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Size ($ in 1000's)
At 09/30/2025: $1,651,709,303 At 06/30/2025: $1,535,082,351
Combined Holding Report Includes:
MORGAN STANLEY Morgan Stanley Institutional Investment Advisors LLC MORGAN STANLEY & CO INTERNATIONAL PLC MORGAN STANLEY & CO. LLC Morgan Stanley Canada LTD MORGAN STANLEY CAPITAL SERVICES LLC MORGAN STANLEY AIP GP LP MORGAN STANLEY INVESTMENT MANAGEMENT CO MORGAN STANLEY INVESTMENT MANAGEMENT INC Morgan Stanley Investment Management LTD MORGAN STANLEY SMITH BARNEY LLC Morgan Stanley Strategic Investments Inc MORGAN STANLEY LATAM LLC Parametric Sas Morgan Stanley Wealth Management Australia Pty Ltd Morgan Stanley Bank Asia Ltd MS Credit Partners Holdings Inc. Morgan Stanley Bank N.A. PARAMETRIC PORTFOLIO ASSOCIATES LLC EATON VANCE MANAGEMENT Calvert Research & Management ATLANTA CAPITAL MANAGEMENT CO L L C BOSTON MANAGEMENT & RESEARCH Eaton Vance Advisers International Ltd MS Capital Partners Adviser Inc Eaton Vance Trust Co
Morgan Stanley AUM history
Morgan Stanley holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Morgan Stanley 13F filings.
Link to 13F filings: SEC filings
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As of 09/30/2025, below is a summary of the Morgan Stanley top holdings by largest position size, as per the latest 13f filing made by Morgan Stanley.
In the Morgan Stanley-top-holdings-table below, each of the top holdings by name is presented in the first column, followed by the amount of shares
held by Morgan Stanley in that top holding, then the share count change between reporting periods, and finally the Morgan Stanley top holding position size
for that row.
| Entity | Amount | Change
06/30/2025 to 09/30/2025 |
Position Size
($ in 1000's) |
MICROSOFT CORP |
120,240,122 |
+1,142,300 |
$62,278,373 | | MSFT | 120,240,122 | +1,142,300 | $62,278,373 | NVIDIA CORPORATION |
322,956,343 |
-2,754,465 |
$60,257,195 | | NVDA | 322,956,343 | -2,754,465 | $60,257,195 | APPLE INC |
229,103,384 |
-4,095,262 |
$58,336,595 | | AAPL | 229,103,384 | -4,095,262 | $58,336,595 | AMAZON COM INC |
162,864,808 |
+2,366,189 |
$35,760,226 | | AMZN | 162,864,808 | +2,366,189 | $35,760,226 | ALPHABET INC |
121,945,648 |
-12,544,279 |
$29,644,988 | | GOOGL | 121,945,648 | -12,544,279 | $29,644,988 | SPDR S&P 500 ETF TR (SPY) |
40,654,532 |
+3,703,801 |
$27,083,239 | | SPY | 40,654,532 | +3,703,801 | $27,083,239 | META PLATFORMS INC |
36,729,219 |
-490,068 |
$26,973,207 | | META | 36,729,219 | -490,068 | $26,973,207 | BROADCOM INC |
73,008,578 |
-724,893 |
$24,086,261 | | AVGO | 73,008,578 | -724,893 | $24,086,261 | JPMORGAN CHASE & CO. |
65,445,847 |
-1,539,474 |
$20,643,585 | | JPM | 65,445,847 | -1,539,474 | $20,643,585 | ALPHABET INC |
70,709,406 |
-2,872,255 |
$17,221,276 | | GOOG | 70,709,406 | -2,872,255 | $17,221,276 | VISA INC |
48,072,167 |
-1,983,350 |
$16,410,878 | | V | 48,072,167 | -1,983,350 | $16,410,878 | ISHARES TR (IVV) |
24,311,648 |
-446,762 |
$16,271,787 | | IVV | 24,311,648 | -446,762 | $16,271,787 | TESLA INC |
36,146,709 |
-7,090,349 |
$16,075,166 | | TSLA | 36,146,709 | -7,090,349 | $16,075,166 | VANGUARD INDEX FDS (VOO) |
25,449,929 |
+2,130,431 |
$15,585,028 | | VOO | 25,449,929 | +2,130,431 | $15,585,028 | INVESCO QQQ TR |
24,558,237 |
+4,198,148 |
$14,744,030 | | QQQ | 24,558,237 | +4,198,148 | $14,744,030 | BERKSHIRE HATHAWAY INC DEL |
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$13,917,934 | | BRK.B | 26,572,525 | -618,284 | $13,359,072 | | BRK.A | 741 | +39 | $558,862 | ISHARES TR (IWF) |
27,048,285 |
-317,929 |
$12,669,689 | | IWF | 27,048,285 | -317,929 | $12,669,689 | ELI LILLY & CO |
15,185,853 |
+317,357 |
$11,586,808 | | LLY | 15,185,853 | +317,357 | $11,586,808 | NETFLIX INC |
