StockScan > Holders > Morgan Stanley

Morgan Stanley's Portfolio and 13F Filing

Value: $549.8B
Website:
CIK: 0000895421
Phone: 1-443-627-6818
Address: 1585 Broadway, New York, NY (10036)
Latest 13F Filing:
Morgan Stanley's Stock Holdings & 13F Form
# Stock Name Symbol Current Price

Previous Holdings

(# Shares)

Current Holdings

(# Shares)

Current Value Percent
101 Lowe's Companies, Inc. LOW $232.13 N/A 5,036,135 $1,169,038,018 0.21%
102 QUALCOMM Incorporated QCOM $179.64 N/A 6,489,410 $1,165,757,612 0.21%
103 Union Pacific Corporation UNP $240.36 N/A 4,788,037 $1,150,852,573 0.21%
104 Vanguard Short-Term Corporate B VCSH $76.93 N/A 14,882,409 $1,144,903,724 0.21%
105 Oracle Corporation ORCL $115.80 N/A 9,742,075 $1,128,132,285 0.21%
106 Wells Fargo & Company WFC $59.94 N/A 18,065,676 $1,082,856,619 0.20%
107 Invesco S&P 500 Equal Weight ET RSP $162.79 N/A 6,629,735 $1,079,254,561 0.20%
108 SPDR Dow Jones Industrial Avera DIA $386.77 N/A 2,777,933 $1,074,421,146 0.20%
109 Citigroup, Inc. C $61.52 N/A 17,224,165 $1,059,630,631 0.19%
110 Carvana Co. Class A CVNA $121.67 N/A 8,692,012 $1,057,557,100 0.19%
111 Boeing Company (The) BA $179.79 N/A 5,835,189 $1,049,108,630 0.19%
112 Datadog Inc DDOG $124.27 N/A 8,432,539 $1,047,911,622 0.19%
113 SPDR Series Trust SPDR S&P Bio XBI $89.98 N/A 11,485,411 $1,033,457,282 0.19%
114 SPDR Select Sector Fund - Healt XLV $140.83 N/A 7,264,511 $1,023,061,084 0.19%
115 Ecolab Inc. ECL $227.50 N/A 4,486,521 $1,020,683,528 0.19%
116 Vanguard Information Tech ETF VGT $509.46 N/A 1,991,941 $1,014,814,262 0.18%
117 iShares Russell 2000 Value ETF IWN $154.21 N/A 6,540,529 $1,008,614,977 0.18%
118 SPDR Select Sector Fund - Indus XLI $122.77 N/A 8,131,093 $998,254,288 0.18%
119 iShares iBoxx $ Investment Grad LQD $106.40 N/A 9,375,800 $997,585,120 0.18%
120 iShares 1-3 Year Treasury Bond SHY $81.30 N/A 12,264,346 $997,091,330 0.18%