Morgan Stanley(MS)

Morgan Stanley, a financial holding company, provides various financial products and services to corporations, governments, financial institutions, and individuals in the Americas, Europe, the Middle East, Africa, and Asia. It operates through Institutional Securities, Wealth Management, and Investment Management segments. The Institutional Securities segment offers capital raising and financial advisory services, including services related to the underwriting of debt, equity, and other securities, as well as advice on mergers and acquisitions, restructurings, real estate, and project finance. This segment also provides sales and trading services, such as sales, financing, prime brokerage, and market-making services in equity and fixed income products consisting of foreign exchange and commodities; corporate and commercial real estate loans, which provides secured lending facilities and financing for sales and trading customers, and asset-backed and mortgage lending; and wealth management services, investment, and research services. The Wealth Management segment offers financial advisor-led brokerage and investment advisory services; self-directed brokerage services; financial and wealth planning services; workplace services, including stock plan administration; annuity and insurance products; securities-based lending, residential real estate loans, and other lending products; banking; and retirement plan services to individual investors and small to medium-sized businesses and institutions. The Investment Management segment provides equity, fixed income, liquidity, and alternative/other products to benefit/defined contribution plans, foundations, endowments, government entities, sovereign wealth funds, insurance companies, and third-party fund sponsors and corporations through institutional and intermediary channels. Morgan Stanley was founded in 1924 and is headquartered in New York, New York.
Latest News & Analysis
Morgan Stanley: SCB Appeal, Capital Returns and 2024 Financials
Morgan Stanley pushed for a lower SCB while announcing an $1.00 quarterly dividend and a $20B buyback; FY2024 revenue hit **$103.14B** with **net income $13.39B**.
Morgan Stanley: SCB Appeal, Capital Allocation and FY2024 Financials
Morgan Stanley heads into a critical SCB decision as FY2024 shows **$103.14B revenue** and **$13.39B net income (+47.29%)**—cash flow and capital moves are center stage.
Morgan Stanley: $20B Buyback, Dividend Bump and the Capital Trade-Off
Morgan Stanley raises its quarterly dividend to $1.00 and reauthorizes a $20B buyback after beating Q2 results—examining durability of earnings, cash flow quality, and regulatory cushions.
Morgan Stanley (MS): Capital Allocation and Cash-Flow Quality After Q2 Beats
Q2 2025 EPS beat, dividend hike to $1.00 and a $20B repurchase plan underpin shareholder returns — but operating cash flow and ratio discrepancies raise questions.
Morgan Stanley Q2 2025 Earnings Soar on Strong Segment Growth and Strategic Execution | Monexa AI
Morgan Stanley's Q2 2025 EPS surged +17% YoY, driven by robust revenue growth in Institutional Securities and Wealth Management amid evolving market dynamics.
Morgan Stanley's Political Risk and Q2 2025 Financial Strength Analysis | Monexa AI
Explore Morgan Stanley's navigation of political risks, regulatory probes, and its robust Q2 2025 earnings, highlighting resilience amid evolving financial landscapes.
Morgan Stanley Regulatory Probe and Financial Insights: Impact on Compliance and Capital
Morgan Stanley faces a critical FINRA AML probe amid strong financials. This analysis explores regulatory risks, earnings, capital returns, and strategic positioning.
Morgan Stanley's Q2 2025 Earnings and FINRA Probe: Financial Strength Amid Regulatory Challenges
Morgan Stanley reports strong Q2 2025 earnings with a 12% revenue rise and dividend hike, while facing a FINRA probe on AML compliance and Market Access Rule.
Morgan Stanley Q2 2025 Earnings, AML Probe, and Strategic Financial Analysis | Monexa AI
Morgan Stanley faces a FINRA AML probe amid strong Q2 2025 earnings, dividend hikes, and share buybacks. Explore financial metrics and strategic impacts.
Morgan Stanley Q2 2025 Earnings Analysis: Record Trading and Wealth Management Growth
Morgan Stanley's Q2 2025 earnings highlight record trading revenue, wealth management growth, rising credit loss provisions, and strategic capital allocation amid market volatility.
Morgan Stanley Q2 2025 Earnings Analysis: Trading Surge and NII Growth Amid Advisory Challenges
Morgan Stanley's Q2 2025 earnings reveal strong trading and net interest income growth, offset by advisory headwinds, underscoring strategic diversification and capital strength.
Morgan Stanley's Capital Return Boost: Dividend Hike & $20B Buyback Reflect Q2 Strength
Morgan Stanley boosts shareholder value with an 8.1% dividend hike and $20B buyback, supported by strong Q2 earnings and robust capital metrics.
Morgan Stanley Market Analysis: Dividend Growth, Earnings Outlook & Strategic Positioning
Morgan Stanley shows resilient earnings growth, dividend increases, and strategic resilience amid Big Banks rotation and macroeconomic headwinds.
Morgan Stanley's $20B Buyback and Dividend Hike Signal Strong Capital Strategy
Morgan Stanley launches a $20 billion buyback and raises dividends, reflecting robust financial health and strategic growth in a competitive market.
Morgan Stanley Capital Returns and Stress Test Strength Drive Market Confidence | Monexa AI
Morgan Stanley's $20B buyback, dividend hike, and robust 2025 Fed stress test results highlight strong financial health and strategic market positioning.
Morgan Stanley Financial Analysis: Capital Relief and Growth Prospects Post Fed SLR Changes
Morgan Stanley's financial outlook brightens with Fed's SLR rule changes unlocking capital, strong stress test results, and strategic deployment enhancing shareholder value.
