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Morgan Stanley – ‘10-Q’ for 6/30/20 – ‘EX-32.1’

On:  Tuesday, 8/4/20, at 4:06pm ET   ·   For:  6/30/20   ·   Accession #:  895421-20-429   ·   File #:  1-11758

Previous ‘10-Q’:  ‘10-Q’ on 5/5/20 for 3/31/20   ·   Next:  ‘10-Q’ on 11/3/20 for 9/30/20   ·   Latest:  ‘10-Q’ on 11/3/23 for 9/30/23   ·   4 References:   

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  As Of               Filer                 Filing    For·On·As Docs:Size

 8/04/20  Morgan Stanley                    10-Q        6/30/20  139:38M

Quarterly Report   —   Form 10-Q
Filing Table of Contents

Document/Exhibit                   Description                      Pages   Size 

 1: 10-Q        Quarterly Report                                    HTML   5.36M 
 2: EX-15       Letter re: Unaudited Interim Financial Info         HTML     49K 
 3: EX-31.1     Certification -- §302 - SOA'02                      HTML     45K 
 4: EX-31.2     Certification -- §302 - SOA'02                      HTML     45K 
 5: EX-32.1     Certification -- §906 - SOA'02                      HTML     41K 
 6: EX-32.2     Certification -- §906 - SOA'02                      HTML     41K 
13: R1          Cover Page                                          HTML    116K 
14: R2          Consolidated Income Statements                      HTML    124K 
15: R3          Consolidated Comprehensive Income Statements        HTML     70K 
16: R4          Consolidated Balance Sheets                         HTML    124K 
17: R5          Consolidated Balance Sheets (Parenthetical)         HTML     70K 
18: R6          Consolidated Statements of Changes in Total Equity  HTML     93K 
19: R7          Consolidated Cash Flow Statements                   HTML    128K 
20: R8          Introduction and Basis of Presentation              HTML     49K 
21: R9          Significant Accounting Policies                     HTML     72K 
22: R10         Cash and Cash Equivalents                           HTML     49K 
23: R11         Fair Values                                         HTML    904K 
24: R12         Fair Value Option                                   HTML    109K 
25: R13         Derivative Instruments and Hedging Activities       HTML    466K 
26: R14         Investment Securities                               HTML    305K 
27: R15         Collateralized Transactions                         HTML    172K 
28: R16         Loans, Lending Commitments and Related Allowance    HTML    326K 
                for Credit Losses                                                
29: R17         Other Assets - Equity Method Investments            HTML     60K 
30: R18         Deposits                                            HTML     56K 
31: R19         Borrowings and Other Secured Financings             HTML     61K 
32: R20         Commitments, Guarantees and Contingencies           HTML    138K 
33: R21         Variable Interest Entities and Securitization       HTML    280K 
                Activities                                                       
34: R22         Regulatory Requirements                             HTML    165K 
35: R23         Total Equity                                        HTML    361K 
36: R24         Interest Income and Interest Expense                HTML     83K 
37: R25         Income Taxes                                        HTML     52K 
38: R26         Segment, Geographic and Revenue Information         HTML    305K 
39: R27         Significant Accounting Policies (Policies)          HTML     81K 
40: R28         Cash and Cash Equivalents (Tables)                  HTML     47K 
41: R29         Fair Values (Tables)                                HTML   1.25M 
42: R30         Fair Value Option (Tables)                          HTML    102K 
43: R31         Derivative Instruments and Hedging Activities       HTML    476K 
                (Tables)                                                         
44: R32         Investment Securities (Tables)                      HTML    306K 
45: R33         Collateralized Transactions (Tables)                HTML    178K 
46: R34         Loans, Lending Commitments and Related Allowance    HTML    326K 
                for Credit Losses (Tables)                                       
47: R35         Other Assets - Equity Method Investments (Tables)   HTML     57K 
48: R36         Deposits (Tables)                                   HTML     57K 
49: R37         Borrowings and Other Secured Financings (Tables)    HTML     60K 
50: R38         Commitments, Guarantees and Contingencies (Tables)  HTML    117K 
51: R39         Variable Interest Entities and Securitization       HTML    287K 
                Activities (Tables)                                              
52: R40         Regulatory Requirements (Tables)                    HTML    161K 
53: R41         Total Equity (Tables)                               HTML    430K 
54: R42         Interest Income and Interest Expense (Tables)       HTML     83K 
55: R43         Income Taxes (Tables)                               HTML     49K 
56: R44         Segment, Geographic and Revenue Information         HTML    314K 
                (Tables)                                                         
57: R45         Significant Accounting Policies - Narrative         HTML     61K 
                (Details)                                                        
58: R46         Cash and Cash Equivalents - Summary (Details)       HTML     49K 
59: R47         Fair Values - Assets and Liabilities Measured at    HTML    220K 
                Fair Value on a Recurring Basis (Details)                        
60: R48         Fair Values - Detail of Loans and Lending           HTML     60K 
                Commitments at Fair Value and Unsettled Fair Value               
                of Futures Contracts (Details)                                   
61: R49         Fair Values - Activity of Level 3 Assets and        HTML    183K 
                Liabilities Measured at Fair Value on a Recurring                
                Basis (Details)                                                  
62: R50         Fair Values - Valuation Techniques and Sensitivity  HTML    336K 
                of Unobservable Inputs Used in Level 3 Fair Value                
                Measurements (Details)                                           
63: R51         Fair Values - Fund Interests Measured Based on Net  HTML     61K 
                Asset Value (Details)                                            
64: R52         Fair Values - Assets and Liabilities Measured at    HTML     79K 
                Fair Value on a Nonrecurring Basis (Details)                     
