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    SEC Form 11-K filed by Morgan Stanley

    6/26/25 4:18:18 PM ET
    $MS
    Investment Bankers/Brokers/Service
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    11-K 1 dp230460_11k.htm FORM 11-K

     

     

    UNITED STATES

    SECURITIES AND EXCHANGE COMMISSION

    Washington, D.C. 20549

     

    FORM 11-K

     

    FOR ANNUAL REPORTS OF EMPLOYEE STOCK PURCHASE, SAVINGS

    AND SIMILAR PLANS PURSUANT TO SECTION 15(d) OF THE

    SECURITIES EXCHANGE ACT OF 1934

     

    (Mark One)

     

    xANNUAL REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934

     

    For the fiscal year ended December 31, 2024

     

    OR

     

    oTRANSITION REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934

     

    For the transition period from __________________ to __________________

     

    Commission file number 1-11758

     

    A.Full title of the plan and the address of the plan, if different from that of the issuer named below:

     

    Morgan Stanley 401(k) Plan

    c/o Morgan Stanley Benefits Department

    750 Seventh Ave.

    New York, NY 10019

     

    B.Name of the issuer of the securities held pursuant to the plan and the address of its principal executive office:

     

    MORGAN STANLEY

    1585 Broadway

    New York, NY 10036

     

     

     

    SIGNATURES

     

    The Plan. Pursuant to the requirements of the Securities Exchange Act of 1934, the Trustees (or other persons who administer the employee benefit plan) have duly caused this annual report to be signed on its behalf by the undersigned hereunto duly authorized.

     

      Morgan Stanley 401(k) Plan
      (Name of Plan)
       
    Date: June 26, 2025

      By:  /s/ David Stark
        (Signature)
      Name David Stark
      Title:

    Chief Medical Officer and Global Head of Benefits

     

     

     

     

    Morgan Stanley
    401(k) Plan

     

      Employer ID Number: 20-8764829

      Plan Number:  003

     

    Financial Statements at December 31, 2024 and
    2023, and for the Year Ended December 31, 2024,
    Supplemental Schedule at December 31, 2024, and Report of Independent Registered Public Accounting Firm

     

     

     

    MORGAN STANLEY 401(k) PLAN

     

    TABLE OF CONTENTS

     

    Page

     

    REPORT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM 1
       
    FINANCIAL STATEMENTS:  
       
    Statements of Net Assets Available for Benefits at December 31, 2024 and 2023 2
       
    Statement of Changes in Net Assets Available for Benefits for the Year Ended December 31, 2024 3
       
    Notes to Financial Statements at December 31, 2024 and 2023, and for the Year Ended December 31, 2024 4–15
       
    SUPPLEMENTAL SCHEDULE:  
       
    Form 5500, Schedule H, Line 4i — Schedule of Assets (Held at End of Year) at December 31, 2024 16–60
       
    NOTE:All other schedules required by section 2520.103-10 of the Department of Labor’s Rules and Regulations for Reporting and Disclosure under the Employee Retirement Income Security Act of 1974, as amended, have been omitted because they are not applicable.

     

     

     

     

     

    REPORT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM

     

    To the Plan Participants and Plan Administrator of Morgan Stanley 401(k) Plan

     

    Opinion on the Financial Statements

     

    We have audited the accompanying statements of net assets available for benefits of Morgan Stanley 401(k) Plan (the "Plan") as of December 31, 2024 and 2023, the related statement of changes in net assets available for benefits for the year ended December 31, 2024, and the related notes (collectively referred to as the "financial statements"). In our opinion, the financial statements present fairly, in all material respects, the net assets available for benefits of the Plan as of December 31, 2024 and 2023, and the changes in net assets available for benefits for the year ended December 31, 2024, in conformity with accounting principles generally accepted in the United States of America.

     

    Basis for Opinion

     

    These financial statements are the responsibility of the Plan's management. Our responsibility is to express an opinion on the Plan's financial statements based on our audits. We are a public accounting firm registered with the Public Company Accounting Oversight Board (United States) (PCAOB) and are required to be independent with respect to the Plan in accordance with the U.S. federal securities laws and the applicable rules and regulations of the Securities and Exchange Commission and the PCAOB.

     

    We conducted our audits in accordance with the standards of the PCAOB. Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement, whether due to error or fraud. Our audits included performing procedures to assess the risks of material misstatement of the financial statements, whether due to error or fraud, and performing procedures that respond to those risks. Such procedures included examining, on a test basis, evidence regarding the amounts and disclosures in the financial statements. Our audits also included evaluating the accounting principles used and significant estimates made by management, as well as evaluating the overall presentation of the financial statements. We believe that our audits provide a reasonable basis for our opinion.

     

    Report on Supplemental Schedule

     

    The supplemental schedule of assets (held at end of year) as of December 31, 2024 has been subjected to audit procedures performed in conjunction with the audit of the Plan's financial statements. The supplemental schedule is the responsibility of the Plan's management. Our audit procedures included determining whether the supplemental schedule reconciles to the financial statements or the underlying accounting and other records, as applicable, and performing procedures to test the completeness and accuracy of the information presented in the supplemental schedule. In forming our opinion on the supplemental schedule, we evaluated whether the supplemental schedule, including its form and content, is presented in compliance with the Department of Labor's Rules and Regulations for Reporting and Disclosure under the Employee Retirement Income Security Act of 1974. In our opinion, such schedule is fairly stated, in all material respects, in relation to the financial statements as a whole.

     

    /s/ DELOITTE & TOUCHE LLP

     

    New York, New York

     

    June 26, 2025

     

    We have served as the auditor of the Plan since 2022.

     

     

     

    MORGAN STANLEY 401(k) PLAN
     
    STATEMENTS OF NET ASSETS AVAILABLE FOR BENEFITS
    AT DECEMBER 31, 2024 AND 2023

     

     

       2024  2023
    ASSETS:      
       Participant-directed investments, at fair value  $21,589,503,782   $18,638,890,270 
               
       Receivables:          
          Employer contributions   397,705,435    395,458,159 
          Notes receivable from participants   130,367,784    130,654,048 
          Receivables for securities sold and other   63,115,973    70,065,789 
             Total Receivables   591,189,192    596,177,996 
               
                Total Assets   22,180,692,974    19,235,068,266 
               
               
    LIABILITIES:          
          Participant-directed investments, at fair value   23,003,570    28,796,088 
          Payables for securities purchased and other   139,281,040    185,177,858 
               
                Total Liabilities   162,284,610    213,973,946 
               
               
               
    NET ASSETS AVAILABLE FOR BENEFITS  $22,018,408,364   $19,021,094,320 

     

     

    The notes to the financial statements are an integral part of these financial statements.

     

    - 2 -

     

    MORGAN STANLEY 401(k) PLAN
     
    STATEMENT OF CHANGES IN NET ASSETS AVAILABLE FOR BENEFITS
    FOR THE YEAR ENDED DECEMBER 31, 2024

      

     

    ADDITIONS:   
    Net investment income:     
       Appreciation in fair value of investments  $2,949,069,297 
       Dividends and interest   236,316,280 
          Net investment income   3,185,385,577 
          
    Contributions:     
       Employer contributions   397,705,435 
       Participant contributions   833,466,954 
       Rollover contributions   81,596,595 
          Total contributions   1,312,768,984 
          
    Interest income on notes receivable from participants   8,865,722 
          
             Total additions   4,507,020,283 
          
    DEDUCTIONS:     
      Benefits paid to participants   1,492,636,531 
      Administrative fees   17,069,708 
          
             Total deductions   1,509,706,239 
          
    Net increase in net assets available for benefits   2,997,314,044 
          
    NET ASSETS AVAILABLE FOR BENEFITS     
       Beginning of year   19,021,094,320 
          
       End of year  $22,018,408,364 

     

     

    The notes to the financial statements are an integral part of these financial statements. 

    - 3 -

     

    NOTES TO FINANCIAL STATEMENTS

    AT DECEMBER 31, 2024 AND 2023, AND FOR THE YEAR ENDED DECEMBER 31, 2024

     

    1.DESCRIPTION OF THE PLAN

     

    The following summary of the Morgan Stanley 401(k) Plan (the “Plan”) is provided for general information purposes only. Participants should refer to the Plan document for more complete information. Terms used in this description have the same meaning as in the Plan document.

     

    General — The Plan is a profit-sharing plan that includes a “qualified cash or deferred arrangement” as described in Section 401(k) of the Internal Revenue Code of 1986, as amended (the “Code”), and is subject to the provisions of the Employee Retirement Income Security Act of 1974, as amended (“ERISA”). The Plan’s interest in the Morgan Stanley Stock Fund is designated as an employee stock ownership plan within the meaning of Code section 4975(e)(7) to the extent provided in the Plan.

     

    Morgan Stanley Domestic Holdings, LLC, (the “Plan Sponsor”), is a limited liability company wholly-owned by Morgan Stanley Capital Management, LLC, a limited liability company whose sole member is Morgan Stanley (the “Company”). The Plan Sponsor has delegated certain functions to Morgan Stanley Services Group Inc. (“MSSG”), a corporation wholly-owned by the Plan Sponsor. The Company’s Chief Human Resources Officer or his or her delegate (the “Plan Administrator”) has the authority to control and manage the operation and administration of the Plan, make rules and regulations, and take actions to administer the Plan. The Plan Administrator has delegated certain operational and administrative responsibilities to certain employees in the Company’s Human Resources department.

     

    All of the Plan’s investments are held in a trust account at The Northern Trust Company (the “Trustee”).

     

    Eligibility — U.S. benefits-eligible employees, generally defined as full-time, part-time and hourly employees of participating companies, are eligible to participate in the Plan.

     

    Individuals who are (a) classified by a participating company as non-U.S. benefits-eligible workers, interns, summer associates, contingent workers, leased workers, independent contractors or consultants, regardless of whether or not such classification is subsequently upheld for any purpose by a court or federal, state or local administrative authority; (b) covered by a collective bargaining agreement with respect to which a participating company is a party, unless such agreement provides for participation in the Plan; or (c)  Puerto Rico residents, are not eligible to participate in the Plan.

     

    Eligible participants who terminate employment and are later rehired by a participating company may participate in the Plan immediately upon rehire.

     

    Employee Contributions — Eligible participants may elect to contribute before-tax and/or Roth after-tax contributions of 1% to 50% of eligible pay subject to Code limits ($23,000 for 2024). Those participants who have attained at least age 50 by the end of 2024 may elect an additional before-tax or Roth after-tax “Catch-Up Contribution” of 1% to 50% of eligible pay, subject to Code limits ($7,500 for 2024).

     

    - 4 -

     

    Certain eligible participants may also elect to contribute non-Roth after-tax contributions of 1% to 50% of eligible earnings. Participants eligible to make non-Roth after-tax contributions include eligible employees considered to be non-highly compensated employees from the prior plan year. Highly compensated employees from 2023 (employees who earned $277,165.65 or more during 2022) are permitted to elect to contribute non-Roth after-tax contributions of 1% to 9% of eligible earnings during 2024. Participants may also contribute eligible rollover distributions from other qualified retirement plans, excluding other qualified plans sponsored by the Company and its affiliates. All contributions are subject to certain Code limitations.

     

    Company Contributions — In addition to the eligibility requirements for each type of Company Contribution described below, to be eligible for Company Contributions for any given Plan Year, a participant must be actively at work or on an authorized leave of absence on December 31 or, during the year, have terminated employment because of Retirement, Release, Total and Permanent Disability (each as defined by the Plan) or died. Company Contributions are generally credited to participant accounts during the first quarter of the year following the calendar year for which the contribution amounts are determined.

     

    Company Match: For employees (except Senior Advisors and Advisory Directors (or equivalent titles) each as defined in the Plan) with eligible pay of $275,001 or less and who are not eligible to receive a Fixed Contribution (as described below), the Plan-provided Company Match for the year ended December 31, 2024 ( the “2024 Company Match”) was one dollar for each dollar of before-tax and/or Roth after-tax contributions that eligible participants contributed to the Plan, up to a maximum of 5% of eligible pay. For these employees, the maximum 2024 Company Match was $13,750.

     

    For employees with eligible pay of $100,001 or less who are eligible to receive a Fixed Contribution or employees with eligible pay over $275,001, the Plan-provided 2024 Company Match was one dollar for each dollar of before-tax or Roth after-tax contributions that eligible participants contributed to the Plan, up to a maximum of 4% of eligible pay, up to the Code limit of $330,000. For these employees, the maximum 2024 Company Match was $13,200.  

     

    The Company Match is made at the discretion of the Plan Sponsor. The 2024 Company Match contributions were invested according to each participant’s investment elections on file or in a default fund or funds, as selected by the Plan Administrator. The 2024 Company Match was $392,290,569 of which $9,010,409 was covered by forfeitures held by the Plan. The 2023 Company Match was $385,427,965 of which $6,708,369 was covered by forfeitures held by the Plan. Contributions are recorded as Employer contributions receivable on the Company’s balance sheet and are generally paid in the first quarter following the year of accrual.

     

    Fixed Contribution: Eligible employees with annualized base pay and eligible annual pay of $100,001 or less and who are not employed as Financial Advisors, Producing Assistant Branch Managers, Producing Branch Managers, or Producing Sales Managers (or equivalent title), Advisory Directors or Senior Advisors (or equivalent title) at December 31 or who are not classified as Saxon employees of Morgan Stanley’s U.S. Residential Mortgage Business receive a Fixed Contribution of 2% of eligible pay regardless of whether they contribute to the Plan or receive a Company Match. The 2024 Fixed Contribution of $14,425,275 was recorded as Employer contributions receivable at December 31, 2024 and paid in cash by the Company in Q1 2025. The 2023 Fixed Contribution of $16,738,563 was recorded as Employer contributions receivable at December 31, 2023 and paid in cash by the Company in Q1 2024.

     

    Participant Accounts — Individual accounts are maintained for each Plan participant. Each participant’s account is credited with the participant’s contributions, allocations of Company

     

    - 5 -

     

    Contributions and Plan earnings, and charged with an allocation of Plan losses and administrative expenses not otherwise paid by the Plan Sponsor, and reduced by the amount of any benefit payments to such participant. The benefit to which a participant is entitled is the benefit that can be provided from the participant’s vested account.

     

    Investments — Participants direct the investment of their contributions into various investment options offered by the Plan, which are subject to change from time to time. At December 31, 2024, the Plan offered mutual funds, commingled or collective trust funds, an employer stock fund, and separately managed accounts (“Separate Accounts”).

     

    The Plan is intended to meet the requirements of Section 404(c) of ERISA, with the result that participants, and no other fiduciaries, are responsible for the investment of their Plan accounts.

     

    Employer Stock Provisions — The Morgan Stanley Stock Fund is invested primarily in “employer securities” (as defined in the Code), is designated an employee stock ownership plan to the extent provided in the Plan, and is subject to additional plan provisions, including the ability of eligible participants to elect to receive current cash dividend distributions relating to the Morgan Stanley Stock Fund.  

     

    Voting and Tender Rights — Each participant may direct a vote on shares of Company common stock in the Morgan Stanley Stock Fund that are allocated to his or her Plan account. Each participant is to be notified prior to the time that voting rights are to be exercised. Unvoted shares, including shares held in the Plan’s forfeiture account, are to be voted in the same proportion as the total actual votes cast by participants with respect to shares held in the Morgan Stanley Stock Fund for or against the matter under consideration. Similar rules apply to tender or other similar rights appurtenant to Company common stock held in the Morgan Stanley Stock Fund, except that shares for which no tender direction is given by the participant will not be tendered. If there is a tender for less than all shares or if there are more tender directions than can be satisfied, participant shares are to be tendered on a pro rata basis.

     

    Vesting — Participants are vested immediately in their Employee Contributions plus earnings thereon. Generally, participants are vested in any Company Contributions upon the earlier of: (i) completion of three years of service, or (ii) termination of employment due to death, Retirement, Release or Total and Permanent Disability, each as defined by the Plan. There is no partial vesting. A participant is always fully vested in dividends paid with respect to the Morgan Stanley Stock Fund.

     

    Other — Certain reservists and persons who provide military service are entitled to additional rights under the Plan. Additional rules apply in the event that the Plan becomes top-heavy as described in the Code.

     

    Forfeitures — The unvested portion of a participant’s account may be forfeited on termination of such participant’s employment for specified reasons. Forfeitures are used to reduce the year-end Company Contributions and pay certain Plan expenses.

     

    Notes Receivable from Participants — Generally, a participant may borrow a total of up to the lesser of $50,000 or 50% of his/her vested Plan account. A participant may have a maximum of two outstanding loans at a time.

     

    Payment of Benefits — Participants may elect to receive all or a portion of their vested account balance following termination of employment.

     

    - 6 -

     

    Participants may withdraw any vested amount allocated to their accounts while in service after attaining age 59-1/2. In the event of a hardship (as defined in the Plan), participants regardless of age may withdraw their vested Employee and Company Contributions to the extent permitted by the Plan. Voluntary Employee Contributions made before 1984 and after-tax Employee Contributions made after 1983 also may be withdrawn in service without regard to the participant’s age, subject to Plan terms. Payments are made in cash and/or in-kind in shares of Morgan Stanley stock at the direction of the participant. There is no limit on the number of non-hardship withdrawals.

     

    To the extent a participant elects to receive his or her vested interest in the Morgan Stanley Stock Fund in-kind, shares are recorded electronically in book entry form on the records of the Company’s transfer agent, Broadridge Corporate Issuer Solutions, LLC.  

     

    Plan Termination — Although it has not expressed any intent to do so, the Plan Sponsor (or its delegate, MSSG) has the right under the Plan to terminate the Plan subject to the provisions of ERISA. In such event, participants become fully vested in any Company Contributions to the extent required by the Code.

     

    2.SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES

     

    Basis of Accounting — The Plan’s financial statements have been prepared in accordance with accounting principles generally accepted in the United States of America.

