13F Filings for MORGAN STANLEY (CIK: 895421)
View the most recent portfolio holdings disclosed by MORGAN STANLEY in their 13F filing.
Holding | Shares | Value | Portfolio Percent | Change Status | Change Amount |
---|---|---|---|---|---|
AAPL - APPLE INC(Class: COM) | 241.22M | $53.58B | - | Increased | 2.96M (1.0%, $6.08B) |
MSFT - MICROSOFT CORP(Class: COM) | 123.85M | $46.49B | - | Decreased | 1.65M (1.0%, $6.41B) |
NVDA - NVIDIA CORPORATION(Class: COM) | 344.18M | $37.30B | - | Decreased | 5.48M (1.0%, $9.65B) |
AMZN - AMAZON COM INC(Class: COM) | 166.52M | $31.68B | - | Decreased | 633.11K (0.0%, $4.99B) |
META - META PLATFORMS INC(Class: CL A) | 37.89M | $21.84B | - | Increased | 1.77M (4.0%, $688.22M) |
GOOGL - ALPHABET INC(Class: CAP STK CL A) | 127.29M | $19.68B | - | Increased | 2.49M (1.0%, $3.94B) |
SPY - SPDR SP 500 ETF TR(Class: TR UNIT) | 34.29M | $19.18B | - | Increased | 948.40K (2.0%, $359.35M) |
V - VISA INC(Class: COM CL A) | 50.51M | $17.70B | - | Decreased | 113.36K (0.0%, $1.70B) |
JPM - JPMORGAN CHASE CO.(Class: COM) | 69.35M | $17.01B | - | Increased | 510.13K (0.0%, $509.98M) |
IVV - ISHARES TR(Class: CORE SP500 ETF) | 26.38M | $14.82B | - | Decreased | 1.52M (5.0%, $1.60B) |
BRK.B - BERKSHIRE HATHAWAY INC DEL(Class: CL B NEW) | 27.79M | $14.80B | - | Decreased | 266.52K (0.0%, $2.08B) |
AVGO - BROADCOM INC(Class: COM) | 76.43M | $12.80B | - | Increased | 1.04M (1.0%, $4.68B) |
VOO - VANGUARD INDEX FDS(Class: SP 500 ETF SHS) | 23.94M | $12.30B | - | Increased | 1.13M (4.0%, $15.22M) |
LLY - ELI LILLY CO(Class: COM) | 14.87M | $12.28B | - | Increased | 495.27K (3.0%, $1.18B) |
GOOG - ALPHABET INC(Class: CAP STK CL C) | 75.73M | $11.83B | - | Increased | 628.44K (0.0%, $2.47B) |
TSLA - TESLA INC(Class: COM) | 45.38M | $11.76B | - | Increased | 411.94K (0.0%, $6.40B) |
UNH - UNITEDHEALTH GROUP INC(Class: COM) | 21.36M | $11.19B | - | Decreased | 31.48K (0.0%, $366.29M) |
QQQ - INVESCO QQQ TR(Class: UNIT SER 1) | 22.01M | $10.32B | - | Increased | 3.21M (17.0%, $711.77M) |
BND - VANGUARD BD INDEX FDS(Class: TOTAL BND MRKT) | 127.28M | $9.35B | - | Increased | 8.66M (7.0%, $818.83M) |
COST - COSTCO WHSL CORP NEW(Class: COM) | 9.51M | $9B | - | Decreased | 59.77K (0.0%, $226.01M) |
IWF - ISHARES TR(Class: RUS 1000 GRW ETF) | 24.89M | $8.99B | - | Increased | 834.27K (3.0%, $672.78M) |
XOM - EXXON MOBIL CORP(Class: COM) | 74.34M | $8.84B | - | Increased | 3.79M (5.0%, $1.25B) |
MA - MASTERCARD INCORPORATED(Class: CL A) | 16.12M | $8.83B | - | Increased | 3.26K (0.0%, $349.06M) |
PG - PROCTER AND GAMBLE CO(Class: COM) | 51.22M | $8.73B | - | Decreased | 103.73K (0.0%, $124.50M) |
ABBV - ABBVIE INC(Class: COM) | 41.15M | $8.62B | - | Increased | 1.46M (3.0%, $1.57B) |