13F-HRFiling Date: Aug 13, 2026
Morgan Stanley (MS)
Institutional Holdings (13F)
View SEC Filing
ACC: 0000895421-26-000243
Total Value$1890.81B
Positions45905
Changes35042
Holdings
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Apple · AAPL
98.81M Shares
$28.59B
Cut−2.5%
1.51%
NVIDIA · NVDA
115.02M Shares
$23.01B
Added+478%
1.22%
NVIDIA · NVDA
102.73M Shares
$20.56B
Added+270194%
1.09%
Apple · AAPL
68.63M Shares
$19.86B
Added+2.5%
1.05%
Alphabet · GOOGL
49.62M SharesCAP STK CL A
$17.73B
Added+420011%
0.94%
Microsoft · MSFT
46.07M Shares
$17.19B
Added+57671%
0.91%
Amazon · AMZN
67.92M Shares
$16.19B
Added+41685%
0.86%
8
ISHARES TR
19.99M Shares
$14.97B
Added+7.6%
0.79%
9
ISHARES TR
116.06M Shares
$14.41B
Added+58614920%
0.76%
10
11STATE STR SPDR S&P 500 ETF T
18.97M SharesTR UNIT
$14.16B
Added+9726692%
0.75%
Microsoft · MSFT
34.91M Shares
$13.02B
Added+434%
0.69%
12
13VANGUARD INDEX FDS
18.04M Shares
$12.39B
Added+10.2%
0.66%
JPMorgan · JPM
35.25M Shares
$11.54B
Cut−2.7%
0.61%
Alphabet · GOOGL
29.64M SharesCAP STK CL A
$10.59B
Added+3.2%
0.56%
Amazon · AMZN
43.48M Shares
$10.36B
Added+3.0%
0.55%
Broadcom · AVGO
26.97M Shares
$10.19B
Added+1.2%
0.54%
17
ISHARES TR
39.51M Shares
$9.58B
Cut−3.6%
0.51%
18
19VANGUARD BD INDEX FDS
125.88M Shares
$9.24B
Added+0.7%
0.49%
Eli Lilly · LLY
7.66M Shares
$9.18B
Added+51668%
0.49%
Broadcom · AVGO
23.98M Shares
$9.06B
Added+511%
0.48%
remove_circle_outlineExited this quarter· 200
–Exited
–SPDR SERIES TRUST
was 30.39M shares
Honeywell · HON
was 12.03M shares
–Exited
SELECT SECTOR SPDR TR
was 17.95M shares
–Exited
MORGAN STANLEY ETF TRUST
was 32.23M shares
–Exited
SELECT SECTOR SPDR TR
was 32.98M shares
–Exited
SELECT SECTOR SPDR TR
was 24.39M shares
–Exited
SELECT SECTOR SPDR TR
was 9.97M shares
–Exited
SELECT SECTOR SPDR TR
was 8.43M shares
–Exited
SPDR SERIES TRUST
was 16.44M shares
–Exited
SPDR SERIES TRUST
was 9.25M shares
–Exited
CAPITAL GROUP GROWTH ETF
was 28.51M shares
–Exited
CAPITAL GROUP DIVIDEND VALUE
was 26.16M shares
–Exited
SPDR SERIES TRUST
was 9.53M shares
–Exited
SELECT SECTOR SPDR TR
was 20.26M shares
–Exited
SPDR SERIES TRUST
was 14.01M shares
–Exited
ISHARES TR
was 9.18M shares
–Exited
ISHARES TR
was 8.25M shares
–Exited
SELECT SECTOR SPDR TR
was 6.79M shares
–Exited
SELECT SECTOR SPDR TR
was 15.10M shares
–Exited
SELECT SECTOR SPDR TR
was 6.69M shares
–Exited
–SPDR SERIES TRUST
was 4.83M shares
Honeywell · HON
was 2.94M shares
–Exited
SPDR INDEX SHS FDS
was 12.43M shares
–Exited
SELECT SECTOR SPDR TR
was 6.50M shares
–Exited
SPDR SERIES TRUST
was 9.28M shares
–Exited
SPDR SERIES TRUST
was 5.45M shares
–Exited
