MS stock price — Morgan Stanley
MS stock price (Morgan Stanley)
MS stock price is the NYSE ticker symbol for Morgan Stanley, a global financial services firm. This article explains what the MS stock price means, how to read a price snapshot (real‑time and after‑hours), key historical performance metrics, the main fundamental and macro drivers that move the stock, valuation and dividend considerations, trading and liquidity details, analyst coverage, technical tools commonly used on MS, peer comparisons, major risks to watch, and reputable places to track real‑time and historical MS quotes.
As of January 25, 2026, market snapshots cited in this article reference publicly reported figures from financial data providers. For example, Benzinga reported a price of $189.09 and a market capitalization of $299.33 billion for Morgan Stanley on the date of that data point; always check live feeds for the latest MS stock price and metrics.
Identification and ticker information
- Company name: Morgan Stanley
- Ticker: MS (traded as "MS" on the New York Stock Exchange)
- Primary exchange: NYSE
- ISIN: US6174464486 (standard ISIN for Morgan Stanley common stock)
- Sector: Financials — Capital Markets / Investment Banking & Wealth Management
Morgan Stanley operates primarily across three business segments:
- Institutional Securities (investment banking, capital markets, trading and underwriting)
- Wealth Management (advisory, brokerage, custody and lending for individual and institutional clients)
- Investment Management (asset management products and solutions)
These segments shape revenue mix, profitability and therefore influence the MS stock price through earnings, capital requirements and business‑cycle sensitivity.
Current price and market snapshot
A current price snapshot for any publicly traded stock — including the MS stock price — typically includes the following elements that investors and data platforms display:
- Last trade / Real‑time quote: the most recent executed price during market hours.
- Pre‑market and after‑hours quotes: displayed separately and may differ from regular session prices.
- Previous close: the last price at which the stock traded at the close of the prior regular session.
- Open: the price at market open for the current trading day.
- Day's range: intraday low and high for the regular session.
- 52‑week range: the high and low price over the prior 52 weeks.
- Market capitalization: shares outstanding multiplied by the last price (e.g., Benzinga reported a market cap of $299.33 billion and a price of $189.09 as of the cited snapshot).
- Share count (outstanding shares): can be derived from market cap / price or obtained directly from company filings and data providers; using the Benzinga snapshot, the outstanding shares compute to roughly 1.58 billion shares (derived figure).
- Trading volume and average volume: the trading activity for the current day and the typical daily volume over a lookback period (often 30 or 90 days).
- Common valuation ratios shown alongside the price: price‑to‑earnings (P/E), earnings per share (EPS, trailing twelve months), price‑to‑book (P/B), dividend yield, and other ratios such as return on equity (ROE).
Sources that commonly provide the live MS stock price and the snapshot fields above include financial portals such as Yahoo Finance, CNBC Quotes, Google Finance, TradingView and retail brokerage interfaces (for example, Robinhood). Note: some free feeds are delayed by up to 15–20 minutes unless the provider advertises a real‑time feed.
Historical price performance
Understanding how the MS stock price has moved historically helps investors and analysts place current prices in context. Historical performance is typically summarized across multiple horizons (1‑day, 1‑month, 1‑year, 3‑year, 5‑year and since‑IPO/all‑time):
- Multi‑year returns: Morgan Stanley has delivered notable multi‑year performance driven by wealth‑management growth, capital markets cycles and strategic acquisitions. For example, Benzinga’s automated content reported that Morgan Stanley outperformed the market over the past 5 years by an annualized 8.04% and produced an average annual return of 20.6% over that period; a $100 investment five years ago would be worth about $253.13 based on the cited price context and total return assumptions.
- 52‑week high/low and all‑time highs: these standard reference points are used to assess recent volatility and recovery. Financial charting services (TradingView, Macrotrends) list the 52‑week extremes and annotate historical all‑time highs on long‑run charts.
- Notable milestones: Morgan Stanley’s share price has historically reacted to major corporate events (acquisitions, large buybacks, regulatory developments), macro events (financial crises, rate cycles) and sector performance.
Sources such as Macrotrends and TradingView provide long‑range historical tables and charts for MS that let users compute annualized returns, compound growth rates and observe drawdowns and peak‑to‑trough movements.
