Holdings Channel
Size ($ in 1000's)
At 06/30/2016: $276,854,796
At 03/31/2016: $259,852,357

Combined Holding Report Includes:
MORGAN STANLEY
MORGAN STANLEY & CO INTERNATIONAL PLC
MORGAN STANLEY & CO. LLC
Morgan Stanley Canada LTD
Morgan Stanley Capital Services LLC
Morgan Stanley Equity Services INC
MORGAN STANLEY INVESTMENT MANAGEMENT CO
MORGAN STANLEY INVESTMENT MANAGEMENT INC
Morgan Stanley Investment Management LTD
Morgan Stanley Private Bank National Association
MORGAN STANLEY SMITH BARNEY LLC
Morgan Stanley Strategic Investments Inc
Morgan Stanley Uruguay Ltda.
MORGAN STANLEY AIP GP LP
Fundlogic Sas
Morgan Stanley Switzerland AG

Morgan Stanley holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Morgan Stanley 13F filings. Link to 13F filings: SEC filings

Morgan Stanley Top Holdings
As of  06/30/2016

   EntityAmountChange
 03/31/2016 to 06/30/2016
Position Size
($ in 1000's)
SPDR S&P 500 ETF TR (SPY) 54,725,298 +5,326,376 $11,463,583
     SPY54,725,298+5,326,376$11,463,583
APPLE INC 47,216,509 -585,047 $4,513,897
     AAPL47,216,509-585,047$4,513,897
MICROSOFT CORP 63,135,334 +73,280 $3,230,638
     MSFT63,135,334+73,280$3,230,638
FACEBOOK INC 25,593,620 -115,234 $2,924,838
     FB25,593,620-115,234$2,924,838
AMAZON COM INC 3,918,969 -9,474 $2,804,494
     AMZN3,918,969-9,474$2,804,494
VISA INC 32,589,175 +857,912 $2,417,141
     V32,589,175+857,912$2,417,141
JOHNSON & JOHNSON 19,430,867 +1,277,146 $2,356,966
     JNJ19,430,867+1,277,146$2,356,966
GENERAL ELECTRIC CO 71,161,541 +22,366,910 $2,240,163
     GE71,161,541+71,161,541$2,240,163
JPMORGAN CHASE & CO      $2,053,953
     JPM32,961,237-1,127,923$2,048,210
     JPM.WS283,622+108$5,743
ISHARES TR (IWM) 17,308,150 -335,654 $1,990,092
     IWM17,308,150-335,654$1,990,092
SIMON PPTY GROUP INC NEW 9,063,646 -226,408 $1,965,904
     SPG9,063,646-226,408$1,965,904
HSBC HLDGS PLC      $1,770,491
     NOTE 611,116,000+11,116,000$1,114,034
     NOTE 66,350,000+6,350,000$606,394
     HSBC1,399,516-232,086$43,819
     HSBC.PRA240,704+4,163$6,244
DISNEY WALT CO 18,062,417 +430,633 $1,766,863
     DIS18,062,417+430,633$1,766,863
ALPHABET INC 2,266,686 -139,086 $1,594,681
     GOOGL2,266,686-139,086$1,594,681
VERIZON COMMUNICATIONS INC 27,688,326 +684,781 $1,546,119
     VZ27,688,326+684,781$1,546,119
AT&T INC 35,758,368 +4,643,560 $1,545,120
     T35,758,368+4,643,560$1,545,120
PEPSICO INC 14,554,149 +903,283 $1,541,866
     PEP14,554,149+903,283$1,541,866
ALPHABET INC 2,211,381 +76,004 $1,530,495
     GOOG2,211,381+76,004$1,530,495
POWERSHARES QQQ TRUST (QQQ) 14,024,432 +17,087 $1,508,187
     QQQ14,024,432+17,087$1,508,187
EXXON MOBIL CORP 15,544,062 +712,656 $1,457,100
     XOM15,544,062+712,656$1,457,100
ALTRIA GROUP INC 20,633,893 +122,040 $1,422,912
     MO20,633,893+122,040$1,422,912
