Morgan stanley (MS)
Balance Sheet / Quarterly
Mar'20Dec'19Sep'19Jun'19Mar'19Dec'18Sep'18Jun'18Mar'18Dec'17Sep'17Jun'17Mar'17Dec'16Sep'16Jun'16Mar'16Dec'15Sep'15Jun'15Mar'15Dec'14Sep'14Jun'14Mar'14Dec'13Sep'13Jun'13Mar'13Dec'12Sep'12Jun'12Mar'12Dec'11Sep'11Jun'11Mar'11Dec'10Sep'10Jun'10Mar'10Dec'09Sep'09Jun'09Dec'08Nov'08
Assets
Cash and Cash Equivalents, at Carrying Value

131,509

82,171

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

Cash and due from banks

-

-

35,721

38,257

35,472

30,541

36,641

30,176

29,073

24,816

24,047

25,008

22,081

22,017

26,899

27,597

22,797

19,827

19,244

19,145

19,683

21,381

20,242

18,863

13,785

16,602

14,333

16,295

17,773

20,878

18,239

12,408

10,133

13,165

12,255

9,066

8,120

7,341

6,936

8,770

5,979

6,988

6,218

9,184

13,354

11,276

Interest bearing deposits with banks

-

-

13,196

10,888

14,498

21,299

22,638

18,707

22,980

21,348

24,144

19,651

20,773

21,364

15,653

28,536

30,841

34,256

34,274

27,214

20,610

25,603

35,584

22,022

41,639

43,281

43,448

30,904

25,129

26,026

18,347

29,598

28,592

34,147

41,652

41,681

44,488

40,274

26,179

27,577

29,499

25,003

22,392

25,822

65,316

67,378

Restricted cash

-

-

30,739

30,435

30,712

35,356

33,202

32,706

35,291

34,231

-

-

-

33,979

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

Trading Assets, Fair Value Disclosure

270,916

297,110

277,423

286,965

264,818

266,299

283,188

266,438

273,044

298,282

285,088

290,802

284,341

262,154

273,151

256,794

234,150

239,505

237,811

250,279

259,160

256,801

252,482

259,561

259,545

280,744

273,658

260,038

267,236

267,603

251,308

240,582

278,424

275,353

274,251

294,798

308,112

306,746

331,719

302,630

320,684

299,778

338,496

291,409

280,640

278,548

Investment securities (includes $68,871 and $62,223 at fair value)

116,157

105,725

105,790

103,066

97,944

91,832

82,568

81,948

80,641

78,802

79,086

71,576

81,139

80,092

78,956

80,144

77,592

71,983

64,689

66,132

69,462

69,316

63,547

65,474

58,886

53,430

46,866

42,858

41,454

39,869

40,498

31,442

32,528

30,495

27,697

24,306

27,733

29,649

24,254

19,367

18,637

-

-

-

-

-

Securities purchased under agreements to resell (includes $5 and $4 at fair value)

104,800

88,224

93,367

85,398

96,570

98,522

69,086

93,928

80,246

84,258

90,106

97,408

104,823

101,955

90,579

97,589

98,774

87,657

127,206

106,760

91,232

83,288

98,994

108,956

107,576

118,130

133,988

142,494

140,415

134,412

136,282

147,988

136,451

130,155

169,824

180,990

162,923

148,253

153,952

144,862

138,633

143,208

146,985

121,799

122,709

106,419

Cash deposited with clearing organizations or segregated under federal and other regulations or requirements ($186 and $149 at December 31, 2015 and December 31, 2014, respectively, related to consolidated variable interest entities, generally not available to the Company)

