MORGAN STANLEY

SEC CIK
0000895421

Holdings, Q3 2021

Positions as of Sep 30, 2021, filed Nov 15, 2021.SEC

Positions
8,075
+259 vs. Q2 2021
Total value
$742.48B
−$15.65B (−2.1%) vs. Q2 2021

Compare with Q2 2021: new, added, reduced and sold out

Positions

Long positions only. Changes compare share counts with Q2 2021.

MORGAN STANLEY holdings in Q3 2021
SecurityClassSharesValue% of portfolioChange in sharesActionHistory
MSFTMICROSOFT CORP COMStock67,617,960$19.06B2.57%−505,060−0.7%ReducedView
AAPLAPPLE INC COMStock128,279,150$18.15B2.44%+2,419,441+1.9%AddedView
AMZNAMAZON COM INC COMStock4,844,812$15.92B2.14%−303,578−5.9%ReducedView
SPYSTATE STREET SPDR S&P 500 ETFETF25,416,623$10.91B1.47%−1,515,608−5.6%ReducedView
VVISA INC COM CL AStock42,355,192$9.43B1.27%+646,198+1.5%AddedView
GOOGLALPHABET INC CAP STK CL AStock3,317,690$8.87B1.19%+101,173+3.1%AddedView
SHOPSHOPIFY INC CL A SUB VTG SHSStock6,034,734$8.18B1.10%+83,944+1.4%AddedView
METAMETA PLATFORMS INC CL AStock22,825,288$7.75B1.04%+480,834+2.2%AddedView
MAMASTERCARD INCORPORATED CL AStock19,650,864$6.83B0.92%+871,206+4.6%AddedView
XYZBLOCK INCCL A26,970,102$6.47B0.87%−1,945,189−6.7%ReducedView
JPMJPMORGAN CHASE & CO COMStock38,201,840$6.25B0.84%−86,737−0.2%ReducedView
DISDISNEY WALT CO COMStock35,294,697$5.97B0.80%+2,628,220+8.0%AddedView
INVESCO QQQ TRUST SERIES I46090E103ETF15,894,444$5.69B0.77%+1,684,394+11.9%Added–
ISHARES RUSSELL 1000 GROWTH ETF464287614ETF18,735,608$5.13B0.69%−989,644−5.0%Reduced–
SNOWSNOWFLAKE INC COM SHSStock16,843,131$5.09B0.69%+1,944,885+13.1%AddedView
PGPROCTER & GAMBLE CO COMStock34,831,920$4.87B0.66%+331,201+1.0%AddedView
ISHARES RUSSELL 1000 VALUE ETF464287598ETF30,948,831$4.84B0.65%+1,081,943+3.6%Added–
ISHARES CORE MSCI EAFE ETF46432F842ETF64,627,699$4.8B0.65%+2,202,128+3.5%Added–
UBERUBER TECHNOLOGIES INC COMStock104,679,711$4.69B0.63%−20,950,772−16.7%ReducedView
TMOTHERMO FISHER SCIENTIFIC INC COMStock8,110,058$4.63B0.62%−195,995−2.4%ReducedView
TWITTER INC90184L102COM73,437,757$4.43B0.60%−1,015,238−1.4%Reduced–
NOWSERVICENOW INC COMStock7,115,876$4.43B0.60%−161,519−2.2%ReducedView
DHRDANAHER CORP DEL COMStock14,362,364$4.37B0.59%+635,346+4.6%AddedView
ISHARES CORE S&P 500 ETF464287200ETF10,054,997$4.33B0.58%+2,3170.0%Added–
PMPHILIP MORRIS INTL INC COMStock45,512,114$4.31B0.58%+793,619+1.8%AddedView
GOOGALPHABET INC CAP STK CL CStock1,591,120$4.24B0.57%−842,012−34.6%ReducedView
SNAPSNAP INC CL AStock56,231,297$4.15B0.56%+1,396,072+2.5%AddedView
CRMSALESFORCE INC COMStock15,201,272$4.12B0.56%−1,362,625−8.2%ReducedView
JNJJOHNSON & JOHNSON COMStock24,896,021$4.02B0.54%−170,723−0.7%ReducedView
ADBEADOBE INC COMStock6,931,703$3.99B0.54%−95,266−1.4%ReducedView
