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Morgan Stanley – ‘10-K’ for 12/31/20

On:  Friday, 2/26/21, at 4:23pm ET   ·   For:  12/31/20   ·   Accession #:  895421-21-286   ·   File #:  1-11758

Previous ‘10-K’:  ‘10-K’ on 2/27/20 for 12/31/19   ·   Next:  ‘10-K’ on 2/24/22 for 12/31/21   ·   Latest:  ‘10-K’ on 2/22/24 for 12/31/23   ·   61 References:   

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

 2/26/21  Morgan Stanley                    10-K       12/31/20  225:50M

Annual Report   —   Form 10-K
Filing Table of Contents

Document/Exhibit                   Description                      Pages   Size 

 1: 10-K        Annual Report                                       HTML   5.50M 
 2: EX-4.1      Instrument Defining the Rights of Security Holders  HTML    208K 
 5: EX-10.19    Material Contract                                   HTML    112K 
 6: EX-10.24    Material Contract                                   HTML    107K 
 3: EX-10.3     Material Contract                                   HTML     73K 
 7: EX-10.31    Material Contract                                   HTML    201K 
 4: EX-10.6     Material Contract                                   HTML     75K 
 8: EX-21       Subsidiaries List                                   HTML     65K 
 9: EX-22       Published Report re: Matters Submitted to a Vote    HTML     62K 
                of Security Holders                                              
10: EX-23.1     Consent of Expert or Counsel                        HTML     68K 
11: EX-31.1     Certification -- §302 - SOA'02                      HTML     65K 
12: EX-31.2     Certification -- §302 - SOA'02                      HTML     65K 
13: EX-32.1     Certification -- §906 - SOA'02                      HTML     62K 
14: EX-32.2     Certification -- §906 - SOA'02                      HTML     62K 
21: R1          Cover Page                                          HTML    149K 
22: R2          Consolidated Income Statements                      HTML    173K 
23: R3          Consolidated Comprehensive Income Statements        HTML     99K 
24: R4          Consolidated Balance Sheets                         HTML    162K 
25: R5          Consolidated Balance Sheets (Parenthetical)         HTML     93K 
26: R6          Consolidated Statements of Changes in Total Equity  HTML    136K 
27: R7          Consolidated Cash Flow Statements                   HTML    162K 
28: R8          Introduction and Basis of Presentation              HTML     76K 
29: R9          Significant Accounting Policies                     HTML    170K 
30: R10         Acquisitions                                        HTML     85K 
31: R11         Cash and Cash Equivalents                           HTML     71K 
32: R12         Fair Values                                         HTML    806K 
33: R13         Fair Value Option                                   HTML    114K 
34: R14         Derivative Instruments and Hedging Activities       HTML    421K 
35: R15         Investment Securities                               HTML    307K 
36: R16         Collateralized Transactions                         HTML    186K 
37: R17         Loans, Lending Commitments and Related Allowance    HTML    354K 
                for Credit Losses                                                
38: R18         Goodwill and Intangible Assets                      HTML    123K 
39: R19         Other Assets - Equity Method Investments and        HTML    110K 
                Leases                                                           
40: R20         Deposits                                            HTML     78K 
41: R21         Borrowings and Other Secured Financings             HTML    174K 
42: R22         Commitments, Guarantees and Contingencies           HTML    176K 
43: R23         Variable Interest Entities and Securitization       HTML    287K 
                Activities                                                       
44: R24         Regulatory Requirements                             HTML    203K 
45: R25         Total Equity                                        HTML    328K 
46: R26         Interest Income and Interest Expense                HTML     90K 
47: R27         Deferred Compensation Plans and Carried Interest    HTML    140K 
                Compensation                                                     
48: R28         Employee Benefit Plans                              HTML    227K 
49: R29         Income Taxes                                        HTML    149K 
50: R30         Segment, Geographic and Revenue Information         HTML    275K 
51: R31         Parent Company                                      HTML    196K 
52: R32         Quarterly Results (Unaudited)                       HTML    136K 
53: R33         Significant Accounting Policies (Policies)          HTML    227K 
54: R34         Significant Accounting Policies (Tables)            HTML     67K 
55: R35         Acquisitions (Tables)                               HTML     85K 
56: R36         Cash and Cash Equivalents (Tables)                  HTML     69K 
57: R37         Fair Values (Tables)                                HTML    975K 
58: R38         Fair Value Option (Tables)                          HTML    108K 
59: R39         Derivative Instruments and Hedging Activities       HTML    425K 
                (Tables)                                                         
60: R40         Investment Securities (Tables)                      HTML    310K 
61: R41         Collateralized Transactions (Tables)                HTML    192K 
62: R42         Loans, Lending Commitments and Related Allowance    HTML    353K 