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

35,552

33,652

40,340

40,607

45,106

44,713

43,651

39,203

37,392

35,363

31,313

30,970

28,847

29,418

30,152

29,454

30,864

25,504

21,932

19,180

20,273

21,930

22,367

23,712

21,753

21,643

24,039

25,446

U.S. government and agency securities

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

52,134

54,138

59,690

63,449

43,104

35,676

46,626

48,446

64,823

63,976

69,274

62,215

82,881

63,717

28,012

20,251

Other sovereign government obligations

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

37,171

33,628

32,235

29,059

34,779

39,172

38,878

33,908

38,210

29,403

31,341

25,445

39,576

26,768

21,084

20,071

Corporate and other debt ($1,602 and $3,007 at December 31, 2012 and December 31, 2011, respectively, related to consolidated variable interest entities, generally not available to the Company)

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

55,439

57,757

69,518

68,923

76,143

89,159

88,459

88,154

93,096

86,546

90,192

90,454

94,794

87,802

87,294

88,484

Corporate equities

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

55,575

46,346

59,063

47,966

47,194

66,053

67,042

68,416

61,835

53,994

67,591

57,968

52,310

42,582

42,321

37,174

Derivative and other contracts

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

34,568

34,343

40,016

48,064

54,412

46,167

49,913

51,292

57,054

53,853

47,906

49,081

55,265

58,372

89,418

99,766

Investments ($1,888 and $1,666 at December 31, 2012 and December 31, 2011, respectively, related to consolidated variable interest entities, generally not available to the Company)

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

8,501

8,229

8,329

8,195

8,323

9,020

9,068

9,752

10,033

9,164

9,482

9,286

9,252

8,825

10,385

10,598

Physical commodities

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

7,920

6,141

9,573

9,697

10,296

9,551

8,126

6,778

6,668

5,694

4,898

5,329

4,418

3,343

2,126

2,204

Securities received as collateral, at fair value

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

8,813

-

9,456

15,492

22,328

21,316

16,694

19,498

21,613

20,508

16,042

14,749

17,971

14,278

12,811

12,150

17,728

11,651

10,899

15,862

13,161

16,537

17,062

14,781

16,891

13,656

16,414

9,872

5,231

5,217

Securities borrowed

72,300

106,549

132,401

133,580

138,891

116,313

142,489

153,248

135,835

124,010

132,892

126,722

111,803

125,236

126,280

131,281

140,413

142,416

148,245

143,969

150,365

136,708

140,303

147,466

147,595

129,707

139,169

129,114

135,727

121,701

138,545

134,263

141,610

127,074

123,904

132,092

142,937

138,730

162,434

178,859

181,055

167,501

128,922

107,853

88,052

85,785

Customer and other receivables

74,424

55,646

59,514

53,381

52,667

53,298

60,839

61,714

66,835

56,187

54,388

54,917

48,344

46,460

51,411

52,827

44,762

45,407

50,070

57,115

56,733

48,961

54,839

54,557

60,506

57,104

57,710

64,473

62,271

64,288

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

Held for investment (net of allowance of $617 and $349)

131,335

118,060

110,815

105,145

101,266

99,815

98,330

96,366

95,124

92,953

91,207

87,007

83,302

81,704

80,400

77,283

75,566

72,559

69,010

66,424

60,446

57,119

51,465

48,630

41,575

36,545

37,734

34,571

30,615

23,917

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

Held for sale

17,362

12,577

14,707

15,756

14,931

15,764

11,653

15,747

14,011

11,173

13,224

10,632

12,651

12,544

12,108

15,882

13,236

13,200

9,199

9,469

8,257

9,458

6,744

6,630

4,730

6,329

-

-

-

5,129

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

Customers

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

45,506

37,666

38,962

33,977

34,175

39,142

43,959

35,258

33,140

27,738

25,949

27,594

25,854

28,410

29,265

31,294

Brokers, dealers and clearing organizations

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

7,673

9,107

5,718

5,248

11,063

9,439

6,131

9,102

9,866

8,291

6,575

5,719

4,937

5,098

6,250

7,259

Fees, interest and other

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

10,399

10,208

10,263

9,444

9,392

9,911

8,840

9,790

9,959

10,454

9,768

11,164

11,330

11,348

7,258

7,034

Loans (net of allowances of $106 and $17 at December 31, 2012 and December 31, 2011, respectively)

