v3.26.1
Consolidated Balance Sheet - USD ($)
$ in Millions
Jun. 30, 2026
Dec. 31, 2025
Assets    
Cash and cash equivalents $ 160,135 $ 111,695
Trading assets at fair value ($278,278 and $213,269 pledged as collateral) 544,153 428,276
Available-for-sale at fair value (amortized cost of $107,761 and $112,522) 105,532 110,466
Held-to-maturity (fair value of $40,238 and $45,615) 47,747 53,090
Securities purchased under agreements to resell (includes $109 and $— at fair value) 129,516 120,243
Securities borrowed 181,358 151,908
Customer and other receivables 151,010 114,720
Loans:    
Held for investment (net of allowance for credit losses of $1,248 and $1,132) 289,318 268,720
Held for sale 13,057 9,374
Goodwill 17,105 16,726
Intangible assets (net of accumulated amortization of $2,042 and $1,882) 5,873 6,010
Other assets 30,253 29,042
Total assets 1,675,057 1,420,270
Liabilities    
Deposits (includes $8,647 and $8,755 at fair value) 446,068 415,523
Trading liabilities at fair value 255,589 169,569
Securities sold under agreements to repurchase (includes $887 and $696 at fair value) 102,202 78,539
Securities loaned 20,736 17,310
Other secured financings (includes $19,461 and $16,871 at fair value) 29,819 21,603
Customer and other payables 279,070 226,519
Other liabilities and accrued expenses 31,577 29,620
Borrowings (includes $147,514 and $132,479 at fair value) 392,556 348,935
Total liabilities 1,557,617 1,307,618
Commitments and contingent liabilities (see Note 13)
Equity    
Preferred stock 9,750 9,750
Common stock 20 20
Additional paid-in capital 31,597 31,153
Retained earnings 122,774 115,091
Employee stock trusts 5,912 5,154
Accumulated other comprehensive income (loss) (6,329) (6,285)
Common stock held in treasury at cost, $0.01 par value (466,962,871 and 456,059,842 shares) (41,483) (38,097)
Common stock issued to employee stock trusts (5,912) (5,154)
Total Morgan Stanley shareholders’ equity 116,329 111,632
Noncontrolling interests 1,111 1,020
Total equity 117,440 112,652
Total liabilities and equity $ 1,675,057 $ 1,420,270