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Holdings Channel
Size ($ in 1000's)
At 03/31/2015: $271,531,801
At 12/31/2014: $273,469,676

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  03/31/2015

   EntityAmountChange
 12/31/2014 to 03/31/2015
Position Size
($ in 1000's)
SPDR S&P 500 ETF TR (SPY) 33,388,185 -11,500,534 $6,892,324
     SPY33,388,185-11,500,534$6,892,324
APPLE INC 38,148,612 -4,706,627 $4,746,833
     AAPL38,148,612-4,706,627$4,746,833
MICROSOFT CORP 54,225,424 -2,662,969 $2,204,534
     MSFT54,225,424-2,662,969$2,204,534
ISHARES TR (IWM) 17,324,153 +1,365,810 $2,154,604
     IWM17,324,153+1,365,810$2,154,604
ENERGY TRANSFER EQUITY L P 33,878,045 +1,448,494 $2,146,514
     ETE33,878,045+1,448,494$2,146,514
FACEBOOK INC 24,894,904 -3,025,820 $2,046,736
     FB24,894,904-3,025,820$2,046,736
JPMORGAN CHASE & CO      $1,928,335
     JPM31,805,772+773,991$1,926,795
     JPM.WS69,969-17,521$1,540
VISA INC 27,542,064 +20,507,554 $1,801,525
     V27,542,064+20,507,554$1,801,525
SIMON PPTY GROUP INC NEW 9,107,091 -474,128 $1,781,710
     SPG9,107,091-474,128$1,781,710
PROCTER & GAMBLE CO 21,317,975 +631,064 $1,746,797
     PG21,317,975+631,064$1,746,797
AMAZON COM INC 4,586,400 -936,746 $1,706,599
     AMZN4,586,400-936,746$1,706,599
JOHNSON & JOHNSON 16,504,304 -705,084 $1,660,330
     JNJ16,504,304-705,084$1,660,330
WISDOMTREE TR 27,987,094 +5,713,339 $1,542,649
     DXJ27,987,094+5,713,339$1,542,649
TWITTER INC 30,406,642 -140,690 $1,522,764
     TWTR30,406,642-140,690$1,522,764
DISNEY WALT CO 14,315,878 +414,244 $1,501,592
     DIS14,315,878+414,244$1,501,592
CHEVRON CORP NEW 13,725,929 +461,272 $1,440,948
     CVX13,725,929+461,272$1,440,948
PEPSICO INC 14,158,930 -180,868 $1,353,878
     PEP14,158,930-180,868$1,353,878
GOOGLE INC 2,352,623 -81,335 $1,305,001
     GOOGL2,352,623-81,335$1,305,001
ILLUMINA INC 6,785,856 -366,734 $1,259,726
     ILMN6,785,856-366,734$1,259,726
WISDOMTREE TR 18,984,064 +10,915,554 $1,255,604
     HEDJ18,984,064+10,915,554$1,255,604
EQUITY RESIDENTIAL 15,795,491 -479,411 $1,229,836
     EQR15,795,491-479,411$1,229,836
GENERAL ELECTRIC CO 49,564,373 -3,718,179 $1,229,693
     GE49,564,373-3,718,179$1,229,693
PHILIP MORRIS INTL INC 16,270,266 -2,904,489 $1,225,638
     PM16,270,266-2,904,489$1,225,638
PFIZER INC 35,144,691 +438,641 $1,222,684
     PFE35,144,691+438,641$1,222,684
VERIZON COMMUNICATIONS INC 24,831,844 +692,094 $1,207,570
     VZ24,831,844+692,094$1,207,570
KEURIG GREEN MTN INC 10,803,142 +4,870,104 $1,207,036
     GMCR10,803,142+4,870,104$1,207,036
ISHARES TR (IVW) 10,507,101 +354,741 $1,197,284
     IVW10,507,101+354,741$1,197,284
HOME DEPOT INC 10,363,798 +3,028,185 $1,177,431
     HD10,363,798+3,028,185$1,177,431
LINKEDIN CORP 4,700,050 -553,316 $1,174,354
     LNKD4,700,050-553,316$1,174,354
BLACKSTONE GROUP L P 29,990,855 +2,476,073 $1,166,344
     BX29,990,855+2,476,073$1,166,344
GOOGLE INC 2,091,668 -266,534 $1,146,231
     GOOG2,091,668-266,534$1,146,231
SELECT SECTOR SPDR TR (XLV) 15,705,159 +3,196,512 $1,138,624
     XLV15,705,159+3,196,512$1,138,624
WELLS FARGO & CO NEW      $1,136,322
     WFC20,828,430-14,114,170$1,133,065
     WFC.WS107,763+9,430$2,208
     WFC.PRL865+150$1,049
UNITED TECHNOLOGIES CORP      $1,126,914
     UTX9,489,865+597,092$1,112,213
     UTX.PRA239,753+82$14,701
TIME WARNER INC 12,635,044 -2,477,122 $1,066,903
     TWX12,635,044-2,477,122$1,066,903
SCHLUMBERGER LTD 12,655,321 +2,335,009 $1,055,961
     SLB12,655,321+2,335,009$1,055,961
WILLIAMS COS INC DEL 20,792,507 -389,734 $1,051,892
     WMB20,792,507-389,734$1,051,892
STARBUCKS CORP 10,903,237 +1,369,317 $1,032,539
     SBUX10,903,237+1,369,317$1,032,539
BERKSHIRE HATHAWAY INC DEL      $1,019,301
     BRK.B6,683,002-426,674$964,490
     BRK.A252+1$54,811
MASTERCARD INC 11,758,947 -2,868 $1,015,855
     MA11,758,947-2,868$1,015,855
MEAD JOHNSON NUTRITION CO 10,054,833 -539,267 $1,010,813
     MJN10,054,833-539,267$1,010,813
EXXON MOBIL CORP 11,843,751 +151,133 $1,006,721
     XOM11,843,751+151,133$1,006,721
AMGEN INC 6,270,297 +25,150 $1,002,306
     AMGN6,270,297+25,150$1,002,306
INTUITIVE SURGICAL INC 1,983,365 -141,767 $1,001,659
     ISRG1,983,365-141,767$1,001,659
CVS HEALTH CORP 9,624,925 +355,159 $993,389
     CVS9,624,925+355,159$993,389
VANGUARD INTL EQUITY INDEX F (VWO) 23,940,850 +799,933 $978,463
     VWO23,940,850+799,933$978,463
POWERSHARES QQQ TRUST (QQQ) 8,981,361 -4,794,576 $948,432
     QQQ8,981,361-4,794,576$948,432
BLACKROCK INC 2,555,479 +173,899 $934,896
     BLK2,555,479+173,899$934,896
ACTAVIS PLC      $919,345
     ACT3,033,276+875,338$902,766
     ACT.PRA16,109+16,109$16,579
TESLA MTRS INC      $904,836
     TSLA4,544,779+241,423$857,917
     NOTE 128,765,000+3,759,000$24,148
     NOTE 026,021,000+12,655,000$22,771

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See Details: Top 10 Stocks Held By Morgan Stanley

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