Long‑term trends and adjusted history
Long‑term price charts for the MS stock price are commonly presented in an "adjusted" format to account for stock splits, ordinary dividends (where platforms adjust historical prices for cash dividends to show total return) and corporate actions. Adjusted historical series make multi‑year performance comparisons meaningful by normalizing past prices to reflect shareholder payouts and share‑count changes.
Analysts use annual return tables, logarithmic and linear charts, reinvested dividend series and volatility measures (annualized standard deviation) to assess long‑term performance and risk. For MS, adjusted charts highlight the contribution of dividend income and buybacks to total shareholder return over time.
Recent movements and notable dates
Short‑term movements in the MS stock price commonly cluster around:
- Quarterly earnings releases: headline figures (EPS vs. consensus, revenue beats/misses), guidance and segment commentary.
- Macro shocks: changes in interest‑rate expectations, stock market sell‑offs or rallies, and large moves in fixed‑income markets.
- Analyst activity: upgrades/downgrades and target price revisions from major sell‑side firms.
Event‑driven price volatility is traceable via same‑day intraday charts on platforms such as Google Finance, CNBC market coverage and TradingView. For example, earnings days typically produce sharp intraday ranges as the market re‑prices expectations for Institutional Securities and Wealth Management revenue streams.
Fundamental drivers of MS stock price
The MS stock price is driven by a mixture of company‑level, sector‑level and macroeconomic factors:
Company‑level drivers
- Earnings and revenue growth: reported results (top‑line revenue, net income) and the outlook for fee‑based businesses such as wealth management are primary inputs to valuation.
- Assets under management (AUM) and client flows: growth or outflows in wealth management and investment management affect recurring fees and margins.
- Deal flow and capital markets activity: investment banking fees and trading revenues are cyclical and sensitive to the capital markets environment.
- Cost control and efficiency: expense management, technology investments and provisioning impact margins and EPS.
- Capital allocation: dividend policy and share repurchases directly influence supply/demand for shares and EPS per share.
Sector and macro drivers
- Interest‑rate environment: banks and capital‑market firms are sensitive to rate changes. Higher rates can expand net interest margins in some banking franchises, while market‑making and trading revenues depend on market volatility and liquidity.
- Equity market performance: strong equity markets boost underwriting and trading fees; weak markets reduce deal flow.
- Credit spreads and liquidity: tightening credit conditions can reduce underwriting and advisory activity and increase credit‑loss provisioning.
Event drivers
- Earnings releases and guidance updates
- Dividend announcements and buyback program changes
- Regulatory developments affecting capital or business lines
- Large M&A transactions or strategic partnerships
All of these factors interplay to influence the MS stock price as investors update expectations for future cash flows and risk.
Financials and valuation metrics
Investors tracking the MS stock price monitor standard financial indicators to form valuation views. Key metrics include:
- Revenue and net income (quarterly and annual): growth trends in each business segment.
- EPS (basic and diluted, trailing twelve months - TTM): used to compute P/E ratios.
- Price‑to‑earnings (P/E) ratio: current price divided by EPS (TTM). A commonly shown ratio on quote pages.
- Price‑to‑book (P/B) ratio: price divided by book value per share — important for banks and capital‑markets firms.
- Return on equity (ROE): net income divided by shareholder equity; measures profitability relative to capital.
- Balance sheet highlights: total assets, total liabilities, shareholder equity and capital ratios (as reported in regulatory filings). Strong capital positions reduce tail‑risk for shareholders.
- Cash flow measures: operating cash flow, free cash flow and the firm’s capacity to support dividends and buybacks.
These indicators influence valuation multiples and therefore expectations embedded in the MS stock price. Data providers such as Google Finance, Seeking Alpha and TradingView display most of the above metrics; company 10‑Q and 10‑K filings remain the authoritative source for detailed financial disclosures.
Dividends, buybacks and corporate actions
Morgan Stanley has historically returned capital to shareholders through both dividends and share repurchases. Key items investors watch include:
- Dividend policy and yield: Morgan Stanley traditionally pays a quarterly dividend; the dividend yield (annual dividend divided by current price) is shown on quote pages. For the most recent dividend amount and the next ex‑dividend date, consult the company’s investor relations or major financial portals.
- Share repurchase programs: open buyback authorizations reduce share count over time, boosting EPS if net income is stable. Announcements about program size and execution pace are material for the MS stock price.
- Stock splits and other corporate actions: Morgan Stanley’s history of corporate actions (if any) can change per‑share figures; adjusted historical charts reflect these events.
