SEC Form 13F

MORGAN STANLEY 13F Holdings

Inspect MORGAN STANLEY's 2026-06-30 SEC 13F positions, public filing date, amendments and original receipt.

As of 2026-08-14T03:59:59.999Z

Report period
2026-06-30
Publicly available
2026-08-14
Reported value
$1,890,805,575,974
Positions
8,403

Disclosed positions

NVIDIA CORPORATIONNVDACOM$71,316,096,193356,420,089SHNone
APPLE INCAAPLCOM$70,202,856,513242,614,238SHNone
MICROSOFT CORPMSFTCOM$47,625,203,346127,674,661SHNone
ALPHABET INCGOOGLCAP STK CL A$43,067,125,043120,511,301SHNone
AMAZON COM INCAMZNCOM$42,752,605,304179,376,541SHNone
BROADCOM INCAVGOCOM$29,856,600,83779,037,987SHNone
ALPHABET INCGOOGCAP STK CL C$25,589,978,80172,425,149SHNone
STATE STR SPDR S&P 500 ETF TSPYTR UNIT$24,109,956,45332,285,648SHNone
META PLATFORMS INCMETACL A$22,213,803,20639,435,817SHNone
JPMORGAN CHASE & COJPMCOM$21,961,364,48467,092,426SHNone
MICRON TECHNOLOGY INCMUCOM$21,320,259,52518,470,449SHNone
ELI LILLY & COLLYCOM$19,462,430,09616,226,398SHNone
ISHARES TRIVVCORE S&P500 ETF$18,475,712,41524,670,794SHNone
VANGUARD INDEX FDSVOOS&P 500 ETF SHS$17,089,433,34424,882,329SHNone
TESLA INCTSLACOM$16,349,601,26538,872,087SHNone
VISA INCVCOM CL A$15,768,539,15345,960,354SHNone
INVESCO QQQ TRQQQUNIT SER 1$15,575,438,38021,150,784SHNone
ISHARES TRIWFRUS 1000 GRW ETF$14,762,805,180118,891,881SHNone
ADVANCED MICRO DEVICES INCAMDCOM$14,108,197,46724,286,371SHNone
BERKSHIRE HATHAWAY INC DELBRK.BCL B NEW$13,343,915,59126,667,029SHNone
JOHNSON & JOHNSONJNJCOM$11,379,952,93744,808,254SHNone
ISHARES INCIEMGCORE MSCI EMKT$10,626,916,958128,282,433SHNone
ISHARES TRIEFACORE MSCI EAFE$10,299,538,109106,642,553SHNone
PALO ALTO NETWORKS INCPANWCOM$10,043,078,12829,450,112SHNone
WALMART INCWMTCOM$10,003,001,31588,318,921SHNone
EXXON MOBIL CORPXOMCOM$9,987,708,02773,052,280SHNone
ISHARES TRIWDRUS 1000 VAL ETF$9,857,920,11440,662,951SHNone
ABBVIE INCABBVCOM$9,789,048,61438,901,001SHNone
APPLIED MATLS INCAMATCOM$9,777,732,79813,523,832SHNone
COSTCO WHOLESALE CORPORATIONCOSTCOM$9,560,915,93210,220,437SHNone
CISCO SYS INCCSCOCOM$9,443,985,79080,401,715SHNone
VANGUARD BD INDEX FDSBNDTOTAL BND MRKT$9,241,005,036125,882,099SHNone
INTEL CORPINTCCOM$8,589,542,73461,516,453SHNone
LAM RESEARCH CORPLRCXCOM NEW$8,327,645,10019,217,787SHNone
CATERPILLAR INCCATCOM$7,991,466,4697,504,426SHNone
HOME DEPOT INCHDCOM$7,971,739,64622,603,319SHNone
VANGUARD INDEX FDSVUGGROWTH ETF$7,712,076,33889,529,557SHNone
VANGUARD INDEX FDSVTVVALUE ETF$7,710,512,85735,380,683SHNone
MASTERCARD INCORPORATEDMACL A$7,704,774,09415,001,503SHNone
TAIWAN SEMICONDUCTOR MANUFACTSMSPONSORED ADS$7,568,443,22415,847,816SHNone
COCA COLA COKOCOM$7,300,007,21289,824,129SHNone
NETFLIX INC.NFLXCOM$7,120,249,18199,723,374SHNone
GOLDMAN SACHS GROUP INCGSCOM$7,110,921,0007,030,974SHNone
INVESCO EXCHANGE TRADED FD TRSPS&P500 EQL WGT$6,915,337,36532,501,467SHNone
PROCTER & GAMBLE COPGCOM$6,915,123,71347,157,141SHNone
GE VERNOVA INCGEVCOM$6,715,456,1565,715,959SHNone
BANK OF AMER CORPBACCOM$6,529,983,060114,601,311SHNone
MERCK & CO INCMRKCOM$6,250,389,31848,641,158SHNone
UNITEDHEALTH GROUP INCUNHCOM$6,149,436,94614,795,456SHNone
CHEVRON CORPORATIONCVXCOM$5,975,815,03636,051,004SHNone

Largest 50 positions by reported value; the filing may contain more positions.

How amendments affect these holdings

This view uses 1 effective filing version(s). A restatement replaces the previous book; a new-holdings amendment adds positions. 458 positions lack a resolved ticker and 0 positions are put or call entries.

A 13F is a delayed quarterly snapshot of disclosed holdings. It is not a complete trade ledger and does not reveal every position in a manager's portfolio. Option values refer to the reported underlying position rather than a traded option premium.

Quarter end and public filing date

Use the filing's public availability date when constructing a historical observation. The quarter-end report period is earlier and cannot be substituted for when the public learned the holdings.