three time period comparison
Page 48
Market Monitor

Market Monitor — Dividend Yields and Volatility Analysis

Contenu

Historical and current dividend yield analysis for major equity indices alongside S&P 500 correlation data and VIX volatility index levels.

Structure de la mise en page

Multi-chart page with dividend yield trend chart, equity correlation chart, and VIX volatility chart.

Éléments visuels clés

  • •dividend yield chart
  • •S&P 500 correlation chart
  • •VIX volatility chart
  • •historical vs current annotations
Page 49
Market Monitor

Market Monitor — Valuation Analysis (NTM P/E by Region/Style)

Contenu

Next-twelve-months P/E ratios by region and investment style showing current levels vs historical highs, lows, and averages for global equity markets.

Structure de la mise en page

Bar or dot chart with NTM P/E for each region/style, showing current dot vs high/low/average range bars.

Éléments visuels clés

  • •NTM P/E range chart
  • •current vs historical range
  • •regional/style breakdown
  • •high/low/average markers
Page 50
Market Monitor

Market Monitor — Valuation Analysis (S&P 500 Sector NTM P/E)

Contenu

S&P 500 sector-level NTM P/E ratios comparing current valuation to historical high, low, and average ranges for all 11 GICS sectors.

Structure de la mise en page

Sector-by-sector range chart with current P/E dot and historical min/max/average range bars for each S&P 500 sector.

Éléments visuels clés

  • •sector P/E range chart
  • •all 11 GICS sectors
  • •current vs historical range
  • •valuation level annotations
Page 51
Market Monitor

Market Monitor — Corporate Earnings Growth

Contenu

Expected vs actual earnings per share growth by region and sector, tracking consensus estimates against realized EPS for global equity markets.

Structure de la mise en page

Multi-panel chart showing EPS growth expected vs actual for US, international, and EM equity markets by sector.

Éléments visuels clés

  • •EPS growth comparison chart
  • •expected vs actual bars
  • •regional breakdown
  • •sector-level data
Page 52
Market Monitor

Market Monitor — S&P 500 Index 1-Month Return Analysis

Contenu

S&P 500 1-month returns analyzed by factor quintiles including earnings growth, P/E ratio, ROE, market cap, beta, and dividend yield.

Structure de la mise en page

Factor analysis table or bar chart showing 1-month average returns sorted by factor quintile for six equity characteristics.

Éléments visuels clés

  • •factor quintile return bars
  • •earnings growth factor
  • •P/E factor
  • •beta/market cap/dividend yield factors
Page 53
Market Monitor

Market Monitor — S&P 500 Index YTD Analysis

Contenu

Year-to-date S&P 500 returns analyzed by the same factor quintiles (earnings growth, P/E, ROE, market cap, beta, dividend yield) as the 1-month analysis.

Structure de la mise en page

Factor analysis table or bar chart showing YTD average returns by factor quintile, mirroring the 1-month format.

Éléments visuels clés

  • •YTD factor quintile bars
  • •six factor breakdown
  • •quintile labeling
  • •return values
Page 54
Market Monitor

Market Monitor — Index Sectors Return Analysis

Contenu

S&P 500 and MSCI World sector returns for 1-month and 1-year periods across all major GICS sectors.

Structure de la mise en page

Dual-index sector return table with S&P 500 and MSCI World columns for both 1-month and 1-year return periods.

Éléments visuels clés

  • •sector return table
  • •S&P 500 column
  • •MSCI World column
  • •1-month and 1-year periods
Page 55
Market Monitor

Market Monitor — Current Characteristics and Sector Weights

Contenu

Detailed index characteristics table with sector metrics plus S&P 500 and MSCI World sector weight donut charts showing current portfolio composition.

Structure de la mise en page

Split page with metrics table on top or left and two donut charts showing S&P 500 and MSCI World sector weights.

Éléments visuels clés

  • •index characteristics table
  • •S&P 500 sector donut chart
  • •MSCI World sector donut chart
  • •sector weight percentages
Page 56
Market Monitor

Market Monitor — Asset Class Return Analysis (%) — Equities

Contenu

Comprehensive equity return table covering US equities, global equities, and sector returns for multiple time periods.

Structure de la mise en page

Multi-row performance table with equity asset class rows and time period return columns (1-month, 3-month, YTD, 1-year, 3-year, 5-year).