HDHOME DEPOT INC COMStock11,938,903$3.92B0.53%+433,190+3.8%AddedView
NVDANVIDIA CORPORATION COMStock18,498,150$3.83B0.52%+13,821,357+295.5%AddedView
VANGUARD TOTAL BOND MARKET ETF921937835ETF44,823,433$3.83B0.52%+2,302,942+5.4%Added–
ISHARES RUSSELL 2000 ETF464287655ETF16,459,106$3.6B0.48%−2,343,899−12.5%Reduced–
VANGUARD MORNINGSTAR VALUE ETF922908744ETF25,689,990$3.48B0.47%+1,130,032+4.6%Added–
UNHUNITEDHEALTH GROUP INC COMStock8,835,603$3.45B0.46%+142,366+1.6%AddedView
ZMZOOM COMMUNICATIONS INC CL AStock13,111,368$3.43B0.46%+726,667+5.9%AddedView
ABTABBOTT LABORATORIES COMStock28,420,322$3.36B0.45%−141,819−0.5%ReducedView
BRK.BBERKSHIRE HATHAWAY INC DEL CL B NEWStock12,038,506$3.29B0.44%−391,420−3.1%ReducedView
ISRGINTUITIVE SURGICAL INCCOM NEW3,270,499$3.25B0.44%−640,779−16.4%ReducedView
ACNACCENTURE PLC IRELAND SHS CLASS AStock10,093,076$3.23B0.43%+205,505+2.1%AddedView
NETCLOUDFLARE INCCL A COM27,910,765$3.14B0.42%−819,129−2.9%ReducedView
VEEVVEEVA SYS INC CL A COMStock10,861,782$3.13B0.42%−2,673,317−19.8%ReducedView
TWLOTWILIO INCCL A9,736,046$3.11B0.42%−1,242,371−11.3%ReducedView
VANGUARD SHORT-TERM BOND ETF921937827ETF37,502,830$3.07B0.41%+5,423,765+16.9%Added–
VANGUARD MORNINGSTAR GROWTH ETF922908736ETF10,524,561$3.05B0.41%−1,4700.0%Reduced–
SPOTSPOTIFY TECHNOLOGY S A SHSStock13,367,561$3.01B0.41%−5,898,127−30.6%ReducedView
PYPLPAYPAL HLDGS INC COMStock11,347,128$2.95B0.40%−721,155−6.0%ReducedView
RBLXROBLOX CORP CL AStock38,590,461$2.92B0.39%+19,852,955+106.0%AddedView
TSLATESLA INC COMStock3,752,034$2.91B0.39%+271,942+7.8%AddedView
ISHARES CORE MSCI EMERGING MARKETS ETF46434G103ETF44,804,696$2.77B0.37%+579,501+1.3%Added–
DASHDOORDASH INC CL AStock13,408,209$2.76B0.37%+1,218,681+10.0%AddedView
COSTCOSTCO WHOLESALE CORPORATION COMStock6,071,457$2.73B0.37%−113,648−1.8%ReducedView
KOCOCA COLA CO COMStock50,747,845$2.66B0.36%+2,484,005+5.1%AddedView
HONHoneywell TechnologiesCOM12,486,194$2.65B0.36%+350,521+2.9%AddedView
EPAMEPAM SYS INCCOM4,586,951$2.62B0.35%+41,703+0.9%AddedView
VANGUARD S&P 500 ETF922908363ETF6,605,105$2.61B0.35%+383,170+6.2%Added–
PIMCO ENHANCED SHORT MATURITY ACTIVE EXCHANGE-TRADED FUND72201R833ETF24,929,903$2.54B0.34%+3,761,563+17.8%Added–
CVXCHEVRON CORPORATION COMStock24,297,770$2.47B0.33%+995,353+4.3%AddedView
SESEA LTDSPONSORD ADS7,722,709$2.46B0.33%−524,123−6.4%ReducedView
BACBANK OF AMER CORP COMStock57,963,059$2.46B0.33%−461,295−0.8%ReducedView
ISHARES CORE S&P SMALL CAP ETF464287804ETF22,528,269$2.46B0.33%+3,779,269+20.2%Added–
CMCSACOMCAST CORP NEW CL AStock43,267,135$2.42B0.33%+2,417,070+5.9%AddedView
ADPAUTOMATIC DATA PROCESSING INC COMStock12,102,485$2.42B0.33%−1,804,464−13.0%ReducedView
