0000895421-24-000245
MORGAN STANLEY
Total Value: $1,134,780,996,254
Total Holdings: 44939
QuarterFilling ID
Q2 250002002654-25-000004
Q1 250002002654-25-000003
Q4 240002002654-25-000001
Q3 240002002654-24-000005
Q2 240002002654-24-000004
Q1 240002002654-24-000002
Q4 230002002654-24-000001
Q3 230002002654-23-000008
Q2 230002002654-23-000007
Q1 230002002654-23-000006
Q4 220002002654-23-000005
Q3 220002002654-23-000004
Q2 220002002654-23-000003
Q1 220002002654-23-000002
Q4 210002002654-23-000001
Compare Quarter:
NameTitleCUSIPValueSharesShare PriceInvestment% of Portfolio
MICROSOFT CORPCOM594918104$46,608,593,123123,945,835DFND
APPLE INCCOM37833100$41,964,075,473217,961,227DFND
AMAZON COM INCCOM23135106$24,103,105,017158,635,676DFND
NVIDIA CORPORATIONCOM67066G104$16,356,782,58933,029,323DFND
SPDR S&P 500 ETF TRTR UNIT78462F103$15,977,250,36933,614,375DFND
ALPHABET INCCAP STK CL A02079K305$15,681,200,640112,257,142DFND
VISA INCCOM CL A92826C839$13,429,188,75651,581,286DFND
META PLATFORMS INCCL A30303M102$12,831,651,97936,251,699DFND
JPMORGAN CHASE & COCOM46625H100$11,029,488,31464,841,197DFND
ALPHABET INCCAP STK CL C02079K107$10,416,814,60173,914,810DFND
ISHARES TRCORE S&P500 ETF464287200$9,128,429,70019,111,925DFND
UNITEDHEALTH GROUP INCCOM91324P102$8,832,889,45316,777,571DFND
INVESCO QQQ TRUNIT SER 146090E103$8,611,803,06321,029,015DFND
BERKSHIRE HATHAWAY INC DELCL B NEW84670702$8,337,369,66923,376,237DFND
TESLA INCCOM88160R101$8,198,654,60932,995,225DFND
VANGUARD INDEX FDSS&P 500 ETF SHS922908363$7,907,905,52818,104,178DFND
UBER TECHNOLOGIES INCCOM90353T100$7,625,577,017123,852,149DFND
ISHARES TRRUS 1000 GRW ETF464287614$7,395,860,20924,395,088DFND
ELI LILLY & COCOM532457108$7,380,186,52112,660,717DFND
PROCTER AND GAMBLE COCOM742718109$7,143,348,16548,746,742DFND
BROADCOM INCCOM11135F101$7,130,895,7296,388,257DFND
HOME DEPOT INCCOM437076102$6,670,459,03919,248,185DFND
THERMO FISHER SCIENTIFIC INCCOM883556102$6,662,872,25012,552,744DFND
MASTERCARD INCORPORATEDCL A57636Q104$6,608,314,13615,493,922DFND
JOHNSON & JOHNSONCOM478160104$6,529,707,24141,659,479DFND
VANGUARD BD INDEX FDSTOTAL BND MRKT921937835$6,240,463,24284,846,542DFND
ISHARES TRCORE MSCI EAFE46432F842$6,170,457,63687,710,837DFND
ADOBE INCCOM00724F101$6,051,847,69510,143,892DFND
COSTCO WHSL CORP NEWCOM22160K105$5,810,872,0888,803,280DFND
ACCENTURE PLC IRELANDSHS CLASS AG1151C101$5,782,401,90016,478,300DFND
EXXON MOBIL CORPCOM30231G102$5,599,410,34456,005,303DFND
SALESFORCE INCCOM79466L302$5,310,932,38020,182,913DFND
ABBVIE INCCOM00287Y109$5,277,122,11034,052,535DFND
CHEVRON CORP NEWCOM166764100$5,133,512,67634,416,145DFND
SERVICENOW INCCOM81762P102$4,824,575,1546,828,933DFND
ISHARES TRRUS 1000 VAL ETF464287598$4,662,323,16628,213,751DFND
ISHARES TRRUSSELL 2000 ETF464287655$4,609,095,94222,963,954DFND
DANAHER CORPORATIONCOM235851102$4,546,965,65019,654,901DFND
RTX CORPORATIONCOM75513E101$4,477,244,64553,211,842DFND
MERCK & CO INCCOM58933Y105$4,374,953,96740,129,825DFND
COCA COLA COCOM191216100$4,369,794,48674,152,288DFND
DISNEY WALT COCOM254687106$4,336,065,08948,023,755DFND
PEPSICO INCCOM713448108$4,249,861,97125,022,737DFND
VANGUARD INDEX FDSVALUE ETF922908744$4,225,876,39328,266,729DFND
PHILIP MORRIS INTL INCCOM718172109$4,211,658,71144,766,778DFND
AMGEN INCCOM31162100$4,157,299,39714,434,062DFND
SHOPIFY INCCL A82509L107$4,091,293,06952,519,805DFND
VANGUARD INDEX FDSGROWTH ETF922908736$4,004,367,78512,880,749DFND
WALMART INCCOM931142103$4,000,605,02325,376,495DFND
MCDONALDS CORPCOM580135101$3,983,523,44113,434,698DFND