65: R53         Fair Values - Financial Instruments Not Measured    HTML    109K 
                at Fair Value (Details)                                          
66: R54         Fair Value Option - Borrowings Measured at Fair     HTML     54K 
                Value on a Recurring Basis (Details)                             
67: R55         Fair Value Option - Net Revenues from Borrowings    HTML     47K 
                under the Fair Value Option (Details)                            
68: R56         Fair Value Option - Gains (Losses) Due to Changes   HTML     60K 
                in Instrument-Specific Credit Risk (Details)                     
69: R57         Fair Value Option - Difference Between Contractual  HTML     45K 
                Principal and Fair Value (Details)                               
70: R58         Fair Value Option - Fair Value Loans on Nonaccrual  HTML     42K 
                Status (Details)                                                 
71: R59         Derivative Instruments and Hedging Activities -     HTML    177K 
                Fair Values of Derivative Contracts (Details)                    
72: R60         Derivative Instruments and Hedging Activities -     HTML    108K 
                Notionals of Derivative Contracts (Details)                      
73: R61         Derivative Instruments and Hedging Activities -     HTML     79K 
                Gains (Losses) on Accounting Hedges and Fair Value               
                Hedges (Details)                                                 
74: R62         Derivative Instruments and Hedging Activities -     HTML     52K 
                Credit Risk-Related Contingencies (Details)                      
75: R63         Derivative Instruments and Hedging Activities -     HTML    101K 
                Maximum Potential Payout/Notional of Credit                      
                Protection Sold (Details)                                        
76: R64         Derivative Instruments and Hedging Activities -     HTML     57K 
                Fair Value Asset/(Liability) of Credit Protection                
                Sold (Details)                                                   
77: R65         Derivative Instruments and Hedging Activities -     HTML     53K 
                Protection Purchased with CDS (Details)                          
78: R66         Investment Securities - AFS and HTM Securities      HTML    108K 
                (Details)                                                        
79: R67         Investment Securities - Narrative (Details)         HTML     48K 
80: R68         Investment Securities - Investment Securities in    HTML     89K 
                an Unrealized Loss Position (Details)                            
81: R69         Investment Securities - Investment Securities by    HTML    181K 
                Contractual Maturity (Details)                                   
82: R70         Investment Securities - Gross Realized Gains        HTML     45K 
                (Losses) on Sales of AFS Securities (Details)                    
83: R71         Collateralized Transactions - Offsetting of         HTML    107K 
                Certain Collateralized Transactions (Details)                    
84: R72         Collateralized Transactions - Gross Secured         HTML     83K 
                Financing Balances (Details)                                     
85: R73         Collateralized Transactions - Assets Loaned or      HTML     45K 
                Pledged (Details)                                                
86: R74         Collateralized Transactions - Collateral Received   HTML     43K 
                (Details)                                                        
87: R75         Collateralized Transactions - Securities            HTML     40K 
                Segregated for Regulatory Purposes (Details)                     
88: R76         Collateralized Transactions - Customer Margin       HTML     40K 
                Lending (Details)                                                
89: R77         Loans, Lending Commitments and Related Allowance    HTML     93K 
                for Credit Losses - Loans by Type (Details)                      
90: R78         Loans, Lending Commitments and Related Allowance    HTML    135K 
                for Credit Losses - Loans Held for Investment                    
                before Allowance by Origination Year (Details)                   
91: R79         Loans, Lending Commitments and Related Allowance    HTML     75K 
                for Credit Losses - Past Due Status of Loans Held                
                for Investment before Allowance (Details)                        
92: R80         Loans, Lending Commitments and Related Allowance    HTML     44K 
                for Credit Losses - Troubled Debt Restructurings                 
                (Details)                                                        
93: R81         Loans, Lending Commitments and Related Allowance    HTML    107K 
                for Credit Losses - Allowance for Credit Losses                  
                Rollforward - Loans and Lending Commitments                      
                (Details)                                                        
94: R82         Loans, Lending Commitments and Related Allowance    HTML     58K 
                for Credit Losses - Employee Loans (Details)                     
95: R83         Other Assets - Equity Method Investments -          HTML     46K 
                Balances (Details)                                               
96: R84         Other Assets - Equity Method Investments - Joint    HTML     53K 
                Ventures (Details)                                               
97: R85         Deposits - Summary (Details)                        HTML     48K 
98: R86         Deposits - Time Deposit Maturities (Details)        HTML     53K 
99: R87         Borrowings and Other Secured Financings -           HTML     54K 
                Borrowings (Details)                                             
100: R88         Borrowings and Other Secured Financings - Other     HTML     46K  
                Secured Financings (Details)                                     
101: R89         Commitments, Guarantees and Contingencies -         HTML     78K  
                Commitments (Details)                                            
102: R90         Commitments, Guarantees and Contingencies -         HTML    114K  
                Obligations under Guarantee Arrangements (Details)               
103: R91         Commitments, Guarantees and Contingencies -         HTML     71K  
                Narrative (Details)                                              