Éléments visuels clés

  • •equity return table
  • •US and global equity rows
  • •sector return rows
  • •multi-period columns
Page 57
Market Monitor

Market Monitor — Asset Class Return Analysis (%) — Equity Yearly Ranking

Contenu

Yearly return ranking quilt for equity asset classes (Growth, Value, S&P 500, etc.) showing annual performance rankings across multiple years.

Structure de la mise en page

Color-coded performance quilt with equity asset classes ranked by annual return from best (top) to worst (bottom) for each calendar year.

Éléments visuels clés

  • •equity performance quilt
  • •annual return rankings
  • •growth/value/S&P 500 categories
  • •color-coded ranking cells
Page 58
Market Monitor

Market Monitor — Commodities Return Analysis

Contenu

Detailed commodities return table by sub-category covering agriculture, energy, industrial metals, precious metals, and livestock across multiple return periods.

Structure de la mise en page

Multi-section table organized by commodity sub-category with individual commodity rows and return period columns.

Éléments visuels clés

  • •commodities return table
  • •agriculture/energy/metals/livestock sections
  • •individual commodity rows
  • •return period columns
Page 59
Market Monitor

Market Monitor — Hedge Fund Strategy Yearly Ranking

Contenu

Annual performance ranking quilt for hedge fund strategies showing how different strategies ranked against each other each year.

Structure de la mise en page

Color-coded performance quilt with hedge fund strategy categories ranked by annual return for each calendar year.

Éléments visuels clés

  • •hedge fund performance quilt
  • •strategy category labels
  • •annual ranking cells
  • •color gradient encoding
Page 60
Market Monitor

Market Monitor — Fund and ETF Flows by Category

Contenu

Top 10 and bottom 10 mutual fund and ETF categories by fund flows, showing where investor capital is moving into and out of.

Structure de la mise en page

Two-column layout with top 10 inflow categories on one side and top 10 outflow categories on the other, with flow dollar amounts.

Éléments visuels clés

  • •top 10 inflow categories
  • •top 10 outflow categories
  • •flow dollar amounts
  • •mutual fund vs ETF split
Page 61
Market Monitor

Market Monitor — Major Asset Class Return Analysis — Yearly Ranking

Contenu

Comprehensive yearly return ranking table for all major asset classes (equities, fixed income, alternatives) from 2015 through YTD 2025.

Structure de la mise en page

Full-page color-coded performance quilt spanning all major asset classes and 10+ calendar years.

Éléments visuels clés

  • •comprehensive asset class quilt
  • •2015–2025 time span
  • •all major asset classes
  • •color-coded annual rankings
Page 62
Appendix

Portfolio Solutions Group — Team Page

Contenu

Team photo and biographies for the Portfolio Solutions Group, featuring Jim Caron (CIO) and other key team members including Mark Bavoso.

Structure de la mise en page

Team photo grid with individual headshots, names, and titles for Portfolio Solutions Group members.

Éléments visuels clés

  • •team member headshots
  • •Jim Caron CIO bio
  • •Portfolio Solutions Group label
  • •team member titles
Page 63
Appendix

Asset Allocation Committee — Member List

Contenu

Full listing of Asset Allocation Committee members with their names and titles within Morgan Stanley Investment Management.

Structure de la mise en page

Formatted list or table of committee member names with corresponding titles/roles.

Éléments visuels clés

  • •committee member list
  • •names and titles
  • •Asset Allocation Committee header
Page 64
Appendix

Index Definitions

Contenu

Comprehensive glossary of index definitions for all benchmarks and indices referenced throughout the presentation.

Structure de la mise en page

Two-column text glossary with index name in bold and definition in regular text, alphabetically or logically organized.

Éléments visuels clés

  • •index definition glossary
  • •bold index names
  • •definition text columns
Page 65
Appendix

Index Definitions (cont.) + Terms + About Risk

Contenu

Continuation of index definitions plus general terms definitions and introductory risk disclosures for the presentation.

Structure de la mise en page

Continued two-column glossary format transitioning into risk disclosure section with header separation.

Éléments visuels clés

  • •continued index definitions
  • •terms glossary
  • •About Risk section header
  • •disclosure text
Page 66
Appendix

Risk Considerations + Additional Information Disclaimers

Contenu

Detailed risk considerations for the asset classes covered in the presentation plus additional legal and informational disclaimers.

