Morgan Stanley (MS)
158.70
-3.59 (-2.21%)
NYSE · Last Trade: Nov 20th, 11:57 PM EST
Detailed Quote
| Previous Close | 162.29 |
|---|---|
| Open | 164.20 |
| Bid | 158.70 |
| Ask | 159.88 |
| Day's Range | 158.51 - 166.94 |
| 52 Week Range | 94.33 - 171.77 |
| Volume | 5,280,381 |
| Market Cap | 289.56B |
| PE Ratio (TTM) | 16.28 |
| EPS (TTM) | 9.8 |
| Dividend & Yield | 4.000 (2.52%) |
| 1 Month Average Volume | 5,106,372 |
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About Morgan Stanley (MS)
Morgan Stanley is a leading global financial services firm that provides a wide range of services in investment banking, securities, wealth management, and investment management. Catering to a diverse clientele that includes corporations, governments, and individuals, Morgan Stanley offers expert advisory and financing services, helping clients navigate complex financial markets and achieve their financial objectives. The firm is known for its strategic insights, innovative solutions, and commitment to delivering exceptional service, positioning itself as a trusted partner in the world of finance. Read More
News & Press Releases
New York, NY – November 20, 2025 – The US technology sector is currently experiencing a significant surge in volatility, as investors grapple with a complex confluence of macroeconomic pressures, geopolitical tensions, and growing apprehension over potentially stretched valuations within the artificial intelligence (AI) domain. This environment has fostered a palpable "risk-off"
Via MarketMinute · November 20, 2025
Wall Street has been grappling with significant volatility and sharp stock declines in late 2025, as a confluence of resilient economic data, persistent inflation, and growing skepticism around Artificial Intelligence (AI) valuations has eroded investor confidence. The market's initial hopes for imminent interest rate cuts have been severely dashed by
Via MarketMinute · November 20, 2025
The global labor market is experiencing a significant upheaval as a relentless wave of layoffs continues to sweep across industries, leaving a trail of heightened worker anxiety and contributing to a pervasive sense of economic uncertainty. As of November 2025, job cuts have surged dramatically, making the current year a
Via MarketMinute · November 20, 2025
The Federal Reserve finds itself at a pivotal juncture, grappling with a deeply divided Federal Open Market Committee (FOMC) and an economic landscape shrouded in uncertainty. Following two consecutive interest rate cuts in September and October 2025, the path forward for the central bank's monetary policy, particularly concerning the upcoming
Via MarketMinute · November 20, 2025
New York, NY – November 20, 2025 – Morgan Stanley (NYSE: MS) has once again recalibrated its outlook for Federal Reserve monetary policy, notably abandoning its forecast for a December 2025 interest rate cut. This significant revision, communicated today, reflects a shifting economic landscape marked by unexpectedly strong employment data and the
Via MarketMinute · November 20, 2025
Bitcoin (CRYPTO: BTC) has plummeted below $88,00, but Cardano’s
Via Benzinga · November 20, 2025
Home Depot (NYSE: HD) finds itself under significant market scrutiny following a disappointing third-quarter fiscal 2025 earnings report and subsequent revisions to its full-year guidance. The home improvement giant's stock has experienced a notable downturn, prompting a wave of analyst price target adjustments and rating changes, as investors grapple with
Via MarketMinute · November 20, 2025
New York, NY – November 20, 2025 – Corporate America is in the midst of an unprecedented wave of share buyback programs, with U.S. corporate repurchases projected to hit a staggering $1 trillion to $1.1 trillion by the close of 2025. This surge, fueled by robust corporate cash flows and
Via MarketMinute · November 20, 2025
The majority of asset owners and managers globally expect allocations to sustainable funds to increase in the next two years, according to a new “Sustainable Signals” report by the Morgan Stanley Institute for Sustainable Investing. Conducted in August and September 2025, the survey polled more than 900 institutional investors across North America, Europe, and Asia Pacific – all of whom currently or plan to practice sustainable investing – to assess attitudes, motivations and emerging trends in the space.
