MORGAN STANLEY - Common Stock (MSPRA)

Historical Holders from Q1 2014 to Q3 2025

Symbol
MSPRA
Type / Class
Equity / Common Stock
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
529,905
Holdings value
$11,354,472
% of all portfolios
0%
Number of holders
8
Number of buys
2
Number of sells
3
Average buys %
0%
Average sells %
-0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025 MORGAN STANLEY - Common Stock (MSPRA) has 8 institutional shareholders that have filed 13F forms with the Securities Exchange Commission (SEC). These institutions hold a total of 529,905 shares of the company stock as of 30 Sep 2025.

Institutional Holders of MORGAN STANLEY - Common Stock (MSPRA) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q3 529,905 $11,354,472 -$337,957 $21.41 8
2025 Q2 545,742 $11,693,105 -$163,351 $21.33 8
2025 Q1 553,377 $12,652,063 -$2,016,692 $22.80 9
2024 Q4 641,828 $15,284,052 -$1,798,434 $23.80 8
2024 Q3 717,426 $16,389,497 -$909,672 $22.83 9
2024 Q2 757,296 $17,324,659 -$893,818 $22.88 8
2024 Q1 796,476 $18,087,573 -$2,495,571 $22.70 7
2023 Q4 906,828 $19,577,639 +$636,832 $21.50 7
2023 Q3 876,735 $18,972,563 +$1,881,879 $21.64 5
2023 Q2 789,772 $16,959,565 -$2,214,714 $21.50 4
2023 Q1 896,540 $18,591,466 +$10,979,640 $20.73 6
2022 Q4 368,585 $6,980,985 +$82,179 $18.94 5
2022 Q3 364,246 $7,277,654 -$261,081 $19.98 4
2022 Q2 377,626 $7,219,933 +$178,921 $19.11 5
2022 Q1 368,484 $8,163,951 +$334,264 $22.15 6
2021 Q4 353,496 $8,872,486 +$764,352 $25.10 4
2021 Q3 323,044 $8,101,800 -$1,770,813 $25.08 4
2021 Q2 392,679 $9,945,276 +$127,653 $25.32 7
2021 Q1 387,727 $9,402,037 +$118,636 $24.25 5
2020 Q4 382,833 $9,551,806 -$1,110,450 $24.95 5
2020 Q3 427,590 $10,022,684 +$349,415 $23.44 6
2020 Q2 412,677 $8,616,657 -$108,750 $20.88 5
2020 Q1 417,976 $8,006,057 +$15,474 $19.15 6
2019 Q4 417,056 $9,397,241 +$432,433 $22.53 7
2019 Q3 397,398 $8,687,627 +$1,912,439 $21.86 7
2019 Q2 309,016 $6,293,879 -$6,280,432 $20.37 6
2019 Q1 634,575 $12,282,643 -$3,357,897 $19.35 10
2018 Q4 836,412 $15,813,848 -$18,013 $18.96 8
2018 Q3 837,413 $18,960,026 -$2,799,610 $22.64 8
2018 Q2 957,115 $22,367,702 +$783,523 $23.37 10
2018 Q1 923,624 $21,050,192 +$657,419 $22.79 11
2017 Q4 894,283 $20,245,026 +$26,696 $22.64 11
2017 Q3 892,592 $20,583,529 +$7,523 $23.06 12
2017 Q2 891,967 $21,092,957 +$2,220,163 $23.66 13
2017 Q1 798,186 $18,844,568 -$2,762 $23.61 12
2016 Q4 800,691 $18,414,093 +$4,942,144 $23.00 13
2016 Q3 584,356 $14,168,000 +$74,604 $24.25 10
2016 Q2 647,453 $13,411,000 +$1,648,254 $20.70 12
2016 Q1 569,537 $11,542,000 +$623,899 $20.28 12
2015 Q4 537,709 $11,159,000 +$1,647,781 $20.79 11
2015 Q3 458,473 $9,147,000 -$107,004 $19.95 11
2015 Q2 463,798 $9,609,000 -$3,599,788 $20.69 9
2015 Q1 597,099 $12,631,000 +$2,818,026 $21.17 8
2014 Q4 464,024 $9,260,542 +$146,460 $19.96 8
2014 Q3 456,677 $9,092,795 +$278,594 $19.91 8
2014 Q2 442,399 $8,950,460 +$3,679,603 $20.23 9
2014 Q1 261,230 $5,200,842 -$745,714 $19.91 9