     

    Use of Estimates — The preparation of financial statements requires Plan management to make estimates and assumptions regarding the valuation of certain financial instruments that affect the reported amounts of net assets available for benefits and changes therein. Actual results could differ from the estimates and assumptions used.

     

    Administrative Expenses — Administrative expenses of the Plan are paid by the Plan, unless paid by the Plan Sponsor, as provided in the Plan document. The Plan Sponsor is under no obligation to pay the Plan’s administrative expenses. Participants pay administrative costs for loans, distributions and qualified domestic relation orders.

     

    All investment management and transaction fees directly related to the Plan’s investments are paid by the Plan. Management fees and operating expenses charged to the Plan for investments are deducted from income earned on a daily basis and are not separately reflected. Consequently, investment management fees and operating expenses are reflected as a reduction of investment return for such investments.

     

    Payment of Benefits — Benefit payments to participants are recorded upon distribution. Amounts allocated to participants who elected to withdraw from the Plan during the year ended December 31, 2024 generally were paid prior to the year end. Amounts requested in the Plan Year but paid subsequent to the Plan Year were not significant.

     

    Risks and Uncertainties — The Plan utilizes various investments and derivative instruments. Investments and derivatives, in general, are exposed to various risks, such as interest rate, market liquidity and credit risks, as well as overall market volatility. Market risks include global events which could impact the value of investment securities, such as global pandemics or international conflict. Due to the level of risk associated with certain investments and the sensitivity of certain fair value estimates to changes in valuation assumptions, it is reasonably possible that changes in the value of investments will occur in the near term and that such changes could materially affect participants’ account balances and the amounts reported in the financial statements.

     

    - 7 -

     

    Included in investments at December 31, 2024 are shares of the Company’s common stock, which represent fifteen percent of participant-directed investments at December 31, 2024. A significant decline in the market value of the Company’s stock would significantly affect the net assets available for benefits.

     

    Investment Valuation and Income Recognition — Purchases and sales of securities are recorded on a trade-date basis. Interest income is recorded on an accrual basis. The cost of Plan investments is based on the average cost method for individual securities. Dividends are recorded on the ex-dividend date. Realized and unrealized gains and losses on investments are reflected in Net investment income/loss—Net appreciation/depreciation in fair value of investments.

     

    The Plan’s investments and derivative instruments are measured at fair value. Fair value is defined as the price that would be received to sell an asset or paid to transfer a liability (i.e., the “exit price”) in an orderly transaction between market participants at the measurement date (see Note 6).

     

    In determining fair value, the Plan uses various valuation approaches and establishes a hierarchy for inputs used in measuring fair value that requires the most observable inputs be used when available.

     

    Observable inputs are inputs that market participants would use in pricing the asset or liability that were developed based on market data obtained from sources independent of the Plan. Unobservable inputs are inputs that reflect assumptions the Plan believes other market participants would use in pricing the asset or liability that are developed based on the best information available in the circumstances. The fair value hierarchy has three levels based on the observability of inputs as follows, with Level 1 being the highest and Level 3 being the lowest level:

     

    Level 1. Valuations based on quoted prices in active markets that the Plan has the ability to access for identical assets or liabilities. Valuation adjustments, block discounts and discounts for entity-specific restrictions that would not transfer to market participants are not applied to Level 1 instruments. Since valuations are based on quoted prices that are readily and regularly available in an active market, valuation of these investments does not entail a significant degree of judgment.

     

    Level 2. Valuations based on quoted prices for similar assets or liabilities in active markets, quoted prices for identical or similar assets or liabilities in inactive markets, significant market inputs other than quoted prices that are observable for the asset or liability, or market-corroborated inputs.

     

    Level 3. Valuations based on inputs that are unobservable and significant to the overall fair value measurement.

     

    The availability of observable inputs can vary from investment to investment and is affected by a wide variety of factors, including the type of investment, whether the investment is new and not yet established in the marketplace, the liquidity of markets and other characteristics particular to the investment. To the extent that valuation is based on models or inputs that are less observable or unobservable in the market, the determination of fair value requires more judgment. Accordingly, the degree of judgment exercised by the Plan in determining fair value is greatest for instruments categorized in Level 3 of the fair value hierarchy.

     

    The Plan considers prices and inputs that are current as of the measurement date, including during periods of market dislocation. In periods of market dislocation, the observability of prices and inputs may be reduced for many instruments. This condition could cause an instrument to be reclassified from Level 1 to Level 2, or from Level 2 to Level 3 of the fair value hierarchy.

     

    - 8 -

     

    In certain cases, the inputs used to measure fair value may fall into different levels of the fair value hierarchy. In such cases, the total fair value amount is disclosed in the level appropriate for the lowest level input that is significant to the total fair value of the asset or liability.

     

    Notes Receivable from Participants — Notes receivable from participants are measured at their unpaid principal balance plus accrued interest. Principal and interest are repaid semi-monthly and any delinquent payments at December 31, 2024 and 2023 were not significant. Based on the terms of the Plan document, delinquent participant loans are recorded as distributions when a distributable event occurs.

     

    3.DERIVATIVE INSTRUMENTS AND REPURCHASE AGREEMENTS

     

    Derivative instruments are permitted in the Plan’s Separate Account portfolios only to the extent that they comply with all of the Plan’s policy guidelines and are consistent with the Plan’s risk and return objectives. In addition, derivative instruments may be used only if they are deemed to be more attractive than a similar direct investment in the underlying cash market, or if the investment vehicle is being used to manage the risk of the portfolio. Any use of derivative instruments may not result in exposure of the Plan to investment sectors that are otherwise prohibited under the investment guidelines.

     

    The investment guidelines established with each Separate Account manager for the Plan set forth the guidelines for the commitments that an investment manager may make with respect to derivative instruments. Within the scope of the investment guidelines, the Plan may be invested in futures, options, swaps, and forwards.

     

    Market risk arises from adverse changes in the fair value of these contracts.

     

    Futures and options — The Plan held certain fixed income future and option contracts, and cash and cash equivalents in Separate Accounts at December 31, 2024 and 2023. When the investment manager purchases or writes an option, an amount equal to the premium paid or received by the Plan is recorded as an asset or liability and is subsequently adjusted to the current market value of the option written or purchased. The fair value of these investments at December 31, 2024 and 2023 was not significant and the changes in fair value are accounted for as part of Net appreciation/depreciation in fair value of investments in the Statement of changes in net assets available for benefits.  

     

    Swaps — At December 31, 2024 and 2023, the investment assets held by the Plan included positions in interest rate swaps, credit default swaps, overnight index swaps, and inflation swaps. Under the investment managers’ standard International Swap and Derivatives Association agreements, counterparty risk is limited by provisions which allow for the mutual exchange of collateral should a swap’s market value exceed $250,000. Further, the investment managers are instructed to restrict trading to only those counterparties with the largest capitalization and highest credit ratings in the industry. Investment manager policy is to execute swaps only with counterparties whose credit rating is A-/A3 or better, unless otherwise approved by the Plan. These assets were held in Separate Accounts at December 31, 2024 and 2023. The fair value of these investments at December 31, 2024 and 2023 was not significant and the changes in fair value are accounted for as part of Net appreciation/depreciation in fair value of investments in the Statement of changes in net assets available for benefits.

     

    Forwards — The Plan may enter into forward foreign currency contracts in order to hedge certain foreign currency denominated investments. Forward foreign currency commitments are generally entered into with counterparties of high credit quality; therefore, the risk of nonperformance by the

     

    - 9 -

     

    counterparties is considered negligible. Additionally, the Plan’s investment guidelines require that the forward foreign currency contracts be restricted in their application and used for economic hedging purposes. The Plan held positions in forward foreign currency contracts in Separate Accounts at December 31, 2024 and 2023. The fair value of these investments at December 31, 2024 and 2023 was not significant and the changes in fair value are accounted for as part of Net appreciation/depreciation in fair value of investments in the Statement of changes in net assets available for benefits.

     

    Securities sold under agreements to repurchase (“repurchase agreements”) — The Plan held positions in repurchase agreements in Separate Accounts at December 31, 2024. The changes in fair value are accounted for as part of Net appreciation/depreciation in fair value of investments in the Statement of changes in net assets available for benefits.

     

    4.related PARTY and EXEMPT party-IN-INTEREST TRANSACTIONS

     

    Parties-in-interest include Plan fiduciaries, employees, participant employers and service providers, certain owners and certain relatives of such individuals, as defined by ERISA.

     

    There were a range of investment options available in the Plan at December 31, 2024 and 2023, of which one was managed by Morgan Stanley Investment Management (“MSIM”) and was removed as an option during 2024 and one was an employer stock fund (Morgan Stanley Stock Fund). All party-in-interest investments are in the Morgan Stanley Stock Fund, the fund managed by MSIM, an affiliate of the Plan Sponsor, and funds issued by Northern Trust, Principal, PIMCO, Blackrock, JPMorgan Chase Bank, N.A., T. Rowe Price, Artisan Partners, Fidelity Institutional Asset Management, Shenkman, Thompson, Siegel & Walmsley, Wellington Trust Company, N.A., State Street Global Advisors, Weatherbie Capital LLC, Westwood Management Corp., Westfield Capital Management Company, and William Blair Investment Management, LLC.

     

    The Plan has a revenue-sharing agreement whereby Northern Trust, as fund manager of the Northern Trust Sustainability Index Fund, returns a portion of the investment fees to the recordkeeper to offset the Plan’s administrative expenses. Revenue-sharing activity of this fund was not significant.

     

    Investments in and gain or losses related to common stock and funds issued by Morgan Stanley or its affiliate, MSIM, and notes receivables from participants are as follows:      

     

    - 10 -

     

     

    Investments and receivables held by the Plan

     

     

       At
    December 31, 2024
      At
    December 31, 2023
      Year Ended
    December 31, 2024
    Morgan Stanley common stock         
    Number of shares held   26,058,267    28,556,594    n/a 
    Fair value of shares held  $3,276,045,327   $2,662,902,391    n/a 
    Net realized gain   n/a    n/a   $204,037,977 
    Dividend income   n/a    n/a   $97,727,798 
                    
    Investments in a Registered Investment Company issued by MSIM               
    Fair value of shares held  $—   $1,379,437,845    n/a 
    Net realized loss   n/a    n/a   $(347,042,687)
                    
    Notes receivable from participants               
    Participant loans  $130,367,784   $130,654,048    n/a 
    Interest income   n/a    n/a   $8,865,722 

     

     

    Eligible participants of the Morgan Stanley Stock Fund may elect to receive current cash payment of dividends paid on the Morgan Stanley Stock Fund within the Plan, to the extent provided in the Plan.

     

    Certain officers and employees of the Plan Sponsor (who may also be participants in the Plan) perform administrative services related to the operation, record keeping and financial reporting of the Plan. The Plan Sponsor pays these individuals’ salaries and other administrative expenses on behalf of the Plan. Certain fees, including fees for the investment management services, to the extent not paid by the Plan Sponsor, are paid by the Plan. All direct and indirect fees paid by the Plan are considered party-in-interest transactions.

     

    5.FEDERAL INCOME TAX STATUS

     

    The Internal Revenue Service determined and informed the Plan Sponsor by a letter dated May 22, 2018, that the Plan and its related Trust continue to be designed in accordance with the applicable provisions of the Code. The Plan has been amended since receiving this letter; however, the Plan Sponsor and the Plan Administrator believe the Plan is currently designed and operated in compliance with the applicable requirements of the Code.

     

    The Plan Sponsor has analyzed the tax positions taken by the Plan, and has concluded that at December 31, 2024 and 2023, there are no uncertain tax positions taken by the Plan that would require recognition of a liability (or asset) or disclosure in the financial statements. The Plan is subject to routine audits by taxing jurisdictions; however, there are currently no audits of the Plan for any tax periods in progress. The Plan Sponsor believes the Plan is no longer subject to income tax examinations for years prior to 2017.

     

    - 11 -

     

    6.FAIR VALUE MEASUREMENTS

     

    The following descriptions of the valuation methods and assumptions used by the Plan to determine the fair values of investments apply to investments held directly by the Plan.

     

    Registered Investment Companies (“mutual funds”) — Mutual funds are registered with the Securities and Exchange Commission and are intended to meet the requirements of the Investment Company Act of 1940 with respect to income distribution, fee structure, and diversification of assets. Mutual funds are generally marked to quoted prices and are categorized in Level 1 of the fair value hierarchy if based upon prices which are observable in an active market. The Plan generally prohibits the sale of these investment options within 30 days of a purchase into that investment option.

     

    Morgan Stanley Stock Fund (the “Fund”) — The Plan holds investments in the Fund holding Morgan Stanley common stock and containing a short-term investment fund to facilitate participant transactions into and out of the Fund. The Company has specific rules that govern employee transactions in Morgan Stanley stock. Employees may transact in Morgan Stanley stock (including the Fund) only during a window period designated by the Company. Shorter window periods and prior approval requirements apply to those employees deemed Access Persons (as defined in the Company’s employee trading policy) by the Company. Access Persons who are members of the Company’s Management or Operating Committees are prohibited from selling the Fund within six months of a purchase.

     

    Separate Accounts — The Separate Accounts are professionally managed portfolios held by the Plan. The participants share in the appreciation and depreciation in proportion to their contribution to the Separate Account. Separate Accounts are administered and supervised by investment managers who decide how to invest funds contributed by investors, subject to written investment guidelines. The Plan generally prohibits the sale of these investment options within 30 days of a purchase into that investment option.

     

    A description of the valuation methods and assumptions applied to the major categories of the Fund and the Separate Accounts are as follows:

     

    Corporate equities

    Corporate equities, including Morgan Stanley common stock, are exchange-traded equity securities that are generally valued based on quoted prices from the exchange. To the extent these securities are actively traded, valuation adjustments are not applied. Unlisted equity securities are generally valued based on an assessment of each security, considering rounds of financing and third-party transactions, discounted cash flow analyses and market-based information, including comparable transactions, trading multiples and changes in market outlook, among other factors. Listed fund units are generally marked to the exchange-traded price if actively traded, or to NAV if not. Unlisted fund units are generally marked to NAV. Corporate equities are generally categorized in Level 1 of the fair value hierarchy. Stapled securities, consisting of two or more corporate equity securities that are contractually bound to form a single salable unit that cannot be bought or sold separately, are categorized in Level 2 of the fair value hierarchy. Corporate equities are classified as Level 3 if not actively traded, inputs are unobservable or if undergoing an aged merger or acquisition event or corporate action.

     

    - 12 -

     

    Cash and cash equivalents

    Cash and cash equivalents are valued at cost, which approximates fair value and are generally categorized in Level 1 of the fair value hierarchy. Commercial Papers are categorized in Level 2 of the fair value hierarchy.

     

    Government and agency securities

    Government and agency securities are valued using factors which include but are not limited to market quotations, yields, maturities, and the bond’s terms and conditions. U.S. Treasury securities and U.S. Index Linked Government Bonds, valued using quoted market prices, are categorized in Level 1 of the fair value hierarchy. Non-U.S. index-linked securities are generally categorized in Level 1 of the fair value hierarchy. Callable agency-issued debt securities are valued by benchmarking model-derived prices to quoted market prices and trade data for comparable instruments. The fair value of agency mortgage pass-through pool securities is model driven based on spreads of a comparable to be announced security. The fair value of state and municipal securities is determined using recently executed transactions, market price quotations or pricing models that factor in, where applicable, interest rates, bond or credit default swap spreads and volatility. Callable agency-issued debt securities, agency mortgage pass-through pool securities, and state and municipal government securities are generally categorized in Level 2 of the fair value hierarchy.

     

    Corporate debt instruments

    Corporate debt instruments are composed of corporate bonds, corporate loans, and asset-backed securities. Corporate bonds and corporate loans are valued using factors which include but are not limited to recently executed transactions, market price quotations and spreads. Asset-backed securities may be valued based on price or spread data obtained from observed transactions or independent external parties such as vendors or brokers. When position-specific external price data are not observable, the fair value determination may require benchmarking to similar securities. For index linked securities, the market price is adjusted daily by the appropriate index factor. Corporate debt instruments are generally categorized in Level 2 of the fair value hierarchy. Corporate debt instruments are classified as Level 3 if not actively traded or if inputs are unobservable.

     

    Derivative instruments

    Depending on the investment and terms of the transaction, the fair value of over-the-counter (“OTC”) derivative investments can be either observed or modeled using a series of techniques and model inputs from comparable benchmarks, including closed-form analytic formulas, such as the Black-Scholes option-pricing model, and simulation models or a combination thereof. Many pricing models do not entail material subjectivity as the methodologies employed do not necessitate significant judgment, since model inputs may be observed from actively quoted markets, as is the case for generic interest rate swaps and certain option contracts. Interest rate swaps are valued using observable inputs. Listed derivatives that are not actively traded are valued using the same approaches as those applied to OTC derivatives. Derivative instruments are categorized in Level 2 of the fair value hierarchy, except for cash collateral related to the derivative instruments, which are valued at carrying value and categorized in Level 1.

     

    Repurchase agreements

    The fair value of repurchase agreements is computed using a standard cash flow discounting methodology. The inputs to the valuation include contractual cash flows and collateral funding spreads which are estimated using various benchmarks, interest rate yield curves and option volatilities. Repurchase agreements are categorized in Level 2 of the fair value hierarchy.

     

    Collective Trust Funds — Each investment is administered and supervised by its respective investment manager who decides how to invest the contributed funds. The Collective Trust Funds do not have a readily determinable

     

    - 13 -

     

    fair value. The fair values of participating units held in the Collective Trust Funds are valued at NAVs as a practical expedient. Terms of the applicable Collective Trust Fund Agreements and/or Investment Management Agreements permit the termination of the agreement and the receipt of the fund securities at fair value within 30 days. There were no unfunded commitments and no restricted redemption notice periods. Other than certain funds managed by State Street Global Advisors and BlackRock, Inc., from which the Plan does not restrict the frequency of redemptions, the Plan generally prohibits the sale of the Collective Trust Fund investment options within 30 days of a purchase into that investment option.