                for Credit Losses (Tables)                                       
63: R43         Goodwill and Intangible Assets (Tables)             HTML    127K 
64: R44         Other Assets - Equity Method Investments and        HTML    117K 
                Leases (Tables)                                                  
65: R45         Deposits (Tables)                                   HTML     79K 
66: R46         Borrowings and Other Secured Financings (Tables)    HTML    180K 
67: R47         Commitments, Guarantees and Contingencies (Tables)  HTML    141K 
68: R48         Variable Interest Entities and Securitization       HTML    277K 
                Activities (Tables)                                              
69: R49         Regulatory Requirements (Tables)                    HTML    199K 
70: R50         Total Equity (Tables)                               HTML    383K 
71: R51         Interest Income and Interest Expense (Tables)       HTML     91K 
72: R52         Deferred Compensation Plans and Carried Interest    HTML    157K 
                Compensation (Tables)                                            
73: R53         Employee Benefit Plans (Tables)                     HTML    232K 
74: R54         Income Taxes (Tables)                               HTML    155K 
75: R55         Segment, Geographic and Revenue Information         HTML    284K 
                (Tables)                                                         
76: R56         Parent Company (Tables)                             HTML    196K 
77: R57         Quarterly Results (Unaudited) (Tables)              HTML    136K 
78: R58         Significant Accounting Policies - Narrative         HTML    134K 
                (Details)                                                        
79: R59         Acquisitions - Narrative (Details)                  HTML     82K 
80: R60         Acquisitions - Purchase Price Allocation (Details)  HTML    110K 
81: R61         Acquisitions - Proforma Combined Financial          HTML     67K 
                Information (Details)                                            
82: R62         Cash and Cash Equivalents - Summary (Details)       HTML     72K 
83: R63         Fair Values - Assets and Liabilities Measured at    HTML    244K 
                Fair Value on a Recurring Basis (Details)                        
84: R64         Fair Values - Detail of Loans and Lending           HTML     82K 
                Commitments at Fair Value and Unsettled Fair Value               
                of Futures Contracts (Details)                                   
85: R65         Fair Values - Activity of Level 3 Assets and        HTML    204K 
                Liabilities Measured at Fair Value on a Recurring                
                Basis (Details)                                                  
86: R66         Fair Values - Valuation Techniques and Sensitivity  HTML    378K 
                of Unobservable Inputs Used in Level 3 Fair Value                
                Measurements (Details)                                           
87: R67         Fair Values - Fund Interests Measured Based on Net  HTML     84K 
                Asset Value (Details)                                            
88: R68         Fair Values - Assets and Liabilities Measured at    HTML    105K 
                Fair Value on a Nonrecurring Basis (Details)                     
89: R69         Fair Values - Financial Instruments Not Measured    HTML    133K 
                at Fair Value (Details)                                          
90: R70         Fair Value Option - Borrowings Measured at Fair     HTML     76K 
                Value on a Recurring Basis (Details)                             
91: R71         Fair Value Option - Net Revenues from Borrowings    HTML     69K 
                under the Fair Value Option (Details)                            
92: R72         Fair Value Option - Gains (Losses) Due to Changes   HTML     84K 
                in Instrument-Specific Credit Risk (Details)                     
93: R73         Fair Value Option - Difference Between Contractual  HTML     67K 
                Principal and Fair Value (Details)                               
94: R74         Fair Value Option - Fair Value Loans on Nonaccrual  HTML     65K 
                Status (Details)                                                 
95: R75         Derivative Instruments and Hedging Activities -     HTML    200K 
                Fair Values of Derivative Contracts (Details)                    
96: R76         Derivative Instruments and Hedging Activities -     HTML    131K 
                Notionals of Derivative Contracts (Details)                      
97: R77         Derivative Instruments and Hedging Activities -     HTML    102K 
                Gains (Losses) on Accounting Hedges and Fair Value               
                Hedges (Details)                                                 
98: R78         Derivative Instruments and Hedging Activities -     HTML     75K 
                Credit Risk-Related Contingencies (Details)                      
99: R79         Derivative Instruments and Hedging Activities -     HTML    124K 
                Maximum Potential Payout/Notional of Credit                      
                Protection Sold (Details)                                        
100: R80         Derivative Instruments and Hedging Activities -     HTML     79K  
                Fair Value Asset/(Liability) of Credit Protection                
                Sold (Details)                                                   
101: R81         Derivative Instruments and Hedging Activities -     HTML     75K  
