Holdings Channel
Size ($ in 1000's)
At 12/31/2015: $276,257,462
At 09/30/2015: $272,579,481

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  12/31/2015

   EntityAmountChange
 09/30/2015 to 12/31/2015
Position Size
($ in 1000's)
SPDR S&P 500 ETF TR (SPY) 59,923,228 -36,522,210 $12,216,549
     SPY59,923,228-36,522,210$12,216,549
APPLE INC 51,579,503 +12,575,607 $5,429,259
     AAPL51,579,503+12,575,607$5,429,259
MICROSOFT CORP 57,864,638 +9,337,013 $3,210,330
     MSFT57,864,638+9,337,013$3,210,330
FACEBOOK INC 26,752,807 +1,508,942 $2,799,948
     FB26,752,807+1,508,942$2,799,948
AMAZON COM INC 3,990,235 -132,400 $2,696,961
     AMZN3,990,235-132,400$2,696,961
VISA INC 31,698,355 +4,002,722 $2,458,206
     V31,698,355+4,002,722$2,458,206
ISHARES TR (IWM) 21,633,323 -16,204,384 $2,436,345
     IWM21,633,323-16,204,384$2,436,345
JPMORGAN CHASE & CO      $2,228,954
     JPM33,725,936+91,238$2,226,924
     JPM.WS85,723-3,518$2,030
JOHNSON & JOHNSON 19,034,338 +3,005,352 $1,955,206
     JNJ19,034,338+3,005,352$1,955,206
DISNEY WALT CO 17,484,772 +2,259,996 $1,837,300
     DIS17,484,772+2,259,996$1,837,300
ALPHABET INC 2,351,223 -23,033 $1,829,274
     GOOGL2,351,223-23,033$1,829,274
SIMON PPTY GROUP INC NEW 9,254,612 -61,341 $1,799,467
     SPG9,254,612-61,341$1,799,467
ALPHABET INC 2,148,597 +178,225 $1,630,530
     GOOG2,148,597+178,225$1,630,530
GENERAL ELECTRIC CO      $1,521,760
     GE.WD48,852,715-4,154,216$1,521,760
MASTERCARD INC 15,116,408 +3,144,579 $1,471,734
     MA15,116,408+3,144,579$1,471,734
PEPSICO INC 14,559,675 +821,168 $1,454,802
     PEP14,559,675+821,168$1,454,802
POWERSHARES QQQ TRUST (QQQ) 12,716,958 -1,491,370 $1,422,517
     QQQ12,716,958-1,491,370$1,422,517
LINKEDIN CORP      $1,359,513
     LNKD5,927,793-532,154$1,334,227
     NOTE 024,111,000+24,111,000$25,286
HOME DEPOT INC 10,268,310 +1,334,313 $1,357,984
     HD10,268,310+1,334,313$1,357,984
BLACKSTONE GROUP L P 45,245,292 +13,588,270 $1,322,974
     BX45,245,292+13,588,270$1,322,974
SELECT SECTOR SPDR TR (XLV) 17,681,841 -1,502,855 $1,273,621
     XLV17,681,841-1,502,855$1,273,621
NETFLIX INC 10,926,258 +1,833,207 $1,249,746
     NFLX10,926,258+1,833,207$1,249,746
ISHARES (EWJ) 102,833,116 +16,432,305 $1,246,337
     EWJ102,833,116+16,432,305$1,246,337
ALTRIA GROUP INC 21,038,153 +1,246,488 $1,224,631
     MO21,038,153+1,246,488$1,224,631
PFIZER INC 37,413,407 +1,679,910 $1,207,705
     PFE37,413,407+1,679,910$1,207,705
MONDELEZ INTL INC 26,676,661 +182,119 $1,196,179
     MDLZ26,676,661+182,119$1,196,179
AMGEN INC 7,317,025 +373,979 $1,187,772
     AMGN7,317,025+373,979$1,187,772
EQUITY RESIDENTIAL 14,260,571 -1,314,490 $1,163,519
     EQR14,260,571-1,314,490$1,163,519
WELLS FARGO & CO NEW      $1,158,533
     WFC20,892,545-2,527,472$1,135,719
     WFC.PRL17,872+16,467$20,541
     WFC.WS110,932-13,650$2,273
PHILIP MORRIS INTL INC 13,115,219 -1,101,394 $1,152,959
     PM13,115,219-1,101,394$1,152,959
VERIZON COMMUNICATIONS INC 24,620,908 -1,975,005 $1,137,980
     VZ24,620,908-1,975,005$1,137,980
ISHARES TR (IVW) 9,779,201 +193,081 $1,132,432
     IVW9,779,201+193,081$1,132,432
CVS HEALTH CORP 11,485,756 +1,304,751 $1,122,961
     CVS11,485,756+1,304,751$1,122,961
HONEYWELL INTL INC 10,718,931 +759,268 $1,110,159
     HON10,718,931+759,268$1,110,159
REYNOLDS AMERICAN INC 24,016,219 +19,105,911 $1,108,347
     RAI24,016,219+19,105,911$1,108,347
GILEAD SCIENCES INC 10,614,126 +1,616,773 $1,074,043
     GILD10,614,126+1,616,773$1,074,043
PROCTER & GAMBLE CO 13,074,150 -2,950,253 $1,038,219
     PG13,074,150-2,950,253$1,038,219
CHEVRON CORP NEW 11,529,263 -689,150 $1,037,173
     CVX11,529,263-689,150$1,037,173
ILLUMINA INC      $1,026,466
     ILMN5,167,646+62,766$991,906
     NOTE 6 131,814,000+6,925,000$34,558
     NOTE 02,000+1,000$2
AT&T INC 29,393,833 -6,353,298 $1,011,442
     T29,393,833-6,353,298$1,011,442
TESLA MTRS INC      $1,011,153
     TSLA3,995,162-138,890$958,880
     NOTE 137,415,000+3,388,000$34,254
     NOTE 019,213,000+5,760,000$18,019
BRISTOL MYERS SQUIBB CO      $1,000,772
     BMY14,547,972+844,049$1,000,755
     DBCV 9 110,000+10,000$17
BERKSHIRE HATHAWAY INC DEL      $998,741
     BRK.B7,211,899-179,976$952,258
     BRK.A235+17$46,483
EXXON MOBIL CORP 12,796,543 +1,479,565 $997,490
     XOM12,796,543+1,479,565$997,490
ALLERGAN PLC      $996,749
     AGN3,129,057+280,461$977,831
     AGN.PRA18,439+649$18,918
BLACKROCK INC 2,872,155 +149,889 $978,027
     BLK2,872,155+149,889$978,027
WALGREENS BOOTS ALLIANCE INC 11,212,726 +2,920,736 $954,822
     WBA11,212,726+2,920,736$954,822
SCHLUMBERGER LTD 13,567,209 -975,374 $946,314
     SLB13,567,209-975,374$946,314
ENERGY TRANSFER EQUITY L P 68,289,281 +9,943,539 $938,295
     ETE68,289,281+9,943,539$938,295
VANGUARD INTL EQUITY INDEX F (VGK) 18,612,189 +564,124 $928,377
     VGK18,612,189+564,124$928,377

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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