     

        Plan's Investment Assets and Liabilities at Fair Value at December 31, 2024
        Quoted Prices in Active Markets for Identical Assets   Significant Other Observable Inputs   Significant Unobservable Inputs    
                     
        Level 1   Level 2   Level 3   Total
    Investment Assets:              
                     
    Registered Investment Companies 78,829,907   —   —   78,829,907
                     
    Separately Managed Accounts              
      Corporate equities 6,134,331,011   —   237,475   6,134,568,486
      Cash and cash equivalents 3,329,031   4,294,246   —   7,623,277
      Government and agency securities

     

       

      U.S. Treasury and agency securities 869,592,096   284,877,550   —   1,154,469,646
      Other sovereign government obligations 8,643,551   1,487,796   —   10,131,347
      Total Government and agency securities  878,235,647    286,365,346    —    1,164,600,993
      Corporate debt instruments —   171,927,434   —   171,927,434
      Derivative instruments 18,583,234   8,496,358   —   27,079,592
      Repurchase agreements —   570,000,000   —   570,000,000
        7,034,478,923    1,041,083,384    237,475    8,075,799,782
                     
    Collective Trust Funds *             13,434,874,093
                     
    Participant-directed investments             21,589,503,782
                     
    Investment Liabilities:              
    Separately Managed Accounts              
      Derivative instruments 19,256,791    3,746,779   —   23, 003,570
    Participant-directed investments  19,256,791   3,746,779   —   23,003,570

     

     

    *Amounts represent certain investments that are measured at fair value using the NAV per share, which are not classified in the fair value hierarchy. The fair value amounts presented in this table are intended to permit reconciliation of the fair value hierarchy to the participant-directed investments presented in the Statement of net assets available for benefits.

     

    - 14 -

     

    Other receivables and other payables are valued at their carrying value, which approximates fair value. Level 3 assets reflect positions held prior to 2022 subject to sanctions as a result of the expansion or escalation of hostilities between Russia and Ukraine.

     

        Plan's Investment Assets and Liabilities at Fair Value at December 31, 2023
        Quoted Prices in Active Markets for Identical Assets   Significant Other Observable Inputs   Significant Unobservable Inputs    
                     
        Level 1   Level 2   Level 3   Total
    Investment Assets:              
     

                 
    Registered Investment Companies

      1,563,563,790                       -                 -       1,563,563,790
                     
    Separately Managed Accounts

                 
      Corporate equities   5,280,630,210                       -     1,505,745       5,282,135,955
      Cash and cash equivalents         4,721,804           2,676,723                 -             7,398,527
      Government and agency securities              
      U.S. Treasury and agency securities      799,048,611       531,855,877                 -       1,330,904,488
      Other sovereign government obligations        13,064,888           2,712,094                 -           15,776,982
      State and municipal securities                      -           3,605,644                 -             3,605,644
      Total Government and agency securities       812,113,499       538,173,615                 -       1,350,287,114
      Corporate debt instruments                      -       297,878,593       400,645         298,279,238
      Derivative instruments        20,088,684         11,084,147                 -           31,172,831
      Repurchase agreements                      -       638,000,000                 -         638,000,000
     

      6,117,554,197     1,487,813,078     1,906,390       7,607,273,665
                     
    Collective Trust Funds *

                    9,468,052,815
                     
    Participant-directed investments

                  18,638,890,270
                     
    Investment Liabilities:

                 
    Separately Managed Accounts              
      Derivative instruments        23,614,002           5,182,086                 -           28,796,088
    Participant-directed investments        23,614,002           5,182,086                 -           28,796,088

     

     

    *Amounts represent certain investments that are measured at fair value using the NAV per share, which are not classified in the fair value hierarchy. The fair value amounts presented in this table are intended to permit reconciliation of the fair value hierarchy to the participant-directed investments presented in the Statement of net assets available for benefits.

     

     

    7.SuBSEQUENT EVENTS

     

    The Plan has evaluated subsequent events for adjustment to or disclosure in these financial statements through the date of this report and has not identified any recordable or disclosable events not otherwise reported in these financial statements or the notes thereto.

     

    - 15 -

     

    SUPPLEMENTAL SCHEDULE

     

    - 16 -

     

     

    MORGAN STANLEY 401(k) PLAN
    Plan Number 003,     Employer Identification Number 20-8764829
    FORM 5500, SCHEDULE H, LINE 4i — 
    SCHEDULE OF ASSETS (HELD AT END OF YEAR)
    AT DECEMBER 31, 2024

     

     

             
      (b) (c)  (d)      Current   
    (a) Identity of Issuer Description of Investment  Cost**      Value  
      Registered Investment Companies        
    * Pax Pax Global Environmental Markets Fund                                 46,815,800
    * PIMCO PIMCO International Bond Fund (Unhedged)                                 32,014,107
        Registered Investment Companies Total                              78,829,908
      Corporate Equities        
      #Reorg/Retail Merger 02-12-2025 65,262 Shares of Common Stock                                   1,132,948
      3I Group Ord  49,014 Shares of Common Stock                                   2,187,766
      5Th 3Rd Bancorp Com 214,438 Shares of Common Stock                                   9,066,439
      Aalberts Nv                            15,084 Shares of Common Stock                                      536,373
      Aar Corp Com 46,126 Shares of Common Stock                                   2,826,601
      Aar Corp Com 78,353 Shares of Common Stock                                   4,801,472
      Academy Sports & Outdoors Inc Com 81,964 Shares of Common Stock                                   4,715,389
      Acadia Pharmaceuticals Inc Com 288,932 Shares of Common Stock                                   5,301,902
      Accenture Plc Cls A 51,602 Shares of Common Stock                                 18,153,068
      Accor Sa  46,885 Shares of Common Stock                                   2,283,765
      Acerinox Sa  38,400 Shares of Common Stock                                      375,762
      Adobe Inc Com 6,800 Shares of Common Stock                                   3,023,824
      Adr Anheuser Busch Inbev Sa/Nv Sponsoredadr 18,371 Shares of Common Stock                                      919,836
      Adr Argenx Se Sponsored Ads 10,057 Shares of Common Stock                                   6,185,055
      Adr Ascendis Pharma A/S Sponsored Adr 83,880 Shares of Common Stock                                 11,547,760
      Adr Astrazeneca Plc Sponsored Adr Unitedkingdom 125,221 Shares of Common Stock                                   8,204,480
      Adr Cemex Sab De Cv 288,170 Shares of Common Stock                                   1,625,279
      Adr Legend Biotech Corp  Spon Ads Each Rep 2 Ord Shs 123,750 Shares of Common Stock                                   4,026,825
      Adr Novo-Nordisk A S Adr 10,763 Shares of Common Stock                                      925,833
      Adr Tencent Music Entmt Group Ads 172,407 Shares of Common Stock                                   1,956,819
      Adr Totalenergies Se Sponsored Adr 211,028 Shares of Common Stock                                 11,501,026
      Advance Res Inv Reit 235 Shares of Common Stock                                      437,223
      Aena Sme S.A. 144A                        19,387 Shares of Common Stock                                   3,962,852
      Aeon Delight Co.Ltd. Npv 19,046 Shares of Common Stock                                      526,564
      Agco Corp Com 135,501 Shares of Common Stock                                 12,666,633
      Agilysys Inc Com Stk 34,584 Shares of Common Stock                                   4,555,059
      Air Liquide(L')  41,233 Shares of Common Stock                                   6,699,978
      Alamo Group Inc Com 24,731 Shares of Common Stock                                   4,597,740
      Allianz Se Npv(Regd)(Vinkuliert) 13,977 Shares of Common Stock                                   4,282,615
      Allied Props Real Trust Units 56,688 Shares of Common Stock                                      675,983
      Ally Finl Inc Com 71,500 Shares of Common Stock                                   2,574,715
      Alnylam Pharmaceuticals Inc Com 22,860 Shares of Common Stock                                   5,379,187
      Altarea Reit 2,794 Shares of Common Stock                                      278,903
      Alten Npv 5,555 Shares of Common Stock                                      454,712
      Amazon Com Inc Com 30,115 Shares of Common Stock                                   6,606,930
      Amentum Hldgs Inc Com 142,400 Shares of Common Stock                                   2,994,672
      Ameren Corp Com 255,510 Shares of Common Stock                                 22,776,161
      American Healthcare Reit Inc Com 40,609 Shares of Common Stock                                   1,154,108
      American Homes 4 Rent Common Stock 81,587 Shares of Common Stock                                   3,052,986
      American International Group Inc Com 253,562 Shares of Common Stock                                 18,459,314
      American Tower Corp 8,210 Shares of Common Stock                                   1,505,796
               
               (continued) 

     

    - 17 -

     

     

    MORGAN STANLEY 401(k) PLAN
    Plan Number 003,     Employer Identification Number 20-8764829
    FORM 5500, SCHEDULE H, LINE 4i — 
    SCHEDULE OF ASSETS (HELD AT END OF YEAR)
    AT DECEMBER 31, 2024

     

     

               (e) 
      (b) (c)  (d)      Current   
    (a) Identity of Issuer Description of Investment  Cost**      Value  
      Corporate Equities (continued)        
      Americold Rlty Tr Inc Com 68,477 Shares of Common Stock                                   1,465,408
      Amerisafe Inc Com 48,759 Shares of Common Stock                                   2,513,039
      Ametek Inc New Com 39,590 Shares of Common Stock                                   7,136,493
      Amorepacific Group  23,119 Shares of Common Stock                                      326,648
      Amotiv Limited Npv 82,415 Shares of Common Stock                                      540,889
      Anheuser-Busch Inb Npv 42,722 Shares of Common Stock                                   2,134,514
      Ansell Npv 36,538 Shares of Common Stock                                      765,093
      Aon Plc 16,309 Shares of Common Stock                                   5,857,540
      Applovin Corp Com Cl A Com Cl A 38,000 Shares of Common Stock                                 12,305,540
      Arcbest Corp Com  51,002 Shares of Common Stock                                   4,759,507
      Archer-Daniels-Midland Co Com 96,800 Shares of Common Stock                                   4,890,336
      Arclands Corp Npv 33,214 Shares of Common Stock                                      358,431
      Ares Management Lp  Com Shs Repstg Ltd Partner 51,980 Shares of Common Stock                                   9,202,019
      Argan  4,401 Shares of Common Stock                                      275,713
      Argen X Se 3,990 Shares of Common Stock                                   2,478,987
      Arjo Ab Ser'B'Npv 70,647 Shares of Common Stock                                      231,840
      As One Corporation Npv 32,889 Shares of Common Stock                                      554,777
      Askul Corp Npv 29,376 Shares of Common Stock                                      314,770
      Asmpt Ltd  66,395 Shares of Common Stock                                      640,193
      Atea Asa Nok10 51,867 Shares of Common Stock                                      645,749
      Atlantic Un Bankshares Corp Com 126,207 Shares of Common Stock                                   4,780,721
      Atlassian Corp Cl A 42,750 Shares of Common Stock                                 10,404,495
      Austria Tech Systemtechnik 11,857 Shares of Common Stock                                      148,686
      Avalonbay Cmntys Reit 21,095 Shares of Common Stock                                   4,640,267
      Avanos Med Inc Com 98,155 Shares of Common Stock                                   1,562,628
      Avanza Bank Hldg Npv 32,814 Shares of Common Stock                                      810,457
      Avista Corp Com  97,374 Shares of Common Stock                                   3,566,810
      Axa Sa  67,244 Shares of Common Stock                                   2,389,742
      Axon Enterprise Inc Com 32,060 Shares of Common Stock                                 19,053,899
      Azbil Corp Npv 79,200 Shares of Common Stock                                      618,593
      Az-Com Maruwa Hldg Npv 55,986 Shares of Common Stock                                      395,422
      Azelis Group Nv Npv 26,717 Shares of Common Stock                                      525,644
      Azz Inc Com 41,629 Shares of Common Stock                                   3,410,248
      B & M European Value Retail Sa Ord  110,821 Shares of Common Stock                                      509,367
      Banca Generali  27,320 Shares of Common Stock                                   1,269,083
      Banco Actinver Sa Cbfi (Prologis) 81,414 Shares of Common Stock                                      226,747
      Banco Bpm Npv 88,637 Shares of Common Stock                                      717,014
      Bank Nt Butterfield Com Bmd1(Post Rev   Split) 67,032 Shares of Common Stock                                   2,450,020
      Bank Of America Corp 764,679 Shares of Common Stock                                 33,607,642
      Bankinter Sa  74,386 Shares of Common Stock                                      588,484
      Banner Corp Com New Com New 41,869 Shares of Common Stock                                   2,795,593
      Baxter Intl Inc Com 168,300 Shares of Common Stock                                   4,907,628
      Baxter Intl Inc Com 386,468 Shares of Common Stock                                 11,269,407
      Baycurrent Inc Npv 22,256 Shares of Common Stock                                      753,385
      Be Semiconductor Industries Nv  3,852 Shares of Common Stock                                      527,711
               
               (continued) 

     

     

    - 18 -

     

    MORGAN STANLEY 401(k) PLAN
    Plan Number 003,     Employer Identification Number 20-8764829
    FORM 5500, SCHEDULE H, LINE 4i — 
    SCHEDULE OF ASSETS (HELD AT END OF YEAR)
    AT DECEMBER 31, 2024

     

     

                (e)  
      (b) (c)  (d)      Current   
    (a) Identity of Issuer Description of Investment  Cost**      Value  
      Corporate Equities (continued)        
      Beazley Plc (Uk) Ord 87,072 Shares of Common Stock                                      890,385
      Becton Dickinson & Co Com 115,643 Shares of Common Stock                                 26,235,927
      Bff Bank S.P.A. 208,929 Shares of Common Stock                                   1,990,383
      Big Yellow Group (Placing) Ord  37,854 Shares of Common Stock                                      455,120
      Bilfinger Se              14,461 Shares of Common Stock                                      692,564
      Binggrae Krw5000 10,350 Shares of Common Stock                                      572,285
      Bio Rad Laboratories Inc Cl A Cl A 10,700 Shares of Common Stock                                   3,515,057
      Biogen Inc Common Stock 29,900 Shares of Common Stock                                   4,572,308
      Blackline Inc Com 38,941 Shares of Common Stock                                   2,366,055
      Block Inc 82,100 Shares of Common Stock                                   6,977,679
      Blue Bird Corp Com 111,716 Shares of Common Stock                                   4,315,589
      Bnp Paribas Eur2 36,173 Shares of Common Stock                                   2,218,212
      Boeing Co Com 45,452 Shares of Common Stock                                   8,045,004
      Boise Cascade Co Com 37,115 Shares of Common Stock                                   4,411,489
      Boot Barn Hldgs Inc Com 15,961 Shares of Common Stock                                   2,423,199
      Booz Allen Hamilton Hldg Corp Cl A Com  Stk 29,640 Shares of Common Stock                                   3,814,668
      Bqe Cant Vaudoise Chf1 (Regd) 6,294 Shares of Common Stock                                      579,916
      Brembo N.V. Npv 58,358 Shares of Common Stock                                      549,487
      Bristol Myers Squibb Co Com 322,049 Shares of Common Stock                                 18,215,091
      British American Tobacco Ord Gbp0.25 143,833 Shares of Common Stock                                   5,187,930
      Broadstone Net Lease Inc Com          68,530 Shares of Common Stock                                   1,086,886
      Bucher Industries  (Regd) 2,074 Shares of Common Stock                                      746,068
      Bureau Veritas Eur0.12 48,802 Shares of Common Stock                                   1,482,681
      C&C Group Ord  (Cdi) 390,003 Shares of Common Stock                                      713,122
      Cadre Hldgs Inc Com 72,400 Shares of Common Stock                                   2,338,520
      Casella Waste Sys Inc Cl A Com Stk 81,877 Shares of Common Stock                                   8,663,405
      Cdl Hospitality Tr Npv Stapled Units 767,254 Shares of Stapled Securities                                      483,682
      Cdn Apartment Prop Trust Units 30,738 Shares of Common Stock                                      911,112
      Cdn Pac Kans Cy Com Npv 80,185 Shares of Common Stock                                   5,802,847
      Ceco Environmental Corp Com 22,655 Shares of Common Stock                                      684,861
      Cellnex Telecom Sa 26,460 Shares of Common Stock                                      835,954
      Cent Garden & Pet Co Cl A 72,204 Shares of Common Stock                                   2,386,342
      Centene Corp Del Com 68,834 Shares of Common Stock                                   4,169,964
      Century Cmntys Inc Com 60,845 Shares of Common Stock                                   4,463,589
      Cf Inds Hldgs Inc Com 144,314 Shares of Common Stock                                 12,312,870
      Chipotle Mexican Grill Inc Com Stk 129,850 Shares of Common Stock                                   7,829,955
      Chubb Ltd Ord  125,735 Shares of Common Stock                                 34,740,581
      Cie Automotive Sa 18,947 Shares of Common Stock                                      498,338
      Cie De St-Gobain  30,514 Shares of Common Stock                                   2,707,884
      Citigroup Inc Com New Com New 297,601 Shares of Common Stock                                 20,948,134
      City Hldg Co Com 38,867 Shares of Common Stock                                   4,604,962
      Clarivate Plc 514,600 Shares of Common Stock                                   2,614,168
      Cnh Industrial Nv Com Stk 155,200 Shares of Common Stock                                   1,758,416
      Coastal Finl Corp Wa Com New Com New 7,050 Shares of Common Stock                                      598,616
      Coca Cola Co Com 401,799 Shares of Common Stock                                 25,016,006
               
               (continued) 

     

     

    - 19 -

     

    MORGAN STANLEY 401(k) PLAN
    Plan Number 003,     Employer Identification Number 20-8764829
    FORM 5500, SCHEDULE H, LINE 4i — 
    SCHEDULE OF ASSETS (HELD AT END OF YEAR)
    AT DECEMBER 31, 2024

