arrow_back Back Filing freshness 10-Q Q2 FY2026 SEC EDGAR

MORGAN STANLEY

MS
$200.17 ▼ -5.96 (-2.89%) at close
Financials ·Security Brokers, Dealers & Flotation Companies ·USSecurity Brokers, Dealers & Flotation Companies
75 Visible periods
35 Metrics
Peer-ranked Benchmarks
Price Chart
62
Health
Fair
Moderately Bullish
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Analytical Summary

MORGAN STANLEY shows strong fundamentals with top-quartile Return on Common Equity (%) and Profit Margin (%). However, watch Debt to Equity which shows concerning trends. Overall, the data suggests a moderately positive outlook with manageable risks.

Market Cap $311.1B
Dividend Yield 0.50%
Revenue Growth 27.1%
Op. Margin 34.4%
ROIC None
FCF / Share None
Trailing P/E 57.2x
Price / Book 2.7x
FCF Yield
Debt / Equity 3.29
info Valuation on last close. End-of-day price, Sep 22, 2026.

75-Year Financial Trajectory

Quarterly
Metric Value Trend Year over Year Percentile
Revenue Total top-line sales
$21.35B
↑ +27.1%
Net Income Profit after all expenses
$5.58B
↑ +57.7%
Operating Margin Operating profit as % of sales
34.4%
↑ +1.0% 87th
Long-Term Debt Long-term obligations
$383.16B
↑ +5.5%
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Bullish Indicators

  • Operating Margin (%)Operating Margin (%) is in the top quartile
  • Profit Margin (%)Profit Margin (%) is in the top quartile
  • Return on Common Equity (%)Return on Common Equity (%) is in the top quartile
warning

Bearish Risks

  • Debt to EquityDebt to Equity is concerning (bottom quartile)

Health Breakdown

Profitability
87
Returns
80
Financial Health
8

Dividend History

Dividend / share · sourced from SEC filings
$3.85 Latest / share
+8.5% YoY
+24.4% 12-yr CAGR

bar_chart Data from SEC EDGAR XBRL filings

Synced yesterday 20 years · 75 quarters