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Morgan Stanley MSD · Stock Open Morgan Stanley in new tab

7.33 USD
P/E
6.98
EPS
1.05
Yield
8.81%
Safety Score
17
P/B
0.93
ROE
13.56
Beta
0.58
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Key Metrics
P/E6.98
EPS1.05
Book Value7.87
Price to Book0.93
Growth
Revenue Growth-0.52%
Earnings Growth0.55%
Dividend
Dividend Yield8.81%
Annual dividends0.65 USD
Ex-Div. DateSept. 30, 2026
5y avg Yield8.91%

DCF Valuation

Tweak assumptions to recompute fair value for Morgan Stanley (MSD)
Currency: USD
DCF Assumptions
Decimal (e.g., 0.10 = 10%). Range allows declines (−50%) to strong growth (+50%).
Decimal (e.g., 0.30 = 30%).
Decimal (e.g., 0.04 = 4%).
Decimal (e.g., 0.20 = 20%).
Percent number (e.g., 3 = 3%).
Percent number (e.g., 10 = 10%).
Percent number (e.g., 5 = 5%).
DCF Result

Fair Value (DCF)
Current Price
Upside
WACC
Terminal PV
Σ PV of FCFs
Note: historical bars show reported FCF (for context); forward bars show PV of projected FCF; if no per-year data, totals are shown.

Morgan Stanley Logo Morgan Stanley Analysis (MSD)

United States Financials Official Website Stock

Is Morgan Stanley a good investment? Morgan Stanley (MSD) is currently trading at 7.33 USD.

In terms of valuation, the stock trades at a P/E ratio of 6.98. This relatively low multiple may signal that Morgan Stanley is undervalued compared to historical market norms.

For income investors, Morgan Stanley pays a dividend yield of 8.81%.

Investor FAQ

Does Morgan Stanley pay a dividend?

Yes, it pays an annual dividend of 0.65 USD (8.81% yield).

What asset class is Morgan Stanley?

Morgan Stanley is classified as a Stock. You can compare it against its peer in the "Related Symbols" list.

Company Profile

Morgan Stanley Emerging Markets Debt Fund, Inc. is a closed ended fixed income fund launched and managed by Morgan Stanley Investment Management Inc. The fund invests in fixed income markets of emerging market countries across the globe. It primarily invests in debt securities of government and government-related issuers, of entities organized to restructure outstanding debt of such issuers and debt securities of corporate issuers in or organized under the laws of emerging countries. The fund benchmarks the performance of its portfolio against the JP Morgan Emerging Markets Bond Global Index. Morgan Stanley Emerging Markets Debt Fund, Inc. was formed on May 6, 1993 and is domiciled in the United States.