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

24,344

21,394

16,729

15,369

13,453

12,476

11,882

10,576

9,568

7,764

7,484

7,259

6,557

5,814

6,547

6,528

Other investments ($328 and $467 at December 31, 2015 and December 31, 2014, respectively, related to consolidated variable interest entities, generally not available to the Company)

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

4,282

4,172

4,321

4,355

4,515

4,899

5,143

5,086

5,083

4,869

4,940

4,999

4,749

4,730

4,688

4,832

4,811

4,831

4,719

5,412

5,712

5,601

3,901

3,752

3,899

3,796

3,709

3,309

Premises, equipment and software costs (net of accumulated depreciation of $7,140 and $6,219 at December 31, 2015 and December 31, 2014, respectively) ($183 and $191 at December 31, 2015 and December 31, 2014, respectively, related to consolidated variable interest entities, generally not available to the Company)

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

6,259

6,182

6,141

6,108

5,642

5,911

5,778

6,019

6,008

5,966

5,928

5,946

6,083

6,343

6,410

6,457

6,511

6,399

6,366

6,154

6,032

6,100

6,047

7,067

6,765

6,548

5,095

5,057

Goodwill

7,125

7,143

7,139

7,158

6,686

6,688

6,680

6,692

6,706

6,597

6,590

6,591

6,588

6,577

6,584

6,581

6,586

6,584

6,587

6,594

6,597

6,588

6,589

6,600

6,601

6,595

6,591

6,600

6,633

6,650

6,622

6,610

6,700

6,686

6,709

6,744

6,743

6,739

6,766

6,749

7,169

7,162

6,977

6,836

2,256

2,243

Intangible Assets, Net (Excluding Goodwill)

2,021

2,107

2,211

2,276

2,084

2,163

2,240

2,332

2,427

2,448

2,491

2,567

2,644

2,721

2,747

2,833

2,909

2,984

3,069

3,151

3,064

3,159

3,054

3,137

3,210

3,286

3,514

3,602

3,694

3,783

3,905

3,987

4,170

4,285

4,370

4,474

4,581

4,667

4,808

4,924

4,998

5,054

5,679

5,553

906

947

Other assets

19,846

20,117

19,581

19,654

19,425

15,641

15,963

15,873

16,282

16,628

50,430

48,135

53,902

18,146

49,123

51,526

51,058

51,087

9,160

10,005

10,360

10,742

8,711

9,651

9,548

10,133

10,687

10,795

10,284

10,511

10,827

10,623

11,772

12,106

13,109

13,032

13,558

13,290

12,712

13,059

14,083

16,845

16,325

15,972

16,137

15,295

Total assets

947,795

895,429

902,604

891,959

875,964

853,531

865,517

875,875

858,495

851,733

853,693

841,016

832,391

814,949

813,891

828,873

807,497

787,465

834,113

825,755

829,099

801,510

814,511

826,568

831,381

832,702

832,223

802,691

801,383

780,960

764,985

748,517

781,030

749,898

794,939

830,747

836,185

807,698

841,372

809,456

819,719

771,462

769,503

676,957

676,764

659,035

Liabilities
Deposits

235,239

190,356

180,738

176,593

179,731

187,820

175,185

172,802

160,424

159,436

154,639

144,913

152,109

155,863

151,843

152,693

157,591

156,034

147,226

139,203

135,815

133,544

124,382

117,695

116,648

112,379

104,807

81,514

80,623

83,266

70,757

68,252

66,441

65,662

66,184

65,525

63,495

63,812

61,202

61,368

63,926

62,215

62,415

62,382

51,355

42,755

Short-term borrowings (includes $658 and $406 at fair value)

