모건 스탠리
MORGAN STANLEYMorgan Stanley의 13F는 Morgan Stanley Investment Management뿐 아니라 Eaton Vance·Parametric, 브로커딜러·웰스 법인의 보고대상 증권을 묶은 combination report입니다. 단일 CIO의 포트폴리오가 아니므로 기타 운용자 번호와 풋·콜 표기로 재량운용과 헤지를 나눠 보는 편이 낫습니다.
글로벌 은행 / 금융그룹 · CIK 0000895421- 총 보유 가치
- $1.89T
- 13F 공시 평가액
- 보유 가치 증감
- +13.9%
- 전분기 대비
- 보유 종목 수
- 8,402개
- 상위 50개 제공
보유 종목
평가액 상위 50개 · 전체 보유 가치의 43.1%
- 1NVDANVIDIA CORP확대+3.9%
NVIDIA CORP
확대+3.9%3.6억주· +1346.6만주$71.3B
비중 4.64% · 3.6억주
4.64%· +0.2%p - 2AAPLAPPLE INC축소-0.8%
APPLE INC
축소-0.8%2.4억주· -186만주$70.2B
비중 4.56% · 2.4억주
4.56%· -0.03%p - 3MSFTMICROSOFT CORP확대+2.2%
MICROSOFT CORP
확대+2.2%1.3억주· +279.3만주$47.6B
비중 3.1% · 1.3억주
3.1%· -0.33%p - 4GOOGLALPHABET INC축소-0.4%
ALPHABET INC
축소-0.4%1.2억주· -44.4만주$43.1B
비중 2.8% · 1.2억주
2.8%· +0.22%p - 5AMZNAMAZON COM INC확대+3.1%
AMAZON COM INC
확대+3.1%1.8억주· +545.1만주$42.8B
비중 2.78% · 1.8억주
2.78%· +0.1%p - 6AVGOBROADCOM INC확대+4.1%
BROADCOM INC
확대+4.1%7903.8만주· +310.3만주$29.9B
비중 1.94% · 7903.8만주
1.94%· +0.2%p - 7GOOGALPHABET INC-CL C확대+1.1%
ALPHABET INC-CL C
확대+1.1%7242.5만주· +75.8만주$25.6B
비중 1.66% · 7242.5만주
1.66%· +0.14%p - 8SPYSS SPDR S&P 500 ETF TRUST-US축소-20.3%
SS SPDR S&P 500 ETF TRUST-US
축소-20.3%3228.6만주· -821.7만주$24.1B
비중 1.57% · 3228.6만주
1.57%· -0.38%p - 9METAMETA PLATFORMS INC확대+3.6%
META PLATFORMS INC
확대+3.6%3943.6만주· +135.7만주$22.2B
비중 1.44% · 3943.6만주
1.44%· -0.17%p - 10JPMJPMORGAN CHASE & CO축소-2.1%
JPMORGAN CHASE & CO
축소-2.1%6709.2만주· -145.2만주$22B
비중 1.43% · 6709.2만주
1.43%· -0.07%p - 11MUMICRON TECHNOLOGY INC확대+9.7%
MICRON TECHNOLOGY INC
확대+9.7%1847만주· +162.8만주$21.3B
비중 1.39% · 1847만주
1.39%· +0.96%p - 12LLYELI LILLY & CO확대+5.1%
ELI LILLY & CO
확대+5.1%1622.6만주· +78.9만주$19.5B
비중 1.27% · 1622.6만주
1.27%· +0.21%p - 13IVVISHARES CORE S&P 500 ETF확대+5.5%
ISHARES CORE S&P 500 ETF
확대+5.5%2467.1만주· +128.9만주$18.5B
비중 1.2% · 2467.1만주
1.2%· +0.07%p - 14VOOVANGUARD S&P 500 ETF확대+2.1%
VANGUARD S&P 500 ETF
확대+2.1%2488.2만주· +51.7만주$17.1B
비중 1.11% · 2488.2만주