BLACKROCK ETF TRUST II
was 9.88M shares
–Exited
VICTORY PORTFOLIOS II
was 12.55M shares
–Exited
ISHARES TR
was 3.96M shares
–Exited
–MORGAN STANLEY PATHWAY FDS
was 8.91M shares
Tesla · TSLA
was 1.12M shares
–Exited
SPDR INDEX SHS FDS
was 8.73M shares
–Exited
APELLIS PHARMACEUTICALS INC
was 9.73M shares
–Exited
SPDR SERIES TRUST
was 3.02M shares
–Exited
SELECT SECTOR SPDR TR
was 2.38M shares
–Exited
–CAPITAL GROUP GBL GROWTH EQT
was 11.07M shares
Alphabet · GOOGL
was 1.27M shares
–Exited
SPDR SERIES TRUST
was 4.51M shares
–Exited
SELECT SECTOR SPDR TR
was 5.92M shares
–Exited
MORGAN STANLEY ETF TRUST
was 6.58M shares
–Exited
SPDR SERIES TRUST
was 6.66M shares
–Exited
VANGUARD INTL EQUITY INDEX F
was 3.22M shares
–Exited
TERNS PHARMACEUTICALS INC
was 5.76M shares
–Exited
BLACKROCK ETF TRUST
was 9.09M shares
–Exited
SELECT SECTOR SPDR TR
was 5.95M shares
–Exited
ISHARES TR
was 3.17M shares
–Exited
SELECT SECTOR SPDR TR
was 3.55M shares
–Exited
CAPITAL GRP FIXED INCM ETF T
was 10.32M shares
–Exited
SSGA ACTIVE ETF TR
was 6.81M shares
–Exited
LITMAN GREGORY FDS TR
was 8.83M shares
–Exited
SSGA ACTIVE ETF TR
was 6.57M shares
–Exited
CAPITAL GROUP CORE EQUITY ET
was 6.55M shares
–Exited
SPDR SERIES TRUST
was 1.36M shares
–Exited
–BLACKROCK ETF TRUST
was 6.81M shares
Honeywell · HON
was 1.05M shares
–Exited
–FIRST TR EXCHANGE-TRADED FD
was 12.36M shares
Honeywell · HON
was 995.18K shares
–Exited
FIRST TR EXCHNG TRADED FD VI
was 8.96M shares
–Exited
SELECT SECTOR SPDR TR
was 5.33M shares
–Exited
SPDR INDEX SHS FDS
was 3.39M shares
–Exited
MORGAN STANLEY ETF TRUST
was 7.34M shares
–Exited
MORGAN STANLEY ETF TRUST
was 3.95M shares
–Exited
PROSHARES TR
was 4.55M shares
–Exited
GSK PLC
was 3.48M shares
–Exited
SPDR SERIES TRUST
was 755.23K shares
–Exited
CARNIVAL CORP
was 7.30M shares
–Exited
PACER FDS TR
was 4.16M shares
–Exited
CAPITAL GROUP INTL FOCUS EQT
was 6.31M shares
–Exited
FIRST TR EXCHNG TRADED FD VI
was 5.49M shares
–Exited
NEW YORK LIFE INVESTMENTS ET
was 5.48M shares
–Exited
ISHARES U S ETF TR
was 3.52M shares
–Exited
VICTORY PORTFOLIOS II
was 3.76M shares
–Exited
SPDR SERIES TRUST
was 2.98M shares
–Exited
SPDR INDEX SHS FDS
was 3.79M shares
–Exited
SPDR SERIES TRUST
was 5.12M shares
–Exited
SELECT SECTOR SPDR TR
was 1.14M shares
–Exited
VANECK ETF TRUST
was 1.24M shares
–Exited
ISHARES U S ETF TR
was 3.26M shares
–Exited
CENTESSA PHARMACEUTICALS PLC
was 3.89M shares
–Exited
T ROWE PRICE ETF INC
was 3.76M shares
–Exited
BLACKROCK ETF TRUST
was 3.73M shares
–Exited
COTERRA ENERGY INC
was 4.36M shares
–Exited
WISDOMTREE TR
was 1.61M shares
–Exited
ISHARES TR