                Protection Purchased with CDS (Details)                          
102: R82         Investment Securities - AFS and HTM Securities      HTML    135K  
                (Details)                                                        
103: R83         Investment Securities - Narrative (Details)         HTML     71K  
104: R84         Investment Securities - Investment Securities in    HTML    113K  
                an Unrealized Loss Position (Details)                            
105: R85         Investment Securities - Investment Securities by    HTML    223K  
                Contractual Maturity (Details)                                   
106: R86         Investment Securities - Gross Realized Gains and    HTML     67K  
                Losses on Sales of AFS Securities (Details)                      
107: R87         Collateralized Transactions - Offsetting of         HTML    130K  
                Certain Collateralized Transactions (Details)                    
108: R88         Collateralized Transactions - Gross Secured         HTML    106K  
                Financing Balances (Details)                                     
109: R89         Collateralized Transactions - Assets Loaned or      HTML     68K  
                Pledged (Details)                                                
110: R90         Collateralized Transactions - Collateral Received   HTML     65K  
                (Details)                                                        
111: R91         Collateralized Transactions - Securities            HTML     63K  
                Segregated for Regulatory Purposes (Details)                     
112: R92         Collateralized Transactions - Concentration Based   HTML     70K  
                on the Firm's Total Assets (Details)                             
113: R93         Collateralized Transactions - Customer Margin and   HTML     63K  
                Other Lending (Details)                                          
114: R94         Loans, Lending Commitments and Related Allowance    HTML    113K  
                for Credit Losses - Loans by Type (Details)                      
115: R95         Loans, Lending Commitments and Related Allowance    HTML    158K  
                for Credit Losses - Loans Held for Investment                    
                before Allowance by Origination Year (Details)                   
116: R96         Loans, Lending Commitments and Related Allowance    HTML     98K  
                for Credit Losses - Past Due Status of Loans Held                
                for Investment before Allowance (Details)                        
117: R97         Loans, Lending Commitments and Related Allowance    HTML     75K  
                for Credit Losses - Nonaccrual Loans Held for                    
                Investment before Allowance (Details)                            
118: R98         Loans, Lending Commitments and Related Allowance    HTML     67K  
                for Credit Losses - Troubled Debt Restructurings                 
                (Details)                                                        
119: R99         Loans, Lending Commitments and Related Allowance    HTML    126K  
                for Credit Losses - Allowance for Credit Losses                  
                Rollforward - Loans and Lending Commitments                      
                (Details)                                                        
120: R100        Loans, Lending Commitments and Related Allowance    HTML     89K  
                for Credit Losses - Employee Loans (Details)                     
121: R101        Goodwill and Intangible Assets - Goodwill           HTML     84K  
                Rollforward (Details)                                            
122: R102        Goodwill and Intangible Assets - Net Amortizable    HTML     84K  
                Intangible Assets Rollforward (Details)                          
123: R103        Goodwill and Intangible Assets - Gross Amortizable  HTML     78K  
                Intangible Assets by Type (Details)                              
124: R104        Other Assets - Equity Method Investments and        HTML     72K  
                Leases - Equity Method Investments (Details)                     
125: R105        Other Assets - Equity Method Investments and        HTML     67K  
                Leases - Investees (Details)                                     
126: R106        Other Assets - Equity Method Investments and        HTML     71K  
                Leases - Narrative (Details)                                     
127: R107        Other Assets - Equity Method Investments and        HTML     76K  
                Leases - Balance Sheet Amounts Related to Leases                 
                (Details)                                                        
128: R108        Other Assets - Equity Method Investments and        HTML     86K  
                Leases - Lease Liabilities (Details)                             
129: R109        Other Assets - Equity Method Investments and        HTML     70K  
                Leases - Lease Costs (Details)                                   
130: R110        Other Assets - Equity Method Investments and        HTML     66K  
                Leases - Cash Flows Statement Supplemental                       
                Information (Details)                                            
131: R111        Other Assets - Equity Method Investments and        HTML     63K  
                Leases - Rent Expense (Details)                                  
132: R112        Deposits - Summary (Details)                        HTML     71K  