-

-

-

-

-

-

-

-

-

-

1,087

916

1,122

-

914

880

1,109

2,173

1,982

3,122

2,879

2,261

1,760

1,783

1,786

2,142

2,333

2,366

2,475

2,138

2,123

1,988

2,017

2,843

2,881

3,566

3,302

3,256

4,649

3,835

3,323

2,378

2,913

3,030

10,102

10,483

U.S. government and agency securities

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

26,651

27,770

25,589

19,630

19,334

27,520

31,488

27,948

25,092

21,100

26,220

20,503

23,646

21,072

11,902

10,156

Other sovereign government obligations

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

27,528

22,208

26,354

17,141

18,089

22,479

23,133

22,250

23,154

22,885

22,754

18,244

24,020

17,244

9,511

9,360

Corporate and other debt

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

7,649

9,041

8,547

8,410

9,978

9,166

10,443

10,918

10,363

8,957

9,643

7,826

7,743

7,150

9,927

9,361

Corporate equities

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

28,026

29,521

27,725

24,497

26,483

27,618

26,621

19,838

28,987

24,599

29,409

22,601

23,658

21,649

16,840

16,547

Derivative and other contracts

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

35,033

34,935

42,765

46,453

48,064

41,113

44,585

47,802

54,988

47,648

37,777

38,209

39,526

43,435

68,554

73,521

Physical commodities

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

0

0

0

16

16

-

-

0

-

-

39

-

0

11

33

0

Trading liabilities at fair value

142,076

133,356

143,405

139,405

144,565

126,747

129,032

139,359

139,023

131,295

-

134,810

136,903

128,194

136,299

140,662

115,766

128,455

125,525

125,152

125,057

107,381

118,896

109,877

111,590

104,521

122,645

128,085

132,472

120,122

124,887

123,475

130,980

116,147

121,964

127,896

136,270

128,756

142,584

125,189

125,842

107,383

118,593

110,561

116,767

118,945

Obligation to return securities received as collateral, at fair value

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

17,984

-

20,328

23,250

27,384

25,685

22,944

25,449

27,565

24,568

20,899

19,154

23,510

18,226

16,441

17,078

23,366

15,394

15,035

20,741

18,069

21,163

17,062

14,781

16,891

13,656

16,414

9,872

5,231

5,217

Securities Sold under Agreements to Repurchase

45,816

54,200

59,462

62,294

47,948

49,759

60,328

50,650

51,575

56,424

53,983

50,697

56,525

54,628

46,936

50,328

41,305

36,692

58,570

65,619

61,488

69,949

83,706

111,420

114,183

145,676

139,398

133,582

119,270

122,674

116,220

108,678

107,330

104,800

110,053

133,707

156,891

147,598

167,111

185,134

174,591

159,401

147,344

91,935

92,213

102,401

Securities loaned

11,631

8,506

9,691

10,325

12,508

11,908

11,833

12,720

13,556

13,592

15,630

16,862

18,934

15,844

16,515

17,241

17,140

19,358

20,644

23,151

25,527

25,219

27,657

30,808

32,370

32,799

32,807

36,135

40,351

36,849

35,920

30,762

34,431

30,462

27,785

35,375

36,084

29,094

31,123

26,524

31,372

26,246

26,182

18,002

14,580

14,821

Other Secured Financings

13,058

14,698

9,836

11,981

8,043

9,466

10,057

9,890

10,275

11,271

14,244

16,642

11,852

11,118

9,812

9,901

9,316

9,464

10,171

11,688

12,207

12,085

12,019

14,007

13,481

14,215

14,528

13,671

16,294

15,727

18,173

17,323

21,435

20,719

22,156

22,476

12,958

10,453

9,826

7,735

9,560

8,102

10,278

10,148

12,539

12,527

Customer and other payables

198,074

197,834

202,915

192,098

193,092

179,559

191,026

201,737

194,924

191,510

198,792

197,055

189,544

190,513

194,007

201,189

194,003

186,626

193,775

181,494

190,175

181,069

181,899

178,883

175,998

157,125

152,091

145,555

137,127

127,722

117,193

119,455

119,045

117,241

143,717

133,372

121,574

123,249

124,185