was 1.44M shares
–Exited
ETF SER SOLUTIONS
was 4.56M shares
–Exited
THOMSON REUTERS CORP
was 1.67M shares
–Exited
SPDR SERIES TRUST
was 1.57M shares
–Exited
SCHWAB STRATEGIC TR
was 3.70M shares
–Exited
SEALED AIR CORP NEW
was 3.34M shares
–Exited
–DUPONT DE NEMOURS INC
was 3.06M shares
Honeywell · HON
was 603.24K shares
–Exited
MORGAN STANLEY ETF TRUST
was 2.67M shares
–Exited
KINETIK HOLDINGS INC
was 2.69M shares
–Exited
SPDR SERIES TRUST
was 5.45M shares
–Exited
SPDR SERIES TRUST
was 2.74M shares
–Exited
SELECT SECTOR SPDR TR
was 2.65M shares
–Exited
SELECT SECTOR SPDR TR
was 898.39K shares
–Exited
SPDR SERIES TRUST
was 1.50M shares
–Exited
SPDR SERIES TRUST
was 3.73M shares
–Exited
SPDR SERIES TRUST
was 2.30M shares
–Exited
SELECT SECTOR SPDR TR
was 998.05K shares
–Exited
SPDR SERIES TRUST
was 1.65M shares
–Exited
ISHARES TR
was 2.30M shares
–Exited
SPDR SERIES TRUST
was 977.69K shares
–Exited
INVESCO EXCHANGE TRADED FD T
was 826.61K shares
–Exited
AIR LEASE CORP
was 1.59M shares
–Exited
GOLDMAN SACHS ETF TR
was 1.97M shares
–Exited
SPDR INDEX SHS FDS
was 1.05M shares
–Exited
NEW YORK LIFE INVTS ACTIVE E
was 4.13M shares
–Exited
CAPITAL GRP FIXED INCM ETF T
was 3.69M shares
–Exited
SPDR SERIES TRUST
was 3.22M shares
–Exited
HOLOGIC INC
was 1.25M shares
–Exited
SPINNAKER ETF SERIES
was 2.31M shares
–Exited
NEW YORK LIFE INVTS ACTIVE E
was 3.84M shares
–Exited
ASCENDIS PHARMA A/S
was 404.00K shares
–Exited
VANECK ETF TRUST
was 1.05M shares
–Exited
NEW YORK LIFE INVESTMENTS ET
was 2.68M shares
–Exited
SPDR SERIES TRUST
was 921.73K shares
–Exited
AMICUS THERAPEUTIC
was 6.09M shares
–Exited
–HOLOGIC INC
was 1.14M shares
UnitedHealth · UNH
was 318.35K shares
Williams · WMB
was 1.16M shares
–Exited
SPDR SERIES TRUST
was 772.29K shares
–Exited
INVESCO EXCHANGE TRADED FD T
was 683.21K shares
–Exited
SPDR SERIES TRUST
was 845.43K shares
–Exited
MORGAN STANLEY ETF TRUST
was 1.59M shares
–Exited
SPDR INDEX SHS FDS
was 1.06M shares
–Exited
PROSHARES TR
was 2.06M shares
–Exited
SPDR SERIES TRUST
was 721.41K shares
–Exited
AMPLIFY ETF TR
was 1.56M shares
–Exited
SPDR SERIES TRUST
was 2.94M shares
–Exited
–SPDR SERIES TRUST
was 424.80K shares
Teradyne · TER
was 257.42K shares
–Exited
SPDR SERIES TRUST
was 796.76K shares
–Exited
INVESCO EXCH TRADED FD TR II
was 717.36K shares
–Exited
–SELECT SECTOR SPDR TR
was 1.85M shares
Monster Beverage · MNST
was 1.03M shares
–Exited
MASIMO CORP
was 419.49K shares
–Exited
DUPONT DE NEMOURS INC
was 1.62M shares
–Exited
SELECT SECTOR SPDR TR
was 557.60K shares
–Exited
AMERICAN BEACON SELECT FUNDS
was 1.43M shares
–Exited
WISDOMTREE TR
was 1.09M shares
