AAMU
MS icon

Amundi Asset Management US’s Morgan Stanley MS Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2021
Q1
$362M Buy
4,660,064
+23,986
+0.5% +$1.86M 0.28% 81
2020
Q4
$318M Sell
4,636,078
-12,022
-0.3% -$824K 0.27% 87
2020
Q3
$225M Buy
4,648,100
+15,097
+0.3% +$730K 0.24% 92
2020
Q2
$224M Buy
4,633,003
+350,385
+8% +$16.9M 0.27% 80
2020
Q1
$90M Sell
4,282,618
-1,842,243
-30% -$38.7M 0.16% 122
2019
Q4
$313M Buy
6,124,861
+647,228
+12% +$33.1M 0.37% 59
2019
Q3
$234M Sell
5,477,633
-1,801,131
-25% -$76.9M 0.35% 63
2019
Q2
$1.03B Buy
7,278,764
+1,134,651
+18% +$161M 0.84% 25
2019
Q1
$259M Buy
6,144,113
+502,613
+9% +$21.2M 0.36% 61
2018
Q4
$482K Buy
5,641,500
+975,515
+21% +$83.3K 0.44% 34
2018
Q3
$217M Buy
4,665,985
+708,437
+18% +$33M 0.28% 85
2018
Q2
$188M Sell
3,957,548
-1,017,182
-20% -$48.2M 0.27% 90
2018
Q1
$268M Buy
4,974,730
+555,812
+13% +$30M 0.43% 54
2017
Q4
$232M Buy
4,418,918
+3,462,069
+362% +$182M 0.36% 70
2017
Q3
$46.1M Sell
956,849
-3,555
-0.4% -$171K 0.15% 120
2017
Q2
$42.8M Sell
960,404
-8,687
-0.9% -$387K 0.14% 126
2017
Q1
$41.5M Buy
969,091
+148,269
+18% +$6.35M 0.14% 126
2016
Q4
$34.7M Sell
820,822
-312,450
-28% -$13.2M 0.12% 145
2016
Q3
$36.3M Buy
1,133,272
+108,458
+11% +$3.48M 0.13% 140
2016
Q2
$26.6M Sell
1,024,814
-547,522
-35% -$14.2M 0.1% 173
2016
Q1
$39.3M Sell
1,572,336
-3,541,065
-69% -$88.6M 0.15% 123
2015
Q4
$163M Sell
5,113,401
-776,408
-13% -$24.7M 0.61% 51
2015
Q3
$186M Sell
5,889,809
-144,731
-2% -$4.56M 0.76% 29
2015
Q2
$234M Buy
6,034,540
+487,763
+9% +$18.9M 0.86% 22
2015
Q1
$198M Buy
5,546,777
+230,465
+4% +$8.23M 0.71% 30
2014
Q4
$206M Sell
5,316,312
-309,825
-6% -$12M 0.75% 24
2014
Q3
$194M Buy
5,626,137
+549,799
+11% +$19M 0.73% 26
2014
Q2
$164M Sell
5,076,338
-1,128,100
-18% -$36.5M 0.63% 42
2014
Q1
$193M Sell
6,204,438
-10,461
-0.2% -$326K 0.74% 33
2013
Q4
$195M Buy
6,214,899
+628,811
+11% +$19.7M 0.75% 30
2013
Q3
$151M Buy
5,586,088
+1,866,358
+50% +$50.3M 0.61% 45
2013
Q2
$90.9M Buy
+3,719,730
New +$90.9M 0.38% 79