Morgan Stanley Market Analysis: Capital Relief, Financial Performance & Strategic Growth
Morgan Stanley poised to unlock $743B in capital from Fed rule easing, enhancing shareholder returns and strategic growth, backed by solid financial metrics.
Morgan Stanley: Fed Capital Easing Unlocks Billions, Reshaping Strategy
Proposed Federal Reserve capital rule changes could unlock an estimated $185 billion for Morgan Stanley, impacting its balance sheet, deployment strategies, and stock outlook.
Morgan Stanley (MS): Strategic Shifts & Financial Performance in 2025
Morgan Stanley's strategic exit from U.S. options market-making and potential regulatory easing underscore a dynamic shift in capital allocation and revenue strategy.
Morgan Stanley (MS) Q1 2025: Strategic Growth & Leadership Insights
Morgan Stanley's Q1 2025 net new asset inflows hit $110 billion, signaling robust wealth management growth and strategic operational efficiencies.
Morgan Stanley (MS) 2025 Analysis: Strategy, Leadership, & Finance
Morgan Stanley's latest strategic moves in 2025, including leadership changes, a new rural impact fund, and its financial health amid macroeconomic shifts.
Morgan Stanley Q1 2025 Earnings & Strategic Initiatives Analysis
Morgan Stanley’s Q1 2025 earnings surged, driven by strategic financing deals like xAI's $5B debt package, signaling robust operational momentum.
Morgan Stanley: Strategy, Earnings, and Market Position Analysis
An in-depth analysis of Morgan Stanley's strategic initiatives, recent earnings performance, and the impact of macroeconomic trends on its market position in mid-2025.
Morgan Stanley: Earnings Rebound, AI Strategy, and Regulatory Landscape
Morgan Stanley sees an earnings rebound, driven by trading and wealth management, while navigating macroeconomic shifts and regulatory scrutiny, including AI oversight.
Morgan Stanley (MS) Earnings Preview: Tariffs, Rates, Market Impact
Morgan Stanley's Q1 2025 earnings preview: Navigating tariff concerns, interest rate sensitivity, and market volatility. Key insights for investors.
Morgan Stanley Stock Analysis: Recession Risks, Earnings Outlook
Morgan Stanley faces recession risks and tariff impacts. This analysis explores performance, strategies, and dividend sustainability amidst economic headwinds.
Morgan Stanley's Strategic Overhaul: PNE Stake Sale, Wealth Management, and Market Impact
Morgan Stanley navigates strategic shifts with PNE stake sale, wealth management focus, and infrastructure investments amidst market volatility.
Morgan Stanley's Strategic Overhaul: Navigating Layoffs, M&A Downturn, and Market Volatility
Morgan Stanley strategically adjusts to market headwinds via workforce reductions and M&A strategy adaptation. Analysis of financial impact and future outlook.
Morgan Stanley: Layoffs, Tariffs, and Infrastructure Investments
Analysis of Morgan Stanley's strategic response to economic uncertainty, including workforce reductions, infrastructure investments, and dividend growth.
Morgan Stanley: Layoffs, Infrastructure Fund, and Market Pressures
Morgan Stanley's restructuring, infrastructure investments, and ETF expansion signal a strategic shift amid economic pressures. Layoffs aim to boost efficiency, but tariffs and interest rates pose challenges.
Morgan Stanley: Infrastructure Fund, ETF Expansion & Market Volatility
Morgan Stanley navigates market volatility, expands investment options with infrastructure funds and ETFs, demonstrating resilience and strategic growth.
Morgan Stanley (MS): Strategic Financial Analysis by Monexa AI
In-depth data-driven analysis of Morgan Stanley’s financial performance, key developments, and strategic market positioning.
Morgan Stanley (MS) Stock Analysis: 2025 Outlook and Key Investment Factors
Comprehensive analysis of Morgan Stanley's (MS) performance, wealth management strategy, dividend outlook, and key challenges in 2025. Actionable insights for investors.
Morgan Stanley Analysis: E*TRADE, Dividends, Stock Performance
A deep dive into Morgan Stanley's E*TRADE success, dividend strategy, stock performance, and broader market influences. Actionable insights for investors.
Morgan Stanley: E*TRADE, Dividends, and Market Underperformance Analyzed
Morgan Stanley navigates a complex market with E*TRADE's success and dividend sustainability concerns. Market underperformance demands strategic responses.
Morgan Stanley: Navigating Market Trends and Capitalizing on Growth Opportunities
Morgan Stanley navigates market trends, balancing strong financials with economic uncertainties. Key segments, analyst outlooks, and strategic positioning are analyzed.
Morgan Stanley's 2025 Market Outlook: Navigating Uncertainty and Growth
A comprehensive analysis of Morgan Stanley's market position in 2025, examining key developments, strategic initiatives, and competitive trends.
Morgan Stanley: Industry Impact and Market Trends Analysis
A comprehensive analysis of Morgan Stanley's latest developments, industry impact, and market trends as of February 20, 2025, based on verified data and reputable sources.
Morgan Stanley Developments and Market Impact: Financial Trends in 2025
Comprehensive intraday analysis of Morgan Stanley's key developments, market impact, and financial strategies on February 20, 2025.
Morgan Stanley: Market Trends and Strategic Developments
Explore Morgan Stanley’s market trends, E*TRADE’s dominance, dividend growth, and debt management in a detailed analysis.
Morgan Stanley Navigates Market Shifts and Capitalizes on Strategic Initiatives in 2025
In-depth analysis of Morgan Stanley's 2025 market shifts, E*TRADE success, dividend growth, and strategic debt offloading initiatives.
Morgan Stanley: Navigating 2025 Market Trends
In-depth analysis of Morgan Stanley's strategy, dividend growth, E*TRADE recognition, and key market developments as of February 18, 2025.