BDXBECTON DICKINSON & CO COMStock9,827,875$2.42B0.33%+652,875+7.1%AddedView
VZVERIZON COMMUNICATIONS INC COMStock42,826,242$2.31B0.31%+1,718,891+4.2%AddedView
NKENIKE INC CL BStock15,858,858$2.3B0.31%−1,481,526−8.5%ReducedView
BXBLACKSTONE INCCOM19,385,077$2.26B0.30%−1,092,196−5.3%ReducedView
BAXBAXTER INTL INC COMStock27,875,555$2.24B0.30%+2,102,500+8.2%AddedView
DDOGDATADOG INCCL A COM15,795,423$2.23B0.30%+2,185,920+16.1%AddedView
NFLXNETFLIX INC. COMStock3,639,215$2.22B0.30%−258,812−6.6%ReducedView
MRNAMODERNA INC COMStock5,661,387$2.18B0.29%−1,760,110−23.7%ReducedView
ISHARES S&P 500 GROWTH ETF464287309ETF29,161,499$2.16B0.29%−97,073−0.3%Reduced–
NEENEXTERA ENERGY INC COMStock27,119,446$2.13B0.29%−420,833−1.5%ReducedView
WWAYFAIR INCCL A8,326,165$2.13B0.29%+904,569+12.2%AddedView
VANGUARD MORNINGSTAR TOTAL STOCK MARKET ETF922908769ETF9,525,475$2.12B0.28%+98,986+1.1%Added–
VANGUARD FTSE DEVELOPED MARKETS ETF921943858ETF41,801,083$2.11B0.28%+1,784,196+4.5%Added–
AMGNAMGEN INC COMStock9,906,845$2.11B0.28%−134,087−1.3%ReducedView
MCDMCDONALDS CORP COMStock8,719,844$2.1B0.28%+343,349+4.1%AddedView
CSCOCISCO SYS INC COMStock38,445,679$2.09B0.28%−1,188,393−3.0%ReducedView
RTXRTX CORPORATION COMStock24,162,676$2.08B0.28%+301,445+1.3%AddedView
RPRXROYALTY PHARMA PLCSHS CLASS A57,305,311$2.07B0.28%+6,511,270+12.8%AddedView
PEPPEPSICO INC COMStock13,726,857$2.06B0.28%+738,582+5.7%AddedView
ISHARES TR464288513IBOXX HI YD ETF23,513,943$2.06B0.28%−7,631,442−24.5%Reduced–
ABBVABBVIE INC COMStock18,986,342$2.05B0.28%+41,655+0.2%AddedView
PFEPFIZER INC COMStock46,654,025$2.01B0.27%−1,240,055−2.6%ReducedView
WMTWALMART INC COMStock14,390,040$2.01B0.27%+280,795+2.0%AddedView
MRKMERCK & CO INC COMStock26,137,902$1.96B0.26%−151,594−0.6%ReducedView
BLKBLACKROCK INCCOM2,334,935$1.96B0.26%+10,968+0.5%AddedView
CVSCVS HEALTH CORP COMStock22,849,435$1.94B0.26%+712,077+3.2%AddedView
CPNGCOUPANG INCCL A68,399,962$1.9B0.26%+52,855,644+340.0%AddedView
GLDSPDR GOLD SHARESETF11,161,588$1.83B0.25%−1,601,796−12.5%ReducedView
UUNITY SOFTWARE INCCOM14,458,990$1.83B0.25%+5,156,313+55.4%AddedView
BILLBILL HOLDINGS INC COMStock6,695,644$1.79B0.24%+6,316,969+1,668.2%AddedView
TTDTHE TRADE DESK INC COM CL AStock25,373,248$1.78B0.24%+4,509,355+21.6%AddedView
DOCUDOCUSIGN INC COMStock6,781,811$1.75B0.24%+120,044+1.8%AddedView
CCITIGROUP INC COM NEWStock24,478,057$1.72B0.23%+315,655+1.3%AddedView
VANGUARD FTSE EMERGING MARKETS ETF922042858ETF34,212,823$1.71B0.23%−588,517−1.7%Reduced–
ISHARES CORE U.S. AGGREGATE BOND ETF464287226ETF14,832,920$1.7B0.23%+298,066+2.1%Added–
MDTMEDTRONIC PLC SHSStock13,547,660$1.7B0.23%+547,223+4.2%AddedView

