MORGAN STANLEY

Location
NEW YORK, NY
Portfolio Value
Large $60,497,963,376
Diversification
Diversified
Filing Date
Global Rank
#7 / 8,524 ▼ 1
Top Industry
Semiconductors 9.7%
Period ended 58 days ago
Filed May 15, 2026 · 13d
52 quarters · since Jun 2013

Portfolio Concentration

5,189 positions · as of Mar 31, 2026 · Δ vs Dec 31, 2025
Top Position
5.0%
+0.0 pts
Top 5
19.3%
−1.1 pts
Top 10
27.9%
−1.1 pts
HHI
113
Jun 2023 → Mar 2026 · range 113 – 283
Diversified −7

Portfolio Trend

52 quarters · across all stocks

Sector Breakdown

As of Mar 31, 2026
Sector % Portfolio Value
Technology 28.2% $349,818,296,673
Financial Services 13.0% $161,298,884,304
Healthcare 10.1% $125,436,633,516
Consumer Cyclical 10.0% $124,281,920,797
Industrials 9.5% $117,451,760,094
Communication Services 8.0% $99,173,410,473
Consumer Defensive 5.2% $64,100,853,275
Energy 4.9% $60,497,963,376
Unclassified 4.2% $52,213,761,189
Utilities 2.6% $32,326,188,610
Basic Materials 2.5% $30,985,873,050
Real Estate 1.8% $21,891,807,171

Last Quarter's Activity

Export CSV
Mar 31, 2026 vs Dec 31, 2025

Added To

Positions the filer increased
25 positions
Ticker Δ Shares Shares Value
OPEN +51,188,766 102,774,968 $480,986,845
VALE +33,462,227 46,025,401 $732,264,126
SAN +21,969,770 78,079,188 $880,733,235
GRAB +21,013,309 133,501,940 $488,617,092
NU +20,277,682 141,628,383 $2,035,199,856
NVDA +19,220,362 342,954,346 $59,811,237,934
AUR +14,702,733 192,442,063 $792,861,295
AAPL +13,991,687 244,474,722 $62,045,239,682
FITB +13,798,408 24,776,241 $1,151,104,148
NFLX +13,668,151 99,018,124 $9,520,592,610
CRM +12,666,457 31,675,603 $5,912,884,800
AMZN +12,345,516 173,925,856 $36,223,538,016
SPXX +11,997,085 12,227,809 $196,500,889
SPY +11,178,224 40,502,730 $26,340,545,421
ITUB +9,198,791 12,179,414 $102,063,486
HDB +9,116,744 30,807,471 $766,489,871
VZ +9,070,852 74,068,170 $3,718,222,126
PBR +8,431,288 20,519,121 $425,771,758
HBAN +8,208,452 34,521,184 $540,256,519
B +8,075,667 23,431,914 $955,787,767
SOFI +7,935,401 21,258,767 $337,589,212
QXO +7,504,983 74,634,716 $1,449,406,180
STLA +7,180,456 16,099,306 $114,144,077
IQ +7,007,662 14,795,470 $19,973,880
EVGO +6,498,912 9,178,776 $15,787,491

Trimmed

Positions the filer reduced
25 positions
Ticker Δ Shares Shares Value
ABEV 35,141,322 10,321,306 $30,138,209
RPRX 11,702,436 43,571,633 $2,090,131,227
AVTR 11,370,131 6,098,287 $47,810,565
INTC 11,259,882 53,989,387 $2,382,551,638
IOT 10,651,348 8,417,014 $266,735,168
KVYO 9,479,400 5,067,690 $98,617,244
CNM 9,151,179 5,435,680 $268,522,583
PLUG 8,960,196 5,719,421 $12,925,887
INFY 8,174,618 42,752,938 $577,592,185
FCX 8,034,589 26,227,652 $1,541,661,378
ALIT 7,787,474 2,079,155 $1,212,143
FSLY 6,879,737 1,459,497 $42,412,977
ABT 6,625,937 30,101,596 $3,090,530,851
ROIV 6,531,228 51,828,325 $1,435,644,595
SLV 5,847,704 12,225,525 $833,047,270
QS 5,767,618 5,358,879 $34,189,644
IBN 5,655,120 48,117,738 $1,246,249,407
SU 5,369,347 7,508,552 $496,390,369
CWAN 5,308,699 2,546,987 $60,236,236
YMM 5,257,205 9,512,637 $78,954,884
ACHR 5,242,320 10,475,202 $54,156,790
DELL 5,235,786 6,647,871 $1,091,115,060
BTBT 5,229,911 1,291,460 $1,691,809
MPT 5,220,570 6,734,293 $31,179,773
CMG 5,079,573 18,030,236 $577,147,844