MASTERCARD INC 16,151,583 +1,725,007 $1,422,309
     MA16,151,583+1,725,007$1,422,309
PHILIP MORRIS INTL INC 13,144,728 +476,508 $1,337,084
     PM13,144,728+476,508$1,337,084
BERKSHIRE HATHAWAY INC DEL      $1,314,988
     BRK.B8,015,059+582,460$1,160,502
     BRK.A712+477$154,486
HONEYWELL INTL INC 11,238,122 +772,066 $1,307,217
     HON11,238,122+772,066$1,307,217
CHEVRON CORP NEW 12,382,550 -157,823 $1,298,063
     CVX12,382,550-157,823$1,298,063
CVS HEALTH CORP 13,531,416 +972,726 $1,295,499
     CVS13,531,416+972,726$1,295,499
PFIZER INC 36,502,291 +789,962 $1,285,246
     PFE36,502,291+789,962$1,285,246
AMGEN INC 8,039,376 +148,772 $1,223,192
     AMGN8,039,376+148,772$1,223,192
WELLS FARGO & CO NEW      $1,155,415
     WFC23,341,800-412,164$1,104,771
     WFC.PRL38,237+7,641$48,848
     WFC.WS131,919+24,814$1,796
PROCTER & GAMBLE CO 13,644,497 +31,023 $1,155,281
     PG13,644,497+31,023$1,155,281
SCHLUMBERGER LTD 14,529,860 +690,069 $1,149,020
     SLB14,529,860+690,069$1,149,020
SALESFORCE COM INC      $1,147,746
     CRM14,307,446+3,761,675$1,136,155
     NOTE 08,973,000-4,506,000$11,591
NIKE INC 20,674,106 +3,571,669 $1,141,209
     NKE20,674,106+3,571,669$1,141,209
UNITED TECHNOLOGIES CORP 11,089,076 +2,039,781 $1,137,185
     UTX11,089,076+2,039,781$1,137,185
INTERNATIONAL BUSINESS MACHS 7,431,191 +1,398,204 $1,127,908
     IBM7,431,191+1,398,204$1,127,908
ENTERPRISE PRODS PARTNERS L 38,379,290 +13,945,721 $1,122,978
     EPD38,379,290+13,945,721$1,122,978
HOME DEPOT INC 8,788,596 +350,183 $1,122,217
     HD8,788,596+350,183$1,122,217
REYNOLDS AMERICAN INC 20,716,625 +1,703,653 $1,117,247
     RAI20,716,625+1,703,653$1,117,247
BRISTOL MYERS SQUIBB CO      $1,091,851
     BMY14,844,777+708,652$1,091,832
     DBCV 9 110,000UNCH$19
ISHARES TR (IVW) 9,130,178 -174,971 $1,064,396
     IVW9,130,178-174,971$1,064,396
ACCENTURE PLC IRELAND 8,951,618 +302,675 $1,014,131
     ACN8,951,618+302,675$1,014,131
S&P GLOBAL INC 9,342,671 +9,342,671 $1,002,096
     SPGI9,342,671+9,342,671$1,002,096
COCA COLA CO 21,956,014 +5,949,723 $995,266
     KO21,956,014+5,949,723$995,266
BLACKSTONE GROUP L P 40,366,822 -8,092,760 $990,602
     BX40,366,822-8,092,760$990,602
ISHARES TR (EFA) 17,032,488 +4,768,872 $950,755
     EFA17,032,488+4,768,872$950,755
COMCAST CORP NEW 14,521,965 +348,302 $946,687
     CMCSA14,521,965+348,302$946,687
MONDELEZ INTL INC 20,716,575 -6,415,504 $942,810
     MDLZ20,716,575-6,415,504$942,810
EQUITY RESIDENTIAL 13,356,101 -242,249 $919,968
     EQR13,356,101-242,249$919,968
MEDTRONIC PLC 10,373,527 -913,882 $900,111
     MDT10,373,527-913,882$900,111

See Full List: All Stocks Held By Morgan Stanley
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Morgan Stanley

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