Exchange Ticker
NYQ (United States) MSD
Trades
Dividend Yield
8.81%
5y avg 8.91%
Annual Dividends
0.65USD
Next Ex. Div Date
Sept. 30, 2026
Dividend History paid per year (USD)
Historical Dividends
Year Total Dividends
2027
0.52 USD
July 15, 2027 (estimated) 0.1856
April 15, 2027 (estimated) 0.1632
Jan. 15, 2027 (estimated) 0.1734
2026
0.59 USD
Oct. 15, 2026 0.1450
July 15, 2026 0.1500
April 15, 2026 0.1400
Jan. 15, 2026 0.1500
2025
0.85 USD
Oct. 15, 2025 0.1700
July 15, 2025 0.1900
April 15, 2025 0.2200
Jan. 15, 2025 0.2650
2024
0.85 USD
Oct. 15, 2024 0.2200
July 15, 2024 0.2200
April 15, 2024 0.2100
Jan. 12, 2024 0.2000
2023
0.68 USD
Oct. 13, 2023 0.2130
July 14, 2023 0.1880
April 14, 2023 0.1580
Jan. 13, 2023 0.1200
2022
0.49 USD
Oct. 14, 2022 0.1200
July 15, 2022 0.1200
April 14, 2022 0.1200
Jan. 14, 2022 0.1250
2021
0.43 USD
Oct. 15, 2021 0.1100
July 15, 2021 0.1100
April 15, 2021 0.1050
Jan. 15, 2021 0.1050
2020
0.46 USD
Oct. 15, 2020 0.1100
July 15, 2020 0.0980
April 15, 2020 0.1200
Jan. 15, 2020 0.1300
2019
0.52 USD
Oct. 15, 2019 0.1300
July 15, 2019 0.1300
April 15, 2019 0.1300
Jan. 15, 2019 0.1300
2018
0.55 USD
Oct. 15, 2018 0.1300
July 13, 2018 0.1400
April 13, 2018 0.1400
Jan. 10, 2018 0.1400
2017
0.62 USD
Oct. 13, 2017 0.1400
July 14, 2017 0.1500
April 14, 2017 0.1500
Jan. 13, 2017 0.1750
2016
0.63 USD
Oct. 14, 2016 0.1500
July 15, 2016 0.1500
April 15, 2016 0.1500
Jan. 15, 2016 0.1830
2015
0.57 USD
Oct. 15, 2015 0.1400
July 15, 2015 0.1400
April 15, 2015 0.1400
Jan. 15, 2015 0.1500
2014
0.88 USD
Oct. 15, 2014 0.1400
July 15, 2014 0.1400
April 15, 2014 0.1400
Jan. 3, 2014 0.4600
2013
0.72 USD
Oct. 15, 2013 0.1400
July 15, 2013 0.2300
April 15, 2013 0.1400
Jan. 4, 2013 0.2100
2012
0.56 USD
Oct. 15, 2012 0.1400
July 13, 2012 0.1400
April 13, 2012 0.1400
Jan. 6, 2012 0.1400
2011
1.01 USD
Oct. 14, 2011 0.1600
July 15, 2011 0.1970
April 15, 2011 0.1600
Jan. 7, 2011 0.4880
2010
0.74 USD
Oct. 15, 2010 0.1600
July 15, 2010 0.1600
April 15, 2010 0.1600
Jan. 8, 2010 0.2630
2009
0.77 USD
Oct. 15, 2009 0.1400
July 15, 2009 0.1300
April 15, 2009 0.1050
Jan. 7, 2009 0.3970
2008
0.66 USD
Oct. 15, 2008 0.1550
July 15, 2008 0.1550
April 15, 2008 0.1550
Jan. 7, 2008 0.1970
2007
0.67 USD
Oct. 15, 2007 0.1550
July 13, 2007 0.1550
April 13, 2007 0.1550
Jan. 5, 2007 0.2010
2006
0.95 USD
Oct. 13, 2006 0.1850
July 14, 2006 0.1850
April 14, 2006 0.2000
Jan. 6, 2006 0.3840
2005
0.89 USD
Oct. 14, 2005 0.2000
July 15, 2005 0.1800
April 15, 2005 0.1800
Jan. 7, 2005 0.3260
2004
0.81 USD
Oct. 15, 2004 0.1800
July 15, 2004 0.1800
April 15, 2004 0.1800
Jan. 9, 2004 0.2710
2003
0.63 USD
Oct. 15, 2003 0.1800
July 15, 2003 0.1500
April 15, 2003 0.1500
Jan. 10, 2003 0.1500
2002
0.73 USD
Oct. 15, 2002 0.1500
July 15, 2002 0.1500
April 15, 2002 0.2100
Jan. 11, 2002 0.2200
2001
1.05 USD
Oct. 15, 2001 0.2100
July 13, 2001 0.2100
April 12, 2001 0.2100
Jan. 12, 2001 0.4240
2000
0.95 USD
Oct. 13, 2000 0.2100
July 14, 2000 0.2100
April 14, 2000 0.2400
Jan. 14, 2000 0.2860
1999
1.08 USD
Oct. 15, 1999 0.2400
July 15, 1999 0.2400
April 15, 1999 0.2900
Jan. 8, 1999 0.3050
1998
3.55 USD
Oct. 15, 1998 0.3000
July 15, 1998 0.3000
April 15, 1998 0.3000
Jan. 12, 1998 2.2930
Jan. 9, 1998 0.3600
1997
4.71 USD
Oct. 15, 1997 0.3600
July 15, 1997 0.5610
April 15, 1997 0.3600
Jan. 10, 1997 3.4274
1996
2.05 USD
Oct. 15, 1996 0.3600
July 15, 1996 0.3600
June 13, 1996 0.4280
April 15, 1996 0.4280
Jan. 9, 1996 0.4750
1995
1.67 USD
Oct. 13, 1995 0.4200
July 7, 1995 0.4500
April 14, 1995 0.3700
Jan. 10, 1995 0.4268
1994
1.47 USD
Oct. 14, 1994 0.1100
July 15, 1994 0.3000
April 15, 1994 0.3500
Jan. 17, 1994 0.7100
1993
0.16 USD
Oct. 15, 1993 0.1600
Upcoming Dividends
Name Payment Date Status Amount
Morgan Stanley Oct 15, 2026 Upcoming 0.145 USD
Morgan Stanley Jul 15, 2026 0.15 USD
Morgan Stanley Apr 15, 2026 0.14 USD
Morgan Stanley Jan 15, 2026 0.15 USD
Morgan Stanley Oct 15, 2025 0.17 USD
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