Morgan Stanley(MS) Price Forecast & Company Analysis. P/E · Dividend · Earnings · Price Target · RSI · MACD | US Stocks Today
Full metrics table
| Index | S&P 500 | P/E | 17.32 | EPS (ttm) | 12.38 | Insider Own | 24.19% | Shs Outstand | 1.57B | Perf Week | -1.28% |
| Market Cap | 336.70B | Forward P/E | 15.65 | EPS next Y | 6.21% | Insider Trans | -0.04% | Shs Float | 1.19B | Perf Month | -1.5% |
| Enterprise Value | - | PEG | 1.17 | EPS next Q | 3.13 | Inst Own | 63.81% | Short Float | 1.25% | Perf Quarter | 0.81% |
| Income | 19.55B | P/S | 2.61 | EPS this Y | 26.35% | Inst Trans | 0.27% | Short Ratio | 2.85 | Perf Half Y | 38.87% |
| Sales | 128.84B | P/B | 3.16 | EPS next 5Y | 13.39% | ROA | 1.33% | Short Interest | 14.85M | Perf YTD | 20.76% |
| Book/sh | 67.8 | P/C | - | EPS past 3/5Y | 18.38% 9.56% | ROE | 17.95% | 52W High | -7.69% ($232.25) | Perf Year | 37% |
| Cash/sh | - | P/FCF | 7.86 | Sales past 3/5Y | 21.96% 17.76% | ROIC | 3.97% | 52W Low | 41.19% ($151.84) | Perf 3Y | 156.71% |
| Dividend Est. | $4.3 (2.01%) | EV/EBITDA | - | EPS Y/Y TTM | 40.08% | Gross Margin | - | Volatility(W/M) | 1.95% 1.98% | Perf 5Y | 106.89% |
| Dividend TTM | 4.15 | EV/Sales | - | Sales Y/Y TTM | 17.88% | Oper. Margin | 20.1% | ATR (14) | 4.92 | Perf 10Y | 578.63% |
| Dividend Ex-Date | 2026/7/31 | Quick Ratio | - | EPS Q/Q | 62.71% | Profit Margin | 15.17% | RSI (14) | 49.37 | Recom | 2.25 |
| Dividend Gr. 3/5Y | 9.28% 22.42% | Current Ratio | 1.4 | Sales Q/Q | 17.47% | SMA20 | -0.13% ($214.66) | Beta | 1.2 | Target Price | $242.82 |
| Payout | 37.72% | Debt/Eq | 4.69 | Earnings | 2026/7/15 | SMA50 | -0.69% ($215.87) | Rel Volume | 0.75 | Prev Close | $212.66 |
| Employees | 83000 | LT Debt/Eq | 3.37 | EPS/Sales Surpr. | 17.96% 8.5% | SMA200 | 11.64% ($192.03) | Avg Volume(3M) | 5.22M | Price | $214.38 |
| IPO | 1986/3/21 | Option/Short | Yes/Yes | Trades | 37947 | Volume | 3,926,187 | Change | 0.81% |
Company
MS is a Financial sector company, analyzed across 14 metrics on this page including P/E, EPS, dividends, RSI, and MACD.
📈 A leading global investment banking and asset management group in the United States. Founded in 1935 and headquartered in New York, it operates with three core pillars—institutional securities and trading, wealth management, and asset management—ranking among the top-tier market-cap names in capital markets. Through its acquisitions of E*Trade and Eaton Vance, the company has significantly expanded the share of its wealth and asset management businesses.
Over the past 1 year, on the higher side
8% below its 1-year high.
MS makes money exceptionally well
20.1% of revenue is kept as operating profit.
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Earnings are growing steadily
Earnings are expected to grow by +26.4% this year.
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The price looks about right
Trading at 17.3 times earnings.
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It has beaten expectations every time
Beat market estimates in the last 2 quarters.
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Opinions on the outlook are split
Analyst sentiment is Buy.
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Holding long would have paid off
Would have changed by +156.7% if bought 5 years ago.
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The dividend is on the small side
Pays 2.01% annually in dividends.
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Ownership looks stable
Institutions hold 63.8%.
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Multiple ETFs hold this stock
Buying this ETF gives you exposure to this stock as well.
Special products that amplify (leveraged) or invert this single stock. They decay quickly and are not for long-term holding.
It is the largest in the industry
Based on market cap of $337B.
FAQ
What kind of company is MS?
MS belongs to the Financial sector and operates in the Capital Markets industry.
What is the market cap of MS?
The market cap of MS is approximately $336.7B, ranking 42 within its sector.
Does MS pay dividends?
MS has a dividend yield of approximately 2.01%, with an annual dividend of $4.30.
What is the P/E ratio of MS?
MS has a P/E ratio of approximately 17.3x, which can be used to assess its valuation relative to the Financial sector average.
What is the 52-week high and low for MS?
MS has recorded a 52-week high of $232.25 and a low of $151.84.