Sold out since Q2 2021 (336)

Positions held at the end of Q2 2021 that are no longer in this filing.

Showing the largest 100 of 336 by value.

MORGAN STANLEY positions sold out since Q2 2021
SecurityClassShares, Q2 2021Value, Q2 2021% of portfolio, Q2 2021
GEGENERAL ELECTRIC COCOM41,344,433$556.5M0.07%
PROOFPOINT INC743424103COM2,535,892$440.64M0.06%
BROOKFIELD PROPERTY PARTRS LG16249107UNIT LTD PARTN20,739,840$393.02M0.05%
ALEXION PHARMACEUTICALS INC015351109COM1,725,693$317.03M0.04%
SLACK TECHNOLOGIES INC83088V102COM CL A6,609,174$292.79M0.04%
L BRANDS INC501797104COM2,304,041$166.03M0.02%
SOARING EAGLE ACQUISITION COG8354H100UNIT 02/23/20269,270,288$98.17M0.01%
NAVISTAR INTL CORP NEW63934E108COM2,042,429$90.89M0.01%
MAXIM INTEGRATED PRODS INC57772K101COM856,112$90.2M0.01%
GRACE W R & CO DEL NEW38388F108COM1,298,699$89.77M0.01%
MOMOMOMO INCADR3,255,099$49.84M0.01%
WEINGARTEN RLTY INVS948741103SH BEN INT1,509,403$48.41M0.01%
CINCINNATI BELL INC NEW171871502COM NEW2,887,683$44.53M0.01%
AT HOME GROUP INC04650Y100COM1,194,973$44.02M0.01%
QTS RLTY TR INC74736A103COM CL A568,444$43.94M0.01%
SYKES ENTERPRISES INC871237103COM802,655$43.1M0.01%
GORES HOLDINGS VI INC38286R105COM CL A2,534,433$41.08M0.01%
LIGHTSPEED POS INC53227R106SUB VTG SHS478,073$39.97M0.01%
PRA HEALTH SCIENCES INC69354M108COM213,234$35.23M0.00%
PRICELINE GRP INC741503AX4NOTE 0.900% 9/1–$30.57M0.00%
TPG PACE TECH OPPORTUNITIESG8990Y103CL A COM2,802,079$27.82M0.00%
JAZZ INVESTMENTS I LTD472145AB7NOTE 1.875% 8/1–$26.92M0.00%
TWITTER INC90184LAD4NOTE 1.000% 9/1–$26.13M0.00%
CHURCHILL CAPITAL CORP IV171439102CL A875,278$25.23M0.00%
LUMINEX CORP DEL55027E102COM555,738$20.45M0.00%
BOSTON PRIVATE FINL HLDGS IN101119105COM1,317,827$19.44M0.00%
TRANSLATE BIO INC89374L104COM698,131$19.23M0.00%
CORE MARK HOLDING CO INC218681104COM354,806$15.97M0.00%
CONSTELLATION PHARMCETICLS I210373106COM467,442$15.8M0.00%
TALEND S A874224207ADS233,244$15.3M0.00%
U S CONCRETE INC90333L201COM192,763$14.23M0.00%
MDC PARTNERS INC.552697104CL A SUB VTG2,088,966$12.22M0.00%
FLY LEASING LTD34407D109SPONSORED ADR701,094$11.88M0.00%
KNOLL INC498904200COM NEW408,722$10.62M0.00%
INTERNATIONAL FLAVORS&FRAGRA459506309UNIT 09/15/2021163,698$8.28M0.00%
ORBCOMM INC68555P100COM701,232$7.88M0.00%
TORTOISE ESSENTIAL ASSETS IN89148A103COM SH BEN INT523,255$7.76M0.00%
CM LIFE SCIENCES II INC125842203UNIT 02/25/2028553,946$7.45M0.00%
KINDRED BIOSCIENCES INC494577109COM706,114$6.48M0.00%
AJAX IG0190X100COM646,518$6.44M0.00%
BROOKFIELD PPTY REIT INC11282X103CL A328,691$6.21M0.00%
NEW SR INVT GROUP INC648691103COM699,421$6.14M0.00%
NATERA INC632307AB0CONV BD US–$5.16M0.00%
SOGOU INC83409V104ADR REPSTG A534,155$4.56M0.00%
NIO INCG6525FAA0DEBT 4.500% 2/0–$4.51M0.00%
SQUARE INC852234AF0NOTE 0.125% 3/0–$4.31M0.00%
AHTASHFORD HOSPITALITY TR INCCOM SHS932,590$4.25M0.00%
