MORGAN STANLEY

SEC CIK
0000895421

V holding history

VISA INC.

Every 13F filing in which MORGAN STANLEY reported holding V, plus the quarters it sold out. Changes compare share counts with the previous calendar quarter.

V overviewAll 13F holders of VFull portfolio

MORGAN STANLEY: V holding by quarter
QuarterSharesValue% of portfolioChange in sharesAction
Q2 202645,960,354$15.77B0.83%−19,5960.0%Reduced
Q1 202645,979,950$13.9B0.84%−883,131−1.9%Reduced
Q4 202546,863,081$16.44B0.98%−1,209,086−2.5%Reduced
Q3 202548,072,167$16.41B0.99%−1,983,350−4.0%Reduced
Q2 202550,055,517$17.77B1.16%−458,448−0.9%Reduced
Q1 202550,513,965$17.7B1.27%−113,364−0.2%Reduced
Q4 202450,627,329$16B1.12%+409,084+0.8%Added
Q3 202450,218,245$13.81B1.00%−448,247−0.9%Reduced
Q2 202450,666,492$13.3B1.03%−107,611,960−68.0%Reduced
Q1 2024158,278,452$44.17B1.18%+55,115,880+53.4%Added
Q4 2023103,162,572$26.86B1.18%+53,352,317+107.1%Added
Q3 202349,810,255$11.46B1.17%−174,349−0.3%Reduced
Q2 202349,984,604$11.87B1.17%+55,750+0.1%Added
Q1 202349,928,854$11.26B1.21%−1,194,012−2.3%Reduced
Q4 202251,122,866$10.62B1.21%+5,864,340+13.0%Added
Q3 202245,258,526$8.04B1.10%+657,493+1.5%Added
Q2 202244,601,033$8.78B1.14%+5,241,647+13.3%Added
Q1 202239,359,386$8.73B1.18%−4,195,624−9.6%Reduced
Q4 202143,555,010$9.44B1.17%+1,199,818+2.8%Added
Q3 202142,355,192$9.43B1.27%+646,198+1.5%Added
Q2 202141,708,994$9.75B1.29%+533,415+1.3%Added
Q1 202141,175,579$8.72B1.28%+41,175,579New