104: R92         Variable Interest Entities and Securitization       HTML     54K  
                Activities - Assets and Liabilities by Type of                   
                Activity (Details)                                               
105: R93         Variable Interest Entities and Securitization       HTML     67K  
                Activities - Assets and Liabilities by Balance                   
                Sheet Caption (Details)                                          
106: R94         Variable Interest Entities and Securitization       HTML     98K  
                Activities - Non-Consolidated VIEs (Details)                     
107: R95         Variable Interest Entities and Securitization       HTML     60K  
                Activities - Mortgage and Asset Backed                           
                Securitization Assets (Details)                                  
108: R96         Variable Interest Entities and Securitization       HTML     81K  
                Activities - Transferred Assets with Continuing                  
                Involvement (Details)                                            
109: R97         Variable Interest Entities and Securitization       HTML     67K  
                Activities - Fair Value of Transferred Assets with               
                Continuing Involvement (Details)                                 
110: R98         Variable Interest Entities and Securitization       HTML     49K  
                Activities - Proceeds from New Securitization                    
                Transactions and Sales of Loans (Details)                        
111: R99         Variable Interest Entities and Securitization       HTML     54K  
                Activities - Assets Sold with Retained Exposure                  
                (Details)                                                        
112: R100        Regulatory Requirements - Narrative (Details)       HTML     43K  
113: R101        Regulatory Requirements - The Firm's Regulatory     HTML     81K  
                Capital and Capital Ratios (Details)                             
114: R102        Regulatory Requirements - U.S. Bank Subsidiaries'   HTML    105K  
                Regulatory Capital and Capital Ratios (Details)                  
115: R103        Regulatory Requirements - U.S. Broker-Dealer        HTML     48K  
                Regulatory Capital Requirements (Details)                        
116: R104        Total Equity - Preferred Stock Outstanding          HTML     72K  
                (Details)                                                        
117: R105        Total Equity - Common Shares Outstanding for Basic  HTML     48K  
                and Diluted EPS (Details)                                        
118: R106        Total Equity - Common Stock Repurchases (Details)   HTML     41K  
119: R107        Total Equity - Narrative (Details)                  HTML     41K  
120: R108        Total Equity - Dividends (Details)                  HTML     74K  
121: R109        Total Equity - Cumulative Adjustments to Beginning  HTML     54K  
                Retained Earnings Related to the Adoption of                     
                Accounting Updates (Details)                                     
122: R110        Total Equity - Accumulated Other Comprehensive      HTML     62K  
                Income (Loss) (Details)                                          
123: R111        Total Equity - Components of Period Changes in OCI  HTML    115K  
                (Details)                                                        
124: R112        Interest Income and Interest Expense - Summary      HTML     67K  
                (Details)                                                        
125: R113        Interest Income and Interest Expense - Accrued      HTML     42K  
                Interest (Details)                                               
126: R114        Income Taxes - Summary (Details)                    HTML     43K  
127: R115        Segment, Geographic and Revenue Information -       HTML    118K  
                Selected Financial Information by Business Segment               
                (Details)                                                        
128: R116        Segment, Geographic and Revenue Information -       HTML     54K  
                Institutional Securities - Investment Banking                    
                Revenues (Details)                                               
129: R117        Segment, Geographic and Revenue Information -       HTML     53K  
                Trading Revenues by Product Type (Details)                       
130: R118        Segment, Geographic and Revenue Information -       HTML     40K  
                Investment Management Investments Revenues - Net                 
                Unrealized Carried Interest (Details)                            
131: R119        Segment, Geographic and Revenue Information -       HTML     40K  
                Investment Management Asset Management Revenues -                
                Reduction of Fees due to Fee Waivers (Details)                   
132: R120        Segment, Geographic and Revenue Information - Net   HTML     47K  
                Revenues by Region (Details)                                     
133: R121        Segment, Geographic and Revenue Information -       HTML     40K  
                Revenue Recognized from Prior Services (Details)                 
134: R122        Segment, Geographic and Revenue Information -       HTML     41K  
                Receivables from Contracts with Customers                        
                (Details)                                                        
135: R123        Segment, Geographic and Revenue Information -       HTML     47K  
                Assets by Business Segment (Details)                             
137: XML         IDEA XML File -- Filing Summary                      XML    271K  
12: XML         XBRL Instance -- msq2202010q_htm                     XML  14.47M 
136: EXCEL       IDEA Workbook of Financial Reports                  XLSX    244K  
 8: EX-101.CAL  XBRL Calculations -- ms-20200630_cal                 XML    423K 
 9: EX-101.DEF  XBRL Definitions -- ms-20200630_def                  XML   1.68M 
10: EX-101.LAB  XBRL Labels -- ms-20200630_lab                       XML   3.36M 
11: EX-101.PRE  XBRL Presentations -- ms-20200630_pre                XML   2.22M 
 7: EX-101.SCH  XBRL Schema -- ms-20200630                           XSD    383K 
138: JSON        XBRL Instance as JSON Data -- MetaLinks              669±  1.07M  
139: ZIP         XBRL Zipped Folder -- 0000895421-20-000429-xbrl      Zip   1.00M  