     

     

                (e)  
      (b) (c)  (d)      Current   
    (a) Identity of Issuer Description of Investment  Cost**      Value  
      Corporate Equities (continued)        
      Coca-Cola Bottlers Npv 84,020 Shares of Common Stock                                   1,334,932
      Cogent Communications Hldgs Inc 31,646 Shares of Common Stock                                   2,438,957
      Cognizant Tech Solutions Corp Cl A 22,300 Shares of Common Stock                                   1,714,870
      Coinbase Global Inc Com Cl A 30,030 Shares of Common Stock                                   7,456,449
      Colgate-Palmolive Co Com 147,500 Shares of Common Stock                                 13,409,225
      Comcast Corp New-Cl A 369,169 Shares of Common Stock                                 13,854,913
      Commercial Metals Co Com 73,700 Shares of Common Stock                                   3,655,520
      Conagra Brands Inc Com  349,732 Shares of Common Stock                                   9,705,063
      Conagra Brands Inc Com  116,800 Shares of Common Stock                                   3,241,200
      Conmed Corp Com 68,828 Shares of Common Stock                                   4,710,588
      Conocophillips Com 266,414 Shares of Common Stock                                 26,420,276
      Constellium Se (France) Class A 334,738 Shares of Common Stock                                   3,437,759
      Contact Energy Npv 157,511 Shares of Common Stock                                      838,333
      Convatec Group Plc Ord  (Wi) 184,007 Shares of Common Stock                                      509,756
      Copart Inc Com 103,500 Shares of Common Stock                                   5,939,865
      Copt Defense Properties Com Stk          158,120 Shares of Common Stock                                   4,893,814
      Copt Defense Properties Com Stk       19,296 Shares of Common Stock                                      597,211
      Core Laboratories Inc Com 47,894 Shares of Common Stock                                      829,045
      Corpay Inc Com 11,700 Shares of Common Stock                                   3,959,514
      Cousins Pptys Inc 42,312 Shares of Common Stock                                   1,296,440
      Crowdstrike Hldgs Inc Cl A Cl A 14,015 Shares of Common Stock                                   4,795,372
      Crown Hldgs Inc Com 45,000 Shares of Common Stock                                   3,721,050
      Csx Corp Com Stk 175,260 Shares of Common Stock                                   5,655,640
      Cummins Inc 62,921 Shares of Common Stock                                 21,934,261
      Cvs Health Corp Com 244,152 Shares of Common Stock                                 10,959,983
      Daihatsu Diesel Npv 46,347 Shares of Common Stock                                      548,815
      Daiichikosho Co Npv 55,072 Shares of Common Stock                                      645,474
      Daiwa House Reit  Investment Co 431 Shares of Common Stock                                      635,695
      Daiwa Securities Living Investment Corporation 688 Shares of Common Stock                                      390,053
      Daiwabo Holdings Npv 28,400 Shares of Common Stock                                      557,844
      Dalata Hotel Group Ord Eur0.01 132,733 Shares of Common Stock                                      641,868
      Danske Bank A/S Dkk10 158,433 Shares of Common Stock                                   4,481,338
      Datadog Inc Com Usd0.00001 Cl A 60,260 Shares of Common Stock                                   8,610,551
      Dayforce Inc 61,700 Shares of Common Stock                                   4,481,888
      Dcc Ord Eur0.25 (Cdi) 10,689 Shares of Common Stock                                      688,087
      Deutsche Boerse Ag Npv(Regd) 31,785 Shares of Common Stock                                   7,319,933
      Deutsche Telekom Npv(Regd) 317,049 Shares of Common Stock                                   9,484,710
      Dexcom Inc Com 114,784 Shares of Common Stock                                   8,926,752
      Dexerials Corp Npv 36,153 Shares of Common Stock                                      568,543
      Diamondback Energy Inc Com 30,970 Shares of Common Stock                                   5,073,815
      Digico Infras Npv 22,100 Shares of Common Stock                                        60,890
      Digital Rlty Tr Inc Com 15,283 Shares of Common Stock                                   2,710,134
      Dl E&C Co Ltd Krw5000 10,083 Shares of Common Stock                                      220,201
      Docusign Inc Com 46,350 Shares of Common Stock                                   4,168,719
      Dollar Gen Corp New Com 30,000 Shares of Common Stock                                   2,274,600
               
               (continued) 

     

     

    - 20 -

     

    MORGAN STANLEY 401(k) PLAN
    Plan Number 003,     Employer Identification Number 20-8764829
    FORM 5500, SCHEDULE H, LINE 4i — 
    SCHEDULE OF ASSETS (HELD AT END OF YEAR)
    AT DECEMBER 31, 2024

     

     

                (e)  
      (b) (c)  (d)      Current   
    (a) Identity of Issuer Description of Investment  Cost**      Value  
      Corporate Equities (continued)        
      Dollar Tree Inc Com Stk 39,030 Shares of Common Stock                                   2,924,908
      Dometic Group Ab Npv 92,904 Shares of Common Stock                                      437,225
      Dominion Energy Inc Com Stk Npv 106,000 Shares of Common Stock                                   5,709,160
      Dominion Energy Inc Com Stk Npv 124,730 Shares of Common Stock                                   6,717,958
      Domino'S Pizza Group Plc Ord  Gbp0.00520833 89,860 Shares of Common Stock                                      354,503
      Dongbu Insurance Co Ltd Krw500 10,056 Shares of Common Stock                                      702,209
      Dowa Holdings Co Ltd 17,977 Shares of Common Stock                                      509,707
      Draegerwerk Kgaa Non-Vtg Prf Npv 13,122 Shares of Preferred Stock                                      631,834
      Draftkings Inc New Cl A 236,500 Shares of Common Stock                                   8,797,800
      Echostar Corporation 39,935 Shares of Common Stock                                      914,512
      Elementis Ord Gbp0.05 150,259 Shares of Common Stock                                      273,244
      Elevance Health Inc 75,526 Shares of Common Stock                                 27,861,541
      Elis Sa Eur1.00 34,388 Shares of Common Stock                                      673,006
      Engie Comstk 194,455 Shares of Common Stock                                   3,082,793
      Eog Resources Inc Com 79,891 Shares of Common Stock                                   9,793,039
      Eqt Corp Com 361,363 Shares of Common Stock                                 16,662,448
      Eqty Lifestyle Pptys Inc Reit 21,410 Shares of Common Stock                                   1,425,906
      Eqty Resdntl Eff 5/15/02 35,512 Shares of Common Stock                                   2,548,341
      Equinix Inc Com Par $0.001 8,529 Shares of Common Stock                                   8,041,909
      Equitable Hldgs Inc Com 443,783 Shares of Common Stock                                 20,933,244
      Essex Ppty Tr Reit 6,717 Shares of Common Stock                                   1,917,300
      Essilorluxottica Eur 0.18 1,847 Shares of Common Stock                                      450,601
      Euroapi Sa Eur1 46,929 Shares of Common Stock                                      139,954
      Eurocommercial Eur10.00 31,312 Shares of Common Stock                                      719,803
      Europris Asa Nok1 121,472 Shares of Common Stock                                      777,559
      Evergy Inc Com Npv 80,500 Shares of Common Stock                                   4,954,775
      Evolution Mining Npv 232,296 Shares of Common Stock                                      691,803
      Evraz Plc  Ord Us0.5 234,412 Shares of Common Stock                                      237,475
      Extra Space Storage Inc Com 28,822 Shares of Common Stock                                   4,311,771
      Exxon Mobil Corp Com 251,157 Shares of Common Stock                                 27,016,958
      Fagron Npv 44,302 Shares of Common Stock                                      768,860
      Fair Isaac Corporation Com 4,228 Shares of Common Stock                                   8,417,652
      Fastighets Ab Bald Ser'B'Npv 178,516 Shares of Common Stock                                   1,240,811
      Fidelity Natl Finl Inc New Formerly Fidelity Common Stock 65,631 Shares of Common Stock                                   3,684,524
      Fila Holdings Corp 17,745 Shares of Common Stock                                      485,768
      First Advantage Corp New Com 107,357 Shares of Common Stock                                   2,010,797
      First Bancorp N C Com 104,631 Shares of Common Stock                                   4,600,625
      First Ctzns Bancshares Inc Cl A Cl A 1,935 Shares of Common Stock                                   4,088,694
      Firstservice Corp Com Npv 55,374 Shares of Common Stock                                 10,023,801
      Fiserv Inc Com 169,597 Shares of Common Stock                                 34,838,616
      Flex Ltd Com Usd0.01 129,920 Shares of Common Stock                                   4,987,629
      Flight Centre Travel Group Ltd 16,221 Shares of Common Stock                                      167,521
      Fluidra Sa Eur1 25,804 Shares of Common Stock                                      628,455
      Flutter Entertainment Plc Ord Eur 0.09 (Cdi) 673 Shares of Common Stock                                      174,642
      Flutter Entertainment Plc Ord Eur0.09 7,066 Shares of Common Stock                                   1,826,208
               
               (continued) 

     

     

    - 21 -

     

    MORGAN STANLEY 401(k) PLAN
    Plan Number 003,     Employer Identification Number 20-8764829
    FORM 5500, SCHEDULE H, LINE 4i — 
    SCHEDULE OF ASSETS (HELD AT END OF YEAR)
    AT DECEMBER 31, 2024

     

     

                (e)  
      (b) (c)  (d)      Current   
    (a) Identity of Issuer Description of Investment  Cost**      Value  
      Corporate Equities (continued)        
      Flywire Corp Com Vtg Com Vtg 90,434 Shares of Common Stock                                   1,864,749
      Forbo Hldgs Ag Chf28(Regd) 620 Shares of Common Stock                                      516,524
      Fortive Corp Com Mon Stock 132,756 Shares of Common Stock                                   9,956,700
      Fortum Oyj Eur3.40 45,704 Shares of Common Stock                                      639,618
      Four Corners Ppty Tr Inc Com 167,992 Shares of Common Stock                                   4,559,303
      Fp Corp Npv 30,769 Shares of Common Stock                                      547,013
      Fukushima Galilei Co Ltd 26,044 Shares of Common Stock                                      438,154
      Fuyo General Lease Npv 10,218 Shares of Common Stock                                      760,694
      Galderma Group Ag Chf0.01 21,411 Shares of Common Stock                                   2,377,714
      Gallagher Arthur J & Co Com 28,060 Shares of Common Stock                                   7,964,831
      Gaming & Leisure Pptys Inc Com 79,620 Shares of Common Stock                                   3,834,499
      Gaming & Leisure Pptys Inc Com 32,044 Shares of Common Stock                                   1,543,239
      Ge Aerospace 115,497 Shares of Common Stock                                 19,263,745
      Ge Healthcare Technologies Inc Com 67,270 Shares of Common Stock                                   5,259,169
      Ge Vernova Llc Com 20,424 Shares of Common Stock                                   6,718,066
      Ge Vernova Llc Com 26,140 Shares of Common Stock                                   8,598,230
      Gecina Sa Eur7.50 8,490 Shares of Common Stock                                      795,182
      Gerresheimer Ag Npv (Br) 5,976 Shares of Common Stock                                      439,359
      Gift Holdings Inc 26,826 Shares of Common Stock                                      620,466
      Glaukos Corp Com 38,076 Shares of Common Stock                                   5,709,115
      Global Pmts Inc Com 62,440 Shares of Common Stock                                   6,997,026
      Global Pmts Inc Com 36,000 Shares of Common Stock                                   4,034,160
      Globant Sa Usd1.20 27,950 Shares of Common Stock                                   5,993,039
      Glp J-Reit Reit 831 Shares of Common Stock                                      652,490
      Gms Inc Com 56,574 Shares of Common Stock                                   4,799,172
      Goodman Group Npv 202,938 Shares of Common Stock                                   4,478,133
      Grainger Plc Ord Gbp0.05 263,496 Shares of Common Stock                                      742,505
      Granges Ab Npv 52,886 Shares of Common Stock                                      630,367
      Graphic Packaging Hldg Co Com Stk 113,100 Shares of Common Stock                                   3,071,796
      Greencore Group Ord Gbp0.01 (Cdi) 316,295 Shares of Common Stock                                      767,696
      Gulfport Energy Corp Com Usd0.01 14,843 Shares of Common Stock                                   2,734,081
      H & E Equip Svcs Inc Com 43,837 Shares of Common Stock                                   2,146,260
      H.U. Group Holdings Inc 32,489 Shares of Common Stock                                      529,011
      Halliburton Co Com 129,300 Shares of Common Stock                                   3,515,667
      Hamilton Lane Inc Cl A Cl A 51,941 Shares of Common Stock                                   7,689,865
      Hanwha Aerospace Co Ltd 10,289 Shares of Common Stock                                   2,281,940
      Hawkins Inc Com 34,780 Shares of Common Stock                                   4,266,463
      Healthpeak Op Llc 85,176 Shares of Common Stock                                   1,726,518
      Heineken Nv Eur1.60 12,428 Shares of Common Stock                                      884,114
      Henry Schein Inc Common Stock 38,300 Shares of Common Stock                                   2,650,360
      Hensoldt Ag Com 10,800 Shares of Common Stock                                      385,827
      Hf Sinclair Corporation Com Usd0.01 108,800 Shares of Common Stock                                   3,813,440
      Hill & Smith Plc Ord Gbp0.25 29,667 Shares of Common Stock                                      694,055
      Hilton Worldwide Hldgs Inc Com New Com  New 26,350 Shares of Common Stock                                   6,512,666
      Hiscox Ord Gbp0.065 (Di) 49,582 Shares of Common Stock                                      672,505
               
               (continued) 

     

     

    - 22 -

     

    MORGAN STANLEY 401(k) PLAN
    Plan Number 003,     Employer Identification Number 20-8764829
    FORM 5500, SCHEDULE H, LINE 4i — 
    SCHEDULE OF ASSETS (HELD AT END OF YEAR)
    AT DECEMBER 31, 2024

     

     

                (e)  
      (b) (c)  (d)      Current   
    (a) Identity of Issuer Description of Investment  Cost**      Value  
      Corporate Equities (continued)        
      Home Depot Inc Com 30,165 Shares of Common Stock                                 11,733,883
      Honeywell Intl Inc Com Stk 63,970 Shares of Common Stock                                 14,450,183
      Hosokawa Micron Co Npv 18,722 Shares of Common Stock                                      502,120
      Hubspot Inc Com 16,610 Shares of Common Stock                                 11,573,350
      Huhtamaki Oyj Ser'I'Npv 12,874 Shares of Common Stock                                      455,655
      Hunt J B Trans Svcs Inc Com 33,360 Shares of Common Stock                                   5,693,218
      Huntington Bancshares Inc Com 927,959 Shares of Common Stock                                 15,097,893
      Huntington Ingalls Inds Inc Com 25,200 Shares of Common Stock                                   4,762,044
      Hysan Development Npv 186,911 Shares of Common Stock                                      284,892
      Iac Inc Com New 83,895 Shares of Common Stock                                   3,619,230
      Ibstock Plc Ord Gbp0.01 237,723 Shares of Common Stock                                      523,995
      Icon Plc Com 27,050 Shares of Common Stock                                   5,672,656
      Imdex Ltd Npv 407,097 Shares of Common Stock                                      584,766
      Impinj Inc Com 11,815 Shares of Common Stock                                   1,716,247
      Inaba Denkisangyo Npv 30,719 Shares of Common Stock                                      765,629
      Inchcape Ord Gbp0.10 74,321 Shares of Common Stock                                      716,248
      Incitec Pivot Npv 323,643 Shares of Common Stock                                      587,124
      Indutrade Ab Npv 19,161 Shares of Common Stock                                      480,358
      Inmode Ltd Com Ils0.01 32,386 Shares of Common Stock                                      540,846
      Innospec Inc Com Stk 23,048 Shares of Common Stock                                   2,536,663
      Inogen Inc Com 62,310 Shares of Common Stock                                      571,383
      Inspire Med Sys Inc Com 5,151 Shares of Common Stock                                      954,892
      Insulet Corp Com Stk 27,730 Shares of Common Stock                                   7,239,471
      Intapp Inc Com 7,615 Shares of Common Stock                                      488,045
      Intel Corp Com 245,701 Shares of Common Stock                                   4,926,305
      Interparfums Inc 18,612 Shares of Common Stock                                   2,447,664
      Interrent Real Est Trust Units 52,664 Shares of Common Stock                                      371,673
      Intl Paper Co Com 326,969 Shares of Common Stock                                 17,597,472
      Invincible Investments Corp Reit 1,136 Shares of Common Stock                                      478,514
      Invitation Homes Inc Com 96,581 Shares of Common Stock                                   3,087,695
      Ipsos Eur0.25 9,873 Shares of Common Stock                                      469,463
      Iqvia Hldgs Inc Com Usd0.01 5,600 Shares of Common Stock                                   1,100,456
      Irhythm Technologies Inc Com 28,601 Shares of Common Stock                                   2,578,952
      J & J Snack Foods Corp Com Stk Npv 31,180 Shares of Common Stock                                   4,836,953
      Jacobs Solutions Inc Com 20,900 Shares of Common Stock                                   2,792,658
      Jazz Pharmaceuticals Plc Com Usd0.0001 30,500 Shares of Common Stock                                   3,756,075
      Jbg Smith Properties Com Usd0.01 Wi 139,120 Shares of Common Stock                                   2,138,274
      Jm Ab Npv 27,897 Shares of Common Stock                                      421,387
      John Wood Group Pl Ord Gbp0.0428571 284,258 Shares of Common Stock                                      233,539
      Johnson & Johnson Com Usd1 263,376 Shares of Common Stock                                 38,089,437
      Jtc Plc Ord Gbp0.01 45,900 Shares of Common Stock                                      565,654
      Jungheinrich Non-Vtg Prf Npv 21,395 Shares of Preferred Stock                                      568,485
      Just Eat Takeaway.Com  N.V. 33,804 Shares of Common Stock                                      461,878
      Kamigumi Co Ltd Npv 28,771 Shares of Common Stock                                      626,826
      Kawasaki Heavy Ind Npv 9,471 Shares of Common Stock                                      438,718
               
