Morgan Stanley Cash Flow from Investing Activities 2012-2026 | MS

Morgan Stanley annual/quarterly cash flow from investing activities history and growth rate from 2012 to 2026. Cash flow from investing activities can be defined as the total change in cash resulting from a companies investments
  • Morgan Stanley cash flow from investing activities for the quarter ending March 31, 2026 was $-33.382B, a 72.87% increase year-over-year.
  • Morgan Stanley cash flow from investing activities for the twelve months ending March 31, 2026 was $-90.582B, a 166.78% increase year-over-year.
  • Morgan Stanley annual cash flow from investing activities for 2024 was $-29.46B, a 855.25% increase from 2023.
  • Morgan Stanley annual cash flow from investing activities for 2023 was $-3.084B, a 73.49% decline from 2022.
  • Morgan Stanley annual cash flow from investing activities for 2022 was $-11.632B, a 76.69% decline from 2021.
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Morgan Stanley Annual Cash Flow Investing
(Millions of US $)
2024 $-29,460
2023 $-3,084
2022 $-11,632
2021 $-49,897
2020 $-37,898
2019 $-33,561
2018 $-22,881
2017 $-12,391
2016 $-19,508
2015 $-19,995
2014 $-35,324
2013 $-24,461
2012 $-12,625
2011 $-10,734
Sector Industry Market Cap Revenue
Finance Finance - Investment Banks $280.918B $119.662B
Morgan Stanley, being the leading financial services holding company, serves corporations, governments, FIs & individuals world wide. It has 3 business units. The Institutional Securities unit includes capital raising, financial advisory services on mergers & acquisitions, restructurings, real estate & project finance, corporate lending, sales, trading, financing & market-making activities in equity & fixed income securities & related products. The Wealth Management unit provides brokerage & investment advisory services on various investment alternatives, financial & wealth planning services, annuity & other insurance products, credit & other lending products, cash management & retirement services and trust & fiduciary services and engages in fixed income principal trading. The Investment Management unit provides global asset management products & services in equity, fixed income, alternative investments in hedge funds & funds of funds and merchant banking i.e. real estate, private equity & infrastructure.
Stock Name Country Market Cap PE Ratio
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Nomura Holdings Inc ADR (NMR) Japan $24.498B 10.57
Evercore Inc (EVR) United States $13.383B 23.27
Stifel Financial (SF) United States $11.956B 17.09
SBI Holdings (SBHGF) Japan $6.584B 3.43
MarketAxess Holdings (MKTX) United States $6.112B 23.27
BGC (BGC) United States $5.179B 9.10
Moelis (MC) United States $4.894B 21.15
UP Fintech Holding (TIGR) Singapore $1.243B 7.31
Oppenheimer Holdings (OPY) United States $1.125B 8.06
Sky Constant Century (SKYC) Hong Kong, SAR China $0.920B 0.00
Diamond Hill Investment (DHIL) United States $0.465B 14.86
Siebert Financial (SIEB) United States $0.072B 13.61
TOP Financial Group (TOP) Singapore $0.028B 0.00