8,509,655 |
+147,224 |
$10,202,398 | | NFLX | 8,509,655 | +147,224 | $10,202,398 | ABBVIE INC |
41,654,784 |
-45,217 |
$9,644,750 | | ABBV | 41,654,784 | -45,217 | $9,644,750 | HOME DEPOT INC |
22,489,918 |
-84,029 |
$9,112,691 | | HD | 22,489,918 | -84,029 | $9,112,691 | MASTERCARD INCORPORATED |
15,923,022 |
-277,327 |
$9,057,176 | | MA | 15,923,022 | -277,327 | $9,057,176 | JOHNSON & JOHNSON |
48,231,667 |
+1,246,800 |
$8,943,116 | | JNJ | 48,231,667 | +1,246,800 | $8,943,116 | WALMART INC |
85,254,109 |
-273,458 |
$8,786,289 | | WMT | 85,254,109 | -273,458 | $8,786,289 | ISHARES TR (IEFA) |
99,990,935 |
+1,369,686 |
$8,730,209 | | IEFA | 99,990,935 | +1,369,686 | $8,730,209 | COSTCO WHSL CORP NEW |
9,415,648 |
-156,701 |
$8,715,410 | | COST | 9,415,648 | -156,701 | $8,715,410 | EXXON MOBIL CORP |
74,913,804 |
+771,438 |
$8,446,532 | | XOM | 74,913,804 | +771,438 | $8,446,532 | VANGUARD BD INDEX FDS (BND) |
108,641,970 |
+2,141,228 |
$8,079,703 | | BND | 108,641,970 | +2,141,228 | $8,079,703 | PROCTER AND GAMBLE CO |
51,332,718 |
-672,475 |
$7,887,273 | | PG | 51,332,718 | -672,475 | $7,887,273 | UBER TECHNOLOGIES INC |
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$7,716,498 | | UBER | 78,386,262 | +3,569,460 | $7,679,502 | | NOTE 0 | 16,244,000 | +775,000 | $23,879 | | NOTE 12 1 | 10,769,000 | +1,924,000 | $13,117 | ORACLE CORP |
26,629,953 |
-4,102,398 |
$7,489,409 | | ORCL | 26,629,953 | -4,102,398 | $7,489,409 | ISHARES TR (IWD) |
36,383,111 |
+703,830 |
$7,407,238 | | IWD | 36,383,111 | +703,830 | $7,407,238 | VANGUARD INDEX FDS (VUG) |
14,773,590 |
+214,375 |
$7,085,563 | | VUG | 14,773,590 | +214,375 | $7,085,563 | ISHARES INC (IEMG) |
98,816,734 |
+2,162,432 |
$6,513,999 | | IEMG | 98,816,734 | +2,162,432 | $6,513,999 | COCA COLA CO |
95,454,897 |
+4,899,077 |
$6,330,569 | | KO | 95,454,897 | +4,899,077 | $6,330,569 | PALO ALTO NETWORKS INC |
30,759,375 |
+180,307 |
$6,263,225 | | PANW | 30,759,375 | +180,307 | $6,263,225 | VANGUARD INDEX FDS (VTV) |
33,213,043 |
+537,700 |
$6,193,901 | | VTV | 33,213,043 | +537,700 | $6,193,901 | THERMO FISHER SCIENTIFIC INC |
12,721,912 |
-155,683 |
$6,170,384 | | TMO | 12,721,912 | -155,683 | $6,170,384 | GOLDMAN SACHS GROUP INC |
7,691,556 |
-646,753 |
$6,125,174 | | GS | 7,691,556 | -646,753 | $6,125,174 | CHEVRON CORP NEW |
36,607,107 |
+3,048,508 |
$5,684,718 | | CVX | 36,607,107 | +3,048,508 | $5,684,718 | PALANTIR TECHNOLOGIES INC |
30,240,527 |
-2,708,067 |
$5,516,477 | | PLTR | 30,240,527 | -2,708,067 | $5,516,477 | INVESCO EXCHANGE TRADED FD T (RSP) |
29,060,691 |
-3,592,564 |
$5,512,813 | | RSP | 29,060,691 | -3,592,564 | $5,512,813 | BLACKSTONE INC |
32,225,552 |
+563,172 |
$5,505,736 | | BX | 32,225,552 | +563,172 | $5,505,736 | BANK AMERICA CORP |
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$5,341,317 | | BAC | 102,597,099 | -1,058,229 | $5,292,985 | | BAC.PRL | 37,759 | +575 | $48,332 | UNITEDHEALTH GROUP INC |
15,236,682 |
+134,179 |
$5,261,228 | | UNH | 15,236,682 | +134,179 | $5,261,228 | ABBOTT LABS |
38,634,796 |
+3,428,144 |
$5,174,745 | | ABT | 38,634,796 | +3,428,144 | $5,174,745 | CISCO SYS INC |
75,119,906 |
+4,784,943 |
$5,139,704 | | CSCO | 75,119,906 | +4,784,943 | $5,139,704 | NEXTERA ENERGY INC |
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$5,004,721 | | NEE | 66,080,377 | +2,147,879 | $4,988,408 | | NEE.PRS | 299,671 | -77,908 | $14,945 | | NEE.PRT | 29,081 | -9,456 | $1,368 | RTX CORPORATION |
29,678,515 |
+749,482 |
$4,966,106 | | RTX | 29,678,515 | +749,482 | $4,966,106 | ADVANCED MICRO DEVICES INC |
30,061,749 |
+445,032 |
$4,863,691 | | AMD | 30,061,749 | +445,032 | $4,863,691 |
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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