For exact dividend amounts, ex‑dividend dates and buyback program details, investors should refer to Morgan Stanley’s official filings and investor relations publications and to data providers such as Yahoo Finance and CNBC which publish payout histories and dates.
Trading, liquidity and market structure
Trading hours and liquidity affect how the MS stock price is discovered and executed:
- Regular trading hours: U.S. equity markets typically operate from 9:30 a.m. to 4:00 p.m. Eastern Time; the NYSE trading rules and auction mechanisms apply to MS during these hours.
- Pre‑market and after‑hours sessions: bilateral electronic trading outside regular hours shows pre‑market and post‑market quotes. Price discovery in these sessions can be more volatile and less liquid.
- Liquidity considerations: average daily volume and the bid‑ask spread determine how easily large orders can be executed without moving the MS stock price materially. Institutional participants (asset managers, hedge funds, broker‑dealers) are major liquidity providers and consumers; retail participation also contributes, especially around news events.
- Trading instruments: the MS stock price can be traded via common shares, listed options (calls and puts), covered ETFs that hold the stock, and derivatives available to institutional investors.
Retail interfaces and charting platforms (Robinhood, TradingView) present order‑book visuals, option chains and historical volume statistics to help users understand liquidity and trading patterns.
Analyst coverage, price targets and sentiment
Sell‑side analyst coverage is a prominent influence on the MS stock price. Key points:
- Analyst ratings: brokers and research houses publish buy/hold/sell ratings and target prices. The consensus rating and median target provide a market reference point.
- Price targets: analysts combine financial models with qualitative assessments to set targets; revisions to targets after earnings or strategic news can move the stock.
- Sentiment aggregation: platforms consolidate analyst recommendations and user sentiment (bullish vs. bearish) so investors can see distributional views.
Investors can find aggregated analyst data on outlets such as CNBC, Robinhood’s research tabs and The Motley Fool; these sources compile recent analyst activity and consensus targets that are commonly cited when discussing the MS stock price.
Technical analysis and common indicators
Traders studying the MS stock price often use technical indicators to gauge momentum, support/resistance and trend strength. Common tools include:
- Moving averages (simple and exponential): common horizons include 50‑day and 200‑day moving averages to identify trend orientation.
- Relative Strength Index (RSI): a momentum oscillator that can indicate overbought or oversold conditions.
- MACD (Moving Average Convergence Divergence): used to detect changes in momentum and possible trend reversals.
- Support and resistance levels: horizontal price levels, trendlines and prior pivot points where the MS stock price has historically reacted.
Technical ideas and user‑generated strategies for MS are widely published on charting platforms such as TradingView, where traders share annotated charts, indicator settings and trade plans.
Comparisons and peer group
To evaluate the MS stock price in context, investors compare Morgan Stanley with key peers and financial sector indices. Typical peer group members include:
- JPMorgan Chase (JPM)
- Goldman Sachs (GS)
- Bank of America (BAC)
- Citigroup (C)
Relative performance vs. these peers and vs. sector indices (e.g., large‑cap financial sector ETFs) helps analysts determine whether MS is leading or lagging on revenue growth, margins and capital returns. Macrotrends and Google Finance provide peer‑relative charts and comparative valuation tables used to interpret the MS stock price.
Risks and considerations for investors
Major risks that can affect the MS stock price include:
- Market risk: broad equity market declines compress valuations and can lower MS’s market value irrespective of company fundamentals.
- Regulatory risk: changes in capital requirements, conduct investigations or new rules for financial firms can change profitability and capital allocation.
- Interest‑rate sensitivity: shifts in the interest‑rate cycle influence trading revenues, net interest income dynamics and client activity.
- Credit and counterparty risk: exposure in trading books and credit underwriting can produce losses in stress scenarios.
- Concentration of revenues: reliance on capital markets cycles or specific client segments can amplify volatility in the MS stock price.
- Macroeconomic downturns: recessions or major economic shocks reduce deal flow and asset‑management performance.
This article is factual and informational; it does not provide investment advice. Past performance of the MS stock price is not indicative of future results.
