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MS Stock Annual Cash Flow. Download in Excel

Morgan Stanley logo

Morgan Stanley

Sector: Financial Services   

Industry: Capital Markets

123.44
 
USD
  
2.94
  
(2.44%)
Previous close: 120.5  Open: 121.2  Bid: 123.65  Ask: 125.59
52 week range    
83.09   
   136.24
Mkt Cap: 205,794 M  Avg Vol (90 Days): 6,971,542
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Last updated: Sunday 22nd December 2024

Stock Rankings

53
Technical
55
Quality
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Financials

MS Cash Flow

Annual
Dec-14Dec-15Dec-16Dec-17Dec-18Dec-19Dec-20Dec-21Dec-22Dec-23
(Increase) Decrease in other current assets6,038 M17,902 M-10,413 M-28,614 M29,745 M-7,306 M8,934 M-3,679 M-39,703 M-49,365 M
(Increase) Decrease in payables-47,721 M-28,884 M19,849 M3,803 M-19,728 M24,383 M6,574 M19,359 M-4,551 M-3,512 M
(Increase) Decrease in receivables3,608 M8,704 M-371 M-9,315 M-728 M233 M-29,774 M774 M14,664 M602 M
Acquisitions12,980 M37,926 M33,716 M3,807 M
AmortizationOfFinancingCostsAndDiscounts33,438 M-4,369 M-14,298 M
AssetImpairmentCharge111 M69 M130 M91 M
Cash at beginning of period59,883 M87,591 M85,552 M33,979 M80,395 M87,196 M82,171 M105,654 M127,725 M128,127 M
Cash at end of period46,984 M94,690 M77,360 M37,014 M87,196 M82,171 M101,847 M127,725 M128,127 M89,232 M
Cash flow-19,030 M-12,142 M-4,221 M-16,630 M-1,489 M23,414 M-43,180 M-2,135 M-30,049 M-37,595 M
Cash from disc. financing activities-45 M
CashFlowFromContinuingInvestingActivities-15,208 M-4,179 M-9,904 M-266 M-14,087 M-16,202 M-23,756 M-11,143 M-11,632 M-3,084 M
ChangeInAccountPayable27,971 M4,373 M1,913 M2,007 M-13,063 M19,942 M10,187 M7,758 M-4,897 M-3,629 M
ChangeInFederalFundsAndSecuritiesSoldForRepurchase-2,600 M-5,865 M-6,792 M-2,259 M904 M-12,700 M-11,755 M-5,382 M
ChangeInLoans-20,116 M-15,816 M-9,604 M-12,125 M-8,794 M-17,359 M-17,949 M-36,106 M-23,652 M-4,059 M
ChangeInPayablesAndAccruedExpense-47,721 M-28,884 M19,849 M3,803 M-19,728 M24,383 M6,574 M19,359 M-4,551 M-3,512 M
ChangeInWorkingCapital-58,191 M-18,094 M-539 M-46,251 M495 M-49 M-32,215 M-19,652 M-53,242 M-56,334 M
ChangesInAccountReceivables3,608 M8,704 M-371 M-9,315 M-728 M233 M-29,774 M774 M14,664 M602 M
CommonStockDividendPaid-1,093 M-1,551 M-1,842 M-2,168 M-2,375 M-2,627 M-2,739 M-4,171 M-5,401 M-5,763 M
Current deferred income taxes-231 M1,189 M1,579 M2,747 M449 M165 M-250 M4 M-849 M-463 M
Deferred income taxes-231 M1,189 M1,579 M2,747 M449 M165 M-250 M4 M-849 M-463 M
Depreciation1,161 M1,433 M1,736 M1,753 M1,844 M2,643 M3,769 M4,216 M3,998 M4,256 M
Depreciation unreconciled1,161 M1,433 M1,736 M1,753 M1,844 M2,643 M3,769 M4,216 M3,998 M4,256 M
DepreciationAndAmortization1,161 M1,433 M1,736 M1,753 M1,844 M2,643 M3,769 M4,216 M3,998 M4,256 M
EarningsLossesFromEquityInvestments-156 M-114 M79 M34 M
Effect of exchange rate changes-1,804 M-945 M-1,430 M3,670 M-1,828 M-271 M2,828 M-3,550 M-4,283 M451 M
FinancingCashFlow23,143 M24,365 M7,363 M16,261 M24,205 M-11,966 M83,784 M41,547 M22,714 M-2,726 M
Free cash flow-20,022 M-13,515 M-5,497 M-18,259 M-3,354 M21,588 M-44,624 M31,663 M-9,475 M-36,948 M
GainLossOnInvestmentSecurities-14,581 M-11,569 M13,666 M-1,026 M6,013 M6,362 M-6,617 M