By Morgan Stanley · Via Business Wire · November 20, 2025
As November 20, 2025, unfolds, global financial markets present a landscape of intriguing contrasts, marked by the persistent, transformative power of artificial intelligence and a growing undercurrent of investor caution. While select sectors and geographies celebrate robust growth fueled by technological advancements and strong earnings, broader market sentiment in key
Via MarketMinute · November 20, 2025
Despite STERIS' outperformance relative to the broader market over the past year, Wall Street analysts maintain a cautiously optimistic outlook on the stock’s prospects.
Via Barchart.com · November 20, 2025
The online brokerage could expand and evolve into a more diversified fintech giant.
Via The Motley Fool · November 20, 2025
Looking back on investment banking & brokerage stocks’ Q3 earnings, we examine this quarter’s best and worst performers, including Interactive Brokers (NASDAQ:IBKR) and its peers.
Via StockStory · November 19, 2025
The end of an earnings season can be a great time to discover new stocks and assess how companies are handling the current business environment. Let’s take a look at how BGC (NASDAQ:BGC) and the rest of the investment banking & brokerage stocks fared in Q3.
Via StockStory · November 19, 2025
November 19, 2025 – Market expectations for a Federal Reserve interest rate cut in December 2025 have significantly diminished, sending ripples through the precious metals market. This recalibration of sentiment, driven by persistent inflation concerns, hawkish commentary from Fed officials, and a mixed bag of economic data, has led to a
Via MarketMinute · November 19, 2025
Shares of vehicle systems manufacturer Commercial Vehicle Group (NASDAQ:CVGI)
fell 8.4% in the afternoon session after the stock's negative momentum continued as the company reported earnings results that missed analyst expectations. The company posted a loss of ($0.14) per share for the quarter, which was below the consensus estimate of a ($0.12) loss. Revenue also came in lower than anticipated, totaling $152.49 million against expectations of $157.40 million. The disappointing financial performance seemed to weigh on the stock, contributing to the decline. According to MarketBeat.com data, the consensus rating for Commercial Vehicle Group was 'Reduce.'.
Via StockStory · November 19, 2025
Morgan Stanley's 7,800 S&P 500 call signals a two-speed rally. See the ETFs best placed for the AI mega-cap surge and small-cap rebound.
Via Benzinga · November 19, 2025
Shares of website building platform Wix (NASDAQ:WIX) fell 17.2% in the afternoon session after the company reported third-quarter results where a beat on revenue was overshadowed by a significant miss on operating income and deteriorating margins.
Via StockStory · November 19, 2025
St. Louis, MO – November 19, 2025 – BellRing Brands (NYSE: BRBR), a prominent player in the convenient nutrition sector, sent ripples through the market yesterday by announcing a significant recalibration of its long-term financial growth targets. The company, known for its popular Premier Protein and Dymatize brands, now projects an annual
Via MarketMinute · November 19, 2025
Meta Platforms stock has been under pressure of late, among others, due to the allegations that Michael Burry has leveled against hyperscalers. Burry has promised more information on November 25, but Meta's risk-reward looks quite attractive now afte...
Via Barchart.com · November 19, 2025
Indianapolis, IN – November 19, 2025 – Eli Lilly and Company (NYSE: LLY), the pharmaceutical titan, finds itself at the epicenter of market speculation, firmly placed on "stock split watch" as its share price has soared past the formidable $1,000 mark. This extraordinary ascent, fueled by groundbreaking drug innovations and robust
Via MarketMinute · November 19, 2025
As the Q3 earnings season wraps, let’s dig into this quarter’s best and worst performers in the investment banking & brokerage industry, including Perella Weinberg (NASDAQ:PWP) and its peers.
Via StockStory · November 18, 2025
Retail views Microsoft’s Anthropic deal as a negative for the software giant’s original AI partner OpenAI.
Via Stocktwits · November 18, 2025
Pundits tracking the stock haven't exactly been bullish on it lately.
Via The Motley Fool · November 18, 2025
The S&P 500 Financials Sector finds itself at a critical juncture on November 18, 2025, as persistent concerns over the health of the U.S. economy and the ever-shifting prospects of central bank interest rate cuts continue to dictate its volatile movements. Today's trading session reflects a cautious sentiment,
Via MarketMinute · November 18, 2025