ホーム/MS

Public research page

Market data comes from the live feed. The company research below uses verified public sources, but it is not a real-time personalized AI conclusion.

Analyze MS in workspace
MSNYSE/financials

Morgan Stanley

$221.09Down-1,19 (-0,54%)
Research reviewed: 2026年7月12日 00:00 UTC
Research overview3-month price contextInvestment thesisKey catalystsLatest earnings researchRecent newsData and research sources

Research overview

Morgan Stanley operates in Investment Banking and Brokerage within the financials sector. This profile tracks its company-specific earnings drivers, valuation conditions, and primary-source risks.

Открытие
222,46
Максимум
223,45
Минимум
218,78
Капитализация
348,72 млрд
P/E
20.01
Максимум за 52 недели
--
Дивиденд
1.800%
Квартальный дивиденд
--

3-month price context

直近3か月の推移を表示し、フル調査ワークスペースに進む前に短期構造を把握できます。

Investment thesis

Base case
Active advisory, underwriting and trading markets can lift Institutional Securities revenue. The base case remains conditional on market sensitivity staying manageable.
Bull case
Active advisory, underwriting and trading markets can lift Institutional Securities revenue. Net new assets and fee-based flows can deepen recurring Wealth Management revenue. Cross-division client relationships can broaden wallet share and improve capital efficiency.
Bear case
Lower issuance, deal completion or trading activity can quickly reduce revenue. Client defaults and stressed markets can create lending and trading losses. Stricter capital, compliance or conduct requirements can constrain returns.
Thesis invalidation
Reassess the thesis if lower issuance, deal completion or trading activity can quickly reduce revenue.

Key catalysts

  • Institutional client activity

    Active advisory, underwriting and trading markets can lift Institutional Securities revenue.

  • Wealth asset gathering

    Net new assets and fee-based flows can deepen recurring Wealth Management revenue.

  • Integrated-firm referrals

    Cross-division client relationships can broaden wallet share and improve capital efficiency.

Principal risks

  • Market sensitivity

    Lower issuance, deal completion or trading activity can quickly reduce revenue.

  • Credit and counterparty risk

    Client defaults and stressed markets can create lending and trading losses.

  • Capital and conduct rules

    Stricter capital, compliance or conduct requirements can constrain returns.

Latest earnings research

Q1 2026

Morgan Stanley reported a strong first quarter as Institutional Securities benefited from broad client activity and Wealth Management continued to gather fee-based assets.

Valuation interpretation

  • A higher-quality earnings mix requires wealth flows to remain durable across market cycles.
  • Institutional upside should be judged against revenue volatility and regulatory capital intensity.

Peer research

GSSCHWBAC

Recent news

Yahoo Finance Video · 14 часов назад

Big bank earnings on tap: Why these 2 could surprise to the upside

24/7 Wall St. · 2 часа назад

Senior Analyst: Banks Are Set for 25% Earnings Growth as the Capital Markets Boom Accelerates

MT Newswires · 5 часов назад

Update: Nasdaq Snaps 3-Day Winning Streak as Oil Jumps Amid US-Iran Tensions

MT Newswires · 5 часов назад

Bank Stocks 'An Island of Stability' as Financial Institutions Set to Release Earnings

Barrons.com · 6 часов назад

SpaceX Stock Is So Complex It Took 3 Analysts to Call It a Buy

MT Newswires · 8 часов назад

Equities Fall Intraday, Oil Soars as Trump Reinstates Iranian Shipping Blockade in Hormuz

Data and research sources

Research updated: 2026年7月12日 00:00 UTC
3 verified sources
Morgan Stanley Reports First Quarter 2026Morgan Stanley · earningsVerified

Fetched: 2026/7/12 0:00:00 UTC

Published: 2026/4/15 0:00:00

Open original source
Morgan Stanley Investor RelationsMorgan Stanley · companyVerified

Fetched: 2026/7/12 0:00:00 UTC

Open original source
Morgan Stanley SEC filings and company factsU.S. Securities and Exchange Commission · filingVerified

Fetched: 2026/7/12 0:00:00 UTC

Published: 2026/4/15 0:00:00

Open original source

Continue in the research workspace

Keep MS in context, run a multi-agent analysis, and monitor thesis changes.

Analyze MS free

リサーチシステム全体を見る

各段階には固有の役割があり、次の段階で検証可能な成果を残します。

リサーチ手法市場レポートを読む銘柄を探す

Continue researching this stock

市場アナリスト

市場アナリスト は コアリサーチ の中で 観察 段階を専門に担い、後続判断の前提を整える役割です。

ファンダメンタルズアナリスト

ファンダメンタルズアナリスト は コアリサーチ の中で 観察 段階を専門に担い、後続判断の前提を整える役割です。

ニュースアナリスト

ニュースアナリスト は コアリサーチ の中で 観察 段階を専門に担い、後続判断の前提を整える役割です。

リスクマネージャー

リスクマネージャー は リスクと監視 の中で 監視 段階を専門に担い、後続判断の前提を整える役割です。