HoldingsChannel.com
Morgan Stanley Top Holdings
As of  03/31/2019

   EntityAmountChange
 12/31/2018 to 03/31/2019
Position Size
($ in 1000's)
AMAZON COM INC 4,651,353 -70,004 $8,282,897
     AMZN4,651,353-70,004$8,282,897
SPDR S&P 500 ETF TR (SPY) 26,781,929 -5,483,767 $7,565,359
     SPY26,781,929-5,483,767$7,565,359
MICROSOFT CORP 59,808,678 -634,778 $7,053,839
     MSFT59,808,678-634,778$7,053,839
APPLE INC 34,265,180 -3,839,987 $6,508,672
     AAPL34,265,180-3,839,987$6,508,672
VISA INC 30,977,262 +84,738 $4,838,340
     V30,977,262+84,738$4,838,340
ALPHABET INC 3,367,398 +641,902 $3,951,001
     GOOG3,367,398+641,902$3,951,001
JPMORGAN CHASE & CO 33,710,076 -4,080,767 $3,412,472
     JPM33,710,076-4,080,767$3,412,472
MASTERCARD INC 13,289,590 -588,943 $3,129,033
     MA13,289,590-588,943$3,129,033
FACEBOOK INC 16,804,335 -6,531,695 $2,801,115
     FB16,804,335-6,531,695$2,801,115
JOHNSON & JOHNSON 19,873,034 -2,443,609 $2,778,051
     JNJ19,873,034-2,443,609$2,778,051
ALPHABET INC 2,234,464 -196,540 $2,629,720
     GOOGL2,234,464-196,540$2,629,720
PHILIP MORRIS INTL INC 29,487,644 +6,642,051 $2,606,413
     PM29,487,644+6,642,051$2,606,413
SERVICENOW INC      $2,377,904
     NOW9,574,909+563,033$2,360,121
     NOTE 6 09,616,000+6,511,000$17,783
DISNEY WALT CO 21,356,666 +785,119 $2,371,231
     DIS21,356,666+785,119$2,371,231
CISCO SYS INC 43,686,433 -6,003,118 $2,358,629
     CSCO43,686,433-6,003,118$2,358,629
SALESFORCE COM INC 13,367,451 -2,945,643 $2,117,003
     CRM13,367,451-2,945,643$2,117,003
ALIBABA GROUP HLDG LTD 11,338,610 -46,733 $2,068,729
     BABA11,338,610-46,733$2,068,729
BERKSHIRE HATHAWAY INC DEL      $2,064,047
     BRK.B9,200,941-707,436$1,848,377
     BRK.A716-9$215,670
INVESCO QQQ TR 11,113,992 -7,451,672 $1,996,739
     QQQ11,113,992-7,451,672$1,996,739
TAL EDUCATION GROUP 55,012,134 -1,871,023 $1,984,836
     TAL55,012,134-1,871,023$1,984,836
PFIZER INC 45,464,880 -4,470,687 $1,930,893
     PFE45,464,880-4,470,687$1,930,893
VERIZON COMMUNICATIONS INC 32,375,072 -5,229,144 $1,914,339
     VZ32,375,072-5,229,144$1,914,339
CHEVRON CORP NEW 15,078,575 -1,353,766 $1,857,377
     CVX15,078,575-1,353,766$1,857,377
DANAHER CORPORATION      $1,855,200
     DHR13,996,820-517,456$1,847,860
     DHR.PRA6,550+6,550$6,861
     DBCV 1 295,000-101,000$479
ACCENTURE PLC IRELAND 10,199,734 +199,818 $1,795,358
     ACN10,199,734+199,818$1,795,358
INTUITIVE SURGICAL INC 3,084,236 -71,381 $1,759,803
     ISRG3,084,236-71,381$1,759,803
ABBOTT LABS 21,894,609 -1,285,253 $1,750,257
     ABT21,894,609-1,285,253$1,750,257
ISHARES TR (IVV) 6,098,547 -307,432 $1,735,403
     IVV6,098,547-307,432$1,735,403
COCA COLA CO 36,313,161 -1,942,120 $1,701,634
     KO36,313,161-1,942,120$1,701,634
WORKDAY INC      $1,688,828
     WDAY8,744,727-2,134,046$1,686,422
     NOTE 01,702,000-6,827,000$2,406
AT&T INC 53,127,382 -678,698 $1,666,076
     T53,127,382-678,698$1,666,076
STARBUCKS CORP 22,046,421 -10,570,032 $1,638,930
     SBUX22,046,421-10,570,032$1,638,930
ADOBE INC 6,137,957 -427,772 $1,635,704
     ADBE6,137,957-427,772$1,635,704
BOEING CO 4,190,696 -21,390 $1,598,416
     BA4,190,696-21,390$1,598,416
NETFLIX INC 4,479,495 +891,014 $1,597,210
     NFLX4,479,495+891,014$1,597,210
HOME DEPOT INC 8,283,451 -428,507 $1,589,512
     HD8,283,451-428,507$1,589,512
UNITEDHEALTH GROUP INC 6,408,528 -1,302,822 $1,584,572
     UNH6,408,528-1,302,822$1,584,572
NEXTERA ENERGY INC      $1,549,548
     NEE8,007,136-315,490$1,547,938
     NEE.PRR25,870+12,931$1,610
UNITED TECHNOLOGIES CORP 11,583,898 -677,487 $1,493,049
     UTX11,583,898-677,487$1,493,049
PROCTER AND GAMBLE CO 14,265,228 -2,498,375 $1,484,296
     PG14,265,228-2,498,375$1,484,296
UNION PACIFIC CORP 8,843,210 -3,194,842 $1,478,585
     UNP8,843,210-3,194,842$1,478,585
BANK AMER CORP      $1,477,309
     BAC52,304,387-6,666,177$1,443,077
     BAC.PRL26,261-1,995$34,232
TWITTER INC      $1,455,109
     TWTR43,865,535-6,016,972$1,442,298
     NOTE 112,687,000-241,000$11,932
     NOTE 0895,000+56,000$879
HONEYWELL INTL INC 9,051,511 -1,144,247 $1,438,467
     HON9,051,511-1,144,247$1,438,467
ISHARES TR (IVW) 8,255,326 -438,728 $1,422,887
     IVW8,255,326-438,728$1,422,887
VEEVA SYS INC 11,199,715 -1,273,069 $1,420,796
     VEEV11,199,715-1,273,069$1,420,796
ISHARES TR (EEM) 33,022,213 +806,672 $1,417,312
     EEM33,022,213+806,672$1,417,312
SPOTIFY TECHNOLOGY S A 10,184,531 +5,607,903 $1,413,613
     SPOT10,184,531+5,607,903$1,413,613
VANGUARD TAX MANAGED INTL FD (VEA) 34,030,892 -594,430 $1,390,843
     VEA34,030,892-594,430$1,390,843
ZOETIS INC 13,785,853 +127,988 $1,387,822
     ZTS13,785,853+127,988$1,387,822

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

Size ($ in 1000's)
At 03/31/2019: $353,274,848
At 12/31/2018: $334,173,053

Combined Holding Report Includes:
MORGAN STANLEY
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 Asia International Ltd
MORGAN STANLEY SMITH BARNEY LLC
Morgan Stanley Strategic Investments Inc
Morgan Stanley Uruguay Ltda.
Fundlogic Sas
Morgan Stanley Asia Ltd
Morgan Stanley Wealth Management Australia Pty Ltd

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

Morgan Stanley Top Holdings 13F Filings | www.HoldingsChannel.com

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