Holdings Channel
Size ($ in 1000's)
At 06/30/2015: $288,503,556
At 03/31/2015: $271,531,801

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  06/30/2015

   EntityAmountChange
 03/31/2015 to 06/30/2015
Position Size
($ in 1000's)
SPDR S&P 500 ETF TR (SPY) 44,771,889 +11,383,704 $9,216,294
     SPY44,771,889+11,383,704$9,216,294
APPLE INC 38,533,842 +385,230 $4,833,106
     AAPL38,533,842+385,230$4,833,106
ISHARES TR (IWM) 25,567,671 +8,243,518 $3,192,380
     IWM25,567,671+8,243,518$3,192,380
EXPRESS SCRIPTS HLDG CO 33,991,912 +30,884,767 $3,023,243
     ESRX33,991,912+30,884,767$3,023,243
ABBVIE INC 41,448,689 +29,796,859 $2,784,936
     ABBV41,448,689+29,796,859$2,784,936
MICROSOFT CORP 51,067,236 -3,158,188 $2,254,619
     MSFT51,067,236-3,158,188$2,254,619
WELLS FARGO & CO NEW      $2,216,402
     WFC39,334,311+18,505,881$2,212,161
     WFC.WS122,163+14,400$2,748
     WFC.PRL1,265+400$1,493
ENERGY TRANSFER EQUITY L P 33,578,942 -299,103 $2,154,763
     ETE33,578,942-299,103$2,154,763
JPMORGAN CHASE & CO      $2,108,782
     JPM31,090,839-714,933$2,106,714
     JPM.WS83,579+13,610$2,068
FACEBOOK INC 24,370,942 -523,962 $2,090,174
     FB24,370,942-523,962$2,090,174
AMAZON COM INC 4,222,153 -364,247 $1,832,796
     AMZN4,222,153-364,247$1,832,796
VISA INC 26,837,720 -704,344 $1,802,154
     V26,837,720-704,344$1,802,154
JOHNSON & JOHNSON 17,264,545 +760,241 $1,682,603
     JNJ17,264,545+760,241$1,682,603
SIMON PPTY GROUP INC NEW 9,702,683 +595,592 $1,678,759
     SPG9,702,683+595,592$1,678,759
DISNEY WALT CO 14,248,924 -66,954 $1,626,373
     DIS14,248,924-66,954$1,626,373
PROCTER & GAMBLE CO 20,513,524 -804,451 $1,604,979
     PG20,513,524-804,451$1,604,979
CHEVRON CORP NEW 14,714,744 +988,815 $1,419,531
     CVX14,714,744+988,815$1,419,531
PEPSICO INC 14,981,680 +822,750 $1,398,389
     PEP14,981,680+822,750$1,398,389
WISDOMTREE TR 23,894,076 -4,093,018 $1,366,740
     DXJ23,894,076-4,093,018$1,366,740
VERIZON COMMUNICATIONS INC 28,508,895 +3,677,051 $1,328,799
     VZ28,508,895+3,677,051$1,328,799
GENERAL ELECTRIC CO 49,439,754 -124,619 $1,313,614
     GE49,439,754-124,619$1,313,614
ILLUMINA INC      $1,291,177
     ILMN5,761,120-1,024,736$1,257,998
     NOTE 6 128,419,000+28,419,000$33,179
WISDOMTREE TR 20,582,995 +1,598,931 $1,267,705
     HEDJ20,582,995+1,598,931$1,267,705
QUALCOMM INC 20,183,181 +11,918,688 $1,264,072
     QCOM20,183,181+11,918,688$1,264,072
SCHLUMBERGER LTD 14,505,564 +1,850,243 $1,250,234
     SLB14,505,564+1,850,243$1,250,234
UNITED TECHNOLOGIES CORP      $1,234,534
     UTX11,061,032+1,571,167$1,227,000
     UTX.PRA130,600-109,153$7,534
BLACKSTONE GROUP L P 29,943,761 -47,094 $1,223,801
     BX29,943,761-47,094$1,223,801
GOOGLE INC 2,314,149 +222,481 $1,204,536
     GOOG2,314,149+222,481$1,204,536
STARBUCKS CORP 22,227,331 +11,324,094 $1,191,718
     SBUX22,227,331+11,324,094$1,191,718
WILLIAMS COS INC DEL 20,687,710 -104,797 $1,187,270
     WMB20,687,710-104,797$1,187,270
PHILIP MORRIS INTL INC 14,601,219 -1,669,047 $1,170,579
     PM14,601,219-1,669,047$1,170,579
SELECT SECTOR SPDR TR (XLV) 15,517,151 -188,008 $1,154,320
     XLV15,517,151-188,008$1,154,320
TESLA MTRS INC      $1,152,073
     TSLA4,125,206-419,573$1,106,627
     NOTE 134,248,000+5,483,000$33,535
     NOTE 012,078,000-13,943,000$11,911
LINKEDIN CORP 5,560,253 +860,203 $1,148,914
     LNKD5,560,253+860,203$1,148,914
EQUITY RESIDENTIAL 16,291,328 +495,837 $1,143,163
     EQR16,291,328+495,837$1,143,163
PFIZER INC 34,049,207 -1,095,484 $1,141,671
     PFE34,049,207-1,095,484$1,141,671
TWITTER INC 30,736,405 +329,763 $1,113,271
     TWTR30,736,405+329,763$1,113,271
ISHARES TR (IVW) 9,405,379 -1,101,722 $1,070,897
     IVW9,405,379-1,101,722$1,070,897
GOOGLE INC 1,956,938 -395,685 $1,056,826
     GOOGL1,956,938-395,685$1,056,826
MASTERCARD INC 11,156,292 -602,655 $1,042,890
     MA11,156,292-602,655$1,042,890
ISHARES TR (EFA) 16,422,570 +4,134,217 $1,042,669
     EFA16,422,570+4,134,217$1,042,669
AMGEN INC 6,754,122 +483,825 $1,036,894
     AMGN6,754,122+483,825$1,036,894
VANGUARD INTL EQUITY INDEX F (VWO) 25,207,922 +1,267,072 $1,030,501
     VWO25,207,922+1,267,072$1,030,501
ING GROEP N V      $1,022,906
     DBCV 67,900,000+7,900,000$779,636
     DBCV 62,375,000+2,375,000$229,040
     ING858,255+17,197$14,230
SELECT SECTOR SPDR TR (XLF) 41,695,740 +11,553,063 $1,016,542
     XLF41,695,740+11,553,063$1,016,542
TIME WARNER INC 11,488,386 -1,146,658 $1,004,200
     TWX11,488,386-1,146,658$1,004,200
POWERSHARES QQQ TRUST (QQQ) 9,321,254 +339,893 $998,025
     QQQ9,321,254+339,893$998,025
VANGUARD INTL EQUITY INDEX F (VGK) 18,478,316 +2,440,878 $997,459
     VGK18,478,316+2,440,878$997,459
CVS HEALTH CORP 9,295,398 -329,527 $974,901
     CVS9,295,398-329,527$974,901
BLACKROCK INC 2,801,082 +245,603 $969,118
     BLK2,801,082+245,603$969,118

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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