VIAVI SOLUTIONS INC925550AB1NOTE 1.000% 3/0–$4.15M0.00%
GORES HLDGS V INC382864106COM CL A384,438$3.88M0.00%
IVY HIGH INCOME OPPORTUNITIE465893105COM269,556$3.79M0.00%
PQ GROUP HLDGS INC73943T103COM231,505$3.56M0.00%
DIAMOND S SHIPPING INCY20676105COM346,953$3.46M0.00%
GDS HLDGS LTD36165LAB4NOTE 2.000% 6/0–$3.27M0.00%
CM LIFE SCIENCES III INC125841205UNIT 04/30/2028295,361$3.24M0.00%
ALASKA COMMUNICATIONS SYS GR01167P101COM962,815$3.21M0.00%
SOLARWINDS CORP83417Q105COM185,922$3.14M0.00%
ISHARES TR46429B135INTL PFD STK ETF179,871$3.09M0.00%
SPLUNK INC848637AD6NOTE 1.125% 9/1–$2.68M0.00%
RADIUS HEALTH INC750469AA6NOTE 3.000% 9/0–$2.54M0.00%
HC2 HLDGS INC404139107COM605,079$2.41M0.00%
PROSIGHT GLOBAL INC74349J103COM176,003$2.25M0.00%
MITTAG MTG INVT TR INCCOM479,185$2.05M0.00%
MSG NETWORK INC553573106CL A110,310$1.61M0.00%
WATFORD HLDGS LTDG94787101SHS45,464$1.59M0.00%
WKWORKIVA INCNOTE 1.125% 8/1–$1.56M0.00%
HUBSPOT INC443573AB6NOTE 0.250% 6/0–$1.53M0.00%
VEONEER INC92336XAA7NOTE 4.000% 6/0–$1.35M0.00%
HOLICITY INC435063102COM CL A103,718$1.28M0.00%
APEX TECHNOLOGY ACQUISITION03768F102COM CL A93,087$1.14M0.00%
GOOD WORKS ACQUISITION CORP38216X107COM92,540$921K0.00%
SOARING EAGLE ACQUISITION COG8354H126CL A SHS85,786$854K0.00%
TORTOISE ACQUISITION CORP IIG89554102COM CL A82,202$824K0.00%
CLIMATE CHANGE CRISIS REAL I18716C100CL A COM54,328$816K0.00%
WAYFAIR INC94419LAB7NOTE 0.375% 9/0–$816K0.00%
QUDIAN INC747798AB2NOTE 1.000% 7/0–$756K0.00%
J ALEXANDERS HLDGS INC46609J106COM61,325$714K0.00%
CHURCHILL CAPITAL CORP V17144T107COM CL A68,649$691K0.00%
PORTMAN RIDGE FIN CORP73688F102COM284,435$677K0.00%
CERECOR INC15671L109COM196,679$643K0.00%
ARES ACQUISITION CORPORATIONG33032106COM CL A65,400$638K0.00%
SHARPSPRING INC820054104COM37,407$631K0.00%
GTT COMMUNICATIONS INC362393100COM248,506$604K0.00%
BLACKROCK SCIENCE & TECHNOLO09258G112RIGHT 07/14/2021909,983$601K0.00%
GABELLI EQUITY TR INC362397218RIGHT 07/14/20215,106,927$596K0.00%
SWITCHBACK II CORPORATIONG8633T115COM CL A59,211$586K0.00%
EXFO INC302046107SUB VTG SHS97,200$578K0.00%
CHARDAN HEALTHCR ACQSTN 2 CO15957T107COM53,035$526K0.00%
ETF SER SOLUTIONS26922A495VOLSHARES LARG12,000$517K0.00%
MER TELEMANAGEMENT SOLUTIONSM69676209SHS165,012$513K0.00%
EQUITY DISTR ACQUISITION COR29465E205UNIT 99/99/999950,000$511K0.00%
FALCON CAPITAL ACQUISITN COR30606L108COM CL A54,496$506K0.00%
REINVENT TECHNOLOGY PARTNERSG7483N129CL A49,899$498K0.00%
HARBOR CUSTOM DEVELOPMENT IN41150T108COM152,550$494K0.00%
STABLE RD ACQUISITION CORP85236Q109COM CL A35,095$491K0.00%
MMA CAPITAL HOLDINGS INC55315D105COM17,700$481K0.00%
QELL ACQUISITION CORPG7307X105CL A48,187$479K0.00%
ONEG7000X105COM CL A45,322$452K0.00%
FLEXION THERAPEUTICS INC33938JAB2NOTE 3.375% 5/0–$450K0.00%
1895 BANCORP OF WIS INC28252W105COM29,566$444K0.00%
STAR PEAK CORP II855179107COM CL A42,404$420K0.00%