               (continued) 

     

     

    - 23 -

     

    MORGAN STANLEY 401(k) PLAN
    Plan Number 003,     Employer Identification Number 20-8764829
    FORM 5500, SCHEDULE H, LINE 4i — 
    SCHEDULE OF ASSETS (HELD AT END OF YEAR)
    AT DECEMBER 31, 2024

     

     

                (e)  
      (b) (c)  (d)      Current   
    (a) Identity of Issuer Description of Investment  Cost**      Value  
      Corporate Equities (continued)        
      Kemira Oyj Npv 24,143 Shares of Common Stock                                      488,002
      Kenvue Inc Com 1,620,655 Shares of Common Stock                                 34,600,984
      Keppel Dc Reit 537,210 Shares of Common Stock                                      858,465
      Kilroy Rlty Corp Com 22,566 Shares of Common Stock                                      912,795
      Kimberly-Clark Corp Com 148,852 Shares of Common Stock                                 19,505,566
      Kinder Morgan Inc Del Com 145,300 Shares of Common Stock                                   3,981,220
      Kinepolis Group Npv 16,425 Shares of Common Stock                                      670,119
      Kinx Inc Krw500 3,823 Shares of Common Stock                                      198,661
      Kissei Pharm Co Npv 22,761 Shares of Common Stock                                      602,480
      Klepierre Eur1.40 73,411 Shares of Common Stock                                   2,113,275
      Kolon Industries Krw5000 12,711 Shares of Common Stock                                      234,422
      Koninklijke Philips Nv 64,365 Shares of Common Stock                                   1,629,722
      Kotobuki Spirits Npv 48,684 Shares of Common Stock                                      674,996
      Kraft Heinz Co Com 158,500 Shares of Common Stock                                   4,867,535
      Kratos Defense & Security Solutions Inc 104,156 Shares of Common Stock                                   2,747,635
      Kratos Defense & Security Solutions Inc 109,758 Shares of Common Stock                                   2,895,416
      Krones Ag Ord Npv 4,724 Shares of Common Stock                                      587,004
      Kyushu Railway Cor Npv 26,506 Shares of Common Stock                                      645,953
      L3Harris Technologies Inc Com 139,861 Shares of Common Stock                                 29,409,971
      Labcorp Hldgs Inc Com 6,500 Shares of Common Stock                                   1,490,580
      Lam Resh Corp Com New 60,080 Shares of Common Stock                                   4,339,578
      Lamb Weston Hldgs Inc Com Usd5 13,300 Shares of Common Stock                                      888,839
      Lanxess Ag Npv 16,442 Shares of Common Stock                                      401,466
      Las Vegas Sands Corp Com Stk 318,703 Shares of Common Stock                                 16,368,586
      Lg Innotek Co Krw5000 3,416 Shares of Common Stock                                      375,907
      Liberty Broadband Corp Com Ser C Com Serc 43,024 Shares of Common Stock                                   3,216,474
      Liberty Global Ltd. Common Stock 153,100 Shares of Common Stock                                   1,953,556
      Lig Nex1 Co Ltd Krw5000 15,066 Shares of Common Stock                                   2,256,600
      Lineage Inc Com 10,190 Shares of Common Stock                                      596,828
      Link Real Estate Investment Trust Units 279,429 Shares of Common Stock                                   1,181,681
      Live Nation Entertainment Inc 33,480 Shares of Common Stock                                   4,335,660
      Lkq Corp Com Lkq Corp 107,500 Shares of Common Stock                                   3,950,625
      Loar Holdings Inc Com 16,165 Shares of Common Stock                                   1,194,755
      Logista Integral S A 20,580 Shares of Common Stock                                      622,269
      London Stock Exchange Group Ord Gbp0.06918604 21,272 Shares of Common Stock                                   3,006,443
      Loomis Ak 23,750 Shares of Common Stock                                      723,081
      Lpl Finl Hldgs Inc Com 17,310 Shares of Common Stock                                   5,651,888
      Ls Electric Co Ltd 5,226 Shares of Common Stock                                      570,826
      Lynas Rare Earths Ltd 103,820 Shares of Common Stock                                      413,321
      M & T Bk Corp Com 22,500 Shares of Common Stock                                   4,230,225
      Macom Technology Solutions Holdings Inc Com Stk 42,860 Shares of Common Stock                                   5,567,943
      Mapletree Ind Tst Npv (Reit) 658,079 Shares of Common Stock                                   1,066,086
      Mapletree Logistic Npv (Reit) 809,305 Shares of Common Stock                                      753,421
      Markel Group Inc 2,400 Shares of Common Stock                                   4,142,952
      Marr Spa Eur0.50 32,309 Shares of Common Stock                                      336,567
               
               (continued) 

     

     

    - 24 -

     

    MORGAN STANLEY 401(k) PLAN
    Plan Number 003,     Employer Identification Number 20-8764829
    FORM 5500, SCHEDULE H, LINE 4i — 
    SCHEDULE OF ASSETS (HELD AT END OF YEAR)
    AT DECEMBER 31, 2024

     

     

                (e)  
      (b) (c)  (d)      Current   
    (a) Identity of Issuer Description of Investment  Cost**      Value  
      Corporate Equities (continued)        
      Marriott Vacations Worldwide Corp Com 5,225 Shares of Common Stock                                      469,205
      Maruwa Co Ltd Npv 2,491 Shares of Common Stock                                      766,352
      Masimo Corp Com Stk 36,390 Shares of Common Stock                                   6,015,267
      Match Group Inc New Com 109,500 Shares of Common Stock                                   3,581,745
      Mayr-Melnhof Karto Npv 3,697 Shares of Common Stock                                      304,728
      Medacta Group Sa Chf0.10 15,022 Shares of Common Stock                                   1,767,002
      Mediobanca Spa Eur0.5 146,585 Shares of Common Stock                                   2,136,427
      Meidensha Corp Npv 18,281 Shares of Common Stock                                      508,904
      Meitec Group Holdings Inc Npv 29,419 Shares of Common Stock                                      555,022
      Melrose Indust Plc Ord Gbp0.001 912,518 Shares of Common Stock                                   6,329,035
      Melrose Indust Plc Ord Gbp0.001 72,100 Shares of Common Stock                                      500,071
      Merit Med Sys Inc Com 48,238 Shares of Common Stock                                   4,665,579
      Metlife Inc Com Stk Usd0.01 230,725 Shares of Common Stock                                 18,891,763
      Microsoft Corp Com 28,064 Shares of Common Stock                                 11,828,976
      Middleby Corp Com 12,400 Shares of Common Stock                                   1,679,580
      Mirvac Group Stapled Securities 616,664 Shares of Stapled Securities                                      715,889
      Mitie Group Ord Gbp0.025 462,560 Shares of Common Stock                                      637,241
      Mitsubishi Estate Co Ltd 110,000 Shares of Common Stock                                   1,540,182
      Mitsubishi Ufj Fin Npv 337,500 Shares of Common Stock                                   3,964,272
      Mitsui Fudosan Co Ltd Npv 303,059 Shares of Common Stock                                   2,449,001
      Miura Co Ltd Npv 22,924 Shares of Common Stock                                      580,539
      Molson Coors Beverage Company Com Usd0.01 Class B 46,600 Shares of Common Stock                                   2,671,112
      Monday Com Ltd Com Npv 25,170 Shares of Common Stock                                   5,926,025
      Montrose Environmental Group Inc Com 116,218 Shares of Common Stock                                   2,155,844
      Moog Inc Cl A 22,672 Shares of Common Stock                                   4,462,756
      Morgan Stanley Com Stk Usd0.01 26,053,650 Shares of Common Stock                            3,275,464,627
      Morgan Stanley Com Stk Usd0.01 4,619 Shares of Common Stock                                      580,701
      Mosaic Co/The 169,400 Shares of Common Stock                                   4,163,852
      Msci Inc Com Usd0.01 13,530 Shares of Common Stock                                   8,118,135
      Munters Group Ab Npv 29,177 Shares of Common Stock                                      491,158
      Myr Group Inc Del Com Stk 1,668 Shares of Common Stock                                      248,148
      Nagaileben Co Npv 26,007 Shares of Common Stock                                      364,555
      Namen-Akt Belimo Holding Ag (Split Holding Ag (Split) 1,037 Shares of Common Stock                                      685,993
      Namen-Akt Vz Holding Ag 6,628 Shares of Common Stock                                   1,053,166
      Natera Inc Com 18,950 Shares of Common Stock                                   2,999,785
      Natera Inc Com 66,477 Shares of Common Stock                                 10,523,309
      National Bk Hldgs Corp Cl A Com Stk 82,103 Shares of Common Stock                                   3,535,355
      National Grid Ord Gbp0.12431289 916,322 Shares of Common Stock                                 10,902,216
      National Storage R Reit Stapled Unit 454,031 Shares of Common Stock                                      657,805
      National Storage R Reit Stapled Unit 538,285 Shares of Common Stock                                      779,873
      Natl Fuel Gas Co Com 46,900 Shares of Common Stock                                   2,845,892
      Ncino Inc New Com 56,159 Shares of Common Stock                                   1,885,819
      Neogen Corp Com 399,806 Shares of Common Stock                                   4,853,645
      Neogenomics Inc Com New Com New 180,785 Shares of Common Stock                                   2,979,337
      Nestle Sa Chf0.10(Regd) 25,412 Shares of Common Stock                                   2,099,697
               
               (continued) 

     

     

    - 25 -

     

    MORGAN STANLEY 401(k) PLAN
    Plan Number 003,     Employer Identification Number 20-8764829
    FORM 5500, SCHEDULE H, LINE 4i — 
    SCHEDULE OF ASSETS (HELD AT END OF YEAR)
    AT DECEMBER 31, 2024

     

     

                (e)  
      (b) (c)  (d)      Current   
    (a) Identity of Issuer Description of Investment  Cost**      Value  
      Corporate Equities (continued)        
      News Corp Com Cl A 95,605 Shares of Common Stock                                   2,632,962
      News Corp Com Cl A 673,858 Shares of Common Stock                                 18,558,049
      Nextage Co Ltd Npv 50,473 Shares of Common Stock                                      455,721
      Nextdc Ltd Npv 84,797 Shares of Common Stock                                      791,206
      Nib Holdings Ltd Npv 159,662 Shares of Common Stock                                      541,724
      Nice Information S Krw500 48,461 Shares of Common Stock                                      400,948
      Nippon Accommodati Reit 82 Shares of Common Stock                                      306,274
      Nippon Building Fd Reit 1,255 Shares of Common Stock                                      977,424
      Nippon Prologis Re Reit 504 Shares of Common Stock                                      714,823
      Nippon Sanso Holdings Corp 97,006 Shares of Common Stock                                   2,730,686
      Nisource Inc Com 121,299 Shares of Common Stock                                   4,458,951
      Nitto Kohki Co Ltd Npv 30,208 Shares of Common Stock                                      521,471
      Nkt A/S 23,582 Shares of Common Stock                                   1,684,756
      Nnn Reit Inc 27,389 Shares of Common Stock                                   1,118,841
      Noble Corporation Plc Com 53,700 Shares of Common Stock                                   1,686,180
      Norfolk Southn Corp Com 96,501 Shares of Common Stock                                 22,648,785
      Norma Group Se Npv 16,260 Shares of Common Stock                                      251,548
      Northern Oil & Gas Inc Com New 128,089 Shares of Common Stock                                   4,759,787
      Northwestern Energy Group Inc 67,410 Shares of Common Stock                                   3,603,739
      Novanta Inc Novanta Inc 16,545 Shares of Common Stock                                   2,527,580
      Novo Nordisk A/S Ser'B'Dkk0.1 44,500 Shares of Common Stock                                   3,857,046
      Novonesis (Novozymes) B 31,476 Shares of Common Stock                                   1,781,933
      Nsd Co Ltd Npv 21,958 Shares of Common Stock                                      472,105
      Nu Holdings Ltd 699,390 Shares of Common Stock                                   7,245,680
      Oc Oerlikon Corp Chf1 (Regd) 59,832 Shares of Common Stock                                      231,736
      Oci N.V. Eur0.02 30,600 Shares of Common Stock                                      342,687
      Odfjell Drilling Limited Usd0.01 162,796 Shares of Common Stock                                      735,333
      Oge Energy Corp Com 93,792 Shares of Common Stock                                   3,868,920
      Okinawa Cellular Npv 20,461 Shares of Common Stock                                      566,336
      Ollies Bargain Outlet Hldgs Inc Com 53,810 Shares of Common Stock                                   5,904,571
      Otsuka Holdings Co Ltd 34,700 Shares of Common Stock                                   1,898,829
      Outokumpu Oyj Ser'A'Npv 111,804 Shares of Common Stock                                      336,321
      Pacific Basin Ship Usd0.01 1,828,490 Shares of Common Stock                                      386,038
      Palantir Technologies Inc Cl A Cl A 201,070 Shares of Common Stock                                 15,206,924
      Palomar Hldgs Inc Com 25,994 Shares of Common Stock                                   2,744,706
      Paltac Corporation 20,577 Shares of Common Stock                                      571,118
      Papa Johns Intl Inc Com 83,088 Shares of Common Stock                                   3,412,424
      Par Technology Corp Com 10,473 Shares of Common Stock                                      761,073
      Park 24 Co Ltd Npv 11,834 Shares of Common Stock                                      166,674
      Patrizia Se Npv (Regd) 55,556 Shares of Common Stock                                      454,473
      Penta Ocean Const Npv 109,591 Shares of Common Stock                                      456,397
      Perella Weinberg Partners Com Usd0.0001 Cl A 157,137 Shares of Common Stock                                   3,746,146
      Pernod Ricard Npv Eur 1.55 11,369 Shares of Common Stock                                   1,283,213
      Perrigo Company Limited Com Eur0.001 120,700 Shares of Common Stock                                   3,103,197
      Pets At Home Group Ord Gbp0.01 141,702 Shares of Common Stock                                      364,873
               
               (continued) 

     

     

    - 26 -

     

    MORGAN STANLEY 401(k) PLAN
    Plan Number 003,     Employer Identification Number 20-8764829
    FORM 5500, SCHEDULE H, LINE 4i — 
    SCHEDULE OF ASSETS (HELD AT END OF YEAR)
    AT DECEMBER 31, 2024

     

     

                (e)  
      (b) (c)  (d)      Current   
    (a) Identity of Issuer Description of Investment  Cost**      Value  
      Corporate Equities (continued)        
      Philip Morris Intl Com Stk Npv 180,534 Shares of Common Stock                                 21,727,267
      Piper Sandler Companies Com Usd0.01 15,211 Shares of Common Stock                                   4,562,539
      Planet Fitness Inc Cl A Cl A 35,973 Shares of Common Stock                                   3,556,651
      Plymouth Indl Reit Inc Com 284,113 Shares of Common Stock                                   5,057,211
      Post Hldgs Inc Com Stk 32,375 Shares of Common Stock                                   3,705,643
      Potlatchdeltic Corporation 119,787 Shares of Common Stock                                   4,701,640
      Prestige Consumer Healthcare Inc Com 62,857 Shares of Common Stock                                   4,908,503
      Progyny Inc Com 180,613 Shares of Common Stock                                   3,115,574
      Prologis Inc Com 48,244 Shares of Common Stock                                   5,099,391
      Pros Hldgs Inc Com 78,012 Shares of Common Stock                                   1,713,144
      Psp Swiss Property Chf0.10 (Regd) 6,526 Shares of Common Stock                                      928,222
      Ptc Inc Com 30,970 Shares of Common Stock                                   5,694,454
      Pure Storage Inc Cl A Cl A 101,190 Shares of Common Stock                                   6,216,102
      Pvtpl Databricks, Inc. Series H Preferred Stock 470,619 Shares of Preferred Stock                                 43,532,258
      Qualcomm Inc Com 106,054 Shares of Common Stock                                 16,292,015
      Rambus Inc Del Com 42,913 Shares of Common Stock                                   2,268,381
      Rathbones Group Ord Gbp0.05 31,039 Shares of Common Stock                                      645,296
      Reckitt Benck Grp Ord Gbp0.10 49,013 Shares of Common Stock                                   2,966,683
      Recordati Eur0.125 16,642 Shares of Common Stock                                      871,979
      Regency Ctrs Corp Com 36,503 Shares of Common Stock                                   2,698,667
      Relo Group Inc 37,130 Shares of Common Stock                                      455,620
      Relx Plc 114,013 Shares of Common Stock                                   5,181,845
      Renasant Corp Com 133,405 Shares of Common Stock                                   4,769,229
      Renewi Plc Ord Gbp1 34,750 Shares of Common Stock                                      352,084
      Resonac Holdings Corp Npv 27,805 Shares of Common Stock                                      710,340
      Rexel Eur5 34,619 Shares of Common Stock                                      881,860
      Rexford Indl Rlty Inc Com 42,864 Shares of Common Stock                                   1,657,122
      Rhi Magnesita N.V. 12,842 Shares of Common Stock                                      524,316
      Rinnai Corp Npv 16,654 Shares of Common Stock                                      345,351
      Rockwell Automation 22,840 Shares of Common Stock                                   6,527,444
      Rockwell Automation 56,790 Shares of Common Stock                                 16,230,014
      Roland Corporation Npv 18,176 Shares of Common Stock                                      453,359
      Rpm Intl Inc 60,180 Shares of Common Stock                                   7,405,751
      Rs Group Plc Ord Gbp0.10 48,784 Shares of Common Stock                                      416,377
      Rxo Llc Com 178,966 Shares of Common Stock                                   4,266,549
      Ryman Hospitality Pptys Inc Com 18,108 Shares of Common Stock                                   1,889,389
      S.W. Airl Co Com 267,822 Shares of Common Stock                                   9,004,176
      S-1 Corporation 14,805 Shares of Common Stock                                      595,358
      Sabra Health Care Reit Inc Com 95,460 Shares of Common Stock                                   1,653,367
      Safestore Hldgs Ord Gbp0.01 90,031 Shares of Common Stock                                      726,141
      Safran Sa Eur0.20 18,639 Shares of Common Stock                                   4,093,675
      Sam Yung Trading Krw500 41,924 Shares of Common Stock                                      362,526
      Samsung Electronic Gdr 10,544 Shares of Common Stock                                   9,595,040
      Samsung Electronic Krw100 50,483 Shares of Common Stock                                   1,824,336
      San-Ai Obbli Co Ltd Npv 42,331 Shares of Common Stock                                      510,418
               