117,883

121,025

117,058

110,765

105,731

123,617

115,225

Other liabilities and accrued expenses

19,817

21,155

19,348

18,570

17,494

17,204

17,093

15,967

14,265

17,157

16,290

15,042

13,630

15,896

15,176

14,112

13,304

18,711

19,129

18,920

17,556

19,441

14,880

14,962

14,118

16,672

16,669

15,417

13,622

14,928

14,561

14,717

13,815

15,944

17,298

15,596

13,961

16,518

15,297

15,602

13,957

20,849

18,414

18,960

16,179

15,963

Debt, Long-term and Short-term, Combined Amount

194,856

192,627

193,659

197,848

190,691

189,662

190,889

192,244

194,964

192,582

191,677

184,112

172,688

165,716

163,927

163,492

162,804

153,768

160,343

158,089

155,545

152,772

152,357

149,483

153,374

153,575

157,805

161,098

165,142

169,571

168,444

167,828

176,723

184,234

189,093

196,106

196,136

192,457

196,491

182,810

189,203

193,374

196,437

186,792

179,835

163,437

Brokers, dealers and clearing organizations

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

7,447

4,158

12,143

4,082

5,891

5,178

8,278

3,363

3,447

6,917

12,121

5,423

4,381

5,407

1,585

3,141

Interest and dividends

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

3,347

3,166

2,712

2,292

2,788

3,066

2,659

2,572

2,813

2,519

2,729

2,597

3,143

2,674

3,305

2,584

Total liabilities

860,567

812,732

819,054

809,114

794,072

772,125

785,443

795,369

779,006

773,267

773,579

761,049

753,307

737,772

735,429

750,498

730,322

711,281

757,693

749,688

753,633

729,406

740,500

754,367

761,113

763,672

763,982

736,577

730,886

711,223

695,513

676,880

710,438

679,820

724,845

762,604

769,677

742,291

775,790

750,297

764,540

718,682

717,279

625,494

627,308

607,499

Commitments and contingent liabilities (see Note 13)

-

-

-

-

-

-

0

0

0

-

0

0

0

0

0

0

0

0

0

0

0

0

0

0

0

0

0

0

0

0

0

0

0

0

0

-

0

0

-

-

-

-

-

0

-

-

Redeemable noncontrolling interests

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

-

0

0

4,425

4,309

4,302

-

-

0

-

-

-

-

-

-

-

-

-

-

-

-

Equity
Preferred stock

8,520

8,520

8,520

8,520

8,520

8,520

8,520

8,520

8,520

8,520

8,520

8,520

8,520

7,520

7,520

7,520

7,520

7,520

7,520

7,520

7,520

6,020

6,020

5,020

3,220

3,220

2,370

1,508

1,508

1,508

1,508

1,508

1,508

1,508

1,508

1,508

9,597

9,597

9,597

9,597

9,597

9,597

9,597

9,597

19,168

19,155

Common stock

20

20

20

20

20

20

20

20

20

20

20

20

20

20

20

20

20

20

20

20

20

20

20

20

20

20

20

20

20

20

20

20

20

20

20

20

16

16

16

15

15

15

15

15

12

12

Additional paid-in capital

23,428

23,935

23,649

23,446

23,178

23,794

23,664

23,454

23,260

23,545

23,389

23,140

22,880

23,271

22,995

22,697

22,526

24,153

23,876

23,655

23,355

24,249

23,922

23,608

23,364

24,570

24,235

23,933

23,661

23,426

23,202

23,151

22,930

22,836

22,501

22,346

12,185

13,521

13,389

7,649

6,750

8,619

8,441

9,214

459

1,619

Retained earnings

71,518

70,589

69,071

67,588

66,061

64,175

63,330

61,835

60,009

57,577

57,554

56,325

55,109

53,679

52,545

51,410

50,272

49,204

48,746

48,106

46,740

44,625

46,573

45,145

43,522

42,172

42,237

41,455

40,750

39,912

39,441

40,586

40,118

40,341

40,710

38,637

39,269

38,603

38,056

38,210

36,539

35,056

34,726

34,245

36,154

38,096

Employee stock trusts

3,088

2,918

2,865

2,889

3,000

2,836

2,797

2,829

2,907

2,907

2,899

2,945

3,037

2,851

2,839

2,873

2,861

2,409

2,399

2,441

2,431

2,127

2,127

2,147

2,099

1,718

1,753

1,821

1,872

2,932

2,979

3,198

3,252

3,166

3,216

3,385

-3,468

3,465

-3,549

-3,666

-3,772

4,064

-4,058

-4,163

-4,312

-3,901

Accumulated other comprehensive income (loss)

