Morgan Stanley Debt Issuance/Retirement Net - Total 2010-2025 | MS

Morgan Stanley annual/quarterly debt issuance/retirement net - total history and growth rate from 2010 to 2025. Debt issuance/retirement net - total can be defined as the total amount of short term and long term borrowings repaid and issued.
  • Morgan Stanley debt issuance/retirement net - total for the quarter ending March 31, 2025 was $11.594B, a 11.93% increase year-over-year.
  • Morgan Stanley debt issuance/retirement net - total for the twelve months ending March 31, 2025 was $81.236B, a 94.12% increase year-over-year.
  • Morgan Stanley annual debt issuance/retirement net - total for 2024 was $28.135B, a 106.59% increase from 2023.
  • Morgan Stanley annual debt issuance/retirement net - total for 2023 was $13.619B, a 63.74% decline from 2022.
  • Morgan Stanley annual debt issuance/retirement net - total for 2022 was $37.562B, a 86.42% increase from 2021.
Morgan Stanley Annual Debt Issuance/Retirement Net - Total
(Millions of US $)
2024 $28,135
2023 $13,619
2022 $37,562
2021 $20,149
2020 $10,242
2019 $-9,943
2018 $5,278
2017 $19,591
2016 $12,030
2015 $6,805
2014 $3,756
2013 $-10,799
2012 $-20,151
2011 $-6,920
2010 $-379
2009 $3,061
Sector Industry Market Cap Revenue
Finance Finance - Investment Banks $207.743B $107.285B
Morgan Stanley, being the leading financial services holding company, serves corporations, governments, FIs & individuals world wide. It has 3 business units. The Institutional Securities unit includes capital raising, financial advisory services on mergers & acquisitions, restructurings, real estate & project finance, corporate lending, sales, trading, financing & market-making activities in equity & fixed income securities & related products. The Wealth Management unit provides brokerage & investment advisory services on various investment alternatives, financial & wealth planning services, annuity & other insurance products, credit & other lending products, cash management & retirement services and trust & fiduciary services and engages in fixed income principal trading. The Investment Management unit provides global asset management products & services in equity, fixed income, alternative investments in hedge funds & funds of funds and merchant banking i.e. real estate, private equity & infrastructure.
Stock Name Country Market Cap PE Ratio
JPMorgan Chase (JPM) United States $736.321B 14.21
Bank Of America (BAC) United States $332.080B 13.12
Wells Fargo (WFC) United States $235.473B 13.06
Goldman Sachs (GS) United States $188.259B 14.24
Charles Schwab (SCHW) United States $158.731B 24.61
Citigroup (C) United States $142.620B 12.06
Interactive Brokers (IBKR) United States $85.438B 27.25
PNC Financial Services (PNC) United States $68.579B 12.32
Robinhood Markets (HOOD) United States $64.284B 56.28
Tradeweb Markets (TW) United States $32.454B 44.71
LPL Financial Holdings (LPLA) United States $29.917B 21.45
Raymond James Financial (RJF) United States $29.380B 13.62
Nomura Holdings Inc ADR (NMR) Japan $18.330B 8.45
Stifel Financial (SF) United States $9.797B 16.39
SBI Holdings (SBHGF) Japan $9.673B 9.50
Evercore Inc (EVR) United States $9.394B 22.34
MarketAxess Holdings (MKTX) United States $8.447B 31.20
BGC (BGC) United States $4.613B 9.17
Piper Sandler (PIPR) United States $4.475B 18.02
Moelis (MC) United States $4.396B 25.22
UP Fintech Holding (TIGR) Singapore $1.534B 18.47
Oppenheimer Holdings (OPY) United States $0.657B 9.29
Diamond Hill Investment (DHIL) United States $0.387B 10.81
Siebert Financial (SIEB) United States $0.184B 9.89
Sky Constant Century (SKYC) Hong Kong, SAR China $0.082B 0.00
TOP Financial Group (TOP) Hong Kong, SAR China $0.046B 0.00