Morgan Stanley

Morgan Stanley is a financial holding company. Through its subsidiaries and affiliates, the company advises, and originates, trades, manages and distributes capital for, governments, institutions and individuals. The company's segments are: Institutional Securities, which provides investment banking, sales and trading, lending and other services; Wealth Management, which provides brokerage and investment advisory services, financial and wealth planning services, stock plan administration services, annuity and insurance products, residential real estate loans and other lending products, banking, and retirement plan services; and Investment Management, which provides investment strategies and products.
  • TickerMS
  • ISINUS6174464486
  • ExchangeNew York Stock Exchange
  • SectorFinancial Services
  • CountryUnited States

For MORGAN STANLEY, the environment deterioration entails a downgrade to Neutral

MORGAN STANLEY (US), a company active in the Investment Services industry, now shows a lower overall rating. The independent financial analyst theScreener just confirmed the fundamental rating of 3 stars out of 4, as well as the stock market behaviour of the title as moderately risky. However, environmental deterioration penalises the general evaluation, which is downgraded to Neutral. As of the analysis date April 9, 2021, the closing price was USD 80.72 and its expected value was estimated at USD 78.93.

Dave Nicoski ...
  • Ross LaDuke

Vital Signs: Actionable charts

Key Points: • A number of significant Communications names are developing bullishly. (ex. GOOG, FB, and NWS) • Consumer Discretionary names continue to develop positively. (ex. THRM, LEA, WYNN, PENN, CMG, KMX, and AMZN) • Energy Sector names continue to attempt to carve out bottoms. (ex. OXY, VAL) • Financial Sector names continue to develop bullishly (ex. C, UMPQ, EWBC, TROW, MSCI, SPGI, GS, and MS)

Dave Nicoski ...
  • Ross LaDuke

Vermilion Booster Shots: Attractive bottom-fishing stocks

For investors looking for bottom-fishing candidates; stocks that are breaking downtrends, exhibiting ascending reaction lows, and showing stabilizing relative strength.

Dave Nicoski ...
  • Ross LaDuke

Vermilion Booster Shots: Attractive bottom-fishing stocks

For investors looking for bottom-fishing candidates; stocks that are breaking downtrends, exhibiting ascending reaction lows, and showing stabilizing relative strength.

MarketLine Department

Macquarie Group Ltd - Strategy, SWOT and Corporate Finance Report

Summary Macquarie Group Ltd - Strategy, SWOT and Corporate Finance Report, is a source of comprehensive company data and information. The report covers the company's structure, operation, SWOT analysis, product and service offerings and corporate actions, providing a 360˚ view of the company. Key Highlights Macquarie Group Ltd (Macquarie) is a provider of diverse financial products and related solutions such as banking, finance and asset management, advisory, and risk and capital solutions across various asset classes. It acts as an investment intermediary for corporate, institutions, gover...

MarketLine Department

Oaktree Capital Group LLC - Strategy, SWOT and Corporate Finance Report

Summary Oaktree Capital Group LLC - Strategy, SWOT and Corporate Finance Report, is a source of comprehensive company data and information. The report covers the company's structure, operation, SWOT analysis, product and service offerings and corporate actions, providing a 360˚ view of the company. Key Highlights Oaktree Capital Group LLC (Oaktree Capital) is a provider of alternative investment management. It invests in asset classes such as Credit, Private Equity, Real Assets, and Listed Equities. The company manages funds such as separate accounts, commingled funds, publicly-traded busin...

Jonathan Moreland

InsiderInsights Weekly Tables: November 21, 2020

InsiderInsights Ratings of Companies with Open-Market Form 4 Purchases; Sales Filed at the SEC on the date above. We separate the real investment intelligence from the noise. Saving you time, and improving your research process

MORGAN STANLEY Flash Note

Morgan Stanley is a financial holding company which operates in three segments: Institutional Securities, Wealth Management and Investment Management.

Jonathan Moreland

InsiderInsights Daily Ratings Report: November 16, 2020

InsiderInsights Ratings of Companies with Open-Market Form 4 Purchases; Sales Filed at the SEC on the date above. We separate the real investment intelligence from the noise. Saving you time, and improving your research process

Morgan Stanley: Update to credit analysis following parent's senior ratings' upgrade

Our credit view of Morgan Stanley.

Morgan Stanley: Q4 2020: Broad-based Institutional Securities' strength and E*TRADE acquisition positions the firm well for 2021

MS had a credit-positive fourth quarter results, reporting a 26% increase in net revenue from a year ago and common shareholders’ earnings up 57%

Morgan Stanley: Update to credit analysis following parent's senior ratings being placed on review for upgrade

Our credit view of MS, reflecting its strong capital and liquidity, reliance on market funding and strong profitability during the pandemic

Morgan Stanley: Expansion of lower-risk businesses improves credit strength

MS's E*TRADE acquisition and planned Eaton Vance acquisition improve its business mix and credit risk profile.

Morgan Stanley: Q3 2020: Robust results buoyed by strong institutional securities performance and favorable business mix

MS had favorable Q3 2020 results, with higher net revenue and earnings than a year ago and continued growth in retained capital

For MORGAN STANLEY, the environment deterioration entails a downgrade to Neutral

MORGAN STANLEY (US), a company active in the Investment Services industry, now shows a lower overall rating. The independent financial analyst theScreener just confirmed the fundamental rating of 3 stars out of 4, as well as the stock market behaviour of the title as moderately risky. However, environmental deterioration penalises the general evaluation, which is downgraded to Neutral. As of the analysis date April 9, 2021, the closing price was USD 80.72 and its expected value was estimated at USD 78.93.

37 Stocks for March 2018 (Full Report)

We highlight stocks that demonstrate solid growth at a reasonable price (GARP). Stocks selected for our model portfolio strategies all rank highly for the following metrics, with an emphasis on proxies for cash flow growth and ROIC:  Relative Value Operating Momentum Analyst Revision Momentum Fundamental Quality Pages 7-3 contain brief commentary and highlights of a few stocks that seem particularly attractive.     Page 14 contains rebalancing actions for our long-only model portfolio. Page 16 contains rebalancing actions for our short-only model portfolio. Target and stop prices, ...

40 Stocks for February 2018

This report was originally published on Feb 5, 2018. It followed an abbreviated note that was issued prior to the close on January 31, 2018. Long/Short Model Portfolio Monthly Update: January 31, 2018There are limitations inherent in our theoretical model results, particularly with the fact that such results do not represent actual trading and they may not reflect the impact material economic and market factors might have had on our decision making if we were actually managing client money. Please see additional disclaimers and disclosures at the back of this report.We highlight stocks that d...

Ford Equity US Rating and Forecast Report

Ford Equity Research covers more than 4,000 stocks using a proprietary quantitative model that evaluates a company’s earnings strength, its relative valuation and recent price movement. Ford’s five recommendation ratings include strong buy, buy, hold, sell, strong sell. For all stocks in our coverage universe, ratings are generated each week and reflect the fundamental and price data as of the last trading day of the week.

ResearchPool Subscriptions

Get the most out of your insights

Get in touch