MORGAN STANLEY (MS) Factsheet

MORGAN STANLEY (MS) Stock Analysis

Analysis from 10-Q filed 2025-11-03. Data as of Q4 2025.

Overall Grade: F (Concerning)

Grade F (Concerning). ROIC N/A. FCF margin -25.3%. D/E 0.0x. Source: 10-Q filed 2025-11-03.

Metric Value Context
ROIC N/A Below expectations
FCF Margin -25.3% Cash flow pressure
Debt/Equity 0.0x Conservative leverage

FCF margin -25.3% — Bottom 10%.

Explore MORGAN STANLEY: Earnings History | Filings | ROIC Analysis

Programmatic access: Available via MCP at mcp.metricduck.com. Tools for MS: get_company_overview, get_filing_index (lens: debt_stress, management_outlook, risk_trajectory), get_filing_changes, get_metric_history, compare_companies, screen_filing_signals.


Profitability: MORGAN STANLEY earns N/A ROIC

ROIC TTM N/A, sector median 20.8%. Source: 10-Q filed 2025-11-03.

Metric MS Rating Context
Return on Invested Capital (ROIC) N/A Red flag Below sector median of 20.8%
Return on Equity (ROE) 15.0% Good Efficient use of shareholder equity

Cash Flow: MORGAN STANLEY generates $-17.9B FCF at -25.3% margin, positive NaN/8 quarters

FCF TTM $-17.9B. FCF margin -25.3%. OCF/Net income -1.1x. Positive FCF in NaN/8 trailing quarters. Source: 10-Q filed 2025-11-03.

Metric MS Rating Context
Free Cash Flow Margin -25.3% Red flag Thin cash margins
Free Cash Flow (TTM) $-17.9B Red flag Cash burn
OCF/Net Income -1.1x Warning Potential accrual concerns
FCF Consistency (8Q) N/A Warning Variable cash flow

Balance Sheet: MORGAN STANLEY at 0.0x leverage

Debt/Equity 0.0x. Source: 10-Q filed 2025-11-03.

Metric MS Rating Context
Debt to Equity 0.0x Excellent Conservative capital structure

Valuation: MORGAN STANLEY trades at 17.2x earnings

P/E 17.2x. EV/Sales 2.5x. FCF yield -6.4%. Dividend yield 2.2%. Source: 10-Q filed 2025-11-03.

Metric MS Rating Context
P/E Ratio 17.2x Adequate Reasonable valuation
EV/Sales 2.5x Good Attractive revenue multiple
FCF Yield -6.4% Warning Lower cash yield
Dividend Yield 2.2% Adequate Growth focus over income

Capital Allocation: MORGAN STANLEY returns 3.8% shareholder yield

Total shareholder yield 3.8% (div 2.2% + buyback 1.6%). Capital returned $11.2B TTM. Source: 10-Q filed 2025-11-03.

Metric MS Rating Context
Total Shareholder Yield 3.8% Good Dividend + buyback yield combined
Buyback Yield 1.6% Adequate Minimal buyback activity
Total Capital Returned (TTM) $11.2B Good Dividends + buybacks returned to shareholders

Sector Rankings

Metric Value Percentile vs Median
Free Cash Flow Margin -25.3% Bottom 10% -1.2x below
Return on Equity (ROE) 15.0% Top 25% 1.4x above
P/E Ratio 17.2x N/A -

Financial Scorecard

Metric MS Rating Sector Context
Free Cash Flow Margin -25.3% Red flag Thin cash margins
Debt to Equity Ratio 0.0% Excellent Conservative capital structure
P/E Ratio (Price-to-Earnings) 17.2x Adequate Fair value
Free Cash Flow Yield -6.4% Red flag Growth-focused valuation

Frequently Asked Questions

Q: What is MORGAN STANLEY's Return on Invested Capital (ROIC)?

MORGAN STANLEY (MS) has a trailing twelve-month Return on Invested Capital (ROIC) of N/A. Sector median 20.8%. Source: 10-Q filed 2025-11-03.

Q: What is MORGAN STANLEY's Free Cash Flow Margin?

MORGAN STANLEY (MS) has a free cash flow margin of -25.3%, generating $-17.9 billion in free cash flow over the trailing twelve months. Source: 10-Q filed 2025-11-03.

Q: What is MORGAN STANLEY's P/E ratio and how does it compare to peers?

MORGAN STANLEY (MS) trades at a P/E ratio of 17.2x, which is above the sector median of N/A. EV/Sales 2.5x. Source: 10-Q filed 2025-11-03.

Q: Does MORGAN STANLEY pay a dividend?

MORGAN STANLEY (MS) currently pays a dividend yield of 2.2%. Total shareholder yield (dividend + buybacks) 3.8%. Source: 10-Q filed 2025-11-03.

Q: What is MORGAN STANLEY's revenue and earnings growth?

MORGAN STANLEY (MS) grew revenue by 14.4% year-over-year. EPS +28.6% YoY. Source: 10-Q filed 2025-11-03.

Q: Is MORGAN STANLEY buying back stock?

MORGAN STANLEY (MS) repurchased $4.6 billion of stock over the trailing twelve months. This represents a buyback yield of 1.6%. Source: 10-Q filed 2025-11-03.

Q: How does MORGAN STANLEY compare to competitors in Financials?

Compared to other companies in Financials, MORGAN STANLEY (MS) shows: ROIC N/A, sector median 20.8% (NaNx). FCF margin -25.3%, sector median 21.0%. These rankings are based on MetricDuck's analysis of all Financials companies with available SEC filings.

Q: What warning signs should I watch for with MORGAN STANLEY?

Quantitative warning flags for MORGAN STANLEY (MS): 1) FCF margin -25.3% (below 5%). Source: 10-Q filed 2025-11-03.


Data Source: Data sourced from 10-Q filed 2025-11-03. TTM metrics as of Q4 2025.

Methodology: Financial metrics calculated from SEC 10-K and 10-Q filings using standardized formulas. Sector comparisons use peer group based on SIC code.

Scope: This analysis covers SEC filing fundamentals — profitability, cash flow, balance sheet, and valuation metrics. For analyst estimates and price targets, consult sell-side research.

This analysis is for informational purposes only and does not constitute investment advice.