133: R113        Deposits - Time Deposit Maturities (Details)        HTML     76K  
134: R114        Borrowings and Other Secured Financings -           HTML    116K  
                Maturities and Terms of Borrowings (Details)                     
135: R115        Borrowings and Other Secured Financings -           HTML     72K  
                Borrowings with Maturities Greater than One Year                 
                (Details)                                                        
136: R116        Borrowings and Other Secured Financings - Senior    HTML     66K  
                Debt Subject to Put Options or Liquidity                         
                Obligations (Details)                                            
137: R117        Borrowings and Other Secured Financings -           HTML     64K  
                Subordinated Debt (Details)                                      
138: R118        Borrowings and Other Secured Financings - Rates     HTML     64K  
                for Long-Term Borrowings (Details)                               
139: R119        Borrowings and Other Secured Financings - Other     HTML     69K  
                Secured Financings (Details)                                     
140: R120        Borrowings and Other Secured Financings -           HTML    103K  
                Maturities and Terms of Secured Financings                       
                (Details)                                                        
141: R121        Borrowings and Other Secured Financings - Failed    HTML     78K  
                Sales by Maturity (Details)                                      
142: R122        Commitments, Guarantees and Contingencies -         HTML    103K  
                Commitments (Details)                                            
143: R123        Commitments, Guarantees and Contingencies -         HTML    137K  
                Obligations under Guarantee Arrangements (Details)               
144: R124        Commitments, Guarantees and Contingencies - Legal   HTML     63K  
                Expenses (Details)                                               
145: R125        Commitments, Guarantees and Contingencies -         HTML     90K  
                Narrative (Details)                                              
146: R126        Variable Interest Entities and Securitization       HTML     80K  
                Activities - Assets and Liabilities by Type of                   
                Activity (Details)                                               
147: R127        Variable Interest Entities and Securitization       HTML     94K  
                Activities - Assets and Liabilities by Balance                   
                Sheet Caption (Details)                                          
148: R128        Variable Interest Entities and Securitization       HTML    135K  
                Activities - Non-Consolidated VIEs (Details)                     
149: R129        Variable Interest Entities and Securitization       HTML     85K  
                Activities - Mortgage and Asset Backed                           
                Securitization Assets (Details)                                  
150: R130        Variable Interest Entities and Securitization       HTML    104K  
                Activities - Transfers of Assets with Continuing                 
                Involvement (Details)                                            
151: R131        Variable Interest Entities and Securitization       HTML     90K  
                Activities - Fair Value of Transfers of Assets                   
                with Continuing Involvement (Details)                            
152: R132        Variable Interest Entities and Securitization       HTML     72K  
                Activities - Proceeds from New Securitization                    
                Transactions and Sales of Loans (Details)                        
153: R133        Variable Interest Entities and Securitization       HTML     77K  
                Activities - Assets Sold with Retained Exposure                  
                (Details)                                                        
154: R134        Regulatory Requirements - Risk-Based Regulatory     HTML    109K  
                Capital Ratio Requirements (Details)                             
155: R135        Regulatory Requirements - Narrative (Details)       HTML     64K  
156: R136        Regulatory Requirements - The Firm's Regulatory     HTML     98K  
                Capital and Capital Ratios (Details)                             
157: R137        Regulatory Requirements - U.S. Bank Subsidiaries'   HTML    124K  
                Regulatory Capital and Capital Ratios (Details)                  
158: R138        Regulatory Requirements - U.S. Broker-Dealer        HTML     66K  
                Regulatory Capital Requirements (Details)                        
159: R139        Regulatory Requirements - Restrictions on Payments  HTML     63K  
                (Details)                                                        
160: R140        Total Equity - Preferred Stock Outstanding          HTML     98K  
                (Details)                                                        
161: R141        Total Equity - Narrative (Details)                  HTML     76K  
162: R142        Total Equity - Preferred Stock Issuance             HTML    101K  
                Description (Details)                                            
163: R143        Total Equity - Rollforward of Common Stock          HTML     72K  
                Outstanding (Details)                                            
164: R144        Total Equity - Share Repurchases (Details)          HTML     64K  