‘EX-32.1’   —   Certification — §906 – SOA’02


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 <!   C:   C: 
  Exhibit  

EXHIBIT 32.1


CERTIFICATION PURSUANT TO
18 U.S.C. SECTION 1350,
AS ADOPTED PURSUANT TO
SECTION 906 OF THE SARBANES-OXLEY ACT OF 2002
In connection with the Quarterly Report of Morgan Stanley (the “Firm”) on Form 10-Q for the quarter ended June 30, 2020 as filed with the Securities and Exchange Commission on the date hereof (the “Report”), I, James P. Gorman, Chairman of the Board and Chief Executive Officer of the Firm, certify, pursuant to 18 U.S.C. Section 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, that:
 
1.
The Report fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934; and
2.
The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Firm.
 
Chairman of the Board and
Chief Executive Officer





Dates Referenced Herein   and   Documents Incorporated by Reference

This ‘10-Q’ Filing    Date    Other Filings
Filed on:8/4/20424B2,  FWP
For Period end:6/30/2013F-HR,  424B2,  FWP
 List all Filings 


4 Subsequent Filings that Reference this Filing

  As Of               Filer                 Filing    For·On·As Docs:Size             Issuer                      Filing Agent

 1/29/21  Mirror Merger Sub 2, LLC          8-K:7,9     1/29/21   11:4.2M                                   Broadridge Fin’l So… Inc
 1/29/21  Morgan Stanley                    424B3                  1:3.5M                                   Broadridge Fin’l So… Inc
 1/19/21  Morgan Stanley                    S-4/A                  9:4.2M                                   Broadridge Fin’l So… Inc
12/04/20  Morgan Stanley                    S-4                    7:3.7M                                   Broadridge Fin’l So… Inc
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Filing Submission 0000895421-20-000429   –   Alternative Formats (Word / Rich Text, HTML, Plain Text, et al.)

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