MSCI Inc Net Change in Short-term Investments 2010-2025 | MSCI

MSCI Inc annual/quarterly net change in short-term investments history and growth rate from 2010 to 2025. Net change in short-term investments can be defined as the net cash flows from the sale and purchase of investments defined to be short-term, generally with maturities of less than one year from the purchase date.
  • MSCI Inc net change in short-term investments for the quarter ending June 30, 2025 was $0M, a 0% increase year-over-year.
  • MSCI Inc net change in short-term investments for the twelve months ending June 30, 2025 was $0M, a 0% increase year-over-year.
  • MSCI Inc annual net change in short-term investments for 2024 was $0B, a 0% decline from 2023.
  • MSCI Inc annual net change in short-term investments for 2023 was $0B, a 0% decline from 2022.
  • MSCI Inc annual net change in short-term investments for 2022 was $0B, a 0% decline from 2021.
MSCI Inc Annual Net Change in Short-term Investments
(Millions of US $)
2024 $N/A
2023 $N/A
2022 $N/A
2021 $N/A
2020 $N/A
2019 $N/A
2018 $N/A
2017 $N/A
2016 $N/A
2015 $N/A
2014 $N/A
2013 $71
2012 $70
2011 $-68
2010 $N/A
2010 $417
2009 $-295
Sector Industry Market Cap Revenue
Finance Finance - Investment Management $44.110B $2.856B
MSCI Inc. provides investment decision support tools, including indexes; portfolio construction and risk management products and services; Environmental, Social and Governance (ESG) research and ratings; and real estate research, reporting and benchmarking offerings. The company operates under four segments ' Index, Analytics, ESG and Climate and All other- Private Assets. Index segment includes MSCI Global Equity Indexes, MSCI Custom Indexes, MSCI Factor Indexes, MSCI ESG Indexes, MSCI Real Assets Indexes and Thematic Indexes. Global Industry Classification Standard (GICS) and GICS Direct were developed and are maintained jointly by MSCI and Standard & Poor's Financial Services. Analytics segment includes Equity Factor Models, Fixed Income Factor Models, Multi-Asset Class Factor Models, Multi-Asset Class Risk Analytics and Performance Analytics. MSCI's major application offerings include RiskMetrics RiskManager, BarraOne, Barra Portfolio Manager, WealthBench & CreditManager, and MSCI Analytics Platform.
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AllianceBernstein Holding (AB) United States $4.421B 11.83
Federated Hermes (FHI) United States $4.196B 12.41
Grupo Aval Acciones Y Valores S.A (AVAL) Colombia $4.013B 10.90
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Artisan Partners Asset Management (APAM) United States $3.828B 13.07
GCM Grosvenor (GCMG) United States $2.535B 22.12
Fairfax India Holdings (FFXDF) Canada $2.460B 38.72
Ashmore Group (AJMPF) United Kingdom $1.721B 0.00
Sprott (SII) Canada $1.672B 33.58
Virtus Investment Partners (VRTS) United States $1.361B 7.64
Prospect Capital (PSEC) United States $1.341B 3.77
Capital Southwest (CSWC) United States $1.260B 9.36
Cannae Holdings (CNNE) United States $1.046B 0.00
PennantPark Floating Rate Capital (PFLT) United States $1.007B 8.60
Patria Investments (PAX) Cayman Islands $0.893B 10.48
Noah Holdings (NOAH) China $0.816B 9.79
Associated Capital (AC) United States $0.699B 13.10
Gamco Investors (GAMI) United States $0.560B 7.99
Eagle Point Credit (ECC) United States $0.555B 6.74
Barings Corporate Investors (MCI) $0.439B 0.00
Sound Point Meridian Capital (SPMC) United States $0.361B 6.67
Value Line (VALU) United States $0.357B 17.31
Barings Participation Investors (MPV) $0.216B 0.00
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Westwood Holdings Group Inc (WHG) United States $0.169B 24.60
Monroe Capital (MRCC) United States $0.160B 7.87
ArrowMark Financial (BANX) United States $0.147B 0.00
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OFS Credit (OCCI) $0.093B 3.38
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AMTD IDEA Group (AMTD) France $0.084B 0.00
Binah Capital (BCG) United States $0.033B 0.00
U.S Global Investors (GROW) United States $0.032B 0.00
Royalty Management Holding (RMCO) United States $0.029B 0.00
Prestige Wealth (PWM) Hong Kong, SAR China $0.007B 0.00
Jupai Holdings (JP) China $0.000B 0.00
Medley Management (MDLY) United States $0.000B 0.00