1.11%· +0.03%p - 15TSLATESLA INC축소-0.8%
TESLA INC
축소-0.8%3887.2만주· -30.5만주$16.3B
비중 1.06% · 3887.2만주
1.06%· -0.02%p - 16VVISA INC-CLASS A SHARES축소-0%
VISA INC-CLASS A SHARES
축소-0%4596만주· -2만주$15.8B
비중 1.03% · 4596만주
1.03%· -0%p - 17QQQINVESCO QQQ TRUST SERIES 1축소-1.8%
INVESCO QQQ TRUST SERIES 1
축소-1.8%2115.1만주· -38.5만주$15.6B
비중 1.01% · 2115.1만주
1.01%· +0.09%p - 18IWFISHARES RUSSELL 1000 GROWTH확대+299.4%
ISHARES RUSSELL 1000 GROWTH
확대+299.4%1.2억주· +8912.7만주$14.8B
비중 0.96% · 1.2억주
0.96%· +0.02%p - 19AMDADVANCED MICRO DEVICES확대+2.1%
ADVANCED MICRO DEVICES
확대+2.1%2428.6만주· +50.5만주$14.1B
비중 0.92% · 2428.6만주
0.92%· +0.56%p - 20BRK/BBERKSHIRE HATHAWAY INC-CL B축소-0.7%
BERKSHIRE HATHAWAY INC-CL B
축소-0.7%2666.7만주· -18.7만주$13.3B
비중 0.87% · 2666.7만주
0.87%· -0.09%p - 21JNJJOHNSON & JOHNSON확대+0.2%
JOHNSON & JOHNSON
확대+0.2%4480.8만주· +8.7만주$11.4B
비중 0.74% · 4480.8만주
0.74%· -0.07%p - 22IEMGISHARES CORE MSCI EMERGING확대+1.6%
ISHARES CORE MSCI EMERGING
확대+1.6%1.3억주· +202.3만주$10.6B
비중 0.69% · 1.3억주
0.69%· +0.04%p - 23IEFAISHARES CORE MSCI EAFE ETF확대+1.4%
ISHARES CORE MSCI EAFE ETF
확대+1.4%1.1억주· +148.5만주$10.3B
비중 0.67% · 1.1억주
0.67%· -0.04%p - 24PANWPALO ALTO NETWORKS INC축소-8.9%
PALO ALTO NETWORKS INC
축소-8.9%2945만주· -286.9만주$10B
비중 0.65% · 2945만주
0.65%· +0.27%p - 25WMTWALMART INC확대+2.8%
WALMART INC
확대+2.8%8831.9만주· +241.2만주$10B
비중 0.65% · 8831.9만주
0.65%· -0.14%p - 26EXXON MOBIL CORP확대+1.9%확대+1.9%7305.2만주· +133.3만주
$9.99B
비중 0.65% · 7305.2만주
0.65%· -0.25%p - 27IWDISHARES RUSSELL 1000 VALUE E축소-3.7%
ISHARES RUSSELL 1000 VALUE E
축소-3.7%4066.3만주· -156.4만주$9.86B
비중 0.64% · 4066.3만주
0.64%· -0.03%p - 28ABBVABBVIE INC확대+2.3%
ABBVIE INC
확대+2.3%3890.1만주· +88.4만주$9.79B
비중 0.64% · 3890.1만주
0.64%· +0.02%p - 29AMATAPPLIED MATERIALS INC확대+14.2%
APPLIED MATERIALS INC
확대+14.2%1352.4만주· +168만주$9.78B
비중 0.64% · 1352.4만주
0.64%· +0.34%p - 30COSTCOSTCO WHOLESALE CORP확대+3.3%
COSTCO WHOLESALE CORP
확대+3.3%1022만주· +32.2만주$9.56B
비중 0.62% · 1022만주
0.62%· -0.11%p





