165: R145        Total Equity - Reconciliation of Common Shares      HTML     71K  
                Outstanding for Basic and Diluted EPS (Details)                  
166: R146        Total Equity - Dividends (Details)                  HTML    117K  
167: R147        Total Equity - Cumulative Adjustments to Retained   HTML     94K  
                Earnings Related to the Adoption of Accounting                   
                Updates (Details)                                                
168: R148        Total Equity - Accumulated Other Comprehensive      HTML    101K  
                Income (Loss) (Details)                                          
169: R149        Total Equity - Components of Period Changes in OCI  HTML    143K  
                (Details)                                                        
170: R150        Total Equity - Cumulative Foreign Currency          HTML     70K  
                Translation Adjustments (Details)                                
171: R151        Interest Income and Interest Expense - Summary      HTML     94K  
                (Details)                                                        
172: R152        Interest Income and Interest Expense - Accrued      HTML     65K  
                Interest (Details)                                               
173: R153        Deferred Compensation Plans and Carried Interest    HTML     71K  
                Compensation - Stock-based Compensation Plans                    
                (Details)                                                        
174: R154        Deferred Compensation Plans and Carried Interest    HTML     63K  
                Compensation - Tax Benefit Related to Stock-Based                
                Compensation Expense (Details)                                   
175: R155        Deferred Compensation Plans and Carried Interest    HTML     70K  
                Compensation - Unrecognized Compensation Cost                    
                Related to Stock-Based Awards Granted (Details)                  
176: R156        Deferred Compensation Plans and Carried Interest    HTML     63K  
                Compensation - Common Shares Available for Future                
                Awards under Stock-Based Compensation Plans                      
                (Details)                                                        
177: R157        Deferred Compensation Plans and Carried Interest    HTML     98K  
                Compensation - Vested and Unvested RSU Activity                  
                (Details)                                                        
178: R158        Deferred Compensation Plans and Carried Interest    HTML     86K  
                Compensation - Unvested RSU Activity (Details)                   
179: R159        Deferred Compensation Plans and Carried Interest    HTML     67K  
                Compensation - Fair Value of RSU Activity                        
                (Details)                                                        
180: R160        Deferred Compensation Plans and Carried Interest    HTML     73K  
                Compensation - Narrative (Details)                               
181: R161        Deferred Compensation Plans and Carried Interest    HTML     69K  
                Compensation - PSU Fair Value on Award Date                      
                (Details)                                                        
182: R162        Deferred Compensation Plans and Carried Interest    HTML     75K  
                Compensation - Monte Carlo Simulation Assumptions                
                (Details)                                                        
183: R163        Deferred Compensation Plans and Carried Interest    HTML     70K  
                Compensation - Deferred Cash-Based Compensation                  
                Expense (Details)                                                
184: R164        Deferred Compensation Plans and Carried Interest    HTML     63K  
                Compensation - Carried Interest Compensation                     
                Expense (Details)                                                
185: R165        Employee Benefit Plans - Net Periodic Benefit       HTML     82K  
                Expense (Income) (Details)                                       
186: R166        Employee Benefit Plans - Rollforward of Pre-tax     HTML     82K  
                AOCI (Details)                                                   
187: R167        Employee Benefit Plans - Weighted Average           HTML     70K  
                Assumptions Used to Determine Net Periodic Benefit               
                Expense (Income) (Details)                                       
188: R168        Employee Benefit Plans - Rollforward of the         HTML    118K  
                Benefit Obligation and Fair Value of Plan Assets                 
                (Details)                                                        
189: R169        Employee Benefit Plans - Accumulated Benefit        HTML     65K  
                Obligation (Details)                                             
190: R170        Employee Benefit Plans - Pension Plans with         HTML     70K  
                Benefit Obligations in Excess of the Fair Value of               
                Plan Assets (Details)                                            
191: R171        Employee Benefit Plans - Weighted Average           HTML     67K  
                Assumptions Used to Determine Benefit Obligation                 
                (Details)                                                        
