MORGAN STANL 6.875 PFD - PREFERRED STOCK (MSPRF) Institutional Ownership

CUSIP: 61763E207

13F Institutional Holders and Ownership History from Q1 2014 to Q4 2025

Type / Class
Equity / PREFERRED STOCK
Symbol
MSPRF
Price per share
$25.31
All holders as of 31 Dec 2025
Q4 2025
Total 13F shares
391
Total reported value
$9,817
% of total 13F portfolios
0%
Share change
-92
Value change
-$2,310
Number of holders
3
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Investment Quick Answers

What is CUSIP 61763E207?
CUSIP 61763E207 identifies MSPRF - MORGAN STANL 6.875 PFD - PREFERRED STOCK in SEC 13F datasets.

Where can I see the latest institutional holders?
Review the Q4 2025 holders report and the ownership history table below.

As of 31 Dec 2025, 3 institutional investors reported holding 391 shares of MORGAN STANL 6.875 PFD - PREFERRED STOCK (MSPRF).

Institutional Holders of MORGAN STANL 6.875 PFD - PREFERRED STOCK (MSPRF) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 391 $9,817 -$2,310 $25.10 3
2025 Q3 483 $12,147 -$705 $25.15 3
2025 Q2 511 $12,843 -$6,032 $25.17 2
2025 Q1 750 $18,866 -$980 $25.12 3
2024 Q4 789 $19,902 +$781 $25.19 3
2024 Q3 758 $19,250 -$101 $25.36 3
2024 Q2 762 $19,170 -$78 $25.09 3
2024 Q1 767 $19,299 +$1,888 $25.16 3
2023 Q4 100,692 $2,519,384 +$2,503,947 $25.02 2
2023 Q3 617 $15,425 -$39,500 $25.00 2
2023 Q2 2,197 $55,116 +$42,785 $25.16 2
2023 Q1 487 $12,029 +$6,768 $24.70 1
2022 Q4 213 $5,321 -$11,359,679 $24.98 1
2022 Q3 451,797 $11,365,000 +$5,595,017 $25.15 2
2022 Q2 230,051 $5,926,000 +$7,531 $25.76 1
2022 Q1 229,771 $6,137,000 -$244,432 $24.47 2
2021 Q4 238,922 $6,620,000 +$7,126 $24.97 2
2021 Q3 238,647 $6,687,000 +$294,960 $28.02 1
2021 Q2 228,040 $6,454,000 +$122,591 $28.32 2
2021 Q1 223,747 $6,298,680 -$178,079 $28.15 2
2020 Q4 230,073 $6,556,916 -$239,085 $28.50 2
2020 Q3 238,904 $6,486,364 -$178,722 $27.15 3
2020 Q2 245,487 $6,524,391 -$242,098 $26.58 3
2020 Q1 254,596 $6,530,170 -$256,962 $25.65 3
2019 Q4 264,614 $7,488,527 +$1,291,742 $28.30 3
2019 Q3 218,967 $6,134,243 +$56,177 $28.02 3
2019 Q2 216,962 $5,954,284 -$1,524,013 $27.44 3
2019 Q1 272,092 $7,523,200 -$1,488,126 $27.65 5
2018 Q4 327,079 $8,471,875 +$521,294 $25.90 5
2018 Q3 306,953 $8,404,756 -$35,897 $27.38 3
2018 Q2 308,264 $8,440,589 +$6,697,211 $27.38 3
2018 Q1 63,426 $1,777,476 -$254,770 $28.03 3
2017 Q4 72,382 $2,058,869 -$12,484 $28.44 4
2017 Q3 72,792 $2,103,930 -$236,784 $28.90 5
2017 Q2 80,873 $2,370,077 -$380,718 $29.30 6
2017 Q1 94,629 $2,669,701 -$73,614 $28.20 6
2016 Q4 97,243 $2,630,288 +$359,205 $27.04 7
2016 Q3 82,917 $2,440,458 -$351,472 $29.43 4
2016 Q2 95,165 $2,735,648 -$97,775 $28.75 6
2016 Q1 98,795 $2,680,943 +$334,283 $27.14 6
2015 Q4 86,454 $2,402,000 +$348,685 $27.80 5
2015 Q3 105,242 $2,813,926 -$1,179,493 $26.74 6
2015 Q2 149,505 $4,004,661 -$7,164,262 $26.68 7
2015 Q1 408,604 $11,234,600 -$349 $27.50 8
2014 Q4 408,621 $10,873,455 -$1,273,721 $26.61 7
2014 Q3 456,490 $11,899,780 -$298,914 $26.13 6
2014 Q2 469,232 $12,692,000 +$1,576,433 $27.10 6
2014 Q1 411,053 $10,646,000 +$9,092,000 $25.90 4