               (continued) 

     

    - 27 -

     

    MORGAN STANLEY 401(k) PLAN
    Plan Number 003,     Employer Identification Number 20-8764829
    FORM 5500, SCHEDULE H, LINE 4i — 
    SCHEDULE OF ASSETS (HELD AT END OF YEAR)
    AT DECEMBER 31, 2024

     

     

                (e)  
      (b) (c)  (d)      Current   
    (a) Identity of Issuer Description of Investment  Cost**      Value  
      Corporate Equities (continued)        
      Sanofi Sponsored Adr 203,092 Shares of Common Stock                                   9,795,127
      Sanwa Holdings Npv 35,773 Shares of Common Stock                                   1,001,990
      Saul Ctrs Inc Com 4,507 Shares of Common Stock                                      174,872
      Savers Value Vlg Inc Com 29,613 Shares of Common Stock                                      303,533
      Savills Ord Gbp0.025 53,629 Shares of Common Stock                                      695,829
      Sawai Group Holdings Co Ltd 38,753 Shares of Common Stock                                      530,400
      Sberbank Of Russia Spon Adr 260,208 Shares of Common Stock                                        11,787
      Schlumberger Ltd Com Com 266,568 Shares of Common Stock                                 10,220,217
      Schwab Charles Corp Com New 403,252 Shares of Common Stock                                 29,844,681
      Scout24 Se Npv 8,718 Shares of Common Stock                                      768,239
      Seacoast Bkg Corp Fla Com New Com New 170,875 Shares of Common Stock                                   4,704,189
      Seb Sa Eur1.00 3,437 Shares of Common Stock                                      311,414
      Sega Sammy Hldgs I Npv 26,627 Shares of Common Stock                                      521,155
      Segro Plc Ord Gbp0.10 213,096 Shares of Common Stock                                   1,871,373
      Sekisui House Reit Reit 1,425 Shares of Common Stock                                      700,894
      Sekisui Jushi Corp Npv 33,744 Shares of Common Stock                                      455,832
      Sempra Com 180,842 Shares of Common Stock                                 15,863,460
      Semtech Corp Com 151,830 Shares of Common Stock                                   9,390,686
      Senior Plc Gbp0.10 457,519 Shares of Common Stock                                      914,503
      Sensirion Hldg Ag Chf0.1 2,827 Shares of Common Stock                                      172,817
      Sgs Sa Chf0.04 (Regd) 41,474 Shares of Common Stock                                   4,159,070
      Shangri-La Asia Hkd1 680,888 Shares of Common Stock                                      464,564
      Sharkninja Com Usd0.0001 46,700 Shares of Common Stock                                   4,546,712
      Ship Healthcare Holdings Inc Npv 30,855 Shares of Common Stock                                      432,905
      Shoei Co Ltd Npv 39,245 Shares of Common Stock                                      562,605
      Siemens Ag Npv(Regd) 60,292 Shares of Common Stock                                 11,772,247
      Simmons 1St Natl Corp Cl A $0.01 Par Cl A $0.01 Par 125,192 Shares of Common Stock                                   2,776,759
      Sirius Xm Hldgs Inc New Com 139,206 Shares of Common Stock                                   3,173,897
      Siteone Landscape Supply Inc Com 32,912 Shares of Common Stock                                   4,336,814
      Sitime Corp Com 10,037 Shares of Common Stock                                   2,153,238
      Sitio Royalties Corp Com Cl A 198,981 Shares of Common Stock                                   3,816,456
      Sl Corporation Krw500 17,258 Shares of Common Stock                                      353,448
      Sm Energy Co Com 133,625 Shares of Common Stock                                   5,179,305
      Sonic Automotive Inc Cl A 38,630 Shares of Common Stock                                   2,447,211
      Soulbrain Co Ltd Krw500 4,326 Shares of Common Stock                                      486,038
      Southern Co Com Stk 238,382 Shares of Common Stock                                 19,623,606
      Spar Nord Bank As Dkk10 43,605 Shares of Common Stock                                   1,247,310
      Sparebank 1 Smn Nok25 54,034 Shares of Common Stock                                      815,076
      Spectris Ord Gbp0.05 16,196 Shares of Common Stock                                      508,720
      Sprout Social Inc Com Cl A Com Cl A 39,125 Shares of Common Stock                                   1,201,529
      Sps Comm Inc Com 37,864 Shares of Common Stock                                   6,966,597
      Ss&C Technologies Hldgs Inc Com 23,000 Shares of Common Stock                                   1,742,940
      Stabilus Se Common Stock 12,484 Shares of Common Stock                                      391,047
      Stanley Black & Decker Inc Com 265,876 Shares of Common Stock                                 21,347,184
      Steadfast Group Npv 289,021 Shares of Common Stock                                   1,037,895
               
               (continued) 

     

    - 28 -

     

    MORGAN STANLEY 401(k) PLAN
    Plan Number 003,     Employer Identification Number 20-8764829
    FORM 5500, SCHEDULE H, LINE 4i — 
    SCHEDULE OF ASSETS (HELD AT END OF YEAR)
    AT DECEMBER 31, 2024

     

     

                (e)  
      (b) (c)  (d)      Current   
    (a) Identity of Issuer Description of Investment  Cost**      Value  
      Corporate Equities (continued)        
      Stepan Co Com 70,190 Shares of Common Stock                                   4,541,293
      Stepstone Group Inc Cl A Cl A 168,632 Shares of Common Stock                                   9,760,420
      Stockland Npv (Stapled) 573,660 Shares of Stapled Securities                                   1,704,872
      Sumco Corporation Npv 56,411 Shares of Common Stock                                      424,626
      Sumitomo Mitsui Financial Group Npv 123,500 Shares of Common Stock                                   2,957,839
      Sun Hung Kai Prop Npv 138,591 Shares of Common Stock                                   1,331,860
      Suncor Energy Inc New Com Stk 355,430 Shares of Common Stock                                 12,681,742
      Sunstone Hotel Invs Inc New Com 217,030 Shares of Common Stock                                   2,569,635
      Suruga Bank Npv 125,910 Shares of Common Stock                                      903,706
      Svitzer Group A/S Dkk10 11,536 Shares of Common Stock                                      359,138
      Swiss Re Ag Chf0.10 12,049 Shares of Common Stock                                   1,744,363
      Taiyo Yuden Co Ltd Npv 17,387 Shares of Common Stock                                      251,025
      Tandem Diabetes Care Inc Com New Com  Usd0.001(Post Rev Splt) 197,957 Shares of Common Stock                                   7,130,411
      Tapestry Inc Com Usd0.01 122,920 Shares of Common Stock                                   8,030,364
      Td Synnex Corporation Com Usd0.001 27,400 Shares of Common Stock                                   3,213,472
      Te Connectivity Plc Com Usd0.01 112,111 Shares of Common Stock                                 16,028,510
      Tecan Group Ag Chf0.10 (Regd) 1,625 Shares of Common Stock                                      363,283
      Teradyne Inc Com 33,850 Shares of Common Stock                                   4,262,392
      Terreno Rlty Corp 14,005 Shares of Common Stock                                      828,256
      Texas Instruments Inc Com 55,412 Shares of Common Stock                                 10,390,304
      Tgs Asa 29,011 Shares of Common Stock                                      289,667
      The Baldwin Insurance Group Inc Class A Common Stock 121,441 Shares of Common Stock                                   4,707,053
      The Cigna Group 24,781 Shares of Common Stock                                   6,843,025
      The Cooper Companies, Inc. 64,160 Shares of Common Stock                                   5,898,229
      The Hartford Insurance Group Inc Com Usd0.01 281,915 Shares of Common Stock                                 30,841,501
      The Trade Desk Inc Com Cl A Com Cl A 74,350 Shares of Common Stock                                   8,738,356
      Thermo Fisher Scientific Inc Com Usd1 39,775 Shares of Common Stock                                 20,692,148
      Thermon Group Hldgs Inc 84,271 Shares of Common Stock                                   2,424,477
      Tkh Group Nv Cva Eur0.25 12,637 Shares of Common Stock                                      436,013
      Tokyo Gas Co Ltd Npv 39,320 Shares of Common Stock                                   1,093,334
      Tokyo Tatemono Co Npv 42,975 Shares of Common Stock                                      712,877
      Toyo Suisan Kaisha Npv 10,621 Shares of Common Stock                                      727,170
      Tractor Supply Co Com 72,850 Shares of Common Stock                                   3,865,421
      Transalta Corp Mtn Com Npv 77,275 Shares of Common Stock                                   1,092,338
      Transcat Inc Com 19,271 Shares of Common Stock                                   2,037,716
      Transdigm Group Inc Com 10,864 Shares of Common Stock                                 13,767,730
      Txnm Energy Inc Com Npv 103,097 Shares of Common Stock                                   5,069,279
      Tyson Foods Inc Cl A Com (Delaware) 66,512 Shares of Common Stock                                   3,820,449
      U S Physical Therapy Com 17,290 Shares of Common Stock                                   1,533,796
      Ubisoft Entertain Npv 22,770 Shares of Common Stock                                      310,055
      Ubs Group Ag Usd0.10 (Regd) 396,039 Shares of Common Stock                                 12,118,247
      Ucb Npv 32,816 Shares of Common Stock                                   6,531,142
      Ulta Beauty Inc  Com Stk Usd0.01 2,800 Shares of Common Stock                                   1,217,804
      Ultragenyx Pharmaceutical Inc Com 51,493 Shares of Common Stock                                   2,166,311
      Unibail-Rodamco- Westfield 14,043 Shares of Stapled Securities                                   1,057,460
               
               (continued) 

     

    - 29 -

     

    MORGAN STANLEY 401(k) PLAN
    Plan Number 003,     Employer Identification Number 20-8764829
    FORM 5500, SCHEDULE H, LINE 4i — 
    SCHEDULE OF ASSETS (HELD AT END OF YEAR)
    AT DECEMBER 31, 2024

     

     

                (e)  
      (b) (c)  (d)      Current   
    (a) Identity of Issuer Description of Investment  Cost**      Value  
      Corporate Equities (continued)        
      Unicredit Spa Npv 28,194 Shares of Common Stock                                   1,124,733
      Union Pac Corp Com 66,646 Shares of Common Stock                                 15,197,954
      Unite Group Ord Gbp0.25 93,496 Shares of Common Stock                                      944,366
      Unite Group Ord Gbp0.25 70,985 Shares of Common Stock                                      716,992
      United Parcel Svc Inc Cl B 177,667 Shares of Common Stock                                 22,403,809
      Unitedhealth Group Inc Com 51,734 Shares of Common Stock                                 26,170,161
      Upstart Hldgs Inc Com 144,554 Shares of Common Stock                                   8,900,190
      Urban Edge Pptys Com 222,839 Shares of Common Stock                                   4,791,039
      Us Bancorp 297,204 Shares of Common Stock                                 14,215,267
      Us Foods Hldg Corp Com 31,900 Shares of Common Stock                                   2,151,974
      Vallourec Sa Eur0.02 (Post Consolidation) 59,581 Shares of Common Stock                                   1,013,050
      Value Added Techno Krw500 21,995 Shares of Common Stock                                      282,081
      Veeco Instrs Inc Del Com 151,827 Shares of Common Stock                                   4,068,964
      Ventas Inc Reit 83,902 Shares of Common Stock                                   4,940,989
      Veritex Hldgs Inc Com 61,523 Shares of Common Stock                                   1,670,965
      Verra Mobility Corp 217,902 Shares of Common Stock                                   5,268,870
      Vertex Inc Cl A Cl A 92,381 Shares of Common Stock                                   4,928,526
      Vertiv Holdings Llc  Com Usd0.0001 129,310 Shares of Common Stock                                 14,690,909
      Viatris Inc 742,280 Shares of Common Stock                                   9,241,386
      Viatris Inc 267,500 Shares of Common Stock                                   3,330,375
      Viavi Solutions Inc Com Npv 295,189 Shares of Common Stock                                   2,981,409
      Vicat Sa Eur4 17,543 Shares of Common Stock                                      665,776
      Vici Pptys Inc Com 109,791 Shares of Common Stock                                   3,206,995
      Virbac Sa Eur1.25 1,391 Shares of Common Stock                                      455,880
      Vistra Corp Com Usd0.01 48,110 Shares of Common Stock                                   6,632,926
      Vistry Group Plc Gbp0.50 67,647 Shares of Common Stock                                      484,605
      Vital Energy Inc Com Usd0.01(Post Rev Split) 174,356 Shares of Common Stock                                   5,391,088
      Vonovia Se Npv 85,470 Shares of Common Stock                                   2,594,943
      Vonovia Se Npv 128,989 Shares of Common Stock                                   3,916,217
      Vontier Corp Com Usd0.0001 Wi 82,311 Shares of Common Stock                                   3,001,882
      Vornado Rlty Tr Com 28,012 Shares of Common Stock                                   1,177,624
      Vse Corp Com 19,884 Shares of Common Stock                                   1,890,968
      Vulcan Materials Co Com 26,700 Shares of Common Stock                                   6,868,041
      Wacker Chemie Ag Npv(Br) 2,988 Shares of Common Stock                                      216,709
      Walgreens Boots Alliance Inc Com 363,900 Shares of Common Stock                                   3,395,187
      Wal-Mart De Mex Com Npv 572,900 Shares of Common Stock                                   1,512,377
      Walmart Inc Com 370,619 Shares of Common Stock                                 33,485,427
      Walt Disney Co 150,851 Shares of Common Stock                                 16,797,259
      Warehouses De Pauw Npv 22,263 Shares of Common Stock                                      438,013
      Warner Bros Discovery Inc 306,700 Shares of Common Stock                                   3,241,819
      Waste Connections Inc Com 36,370 Shares of Common Stock                                   6,240,365
      Wells Fargo & Co New Com Stk 544,717 Shares of Common Stock                                 38,260,922
      Welltower Inc Com Reit 55,023 Shares of Common Stock                                   6,934,549
      Wesco Intl Inc Com 12,200 Shares of Common Stock                                   2,207,712
      Westn Digital Corp Com 109,944 Shares of Common Stock                                   6,555,961
               
               (continued) 

     

    - 30 -

     

    MORGAN STANLEY 401(k) PLAN
    Plan Number 003,     Employer Identification Number 20-8764829
    FORM 5500, SCHEDULE H, LINE 4i — 
    SCHEDULE OF ASSETS (HELD AT END OF YEAR)
    AT DECEMBER 31, 2024

     

     

                (e)  
      (b) (c)  (d)      Current   
    (a) Identity of Issuer Description of Investment  Cost**      Value  
      Corporate Equities (continued)        
      Wetherspoon (J.D) Ord Gbp0.02 70,496 Shares of Common Stock                                      529,735
      Wharf Real Estate Hkd0.1 142,000 Shares of Common Stock                                      363,046
      Whitehaven Coal Npv 117,405 Shares of Common Stock                                      450,686
      Wienerberger Ag Npv 18,569 Shares of Common Stock                                      514,931
      Wihlborgs Fast. Ab Npv 116,689 Shares of Common Stock                                   1,106,773
      Williams Co Inc Com 167,521 Shares of Common Stock                                   9,066,237
      Willis Towers Watson Plc Com Usd0.000115 5,000 Shares of Common Stock                                   1,566,200
      Wing Tai Holdings Npv 473,971 Shares of Common Stock                                      430,820
      Wingstop Inc Com 6,751 Shares of Common Stock                                   1,918,634
      Wizz Air Hldgs Plc Ord Gbp0.0001 119,317 Shares of Common Stock                                   2,150,335
      Xometry Inc Cl A Com Cl A Com 31,915 Shares of Common Stock                                   1,361,494
      Yeti Hldgs Inc Com 72,564 Shares of Common Stock                                   2,794,440
      Zegona Communicati Ord Gbp0.01 70,200 Shares of Common Stock                                      367,499
      Zenkoku Hosho Co L Npv 19,176 Shares of Common Stock                                      676,455
      Zimmer Biomet Hldgs Inc Com 21,700 Shares of Common Stock                                   2,292,171
      Zimmer Biomet Hldgs Inc Com 223,778 Shares of Common Stock                                 23,637,674
      Zuken Inc Npv 15,258 Shares of Common Stock                                      402,906
      Zumtobel Group Ag 47,176 Shares of Common Stock                                      239,369
        Corporate Equities Total                         6,134,568,486
      Cash and Cash Equivalents        
      Cash and cash equivalents Foreign currency                                   7,623,277
        Cash and Cash Equivalents Total                                 7,623,277
      Government Securities        
      Federal Home Loan Banks Federal Home Ln Bk Disc Nt 0%         04-04-2025                                 15,336,176
      Federal Home Loan Banks Federal Home Ln Bks Cons Bd Dtd    09/25/2024 Fltg 4.385% 03-25-2025                                 15,106,115
      Federal Home Loan Banks Federal Home Loan Bank Fltg Rt        07-21-2025                                 13,191,433
      Federal Home Loan Banks Federal Home Ln Bks Cons Bd Dtd    07/11/2024 Fltg 4.295% 01-13-2025                                 12,000,329
      Federal Home Loan Banks Federal Home Ln Bk Disc Nt     01-27-2025                                 10,527,654
      Federal Home Loan Banks Federal Home Loan Banks 03-07-2025                                   9,823,498
      Federal Home Loan Banks Federal Home Ln Bk Disc Nt     02-11-2025                                   7,099,830
      Federal Home Loan Banks Federal Home Ln Bks Cons Bd Dtd     11/01/2024 Fltg 4.35% 02-03-2025                                   6,900,703
      Federal Home Loan Banks Federal Home Ln Bks Cons Bd Dtd     07/23/2024 Fltg 4.35% 02-03-2025                                   6,500,653
      Federal Home Loan Banks Federal Home Ln Bk Fltg       06-26-2026                                   6,333,629
      Federal Home Loan Banks Federal Home Ln Bks Cons Bd Dtd   12/13/2024 Fltg 4.36% 05-20-2025                                   5,684,908
      Federal Home Loan Banks Federal Home Loan Banks 05-02-2025                                   4,732,900
      Federal Home Loan Banks Federal Home Loan Banks Disc Nt    02-10-2025                                   4,115,103
      Federal Home Loan Banks Federal Home Ln Bk Disc Nt 01-03-2025                                   3,998,597
      Federal Home Loan Banks Federal Home Ln Bks Cons Bd Dtd    11/01/2024 Fltg 4.365% 03-05-2025                                   3,800,203
      Federal Home Loan Banks Federal Home Loan Banks Fltg 02-27-2025                                   3,600,432
      Federal Home Loan Banks Federal Home Loan Banks Fltg 01-27-2025                                   2,700,110
      Federal Home Loan Banks Federal Home Ln Bks Cons Bd Dtd    12/20/2024 Fltg 4.365% 06-23-2025                                   2,599,970
      Federal Home Loan Banks Federal Home Loan Banks Fltg 5.355% 02-25-2025                                   2,100,255
      Federal Home Loan Banks Federal Home Ln Bk Disc Nt     01-24-2025                                   1,730,130
      Federal Home Loan Banks Federal Home Ln Bks Cons Bd Dtd    12/20/2024 Fltg 4.36% 05-22-2025                                      899,993
      FFCB Federal Farm Credit Fltg 10-15-2026                                 11,700,195
               