–Exited
SPDR SERIES TRUST
was 1.58M shares
–Exited
SPDR SERIES TRUST
was 3.22M shares
–Exited
SELECT SECTOR SPDR TR
was 638.09K shares
–Exited
VANGUARD INSTL INDEX FD
was 933.87K shares
–Exited
SPDR SERIES TRUST
was 2.21M shares
–Exited
SPDR SERIES TRUST
was 2.72M shares
–Exited
COTERRA ENERGY INC
was 1.90M shares
–Exited
SPDR SERIES TRUST
was 2.28M shares
–Exited
SPDR SERIES TRUST
was 2.55M shares
–Exited
DUPONT DE NEMOURS INC
was 1.40M shares
–Exited
AMERICAN CENTY ETF TR
was 1.02M shares
–Exited
LAZARD ACTIVE ETF TR
was 2.44M shares
–Exited
ARCELLX INC
was 541.45K shares
–Exited
BLACKROCK ETF TRUST II
was 1.29M shares
–Exited
FIRST TR EXCHNG TRADED FD VI
was 2.75M shares
–Exited
–SPDR SERIES TRUST
was 723.74K shares
Carvana · CVNA
was 193.76K shares
–Exited
VANECK ETF TRUST
was 2.37M shares
–Exited
SPDR SERIES TRUST
was 768.02K shares
–Exited
–SPDR SERIES TRUST
was 594.56K shares
Las Vegas Sands · LVS
was 1.09M shares
–Exited
–GLOBAL X FDS
was 2.42M shares
DoorDash · DASH
was 373.80K shares
–Exited
SPDR SERIES TRUST
was 307.93K shares
–Exited
CARNIVAL CORP
was 2.13M shares
–Exited
SELECT SECTOR SPDR TR
was 893.07K shares
–Exited
SPDR SERIES TRUST
was 2.18M shares
–Exited
MORGAN STANLEY ETF TRUST
was 1.68M shares
–Exited
VANGUARD MUN BD FDS
was 1.07M shares
–Exited
SPDR INDEX SHS FDS
was 1.36M shares
–Exited
VICTORY PORTFOLIOS II
was 1.78M shares
–Exited
FIRST TR EXCHANGE-TRADED FD
was 2.55M shares
–Exited
–SELECT SECTOR SPDR TR
was 1.06M shares
Firstenergy · FE
was 1.04M shares
–Exited
SPDR SERIES TRUST
was 881.03K shares
–Exited
SPDR SERIES TRUST
was 554.64K shares
–Exited
–DUPONT DE NEMOURS INC
was 1.14M shares
Electronic Arts · EA
was 255.08K shares
–Exited
AB ACTIVE ETFS INC
was 1.46M shares
–Exited
HOLOGIC INC
was 683.30K shares
–Exited
WISDOMTREE TR
was 1.24M shares
–Exited
FIDELITY COVINGTON TRUST
was 1.32M shares
–Exited
ISHARES TR
was 781.87K shares
–Exited
SPDR SERIES TRUST
was 504.58K shares
–Exited
CAPITAL GROUP GROWTH ETF
was 1.23M shares
–Exited
PROFESIONALLY MANAGED PORTFO
was 1.58M shares
–Exited
FIDELITY COVINGTON TRUST
was 1.32M shares
–Exited
SELECT SECTOR SPDR TR
was 949.53K shares
–Exited
–SPDR SERIES TRUST
was 469.94K shares
United Airlines · UAL
was 491.22K shares
–Exited
CLEARWATER ANALYTICS HLDGS I
was 1.90M shares
–Exited
SPDR INDEX SHS FDS
was 873.84K shares
–Exited
VANGUARD WHITEHALL FDS
was 500.00K shares
–Exited
T ROWE PRICE ETF INC
was 1.24M shares
–Exited
SPDR SERIES TRUST
was 1.89M shares
–Exited
MORGAN STANLEY ETF TRUST
was 811.00K shares
–Exited
INVESCO EXCH TRD SLF IDX FD
was 1.90M shares
–Exited
SPDR INDEX SHS FDS
was 852.23K shares