2,095

-2,788

-1,598

-2,051

-2,473

-2,292

-3,999

-3,070

-3,406

-3,060

-2,544

-2,488

-2,450

-2,643

-1,070

-905

-1,238

-1,656

-1,419

-1,447

-1,266

-1,248

-1,115

-733

-968

-1,093

-1,014

-1,169

-694

-516

-146

-220

-60

-157

-413

-320

-426

-467

-116

-354

-559

-560

-299

-342

-420

-125

Common stock held in treasury at cost, $0.01 par value (463,393,472 and 444,920,299 shares)

19,721

18,727

17,280

15,799

14,582

13,971

12,832

11,650

10,369

9,211

7,961

6,691

6,155

5,797

4,861

3,626

3,090

4,059

3,456

2,816

2,207

2,766

2,502

2,305

2,087

2,968

2,720

2,566

2,541

2,241

2,226

2,204

2,192

2,499

2,498

2,484

2,455

4,059

4,066

4,104

4,078

6,039

6,131

6,143

6,620

7,926

Common stock issued to employee stock trusts

3,088

2,918

2,865

2,889

3,000

2,836

2,797

2,829

2,907

2,907

2,899

2,945

3,037

2,851

2,839

2,873

2,861

2,409

2,399

2,441

2,431

2,127

2,127

2,147

2,099

1,718

1,753

1,821

1,872

2,932

2,979

3,198

3,252

3,166

3,216

3,385

3,468

3,465

3,549

3,666

3,772

-4,064

4,058

4,163

4,312

3,901

Total Morgan Stanley shareholders’ equity

85,860

81,549

82,382

81,724

80,724

80,246

78,703

79,109

78,034

77,391

78,978

78,826

77,924

76,050

77,149

77,116

76,010

75,182

75,287

75,038

74,162

70,900

72,918

70,755

67,071

65,921

65,128

63,181

62,704

62,109

61,799

62,841

62,324

62,049

61,828

59,707

58,186

57,211

56,876

51,013

48,264

46,688

46,349

46,586

48,753

50,831

Noncontrolling interests

1,368

1,148

1,168

1,121

1,168

1,160

1,371

1,397

1,455

1,075

1,136

1,141

1,160

1,127

1,313

1,259

1,165

1,002

1,133

1,029

1,304

1,204

1,093

1,446

3,197

3,109

3,113

2,933

3,368

3,319

3,371

8,796

8,268

8,029

8,266

8,436

8,322

8,196

8,706

8,146

6,915

6,092

5,875

4,877

703

705

Stockholders' Equity, Including Portion Attributable to Noncontrolling Interest

87,228

82,697

83,550

82,845

81,892

81,406

80,074

80,506

79,489

78,466

80,114

79,967

79,084

77,177

78,462

78,375

77,175

76,184

76,420

76,067

75,466

72,104

74,011

72,201

70,268

69,030

68,241

66,114

66,072

65,428

65,170

71,637

70,592

70,078

70,094

68,143

66,508

65,407

65,582

59,159

55,179

52,780

52,224

51,463

49,456

51,536

Total liabilities and equity

947,795

895,429

902,604

891,959

875,964

853,531

865,517

875,875

858,495

851,733

853,693

841,016

832,391

814,949

813,891

828,873

807,497

787,465

834,113

825,755

829,099

801,510

814,511

826,568

831,381

832,702

832,223

802,691

801,383

780,960

764,985

748,517

781,030

749,898

794,939

830,747

836,185

807,698

841,372

809,456

819,719

771,462

769,503

676,957

676,764

659,035