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MORGAN STANLEY

8,312 holdingsFiling period: 2026-03-31Current AUM: $1.86Testimated from latest prices
#TickerCompanySharesReported ValueCurrent Value% PortfolioChangeDate
1AAPLAPPLE INC244.47M$62.05B$81.52B4.38%+13.99M2026-03-31
2NVDANVIDIA CORPORATION342.95M$59.81B$66.89B3.59%+19.22M2026-03-31
3MSFTMICROSOFT CORP124.88M$46.23B$56.33B3.03%+3.66M2026-03-31
4AMZNAMAZON COM INC173.93M$36.22B$40.96B2.20%+12.35M2026-03-31
5GOOGLALPHABET INC120.96M$34.78B$40.36B2.17%-838,7682026-03-31
6SPYSTATE STR SPDR S&P 500 ETF T40.50M$26.34B$30.04B1.61%+11.18M2026-03-31
7AVGOBROADCOM INC75.94M$23.50B$29.45B1.58%+2.97M2026-03-31
8METAMETA PLATFORMS INC38.08M$21.79B$20.53B1.10%+525.9K2026-03-31
9GOOGALPHABET INC71.67M$20.56B$23.91B1.29%-173,8542026-03-31
10JPMJPMORGAN CHASE & CO68.54M$20.16B$24.05B1.29%+2.16M2026-03-31
11IVVISHARES TR23.38M$15.27B$17.42B0.94%-646,3702026-03-31
12TSLATESLA INC39.18M$14.56B$12.10B0.65%+3.39M2026-03-31
13VOOVANGUARD INDEX FDS24.37M$14.56B$16.61B0.89%-202,6452026-03-31
14LLYELI LILLY & CO15.44M$14.20B$17.83B0.96%-155,5612026-03-31
15VVISA INC45.98M$13.90B$16.84B0.91%-883,1312026-03-31
16BRK-BBERKSHIRE HATHAWAY INC DEL26.85M$12.87B$12.87B0.69%+574.2K2026-03-31
17IWFISHARES TR29.76M$12.69B$13.98B0.75%+2.13M2026-03-31
18QQQINVESCO QQQ TR21.54M$12.43B$14.72B0.79%+5.49M2026-03-31
19XOMEXXON MOBIL CORP71.72M$12.17B$11.26B0.61%-2,738,8572026-03-31
20XOMEXXON MOBIL CORP71.72M$12.17B$11.26B0.61%-2,738,8572026-03-31
21JNJJOHNSON & JOHNSON44.72M$10.93B$11.44B0.61%-1,604,4222026-03-31
22WMTWALMART INC85.91M$10.68B$9.54B0.51%+1.63M2026-03-31
23COSTCOSTCO WHOLESALE CORPORATION9.90M$9.86B$9.45B0.51%+375.3K2026-03-31
24NFLXNETFLIX INC.99.02M$9.52B$7.25B0.39%+13.67M2026-03-31
25IEFAISHARES TR105.16M$9.52B$10.40B0.56%+274.3K2026-03-31
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