Structure de la mise en page

Dense text page with Risk Considerations section followed by Additional Information section, using small font size for regulatory compliance text.

Éléments visuels clés

  • •risk considerations text block
  • •additional information disclaimers
  • •regulatory compliance language
Page 67
Appendix

Distribution and Legal Information — EMEA, Middle East, U.S.

Contenu

Jurisdiction-specific distribution and legal disclaimers for EMEA, Middle East, and United States investors.

Structure de la mise en page

Multi-section legal disclaimer page organized by jurisdiction with EMEA, Middle East, and US sections clearly delineated.

Éléments visuels clés

  • •EMEA legal section
  • •Middle East legal section
  • •US distribution information
  • •jurisdiction headers
Page 68
Appendix

Asia Pacific Legal Disclaimers

Contenu

Legal disclaimers and distribution information specific to Asia Pacific jurisdictions for Morgan Stanley Investment Management.

Structure de la mise en page

Full-page legal disclaimer text organized by Asia Pacific country or jurisdiction.

Éléments visuels clés

  • •Asia Pacific disclaimer text
  • •country-specific sections
  • •Morgan Stanley legal entity references

Questions fréquemment posées

Questions courantes sur cette diapositive et le contenu de présentation sous-jacent.

What is The BEAT 2026 Outlook and who publishes it?

The BEAT 2026 Outlook is a 68-page institutional investment guide published by Morgan Stanley Investment Management. BEAT stands for Bonds, Equities, Alternatives, and Transition — the four asset class pillars covered. It serves as a monthly desk reference connecting market events to portfolio implications for professional investors.

What are the top investment views for 2026 in this presentation?

The six top active views are: overweight US equities, prefer US large-cap with some mid-cap exposure, selective overweights in Europe (banks and German fiscal beneficiaries), underweight duration with a yield curve steepening bias, prefer higher-yielding credit over investment grade, and Non-Agency MBS/RMBS as the highest-conviction bond overweight.

What is the 2026 macroeconomic thesis in this presentation?

The central thesis is a shift 'From K Shaped to U Shaped' recovery, where four drivers support 2026 growth acceleration: Federal Reserve policy easing, fiscal policy stimulus via the OBBBA tax package, fading trade policy headwinds in the second half of 2026, and deregulation — together enabling a mid-cycle rebound resumption.

How does the presentation cover private markets and alternatives?

The Alternatives section covers private equity (positive on buyouts, neutral on venture capital), private credit (neutral with caution on direct lending, preference for special situations), infrastructure (constructive on energy, selective on digital/data centers), real estate (positive on residential and industrial), and natural resources. Each sub-asset class includes outlook rating and key drivers.

What fixed income assets does Morgan Stanley Investment Management prefer in 2026?

The highest-conviction overweight is Non-Agency MBS and RMBS (spread percentile at 56th, yields above 10-year averages). Other preferences include TIPS (inflation protection), EM hard currency bonds, and bank loans. The team is underweight duration overall and underweight investment grade credit due to tight spreads.

How many pages of market data are included in the Market Monitor section?

The Market Monitor section spans pages 33 through 61 — 29 pages of granular market data covering sovereign yields, key rates, monetary policy, US Treasuries, currencies, bond characteristics, spread analysis, corporate and municipal bonds, emerging markets, equities valuation, earnings, factor returns, commodities, hedge funds, fund flows, and multi-year asset class performance quilts.

What format and design style does this institutional presentation use?

The presentation uses a clean, professional institutional format on white backgrounds with Morgan Stanley's signature navy blue (#003B73) for headers and accents. Charts use a consistent palette of blue, gray, teal, magenta, and purple. Every page has a footer reading 'The BEAT | 2026 Outlook' with a page number. Data sources include Bloomberg, FactSet, and Morningstar.

Is this presentation suitable as a template for institutional investment outlook decks?

Yes. The presentation demonstrates best practices for institutional asset allocation communications: a clear top-views framework with conviction ratings, section-by-section asset class deep dives, comprehensive market data appendix, multi-scenario risk analysis, and full regulatory disclaimers. It can serve as a structural reference for fixed income, equity, or multi-asset investment outlook presentations.

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