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Morgan Stanley Morgan Stanley

Morgan Stanley

MS
Hisse Senetlerindeki Sıralama #48
Morgan Stanley operates as a prominent financial holding company, delivering a... Morgan Stanley operates as a prominent financial holding company, delivering a comprehensive suite of financial solutions and services. Its diverse clientele spans major corporations, governmental bodies, financial institutions, and individual clients across various global regions, including the Americas, Europe, the Middle East, Africa, and Asia. The firm's operations are structured into three primary divisions: Institutional Securities, Wealth Management, and Investment Management. Within the Institutional Securities segment, Morgan Stanley provides crucial capital-raising and strategic financial advisory services. This includes underwriting activities for debt, equity, and other financial instruments, alongside expert counsel on mergers and acquisitions, corporate reorganizations, real estate transactions, and project financing. Furthermore, this division is a key player in sales and trading, offering services like sales execution, financing solutions, prime brokerage, and market-making across equity and fixed-income products, encompassing foreign exchange and commodities. It also extends corporate and commercial real estate loans, furnishes secured lending facilities, supports sales and trading clients with financing, and engages in asset-backed and mortgage lending. Investment and research services, along with specific wealth management offerings, are also part of this segment. The Wealth Management segment caters to individual investors, as well as small to medium-sized enterprises and institutions. It offers a broad spectrum of services, from financial advisor-led and self-directed brokerage and investment guidance to comprehensive financial and wealth planning. This segment also delivers workplace solutions, such as stock plan administration, and provides annuity and insurance products. Lending options include securities-backed loans, residential real estate mortgages, and other credit facilities, complemented by banking and retirement plan services. Finally, the Investment Management segment is dedicated to providing specialized investment products, including equity, fixed income, liquidity, and alternative strategies. These offerings are distributed through institutional and intermediary channels to a sophisticated client base that features benefit and defined contribution plans, foundations, endowments, governmental entities, sovereign wealth funds, insurance companies, and corporate and third-party fund sponsors. Morgan Stanley's origins trace back to its founding in 1924, and its global headquarters are situated in New York, New York.
Hisse Fiyatı
$214.16
Son senkronizasyon: 2026-09-11
Piyasa Değeri
$337.79B
Değişim (1 gün)
0.53%
Değişim (1 yıl)
36.94%
Ülke
US
Ticaret Morgan Stanley (MS)
Morgan Stanley (MS) için F/K oranı
September 2026 itibarıyla F/K oranı TTM: 17.16
Morgan Stanley şirketinin en son mali raporları ve hisse fiyatına göre, mevcut P/E oranı (TTM) 17.16'dir. 2024 yılının sonunda şirketin P/E oranı 14.94 idi.
Morgan Stanley için P/E oranı geçmişi 2000 - 2026 arası
Her yıl sonunda P/E oranı
Yıl F/K Oranı Değiştir
2026 (TTM) 17.16 3.73%
2025 16.54 10.73%
2024 14.94 -10.58%
2023 16.71 28.16%
2022 13.04 11.85%
2021 11.65 16.66%
2020 9.99 9.28%
2019 9.14 18.09%
2018 7.74 -54.56%
2017 17.04 30.38%
2016 13.07 31.83%
2015 9.91 -53.97%
2014 21.53 5.63%
2013 20.38 -96.16%
2012 530.24 8,604.65%
2011 6.09 -22.68%
2010 7.88 -69.78%
2009 26.07 281.32%
2008 6.84 -58.47%
2007 16.46 88.04%
2006 8.75 -14.41%
2005 10.23 -1.55%
2004 10.39 -23.94%
2003 13.66 -2.03%
2002 13.94 -4.22%
2001 14.55 34.51%
2000 10.82 0.00%
Benzer şirketler veya rakipler için P/E oranı
P/E oranı nasıl okunur?

Fiyat/Kazanç oranı (P/E) bir şirketin hisse senedi fiyatı ile hisse başına kazancı arasındaki ilişkiyi ölçer.
Düşük ancak pozitif bir P/E, şirketin mevcut değerlemesine göre yüksek kâr elde ettiğini ve düşük değerlenmiş olabileceğini gösterir. Yüksek negatif (0'a yakın) bir P/E ciddi zararlar anlamına gelir.

P/E oranı 30'un üzerinde veya negatif olan şirketler genellikle "büyüme hisseleri" olarak görülür, yani yatırımcılar şirketin büyümesini veya kârlı hale gelmesini bekler.

Pozitif P/E oranı 10'un altında olan şirketler genellikle "değer hisseleri" olarak değerlendirilir, yani şirket zaten çok kârlıdır ancak büyük bir büyüme beklenmez.