New Positions

Positions the filer opened this quarter
25 positions
Ticker Shares Value
AZN 6,969,314 $1,374,488,098
AMCR 5,261,194 $209,132,457
SUNB 2,812,539 $183,068,161
QGEN 4,190,913 $167,804,153
PNFP 1,627,480 $140,191,118
INDV 3,505,817 $106,857,299
VSNT 1,803,757 $66,775,075
EQPT 1,232,476 $25,105,530
MDA 724,923 $18,355,048
ASST 1,513,010 $15,160,355
ATAI 3,852,772 $13,638,809
AWP 1,046,205 $11,560,564
FPS 322,518 $9,440,099
DFTX 438,573 $8,289,025
HSLV 1,080,097 $6,350,969
YSS 283,663 $6,288,805
BOBS 423,159 $4,972,117
GSOL 768,303 $4,709,697
GENB 337,302 $4,216,275
PAYP 157,762 $3,366,641
MANE 51,690 $3,264,222
SCZM 317,506 $2,721,024
FSOL 260,646 $2,541,298
JAN 104,643 $2,466,434
GGR 691,340 $2,405,863

Sold Out

Positions the filer fully exited
25 positions
Ticker Shares Value
AGL 53,877,223 $928,035,162
EXAS 3,250,329 $330,103,408
BXMX 12,037,265 $176,947,793
FUBO 1,892,608 $57,232,462
NGD 4,620,607 $40,245,482
XFLT 1,672,500 $40,140,000
TGNA 1,888,199 $36,649,937
DIAX 1,714,813 $26,168,044
COOK 396,840 $21,429,360
PIPR 204,613 $17,377,264
ADV 523,792 $11,523,424
BBUC 285,373 $10,239,179
XLO 839,850 $7,525,056
GRTUF 92,679 $5,485,667
TVGN 250,258 $4,141,769
RVPH 337,315 $1,888,964
DVS 285,175 $1,257,620
MODD 53,000 $578,760
FWDI 82,930 $548,166
ORGN 82,173 $522,620
KXIN 5,679 $442,110
ANEB 399,404 $403,397
NOTE 187,949 $276,285
CMCT 6,607 $245,119
ZNB 2,035 $118,030