13F filings by quarter

MORGAN STANLEY 13F filings by quarter
QuarterFiledPositionsTotal valueChangesFiling
Q2 2026Aug 13, 20268,402$1.89Tvs. Q1 2026SEC
Q1 2026May 15, 20268,287$1.66Tvs. Q4 2025SEC
Q4 2025May 27, 2026Amended8,196$1.67Tvs. Q3 2025SEC
Q3 2025May 27, 2026Amended8,157$1.65Tvs. Q2 2025SEC
Q2 2025Aug 15, 20258,088$1.54Tvs. Q1 2025SEC
Q1 2025May 15, 20258,086$1.4Tvs. Q4 2024SEC
Q4 2024May 15, 2025Amended7,965$1.43Tvs. Q3 2024SEC
Q3 2024May 14, 2025Amended7,927$1.38Tvs. Q2 2024SEC
Q2 2024May 14, 2025Amended7,845$1.29Tvs. Q1 2024SEC
Q1 2024Oct 17, 2024Amended7,817$3.74Tvs. Q4 2023SECSECSEC
Q4 2023Aug 16, 2024Amended7,830$2.27Tvs. Q3 2023SECSEC
Q3 2023Nov 15, 20237,619$983.41Bvs. Q2 2023SEC
Q2 2023Aug 14, 20237,655$1.01Tvs. Q1 2023SEC
Q1 2023May 15, 20237,708$932.64Bvs. Q4 2022SEC
Q4 2022Feb 14, 20237,888$880.47Bvs. Q3 2022SEC
Q3 2022Nov 14, 20228,003$733.72Bvs. Q2 2022SEC
Q2 2022Oct 27, 2022Amended8,022$770.42Bvs. Q1 2022SEC
Q1 2022Oct 27, 2022Amended8,164$741.46Bvs. Q4 2021SEC
Q4 2021Feb 14, 20228,180$809.87Bvs. Q3 2021SEC
Q3 2021Nov 15, 20218,075$742.48Bvs. Q2 2021SEC
Q2 2021Aug 23, 2021Amended7,816$758.13Bvs. Q1 2021SEC
Q1 2021May 17, 20217,569$680.76B–SEC