How to track MS stock price (real time and historical)
Trusted sources for real‑time quotes and historical data include — and investors commonly use — the following (note: some free feeds may be delayed):
- Yahoo Finance (comprehensive quote pages, historical data and dividend history)
- CNBC Quotes (live market headlines and intraday quotes)
- Google Finance (quick quotes and news aggregation)
- TradingView (advanced charting, indicators and community ideas)
- Seeking Alpha (article‑driven analysis and financial metrics)
- Macrotrends (long‑range historical tables and compound‑return calculations)
- Robinhood (retail brokerage interface with quotes and basic research)
If you trade or hold a position, use real‑time market data from your brokerage or dedicated market‑data services. Note that Bitget provides trading infrastructure for a range of assets; for equities, consult your brokerage’s market data and the official NYSE feed for real‑time accuracy.
Notable news coverage and recent headlines
Earnings reports, analyst note revisions, macroeconomic announcements and sector‑wide news drive most short‑term moves in the MS stock price. Primary outlets for the article’s referenced news and market commentary include CNBC, Reuters (via aggregated feeds), Yahoo Finance, The Motley Fool and Seeking Alpha.
In addition to financial‑market coverage, broader economic news can indirectly affect the MS stock price. For example, recent reporting on tax‑related cost pressures and inflation in other economies — such as coverage of rising business rates and consumer inflation in the UK — can alter global growth expectations and market sentiment. As of January 25, 2026, The Telegraph reported that hospitality and tourism sectors in parts of the UK faced sharper business rate increases and cost pressures, putting stress on local businesses and feeding into broader inflation discussions; such macro themes can shift rate expectations, which in turn influence banking and capital markets stocks indirectly (reported by The Telegraph on January 25, 2026).
Separately, Benzinga’s automated market content noted Morgan Stanley’s 5‑year outperformance metrics and provided a snapshot of price and market capitalization as a data point for historical return calculations (Benzinga snapshot cited as of January 25, 2026).
See also
- Morgan Stanley (company profile and filings)
- List of global investment banks and capital markets firms
- New York Stock Exchange (market structure and trading hours)
- Financial ratios (P/E, P/B, ROE explanations)
- Peer companies: JPMorgan Chase, Goldman Sachs, Bank of America
References and data sources
Sources used to compile the information in this article and for price/context snapshots include:
- Yahoo Finance (quotes, historical tables and dividend history)
- CNBC (market news and analyst coverage)
- Robinhood (retail quote pages and research summaries)
- TradingView (charting, technical indicators and historical price data)
- Seeking Alpha (company analysis and earnings coverage)
- Macrotrends (long‑term historical price tables and returns)
- Google Finance (quick quotes and news aggregation)
- The Motley Fool (company commentary)
- Benzinga (automated market snapshot cited for price and market cap figures)
- The Telegraph (news item on UK business rate and inflation context cited as of January 25, 2026)
Readers should consult real‑time quote providers and company filings for the most current numerical figures; financial metrics and the MS stock price move continuously during trading hours.
External links
For live data and official filings, consult the following institutions’ primary pages (search for the entity on your preferred portal or brokerage):
- Morgan Stanley — Investor Relations (company reports, press releases and SEC filings)
- NYSE quote page for MS (real‑time/close data depending on your feed)
- Major financial portals (Yahoo Finance, TradingView, CNBC, Google Finance) for quotes, charts and historical exports
Note: the list above references common data outlets; for trading and execution use your brokerage platform and market‑data subscription if you require guaranteed real‑time feeds.
Further reading and next steps
If you want to follow the MS stock price actively:
- Set up a real‑time watchlist in your brokerage or charting platform to track price, volume and news alerts.
- Monitor quarterly earnings, investor‑day presentations and SEC filings for updated guidance and capital allocation plans.
- Follow macroeconomic releases (rates, inflation and employment) because they influence capital‑markets activity and client behavior.
To explore trading and custody options, consider Bitget’s account and wallet features for broader portfolio management and secure custody solutions. For financial‑market research and live quotes, pair a trusted brokerage feed with charting tools such as TradingView.
Important dates and data context: As of January 25, 2026, Benzinga reported Morgan Stanley (MS) at $189.09 with an implied market capitalization of $299.33 billion and multi‑year performance metrics showing strong 5‑year returns. As of the same date, The Telegraph published reporting on UK business‑rate increases and inflation dynamics that illustrate the macro backdrop financial firms operate within.
Further explore MS stock price data on live quote providers and consult Morgan Stanley’s investor relations for the most current, authoritative company disclosures.
This article is for informational purposes only and does not constitute investment advice.





