               (continued) 

     

    - 31 -

     

    MORGAN STANLEY 401(k) PLAN
    Plan Number 003,     Employer Identification Number 20-8764829
    FORM 5500, SCHEDULE H, LINE 4i — 
    SCHEDULE OF ASSETS (HELD AT END OF YEAR)
    AT DECEMBER 31, 2024

     

     

                (e)  
      (b) (c)  (d)      Current   
    (a) Identity of Issuer Description of Investment  Cost**      Value  
      Government Securities (continued)        
      FFCB Federal Farm Credit Bank Fltg Rt   Due 05-27-2025                                   9,504,268
      FFCB Fed Farm Cr Bks Cons Systemwide Bds Dtd 4.46% 01-23-2025                                   7,620,295
      FFCB Federal Farm Credit Bank Fltg 10-16-2026                                   6,500,167
      FFCB Federal Farm Cr 5.42% 06-26-2026                                   2,284,509
      FFCB Federal Farm Credit Bank Fltg Rt 11-17-2025                                   2,201,569
      FFCB Federal Farm Credit Bank 5.0% 04-04-2025                                   1,872,906
      FFCB Federal Farm Credit Bank Fltg 12-23-2026                                      999,964
      FFCB Federal Farm Cr Bks  Fltg Rt 06-24-2026                                      899,805
      FFCB Federal Farm Credit Fltg 06-20-2025                                      586,995
      FHLMC Federal Home Ln Mtg Corp Fltg Rt 09-23-2026                                   3,899,917
      FHLMC Federal Home Ln Mtg Corp Fltg Rt 10-16-2026                                   2,899,925
      FHLMC Federal Home Ln Mtg Corp .68% Due 08-06-2025/08-06-2021 Reg                                   2,739,480
      FHLMC Federal Home Ln Mtg Corp Dtd 10/23/2020 .65% 10-22-2025                                   2,137,330
      FHLMC Federal Home Ln Mtg Corp Dtd 10/27/2020 .65% 10-27-2025                                   1,359,101
      FHLMC Fhlm Multi Family Structured Pass Thro Ser Kbx1 Cl A2 2.92%  01-25-2026                                      745,013
      FHLMC Federal Home Loan Mortgage Corp 5.5%    08-01-2054                                      387,866
      FHLMC Fhlmc Multiclass Fhms Q029 A Fltg       25/8/2027 08-25-2027                                      249,999
      FHLMC Federal Home Ln Mtg Corp Ser 5442 Cl Fb Fltg 08-25-2054                                      235,364
      FHLMC Fhlm Multi Family Structured Pass Thro Ser Kbx1 Cl A2 2.92%  01-25-2026                                      206,948
      FHLMC Federal Home Ln Mtg Corp Pool #Zm2479 4%01-01-2047 Beo                                      180,698
      FHLMC Fhlmc Multiclass Sr 4153 Cl Dc 1.75% 05-15-2041                                        91,194
      FHLMC Federal Home Ln Mtg Corp Pool #Zm5146 4%12-01-2047 Beo                                        88,058
      FHLMC Federal Home Ln Mtg Corp Ser 4678 Cl Af Fltg Rt 12-15-2042                                        43,429
      FHLMC Fhlmc Multiclass Ser 4620 Cl Af    11-15-2042                                        28,888
      FHLMC Federal Home Ln Mtg Corp Pool #J17884 3%01-01-2027 Beo                                          3,491
      FHLMC Fhlmc Multiclass Ser K730 Cl A2 3.59%   01-25-2025 Reg                                          3,068
      FNMA Fnma 30 Year Pass-Throughs 6% 30 Years  Settles February                                   7,230,149
      FNMA Fnma Single Family Mortgage 4.5% 30 Years Settles March                                   6,294,335
      FNMA Fnma Fltg Rt 11-20-2026                                   5,600,139
      FNMA Fnma Fltg 10-23-2026                                   4,633,989
      FNMA Fnma Pool #Ma5295 6% 03-01-2054 Beo                                   3,594,211
      FNMA Fnma Single Family Mortgage 4% 30 Years Settles March                                   2,741,216
      FNMA Fnma Tranche 852 .7% Due  07-30-2025                                   1,371,056
      FNMA Fnma Pool #Fm3004 4% 01-01-2046 Beo                                   1,178,757
      FNMA Fnma Single Family Mortgage 4% 30 Years Settles March                                   1,175,068
      FNMA Fnma 30 Year Pass-Throughs 6.5% 30 Years  Settles February                                   1,020,543
      FNMA Fnma Pool #Ma4700 4% 08-01-2052 Beo                                      847,514
      FNMA Fnma Ser 19-28 Cl Fj Fltg  Due 06-25-2059 Reg                                      336,597
      FNMA Fnma Sr 06-114 Cl Af Fltg  12-25-2036                                      296,357
      FNMA Fnma Remic Ser 12-120 Cl We 1.25%   11-25-2027                                      273,853
      FNMA Fnma Pool #Ma3029 3% Due 06-01-2032 Reg                                      235,555
      FNMA Fnma Pool #Bl0449 3.59% 12-01-2025                                      198,085
      FNMA Fnma Pool #Bl1942 3.15% 03-01-2026                                      196,798
      FNMA Federal National Mortgage Assoc 6.5%  10-01-2053                                      162,078
      FNMA Fnma Pool #Ma2871 3% 01-01-2032 Beo                                      161,839
               
               (continued) 

     

    - 32 -

     

    MORGAN STANLEY 401(k) PLAN
    Plan Number 003,     Employer Identification Number 20-8764829
    FORM 5500, SCHEDULE H, LINE 4i — 
    SCHEDULE OF ASSETS (HELD AT END OF YEAR)
    AT DECEMBER 31, 2024

     

     

                (e)  
      (b) (c)  (d)      Current   
    (a) Identity of Issuer Description of Investment  Cost**      Value  
      Government Securities (continued)        
      FNMA Fnma Pool #Fm1549 4% 09-01-2048 Beo                                      114,205
      FNMA Fnma Pool #Bl3670 2.08% 10-01-2026 Beo                                        95,803
      FNMA Fnma Pool #Fs8344 4% 06-01-2049 Beo                                        88,780
      FNMA Fnma Pool #Ab3968 3% 12-01-2026 Beo                                        80,119
      FNMA Fnma Pool #Av3961 4% 01-01-2029 Beo                                        32,787
      FNMA Federal Natl Mtg Assn Gtd Mtg Pool   #Al5548 7.166% Due 05-01-2038 Beo                                        16,113
      FNMA Federal Natl Mtg Assn Gtd Mtg Pool   #Aj8540 3% 01-01-2027 Beo                                        12,502
      Fannie Mae  Fannie Mae Fltg Rt 07-29-2026                                 12,188,398
      Fannie Mae  Fannie Mae Fltg Rt 12-11-2026                                   4,799,676
      Fannie Mae  Fannie Mae Fltg Rt 08-21-2026                                   3,799,864
      Fannie Mae  Fannie Mae Fn Cb5774 5.5% 02-01-2053                                   1,866,331
      Fannie Mae  Fannie Mae Bx9727 5% 04-01-2053                                      631,397
      Freddie Mac Freddie Mac Pool Fr Sd8452 5% 1/8/2054  5% 08-01-2054                                   9,851,680
      Freddie Mac Freddie Mac Multiclass Sr 5410 Cl Fb    Fltg Rt 05-25-2054                                      621,190
      Freddie Mac Freddie Mac Pool Fr Qi6910 5.5% 1/6/20545.5% 06-01-2054                                      481,611
      Freddie Mac Freddie Mac Fr Qi6051 5.5% 1/5/2054 5.5%05-01-2054                                      480,295
      Freddie Mac Freddie Mac Sr 5426 Cl Cf Fltg Rt  6.2237%   12-15-2050                                      177,739
      Freddie Mac Freddie Mac Sr 5345 Cl A 5.5% 01-25-2047                                      139,558
      GNMA Gnma Ii Jumbos 3.5 30 Years Settles Feb                                   5,359,973
      GNMA Gnma 2022-H24 Remic Passthru Ctf   5.51598% 11-20-2072                                   1,489,158
      GNMA Gnma 5.50598% 11-20-2072                                   1,207,433
      GNMA Gnma Sr 23-H21 Cl Fa Fltg Rt 09-20-2073                                      755,768
      GNMA Gnma Sr 23-H19 Cl Fa Fltg Rt 08-20-2073                                      710,025
      GNMA Government National Mortgage Assoc   5.84598% 08-20-2071                                      505,163
      GNMA Gnma Sr 23-H12 Cl Fa Fltg Rt 05-20-2073                                      492,953
      GNMA Government National Mortgage Assoc   5.14598% 04-20-2072                                      497,873
      GNMA Gnma Remic Passthru Ctf Sr 20-H14 Cl Fh 0.0% 08-20-2070                                      407,011
      GNMA Gnma Pool #Ma5764 4.5% 02-20-2049 Beo                                      297,368
      GNMA Gnma Sr 24-Ho4 Cl Fa Fltg Rt  02-20-2074                                      291,611
      GNMA Gnma 2017-H05 Remic Passthru Ctf Cl Fc Fltg 02-20-2067                                      242,919
      GNMA Gnma Ser 15-H08 Cls Fb Fltg  Due 03-20-2065                                      238,461
      GNMA Gnma 2019-H11 Remic Passthru Ctf  5.04004% 05-20-2069                                      206,259
      GNMA Gnma Sr 23-H19 Cl Fa Fltg Rt 08-20-2073                                      202,864
      GNMA Gnma 2016-H17 Mtg Pass Thru Ctf Cl Mx Fc08-20-2066                                      162,428
      GNMA Gnma Pool #Ma5265 4.5% 06-20-2048 Beo                                      143,649
      GNMA Gnma Remic Passthru Ctf Ser 2015-H18 Cl Fb  Fltg Rt Due 07-20-2065                                        90,328
      GNMA Gnmaii Pool #Ma8199M 3.5% Due 08-20-2052Reg                                        86,355
      GNMA Gnma Fltg Rt Ser 18-H15 Cl Fg  08-20-2068 Reg                                        84,389
      GNMA Gnma Remic Sr 16-H09 Cl Fb  Fltg Rt 04-20-2066                                        30,820
      GNMA Gnma Remic 2015-H30 Cl Fd Flt Rt  10-20-2065                                        22,288
      GNMA Gnma Ser 19-H05 Cl Ft Frn Due 04-20-2069 Reg                                        21,957
      GNMA Gnma Remic  Ser 2013-H16 Cl Fa  Fltg 07-20-2063                                        10,218
      GNMA Gnma 2016-H20 Remic Passthru Ctf Cl Fg  08-20-2066                                          5,381
      Australia PVTPL NBN CO LTD 4.0%  10-01-2027                                      294,231
      Brazil SECRETARIA TESOURO 0% T-BILL 01/04/25   BRL1000                                      988,774
               
               (continued) 

     

    - 33 -

     

    MORGAN STANLEY 401(k) PLAN
    Plan Number 003,     Employer Identification Number 20-8764829
    FORM 5500, SCHEDULE H, LINE 4i — 
    SCHEDULE OF ASSETS (HELD AT END OF YEAR)
    AT DECEMBER 31, 2024

     

     

                (e)  
      (b) (c)  (d)      Current   
    (a) Identity of Issuer Description of Investment  Cost**      Value  
      Government Securities (continued)        
      Canada CANADA(GOVT OF) 4.25% IDX/LKD 01/12/26  CAD                                      271,559
      Canada PVTPL NOVA CHEMICALS CORP 8.5%  11-15-2028                                      114,394
      France FRANCE(GOVT OF) IDX/LKD SNR 01/03/2026  EUR1                                   1,485,325
      France FRANCE(GOVT OF) IDX/LKD SNR 25/07/2031  EUR1                                      472,526
      France FRANCE(GOVT OF) IDX/LKD BDS 25/07/2038  EUR1                                      207,539
      France FRANCE(GOVT OF) IDX/LKD SNR 25/07/2027  EUR1                                      144,630
      Italy ITALY(REP OF) IDX/LKD SNR 26/05/2025 EUR                                   4,861,978
      Italy ITALY(REP OF) IDX/LKD SNR 15/05/2030 EUR                                      482,779
      Italy PVTPL CASSA DEPOSITI E PRESTIT 5.875% 04-30-2029                                      305,460
      Mexico MEXICO(UTD MEX ST) 4% GTD 24/08/2034    DUAL CURR                                      106,716
      Poland REPUBLIC OF POLAND 4.625% 03-18-2029                                      395,436
      United States United States Of Amer Treas Notes Fltg Rt07-31-2025                                 32,743,280
      United States United States Of Amer Treas Bills 0%    T-Bill 01-28-2025                                 32,431,443
      United States United Sts Treas Bills 0% T-Bill 05-08-2025                                 30,377,941
      United States United States Of Amer Treas Bills 0% T-Bill03-04-2025                                 28,993,830
      United States United Sts Treas Bills  0% T-Bill 06-20-2025                                 26,227,506
      United States United States Of Amer Treas Bills 0%    T-Bill 06-26-2025                                 24,988,672
      United States United Sts Treas Bills 0% T-Bill 05-29-2025                                 24,675,070
      United States United States Of Amer Treas Notes Fltg  10-31-2026                                 24,611,122
      United States United States Of Amer Treas Bills 0% T-Bill  02-11-2025                                 23,564,966
      United States United Sts Treas Bills 01-14-2025 Unitedsts Treas Bills                                 22,982,843
      United States United Sts Treas Bills 03-25-2025 Unitedsts Treas Bills                                 22,880,125
      United States United States Of Amer Treas Bills 0% 0% T-Bill 01-07-2025                                 20,488,348
      United States United States Of Amer Treas Notes 3.625%05-15-2026                                 19,140,172
      United States United States Of Amer Treas Bills 0% T-Bill 01-23-2025                                 18,211,621
      United States United States Of Amer Treas Bills 0% T-Bill05-01-2025                                 18,048,468
      United States United States Of Amer 0% T-Bill  03-18-2025                                 16,896,796
      United States United States Treas Nts Dtd 04/30/2024  Fltg Rate 4.38996% 04-30-2026                                 16,400,287
      United States United Sts Treas Bills 0% T-Bill 04-22-2025                                 16,387,728
      United States United States Of Amer Treas Notes Fltg Rt 01-31-2026                                 16,026,925
      United States United Sts Treas Bills 0% T-Bill  01-09-2025                                 15,851,724
      United States United Sts Treas Bills 0% T-Bill 04-17-2025                                 15,707,042
      United States United Sts Treas Bills Dtd 12/26/2024 0%12-26-2025                                 14,695,394
      United States United States Of Amer Treas Bills  0% 07-03-2025                                 14,491,424
      United States United States Of Amer Treas Bills 0% T-Bill 01-30-2025                                 14,153,310
      United States United States Of Amer Treas Bills 0%    T-Bill  06-12-2025                                 13,348,287
      United States United States Of Amer Treas Bills 0% T-Bill 02-25-2025                                 13,116,840
      United States United States Of Amer Treas Bills 0% T-Bill       01-21-2025                                 13,085,630
      United States United Sts Treas Nts  0.125% 07-15-2031                                 13,011,640
      United States United States Treas Nts Fltg Rt 07-31-2026                                 12,946,646
      United States United Sts Treas Bills 0% T-Bill  07-10-2025                                 11,741,595
      United States United States Of Amer Treas Bills 0% T-Bill   02-04-2025                                 11,311,352
      United States United States Of Amer Treas Notes Fltg Rt 01-31-2025                                 10,000,324
      United States United States Of Amer Treas Bills 0% T-Bill   04-03-2025                                   9,930,796
      United States United States Of Amer Treas Bills 0% 03-06-2025                                   9,926,763
               
