StockScan > Holders > Morgan Stanley

Morgan Stanley's Portfolio and 13F Filing

Value: $557.51B
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
141 ProShares S&P 500 Dividend Aristocrats ETF NOBL $99.77 N/A 8,607,000 $858,720,390 0.15%
142 Intel Corporation INTC $29.85 N/A 28,764,845 $858,630,623 0.15%
143 Goldman Sachs Group, Inc. (The) GS $454.73 N/A 1,885,048 $857,187,877 0.15%
144 Medtronic plc. Ordinary Shares MDT $82.84 N/A 10,339,152 $856,495,352 0.15%
145 VEON Ltd. - American Depositary VEON $25.57 N/A 33,298,714 $851,448,117 0.15%
146 Baxter International Inc. BAX $35.69 N/A 23,824,224 $850,286,555 0.15%
147 United Rentals, Inc. URI $698.13 N/A 1,199,565 $837,452,313 0.15%
148 JPMorgan Ultra-Short Income ETF JPST $50.31 N/A 16,071,853 $808,574,924 0.15%
149 Walmart Inc. WMT $60.48 N/A 12,908,458 $780,703,540 0.14%
150 SPDR Select Sector Fund - Energ XLE $93.83 N/A 8,276,544 $776,588,124 0.14%
151 Mondelez International, Inc. MDLZ $71.20 N/A 10,735,621 $764,376,215 0.14%
152 First Trust Preferred Securitie FPE $17.23 N/A 44,107,878 $759,978,738 0.14%
153 Applied Materials, Inc. AMAT $209.73 N/A 3,616,709 $758,532,379 0.14%
154 Waste Management, Inc. WM $211.49 N/A 3,473,436 $734,596,980 0.13%
155 First Trust Low Duration Opport LMBS $48.05 N/A 15,176,136 $729,213,335 0.13%
156 iShares Russell 2000 Growth ETF IWO $259.92 N/A 2,795,809 $726,686,675 0.13%
157 Vanguard High Dividend Yield ET VYM $119.87 N/A 6,011,097 $720,550,197 0.13%
158 Crown Castle International Corp CCI $99.51 N/A 7,221,240 $718,585,592 0.13%
159 iShares Edge MSCI USA Quality Factor ETF QUAL $162.94 N/A 4,397,954 $716,602,625 0.13%
160 iShares Core Dividend Growth ET DGRO $57.77 N/A 12,207,737 $705,240,966 0.13%