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Holdings Channel
Size ($ in 1000's)
At 12/31/2014: $273,469,676
At 09/30/2014: $262,046,486

Combined Holding Report Includes:
MORGAN STANLEY
BANK MORGAN STANLEY AG
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 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  12/31/2014

   EntityAmountChange
 09/30/2014 to 12/31/2014
Position Size
($ in 1000's)
SPDR S&P 500 ETF TR (SPY) 44,888,719 +158,297 $9,226,428
     SPY44,888,719+158,297$9,226,428
APPLE INC 42,855,239 +1,343,540 $4,730,362
     AAPL42,855,239+1,343,540$4,730,362
MICROSOFT CORP 56,888,393 -1,275,738 $2,642,465
     MSFT56,888,393-1,275,738$2,642,465
FACEBOOK INC 27,920,724 -180,355 $2,178,374
     FB27,920,724-180,355$2,178,374
JPMORGAN CHASE & CO      $1,943,788
     JPM31,031,781+2,513,654$1,941,968
     JPM.WS87,490+573$1,820
WELLS FARGO & CO NEW      $1,918,506
     WFC34,942,600+14,700,799$1,915,550
     WFC.WS98,333+2,000$2,101
     WFC.PRL715-339$855
ISHARES TR (IWM) 15,958,343 -14,257,704 $1,908,937
     IWM15,958,343-14,257,704$1,908,937
PROCTER & GAMBLE CO 20,686,911 -707,462 $1,884,373
     PG20,686,911-707,462$1,884,373
ENERGY TRANSFER EQUITY L P 32,429,551 +13,424,831 $1,860,806
     ETE32,429,551+13,424,831$1,860,806
VISA INC 7,034,510 -137,881 $1,844,451
     V7,034,510-137,881$1,844,451
JOHNSON & JOHNSON 17,209,388 +2,190,611 $1,799,587
     JNJ17,209,388+2,190,611$1,799,587
SIMON PPTY GROUP INC NEW 9,581,219 -244,839 $1,744,837
     SPG9,581,219-244,839$1,744,837
AMAZON COM INC 5,523,146 +728,229 $1,714,109
     AMZN5,523,146+728,229$1,714,109
PHILIP MORRIS INTL INC 19,174,755 +1,053,820 $1,561,784
     PM19,174,755+1,053,820$1,561,784
CHEVRON CORP NEW 13,264,657 +1,221,297 $1,488,031
     CVX13,264,657+1,221,297$1,488,031
POWERSHARES QQQ TRUST (QQQ) 13,775,937 +4,728,829 $1,422,366
     QQQ13,775,937+4,728,829$1,422,366
PEPSICO INC 14,339,798 +1,844,170 $1,355,968
     PEP14,339,798+1,844,170$1,355,968
GENERAL ELECTRIC CO 53,282,552 +2,688,437 $1,346,450
     GE53,282,552+2,688,437$1,346,450
ILLUMINA INC 7,152,590 -323,983 $1,320,227
     ILMN7,152,590-323,983$1,320,227
DISNEY WALT CO 13,901,634 +4,667,707 $1,309,393
     DIS13,901,634+4,667,707$1,309,393
GOOGLE INC 2,433,958 +33,058 $1,291,604
     GOOGL2,433,958+33,058$1,291,604
TIME WARNER INC 15,112,166 +545,451 $1,290,883
     TWX15,112,166+545,451$1,290,883
GOOGLE INC 2,358,202 +119,513 $1,241,357
     GOOG2,358,202+119,513$1,241,357
LINKEDIN CORP 5,253,366 -105,510 $1,206,750
     LNKD5,253,366-105,510$1,206,750
EQUITY RESIDENTIAL 16,274,902 -225,067 $1,169,190
     EQR16,274,902-225,067$1,169,190
ISHARES TR (IVW) 10,152,360 +811,934 $1,133,003
     IVW10,152,360+811,934$1,133,003
VERIZON COMMUNICATIONS INC 24,139,750 -776,549 $1,129,257
     VZ24,139,750-776,549$1,129,257
BERKSHIRE HATHAWAY INC DEL      $1,124,244
     BRK.B7,109,676+501,275$1,067,518
     BRK.A251+27$56,726
INTUITIVE SURGICAL INC 2,125,132 -47,406 $1,124,066
     ISRG2,125,132-47,406$1,124,066
ISHARES TR (EEM) 28,493,545 +675,181 $1,119,512
     EEM28,493,545+675,181$1,119,512
WISDOMTREE TR 22,273,755 +2,961,930 $1,096,537
     DXJ22,273,755+2,961,930$1,096,537
TWITTER INC 30,547,332 -1,522,367 $1,095,732
     TWTR30,547,332-1,522,367$1,095,732
PFIZER INC 34,706,050 +302,242 $1,081,089
     PFE34,706,050+302,242$1,081,089
EXXON MOBIL CORP 11,692,618 +911,557 $1,080,982
     XOM11,692,618+911,557$1,080,982
MEAD JOHNSON NUTRITION CO 10,594,100 -204,284 $1,065,131
     MJN10,594,100-204,284$1,065,131
UNITED TECHNOLOGIES CORP      $1,037,423
     UTX8,892,773+591,493$1,022,669
     UTX.PRA239,671+86,950$14,754
BRISTOL MYERS SQUIBB CO 17,564,710 -264,763 $1,036,846
     BMY17,564,710-264,763$1,036,846
MASTERCARD INC 11,761,815 +844,420 $1,013,398
     MA11,761,815+844,420$1,013,398
BANK AMER CORP      $1,000,255
     BAC55,108,889+12,723,758$985,897
     BAC.PRL10,000+2,000$11,531
     BAC.WSA398,652+4,792$2,806
     BAC.WSB29,200-52,100$21
AMGEN INC 6,245,147 +1,092,159 $994,788
     AMGN6,245,147+1,092,159$994,788
TESLA MTRS INC      $992,032
     TSLA4,303,356+226,530$957,111
     NOTE 125,006,000+2,123,000$22,596
     NOTE 013,366,000+3,773,000$12,325
AT&T INC 28,367,856 +2,121,919 $952,875
     T28,367,856+2,121,919$952,875
WILLIAMS COS INC DEL 21,182,241 +2,379,619 $951,929
     WMB21,182,241+2,379,619$951,929
MONDELEZ INTL INC 26,031,913 -5,605,778 $945,610
     MDLZ26,031,913-5,605,778$945,610
BLACKSTONE GROUP L P 27,514,782 +14,480 $930,826
     BX27,514,782+14,480$930,826
VANGUARD INTL EQUITY INDEX F (VWO) 23,140,917 +829,805 $926,098
     VWO23,140,917+829,805$926,098
VORNADO RLTY TR 7,743,885 -343,851 $911,532
     VNO7,743,885-343,851$911,532
ACCENTURE PLC IRELAND 10,131,085 -1,274,513 $904,809
     ACN10,131,085-1,274,513$904,809
CVS HEALTH CORP 9,269,766 +1,427,771 $892,770
     CVS9,269,766+1,427,771$892,770
ISHARES TR (TLT) 7,084,327 +1,206,060 $892,059
     TLT7,084,327+1,206,060$892,059

See Full List: All Stocks Held By Morgan Stanley
— Including:
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See Details: Top 10 Stocks Held By Morgan Stanley

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