Morgan Stanley

NYSE:MS

130.62 (USD) • At close June 5, 2025
Overview | Financials

Numbers are in millions (except for per share data and ratios) USD.

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Operating Activities:
Net Income 13,5299,08711,17915,12011,1799,2378,8836,2166,1236,2793,6673,6137164,6455,7021,4061,7073,2097,4724,9394,4863,7872,9883,5215,4564,7913,3932,586951.4856.4740.9603.6510.5475.1270.4443
Depreciation & Amortization 5,1614,2563,9984,2163,7692,6431,8441,7531,7361,4331,1611,5111,5811,4041,4191,22479447587681580563778772972754157533883.37058.851.30000
Deferred Income Tax 152-463-8494-2501654492,7471,5791,189-231-117-639413-129-932-1,224-2,046212-1,076-19520555-427-219-160-55-77-83.4-93.4-155.6-102.4-110.3-70.522.778.8
Stock Based Compensation 1,6221,7091,8752,0851,3121,1539201,0261,1361,1041,2601,1808911,3001,2601,2651,8781,9411,95500000000000000000
Change In Working Capital -19,370-49,108-23,49812,689-42,27727,608-4,975-16,429-8,169-6,647-4,59229,41221,813-1,91032,134-48,64073,508-26,428-72,199-6,884-31,3202,346-10,792-29,76554,453-5,6078,2095,220-62.3169.41,664.6340.5170.4-6,634.45,515902.6
Accounts Receivables -5,30860214,664774-29,774233-728-9,315-2,881-4343,6086,774-10,2001,519-9,568-2,44554,5311,786-38,4210000000000000-1,451.7-4,427.7189.8-149.2
Inventory 0007,836-31,62314,739-20,92919,4933,638-37,626-40,85039,28416,663-24,700-14,37946,689-6,329-56,46129,75600000000000000000
Accounts Payables 0-3,629-4,8977,75810,18719,942-13,0632,0071,8034,37327,97126,697-1,283-6,963761818-114,50071,05733,60300000000000001,536.91,110.52,567.7600.5
Other Working Capital -14,062-46,081-33,265-3,6798,933-7,30629,745-28,614-10,72927,0404,679-43,34316,63328,23455,320-93,702139,806-42,810-97,137-6,884-31,3202,346-10,792-29,76554,453-5,6078,2095,220-62.3169.41,664.6340.585.2-3,317.22,757.5451.3
Other Non Cash Items 268983898-1431,036-3318418242316-134-46186832-79-274-3,246756881-29,1461,718-4,6201,9081,851-62,801-28,8363,247-8,6551,319.4800.9585.4457.64,228.73,473.2-10,487.5-9,883
Operating Cash Flow 1,362-33,536-6,39733,971-25,23140,7737,305-4,5052,4473,6741,13135,55324,5486,68440,307-45,95173,417-22,093-60,803-31,352-24,5062,355-5,054-24,091-2,384-29,27115,369-5882,208.41,476.82,894.11,350.64,799.3-2,756.6-4,679.4-8,458.6
Investing Activities:
Investments In Property Plant And Equipment -3,462-3,412-3,078-2,308-1,444-1,826-1,865-1,629-1,276-1,373-992-1,316-1,312-1,304-1,201-2,877-1,400-1,4690-540-569-603-1,124-1,998-836-6560-3010000-66.3-211.4-165.3-70.6
Acquisitions Net 000-2,6483,807-17,359-8,794-12,125-9,6049989891,1471,7250787-1,5952,129-693-2,706-323-75800-183-19900000000000
Purchases Of Investments -39,187-23,078-29,833-69,571-59,777-42,586-27,800-23,962-50,911-47,291-32,623-30,557-24,477-20,601-29,98900-14,073000000000000000000
Sales Maturities Of Investments 37,29228,38845,27861,56838,26729,16315,87625,57642,08343,58917,63116,18215,13619,9981,246004,272000000000000000000
Other Investing Activites -24,103-4,982-23,999-36,938-18,751-953-298-251200-15,918-20,329-9,917-3,486-129000525361-3,258-1,7692,366-4,5311,294-1,650-5,9953,193-2,227-2,798.7-6,025-4,400.7-2,772.50000
Investing Cash Flow -29,460-3,084-11,632-49,897-37,898-33,561-22,881-12,391-19,508-19,995-35,324-24,461-12,414-2,036-29,157-4,472729-11,438-2,345-4,121-3,0961,763-5,655-887-2,685-6,6513,193-2,528-2,798.7-6,025-4,400.7-2,772.5-66.3-211.4-165.3-70.6
Financing Activities:
Debt Repayment 28,13513,61937,56220,14910,242-6,2485,27819,59112,0306,8053,756-21,529-20,151-5,053-1,1303,061-32,22249,69424,78413,85029,794-1,59822,51812,3852,56110,9288,3221,319818.93,531.82,679.2683.1-3,060.81,310.8133.11,455.1
Common Stock Issued 000000000000005,5816,255397927643327322000000000000000
Common Stock Repurchased -4,199-6,178-10,871-12,075-1,890-5,954-5,566-4,292-3,933-2,773-1,458-691-227-317-317-11,000-1,828-4,257-3,376-3,693-1,132-350-9900000000000000
Dividends Paid -6,138-5,763-5,401-4,171-2,739-2,627-2,375-2,085-1,746-1,455-904-475-469-834-1,156-1,732-1,227-1,219-1,167-1,180-1,096-994-1,000-1,040-924-575-519-416-134-102.3-81.1-690.3-102.9-85.5-69.5-55
Other Financing Activities 28,958-4,4042,41838,91978,1712,86326,8683,0471,01221,78821,74925,3288,9501,0561,185-4,51016,336-6,62233,10122,7722,833-918-7,03722,79613,68723,120-14,8035,3571,021.51,329.7-505.7267-6683,144.35,466.86,435.3
Financing Cash Flow 46,756-2,72622,71441,54783,784-11,96624,20516,2617,42424,36523,1432,633-11,897-5,1484,1633,024-18,54438,52354,34032,07630,721-3,63813,32532,75511,56331,369-9,9395,9851,1254,678.62,010.41,116.9-3,831.74,369.65,530.47,835.4
Other Information:
Effect Of Forex Changes On Cash -2,504451-4,283-3,5502,828-271-1,8283,670-1,065-945-1,804-202-119-31414720-2,5460000000000000000000
Net Change In Cash 16,154-38,89540222,07123,483-5,0256,8013,035-10,7027,099-12,89912,979-408-30315,624-46,67953,0564,992-8,808-3,3973,1194802,6167,7776,494-4,5538,6232,869534.7130.4503.8-305901.31,401.6685.7-693.8
Cash At End Of Period 105,38689,232128,127127,725105,65482,17187,19680,39543,38154,08346,98459,88346,90447,31247,61531,99178,65425,59820,60629,41432,81129,69229,21226,59618,81912,32516,8788,2551,999.21,464.51,334.1830.32,169.82,545.81,144.2458.6