IncomeTaxPaidSupplementalData886 M677 M831 M1,390 M1,377 M1,908 M2,591 M4,231 M4,147 M2,035 M
IncreaseDecreaseInDeposit21,165 M22,490 M-171 M3,573 M28,384 M2,513 M75,417 M36,897 M1,659 M-5,075 M
InterestPaidSupplementalData3,575 M2,672 M2,834 M5,377 M9,977 M12,511 M4,120 M1,303 M9,819 M41,940 M
Issuance of debt119 M-88 M-1,206 M
IssuanceOfDebt3,756 M6,805 M12,030 M19,591 M5,278 M-9,943 M10,242 M20,149 M37,562 M13,619 M
Net cash from financing activities23,143 M24,365 M7,363 M16,261 M24,205 M-11,966 M83,784 M41,547 M22,714 M-2,726 M
Net cash from investing activities-15,208 M-4,179 M-9,904 M-266 M-14,087 M-16,202 M-23,756 M-49,897 M-11,632 M-3,084 M
Net cash from operating activities-19,030 M-12,142 M-4,221 M-16,630 M-1,489 M23,414 M-43,180 M33,971 M-6,397 M-33,536 M
Net change in cash & cash equivalents-12,899 M7,099 M-8,192 M3,035 M6,801 M-4,754 M16,848 M25,621 M4,685 M-39,346 M
Net income from continuing operations3,667 M6,279 M-8,031 M23,942 M-5,396 M19,697 M-16,070 M11,359 M17,551 M12,929 M
NetBusinessPurchaseAndSale13,969 M38,924 M33,716 M3,807 M
NetInvestmentPropertiesPurchaseAndSale-32,836 M-47,393 M-50,711 M-24,213 M-28,098 M-43,539 M-60,579 M-8,835 M15,098 M4,387 M
NetInvestmentPurchaseAndSale-32,836 M-47,393 M-50,711 M-24,213 M-28,098 M-43,539 M-60,579 M-8,835 M15,098 M4,387 M
NetIssuancePaymentsOfDebt3,756 M6,805 M12,030 M19,591 M5,278 M-9,943 M10,242 M20,149 M37,562 M13,619 M
NetLongTermDebtIssuance3,637 M6,893 M12,030 M19,591 M5,278 M-9,943 M10,242 M20,149 M37,562 M13,619 M
NetPPEPurchaseAndSale-992 M-1,373 M-1,276 M-1,629 M-1,865 M-1,826 M-1,444 M-2,308 M-3,078 M-3,412 M
NetPreferredStockIssuance2,782 M1,493 M994 M497 M1,275 M994 M
NetProceedsPaymentForLoan4,651 M5,663 M8,367 M
Operating (gains) losses-156 M-114 M79 M-992 M6,013 M6,362 M-6,617 M
Other financing charges net-3,467 M-4,872 M-54 M136 M-290 M-147 M-40 M97 M-345 M-125 M
Other investing changes net-213 M-102 M200 M-251 M-298 M-953 M-802 M25,543 M13,088 M13,393 M
Other non-cash items34,720 M-2,835 M955 M1,179 M1,119 M958 M1,586 M1,938 M2,493 M2,017 M
Payment of cash dividends1,093 M1,551 M1,842 M2,168 M2,375 M2,627 M2,739 M4,171 M5,401 M5,763 M
PreferredStockIssuance2,782 M1,493 M994 M497 M1,275 M994 M
ProceedsFromLoans4,651 M5,663 M8,367 M
Purchase of property plant & equipment-992 M-1,373 M-1,276 M-1,629 M-1,865 M-1,826 M-1,444 M-2,308 M-3,078 M-3,412 M
Purchase of short term investments36,740 M34,182 M43,626 M55,416 M40,059 M30,605 M60,726 M90,273 M72,460 M78,424 M
PurchaseOfFixedMaturitySecurities-69,571 M-29,833 M-23,078 M
PurchaseOfInvestment-32,623 M-47,291 M-50,911 M-23,962 M-27,800 M-42,586 M-59,777 M-69,571 M-29,833 M-23,078 M
PurchaseOfPPE-992 M-1,373 M-1,276 M-1,629 M-1,865 M-1,826 M-1,444 M-2,308 M-3,078 M-3,412 M
Repayment of debt-33,103 M-27,289 M-31,596 M-35,825 M-34,781 M-40,548 M-50,484 M-70,124 M-34,898 M-64,805 M
RepaymentOfDebt-32,984 M-27,377 M-31,596 M-35,825 M-34,781 M-40,548 M-50,484 M-70,124 M-34,898 M-64,805 M
SaleOfBusiness989 M998 M
SaleOfInvestment35,193 M31,843 M14,072 M
SalesOfFixedMaturitySecurities35,193 M31,843 M14,072 M
ShortTermDebtPayments119 M-88 M-1,206 M
StockBasedCompensation1,260 M1,104 M1,136 M1,026 M920 M1,153 M1,312 M2,085 M1,875 M1,709 M
UnrealizedGainLossOnInvestmentSecurities-40 M-84 M-112 M-35 M
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