192: R172        Employee Benefit Plans - Fair Value of Plan Assets  HTML    143K  
                (Details)                                                        
193: R173        Employee Benefit Plans - Rollforward of Level 3     HTML     74K  
                Plan Assets (Details)                                            
194: R174        Employee Benefit Plans - Narrative (Details)        HTML     75K  
195: R175        Employee Benefit Plans - Expected Future Benefit    HTML     75K  
                Payments (Details)                                               
196: R176        Employee Benefit Plans - 401(k) and Defined         HTML     67K  
                Contribution Pension Plans (Details)                             
197: R177        Income Taxes - Components of Provision for          HTML    114K  
                (Benefit from) Income Taxes (Details)                            
198: R178        Income Taxes - Effective Income Tax Rate (Details)  HTML     79K  
199: R179        Income Taxes - Narrative (Details)                  HTML     63K  
200: R180        Income Taxes - Deferred Tax Assets and Liabilities  HTML     89K  
                (Details)                                                        
201: R181        Income Taxes - Rollforward of Unrecognized Tax      HTML     80K  
                Benefits (Details)                                               
202: R182        Income Taxes - Interest Expense (Benefit), Net of   HTML     65K  
                Federal and State Income Tax Benefits (Details)                  
203: R183        Segment, Geographic and Revenue Information -       HTML    200K  
                Selected Financial Information by Business Segment               
                (Details)                                                        
204: R184        Segment, Geographic and Revenue Information -       HTML     76K  
                Institutional Securities - Investment Banking                    
                Revenues (Details)                                               
205: R185        Segment, Geographic and Revenue Information -       HTML     75K  
                Trading Revenues by Product Type (Details)                       
206: R186        Segment, Geographic and Revenue Information -       HTML     63K  
                Investment Management Investments Revenues - Net                 
                Unrealized Carried Interest (Details)                            
207: R187        Segment, Geographic and Revenue Information -       HTML     63K  
                Investment Management Asset Management Revenues -                
                Reduction of Fees due to Fee Waivers (Details)                   
208: R188        Segment, Geographic and Revenue Information - Net   HTML     75K  
                Revenues by Region (Details)                                     
209: R189        Segment, Geographic and Revenue Information -       HTML     74K  
                Income from Continuing Operations before Income                  
                Tax Expense (Benefit) (Details)                                  
210: R190        Segment, Geographic and Revenue Information - Net   HTML     71K  
                Discrete Tax Provisions (Benefits) by Segment                    
                (Details)                                                        
211: R191        Segment, Geographic and Revenue Information -       HTML     63K  
                Revenue Recognized from Prior Services (Details)                 
212: R192        Segment, Geographic and Revenue Information -       HTML     63K  
                Receivables from Contracts with Customers                        
                (Details)                                                        
213: R193        Segment, Geographic and Revenue Information -       HTML     72K  
                Assets by Business Segment (Details)                             
214: R194        Segment, Geographic and Revenue Information -       HTML     72K  
                Assets by Region (Details)                                       
215: R195        Parent Company - Condensed Income Statements and    HTML    154K  
                Comprehensive Income Statements (Details)                        
216: R196        Parent Company - Condensed Balance Sheets           HTML    179K  
                (Details)                                                        
217: R197        Parent Company - Condensed Cash Flow Statements     HTML    138K  
                (Details)                                                        
218: R198        Parent Company - Narrative (Details)                HTML     64K  
219: R199        Parent Company - Parent Company's Borrowings with   HTML     72K  
                Original Maturities Greater than One Year                        
                (Details)                                                        
220: R200        Parent Company - Guarantees (Details)               HTML     68K  
221: R201        Quarterly Results (Unaudited) - Summary (Details)   HTML    151K  
223: XML         IDEA XML File -- Filing Summary                      XML    442K  
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222: EXCEL       IDEA Workbook of Financial Reports                  XLSX    384K  
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15: EX-101.SCH  XBRL Schema -- ms-20201231                           XSD    625K 
224: JSON        XBRL Instance as JSON Data -- MetaLinks            1,061±  1.70M  
225: ZIP         XBRL Zipped Folder -- 0000895421-21-000286-xbrl      Zip   1.83M  




        
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