Portfolio Positions

Export CSV View 13F filing
236 positions · $60,497,963,376 total · Energy only · as of Mar 31, 2026
Showing 1–50 of 236 positions by value · page 1 of 5
Ticker Company Shares Value (USD) % of Portfolio Action
XOM
Exxon Mobil Corp
Energy
71,718,998 $12,167,845,193 20.11% History
CVX
Chevron Corp
Energy
36,847,021 $7,623,648,635 12.60% History
COP
Conocophillips
Energy
18,799,873 $2,481,583,236 4.10% History
WMB
Williams Companies, Inc.
Energy
33,740,119 $2,455,605,847 4.06% History
SLB
Slb Limited/Nv
Energy
40,159,562 $2,063,799,883 3.41% History
EQT
EQT Corp
Energy
28,450,551 $1,810,593,059 2.99% History
VLO
Valero Energy Corp/Tx
Energy
7,256,704 $1,792,986,416 2.96% History
ET
Energy Transfer LP
Energy
87,230,414 $1,683,546,987 2.78% History
MPC
Marathon Petroleum Corp
Energy
6,073,543 $1,483,037,723 2.45% History
LNG
Cheniere Energy, Inc.
Energy
5,209,126 $1,478,141,585 2.44% History
PSX
Phillips 66
Energy
7,100,129 $1,293,501,492 2.14% History
OKE
Oneok Inc /New/
Energy
12,588,158 $1,137,843,593 1.88% History
KMI
Kinder Morgan, Inc.
Energy
30,269,661 $1,014,941,722 1.68% History
EOG
Eog Resources Inc
Energy
6,779,590 $980,125,315 1.62% History
SHEL
Shell plc
Energy
9,673,916 $899,674,188 1.49% History
EPD
Enterprise Products Partners L.P.
Energy
21,419,522 $810,514,710 1.34% History
TRGP
Targa Resources Corp.
Energy
3,218,149 $806,886,491 1.33% History
BKR
Baker Hughes Co
Energy
12,955,827 $790,953,230 1.31% History
FANG
Diamondback Energy, Inc.
Energy
3,751,908 $742,089,877 1.23% History
OXY
Occidental Petroleum Corp /De/
Energy
10,976,687 $713,484,655 1.18% History
HAL
Halliburton Co
Energy
17,258,914 $672,925,052 1.11% History
TTE
TotalEnergies SE
Energy
7,248,408 $659,460,154 1.09% History
ENB
Enbridge Inc
Energy
12,001,433 $649,757,576 1.07% History
DVN
Devon Energy Corp/De
Energy
11,726,849 $590,095,035 0.98% History
TRP
Tc Energy Corp
Energy
8,626,094 $539,993,480 0.89% History
CCJ
Cameco Corp
Energy
4,615,953 $501,338,651 0.83% History
CNQ
Canadian Natural Resources Ltd
Energy
10,192,029 $496,657,568 0.82% History
SU
Suncor Energy Inc
Energy
7,508,552 $496,390,369 0.82% History
BP
Bp PLC
Energy
10,049,509 $472,326,923 0.78% History
TPL
Texas Pacific Land Corp
Energy
964,476 $457,701,725 0.76% History
EQNR
Equinor ASA
Energy
10,659,776 $449,842,545 0.74% History
PBR
Petrobras - Petroleo Brasileiro SA
Energy
20,519,121 $425,771,758 0.70% History
APA
APA Corp
Energy
8,999,616 $381,943,697 0.63% History
EXE
EXPAND ENERGY Corp
Energy
3,315,573 $363,983,597 0.60% History
CTRA
Coterra Energy Inc.
Energy
8,927,080 $313,697,585 0.52% History
MPLX
Mplx LP
Energy
4,964,199 $283,306,835 0.47% History
PAA
Plains All American Pipeline LP
Energy
11,401,038 $254,585,177 0.42% History
CVE
Cenovus Energy Inc.
Energy
8,719,464 $231,327,376 0.38% History
FTI
TechnipFMC plc
Energy
3,124,767 $216,015,136 0.36% History
IMO
Imperial Oil Ltd
Energy
1,634,686 $213,849,616 0.35% History
VAL
Valaris Ltd
Energy
2,080,855 $204,007,017 0.34% History
WES
Western Midstream Partners, LP
Energy
4,550,365 $187,338,524 0.31% History
RRC
Range Resources Corp
Energy
3,908,859 $176,602,243 0.29% History
PBA
Pembina Pipeline Corp
Energy
3,915,090 $175,239,424 0.29% History
E
Eni Spa
Energy
2,925,006 $165,584,587 0.27% History
AR
ANTERO RESOURCES Corp
Energy
3,577,596 $151,833,165 0.25% History
DINO
HF Sinclair Corp
Energy
2,372,785 $148,038,047 0.24% History
RIG
Transocean Ltd.
Energy
21,693,064 $143,825,008 0.24% History
KNTK
Kinetik Holdings Inc.
Energy
2,957,610 $143,177,895 0.24% History
AM
Antero Midstream Corp
Energy
6,255,526 $142,625,985 0.24% History
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