               (continued) 

     

    - 34 -

     

    MORGAN STANLEY 401(k) PLAN
    Plan Number 003,     Employer Identification Number 20-8764829
    FORM 5500, SCHEDULE H, LINE 4i — 
    SCHEDULE OF ASSETS (HELD AT END OF YEAR)
    AT DECEMBER 31, 2024

     

     

                (e)  
      (b) (c)  (d)      Current   
    (a) Identity of Issuer Description of Investment  Cost**      Value  
      Government Securities (continued)        
      United States United States Of Amer Treas Notes Fltg Rt  10-31-2025                                   9,732,221
      United States United States Of Amer Treas Notes 0.125%10-15-2026                                   9,343,080
      United States United States Of Amer Treas Bills 0% Tbill01-02-2025                                   9,265,000
      United States Us Treasury Infl Indx 0.125%  01-15-2030                                   8,145,378
      United States United States Treas Infl Index Nts  0.5% 01-15-2028                                   8,047,752
      United States United States Of Amer Treas Bills 0% T-Bill  02-13-2025                                   6,735,529
      United States United Sts Treas Bills 0% T-Bill 04-24-2025                                   6,583,727
      United States United States Treas Nts .625% Due 07-15-2032 Reg                                   6,506,122
      United States United States Of Amer Treas Bills 0% T-Bill 05-22-2025                                   6,257,751
      United States Tsy Infl Ix N/B 0.375%   07-15-2027                                   6,250,871
      United States United States Of Amer Treas Notes Nts   0.125% Infl Index 07-15-2026                                   5,786,925
      United States United States Of Amer Treas Bills  0% T-Bill 01-16-2025                                   5,690,617
      United States United States Of Amer Treas Notes 1.875% 07-15-2034                                   5,460,135
      United States United Sts Treas Bills 0% T-Bill 06-05-2025                                   5,378,100
      United States United States Of Amer Treas Notes 1.125% 01-15-2033                                   5,361,440
      United States Tsy Infl Ix N/B Us Gvt National 0.375%01-15-2027                                   5,270,427
      United States United States Treas Infl Idx 0.25% 07-15-2029                                   5,053,820
      United States United States Treas Nts Dtd 01/15/2023  3.875% 01-15-2026                                   4,983,242
      United States United States Of Amer Treas Bills 0% T-Bill10-30-2025                                   4,890,775
      United States United States Treas Nts Infl Idx Dtd  0.625%  01-15-2026                                   4,847,433
      United States United States Treas Infl Indexed Nts 0.75%  07-15-2028                                   4,589,427
      United States United States Treas Nts .125% Due 07-15-2030                                   4,438,807
      United States United States Of Amer Treas Bonds  04-15-2028                                   4,405,096
      United States United States Of Amer Treas Notes 0.125% 01-15-2031                                   4,348,019
      United States United States Of Amer Treas Notes 1.625%10-15-2027                                   4,342,338
      United States Tsy Infl Ix N/B Tii 0 1/8 01/15/32   01-15-2032                                   4,146,109
      United States United States Of Amer Treas Bills   0% T-Bill 04-15-2025                                   4,134,972
      United States United States Of Amer Treas Bills 0% T-Bill   10-02-2025                                   3,903,445
      United States United Sts Treas Bills 0% T-Bill 11-28-2025                                   3,854,577
      United States Tsy Infl Ix N/B Tii 2 3/8 10/15/28   10-15-2028                                   3,767,358
      United States United States Of Amer Treas Notes 0.125%04-15-2026                                   3,289,154
      United States United Sts Treas Bills 0% T-Bill    04-08-2025                                   3,287,960
      United States United Sts Treas    0.375% 12-31-2025                                   3,119,842
      United States United States Treas Bds 1.375   02-15-2044 Reg                                   3,088,075
      United States United States Treas Bds Index Linked    1.75 Due 01-15-2028 Reg                                   2,980,703
      United States United States Of Amer Treas Bonds 0.75% 02-15-2042                                   2,825,615
      United States Tsy Infl Ix N/B 1.75%  01-15-2034                                   2,757,130
      United States United States Of Amer Treas Notes 4.125%Due 01-31-2025                                   2,699,367
      United States Tsy Infl Ix N/B  Treas Bonds 0.75%   02-15-2045                                   2,680,815
      United States United States Treas Nts Dtd 04-28-2023  1.25% Due 04-15-2028                                   2,665,664
      United States United States Of Amer Treas Bills 0% T-Bill 04-10-2025                                   2,665,387
      United States United States Of Amer Treas Bills 0% T-Bill 03-20-2025                                   2,591,639
      United States United States Of Amer Treas Notes 1.375%   07-15-2033                                   2,236,624
      United States United States Treas Bds 2.125% 02-15-2041                                   2,133,580
      United States Us Treas Bds Index Linked 2.5 Due 01-15-2029 Reg                                   1,988,103
               
               (continued) 

     

    - 35 -

     

    MORGAN STANLEY 401(k) PLAN
    Plan Number 003,     Employer Identification Number 20-8764829
    FORM 5500, SCHEDULE H, LINE 4i — 
    SCHEDULE OF ASSETS (HELD AT END OF YEAR)
    AT DECEMBER 31, 2024

     

     

                (e)  
      (b) (c)  (d)      Current   
    (a) Identity of Issuer Description of Investment  Cost**      Value  
      Government Securities (continued)        
      United States United States Of Amer Treas Bills 0% T-Bill02-06-2025                                   1,867,304
      United States United States Treas Bds Tsy Infl Ix N/B 02-15-2046                                   1,846,322
      United States United States Treas Bds   2.125% 02-15-2054                                   1,809,777
      United States Tsy Infl Ix N/B 1%  Tips 02-15-2048                                   1,727,499
      United States United States Of Amer Bds Indx Lnkd   0.875% 02-15-2047                                   1,681,063
      United States United States Of Amer Treas Notes Fltg  10-15-2029                                   1,578,158
      United States United States Of Amer Treas Notes Infl Idx T-Bond .875% 01-15-2029                                   1,551,554
      United States Us Treas Bds Index Linked 2.00 Due  01-15-2026 Reg                                   1,393,211
      United States United States Treas Nts 4.25%     12-31-2025                                   1,350,327
      United States Tsy Infl Ix N/B Tii 0 1/8 04/15/27   04-15-2027                                   1,285,788
      United States United States Of Amer Treas Bonds 1.5%   02-15-2053                                   1,191,079
      United States Us Treasury Dtd 02/15/2010 02-15-2040                                   1,014,667
      United States United States Of Amer Treas Bonds 0.625% Tips Infl Idx 02-15-2043 Usd1000                                      925,278
      United States United States Of Amer Treas Notes 1.125% 01-15-2033                                      877,326
      United States United States Treas Nts .625% Due  07-15-2032 Reg                                      873,957
      United States United States Of Amer Treas Notes 4.875%04-30-2026                                      806,188
      United States Tsy Infl Ix N/B 0.125% 02-15-2052                                      737,895
      United States United States Treas Bds 0.125% 02-15-2051                                      700,621
      United States United States Of Amer Treas Notes 0.375%  11-30-2025                                      675,954
      United States United States Treas Infl  Nts 0.375%  Dtd 07/15/2015  07-15-2025                                      661,500
      United States United States Treas Bds Inflation Index Linked 3.875% 04-15-2029                                      457,162
      United States United States Of Amer Treas Bonds 0%    T-Bond 02-15-2050                                      422,457
      United States United States Treas Bonds 1.0%  02-15-2049                                      402,256
      United States United States Treas 2.75% 02-28-2025                                      332,162
      United States United States Of Amer Treas Notes 3.875%Due 03-31-2025                                      329,662
      United States Utd States Treas 1.125% Due 02-28-2025                                      328,322
      United States Us Treas Infl Indexed Bonds 3.375 Due 04-15-2032 Ar12 Due 04-15-32 Reg                                      207,895
      United States United States Of Amer Treas Tips  04-15-2029                                      204,350
      United States United States Treas Nts .125% Due 04-15-2025 Reg                                      121,447
      United States United States Of Amer Treas Notes 0.125%Tips 10-15-2025                                      120,243
      United States Us Treas Bds Index Linked Notes 2.375   Due 01-15-2027 Reg                                        94,802
      United States United States Of Amer Treas Notes 2.875%Due 05-15-2032 Reg                                        89,809
      United States Small Business Admin Gtd Dev Partn Ctf  5.12 Due 11-01-2027 Reg                                        35,648
        Government Securities Total                         1,164,600,984
      Corporate Debt Instruments        
      #Reorg/Phh #Reorg/Phh Escrow Exchange Phh Escrow 451Uamy 01-10-2025                                      123,554
      144A Labl Inc  144A Labl Inc New Issue  5.875% 11-01-2028                                        33,854
      522 Fdg Clo 2018-3 A Ltd 522 Fdg Clo 2018-3 A Ltd / 522 Fdg   5.59478% 10-20-2031                                      319,218
      888 Acquisitions Limited 888 Acquisitions Limited Trm Ln B Sr Scd Trm Ln  07-08-2028                                      321,358
      Aar Escrow Issuer Llc Sr Aar Escrow Issuer Llc Sr Nt 144A 6.75%  03-15-2029                                        36,508
      Acadia Healthcare  Acadia Healthcare 5.5% Due 07-01-2028                                        69,716
      Acrisure Llc Acrisure Llc / Acrisure Fin Inc 7.5%  11-06-2030                                      115,322
      Acrisure Llc  Acrisure Llc Tlb1  02-15-2027                                      456,419
      Aecom  Aecom 5.125% Due 03-15-2027                                        67,345
      Air Lease Corp  Air Lease Corp 5.3% 06-25-2026                                      301,940
               
               (continued) 

     

    - 36 -

     

    MORGAN STANLEY 401(k) PLAN
    Plan Number 003,     Employer Identification Number 20-8764829
    FORM 5500, SCHEDULE H, LINE 4i — 
    SCHEDULE OF ASSETS (HELD AT END OF YEAR)
    AT DECEMBER 31, 2024

     

     

                (e)  
      (b) (c)  (d)      Current   
    (a) Identity of Issuer Description of Investment  Cost**      Value  
      Corporate Debt Instruments (continued)        
      Akamai Technologies Inc  Akamai Technologies Inc Sr Nt Conv   1.125% 02-15-2029                                      183,309
      Alcoa Nederland  Alcoa Nederland 5.5% Due 12-15-2027                                      212,757
      Ally Finl Inc  Ally Finl Inc 5.75% Due 11-20-2025                                        56,292
      Ally Finl Inc  Ally Finl Inc 6.7% 02-14-2033                                      402,308
      Ally Finl Inc  Ally Finl Inc 8% Due 11-01-2031                                      152,606
      Ally Finl Inc Sr  Ally Finl Inc Sr Nt Fixed / Fltg 6.992% 06-13-2029                                      105,251
      American Honda Fin Corp  American Honda Fin Corp 5.0%    05-23-2025                                      400,235
      Amerigas Partners  Amerigas Partners 5.5% Due 05-20-2025                                      181,874
      Amerigas Partners  Amerigas Partners 5.75% Due 05-20-2027                                      300,801
      Amerigas Partners  Amerigas Partners 5.875% Due 08-20-2026                                        45,292
      Amern Axle & Mfg  Amern Axle & Mfg 5% Due 10-01-2029                                      239,251
      Amern Axle & Mfg  Amern Axle & Mfg Fixed 6.5%  04-01-2027                                      202,733
      Amern Honda Fin Fltg Rt  Amern Honda Fin Fltg Rt 5.728606%   01-10-2025                                      300,027
      Amgen Inc  Amgen Inc 5.711% 03-01-2025                                      400,219
      Amgen Inc Fixed Amgen Inc Fixed 5.15%  03-02-2028                                      201,439
      Antero Midstream  Antero Midstream 5.75% Due 01-15-2028                                      116,079
      Apache Corp Apache Corp 5.1% Due 09-01-2040                                        82,775
      Archrock Partners  Archrock Partners 6.875% Due 04-01-2027                                      103,533
      Ares European Clo  Ares European Clo 15/10/2031 3.565%  15/10/2031                                      197,755
      Ares European Cvii Frn C Ares European Cvii Frn Clo 10/2030 Eur  ‘A-1-R’                                        74,782
      Ares Lii Clo Ltd / Ares  Ares Lii Clo Ltd / Ares Lii Clo Llc Sr  Nt Cl A-1-R Fltg Rate 5.6017% 04-22-2031                                      231,839
      Asbury Automotive  Asbury Automotive 5% Due 02-15-2032                                      103,075
      Asbury Automotive Group  Asbury Automotive Group Inc 4.75%       03-01-2030                                      104,744
      Asurion Llc Term Loan B8 Asurion Llc Term Loan B8 Due 12-23-2026 Beo                                      177,613
      Asurion, Llc  Fltg Rt Tb Asurion, Llc  Fltg Rt Tbl   07-29-2027                                        54,536
      Atlas Cc Acquisition Corp Atlas Cc Acquisition Corp. Term Loan B  Due 04-28-2028 Beo                                      284,857
      Atlas Cc Acquisition Corp Atlas Cc Acquisition Corp. Term Loan C  Due 02-28-2028 Beo                                        57,937
      Autonation Inc  Autonation Inc 2.4%   08-01-2031                                        63,567
      Autonation Inc Fla Sr Nt Autonation Inc Fla Sr Nt 3.85%   03-01-2032                                        26,912
      Ball Corp  Ball Corp 6.875% Due 03-15-2028                                        54,208
      Bamll Coml Mtg Fltg Rt  Bamll Coml Mtg Fltg Rt 5.47648% Due 09-15-2038                                      381,000
      Bank Amer Corp  Bank Amer Corp 5.875% Due 12-31-2049                                        80,272
      Bank Montreal  Bank Montreal Que 4.567%   09-10-2027                                      299,059
      Barclays Plc  Barclays Plc 2.852%   05-07-2026                                      396,908
      Barclays Plc  Barclays Plc 5.304% Due 08-09-2026 Reg                                      400,757
      Barnes Group Inc  Barnes Group Inc Senior Secured Term Loan 09-03-2030                                        41,882
      Bausch Health Companies  Bausch Health Companies Inc. Term Loan B01-27-2027                                                -   
      Bayer Us Fin Ii Bayer Us Fin Ii 4.375% Due 12-15-2028                                        96,159
      Bentley Sys Inc  Bentley Sys Inc Sr Nt Conv .125% Due 01-15-2026 Reg                                      446,200
      Black Diamond 2019 Frn C Black Diamond 2019 Frn Clo 05/2032 Eur  ‘A-1’                                      288,164
      Blackrock  Blackrock Euro.Vii Frn Clo 10/2031 Eur  ‘A’                                      329,388
      Block Inc Block Inc Sr Nt 2.75% 06-01-2026                                        83,833
      Block Inc  Block Inc Sr Nt 3.5% 06-01-2031                                        67,797
      Blue Racer  Blue Racer 7.25% Due 07-15-2032                                        98,624
      Bombardier Inc  Bombardier Inc Sr Nt 144A 7.125%   06-15-2026                                      101,371
               
               (continued) 

     

    - 37 -

     

    MORGAN STANLEY 401(k) PLAN
    Plan Number 003,     Employer Identification Number 20-8764829
    FORM 5500, SCHEDULE H, LINE 4i — 
    SCHEDULE OF ASSETS (HELD AT END OF YEAR)
    AT DECEMBER 31, 2024

     

     

                (e)  
      (b) (c)  (d)      Current   
    (a) Identity of Issuer Description of Investment  Cost**      Value  
      Corporate Debt Instruments (continued)        
      Boxer Parent Co Inc Boxer Parent Co Inc Tl 07-02-2032                                      266,161
      Buckeye Partners  Buckeye Partners L 3.95% Due 12-01-2026                                      163,631
      Buckeye Partners  Buckeye Partners L 4.5% Due 03-01-2028                                      165,034
      Buckeye Partners  Buckeye Partners L 5.85% Due 11-15-2043                                      237,326
      C&W  C&W Sr Fing 6.875% Due 09-15-2027                                      271,804
      Cairn Cairn Clo Iii B.V. Fltg 144A 15/10/2031                                      392,889
      Camelot  Camelot Fin S A 4.5% Due 11-01-2026                                      124,384
      Capital One  Capital One Multi-Asset Execution Ser 22-A3 Cl A 4.95% Due 10-15-2027                                      501,843
      Carlyle  Carlyle G 14-2 Dac 0% Bds 15/11/2031 Eur                                      317,780
      Carmax  Carmax Auto Owner Tr Ser 24-2 Cl A2A 5.65%05-17-2027                                      260,405
      Carnival Corporation  Carnival Corporation (2028) Term Ln     Senior Secured 10-18-2028                                      139,676
      Carriage Purchaser Inc  Carriage Purchaser Inc Senior Secured Term B Loan 10-02-2028                                      138,796
      Carvana Co  Carvana Co Sr Secd Nt 9.0% / 12.0 % 9%  12-01-2028                                        53,499
      Cco Hldgs Llc  Cco Hldgs Llc / Cco Hldgs Cap Corp Sr Nt144A 4.25% 01-15-2034                                      217,426
      Cco Hldgs Llc Cco Hldgs Llc/Cco Hldgs Cap Corp 4.5%   05-01-2032                                        24,945
      Cco Holdings Llc  Cco Holdings Llc 4.5% 06-01-2033                                      212,871
      Cec Entmt Inc  Cec Entmt Inc 6.75% 05-01-2026                                      257,927
      Celanese Us Hldgs Llc  Celanese Us Hldgs Llc 6.33%      07-15-2029                                        14,285
      Celanese Us Hldgs Llc Celanese Us Hldgs Llc 6.379%    07-15-2032                                        72,138
      Centene Corp  Centene Corp Del 2.625% 08-01-2031                                        79,949
      Centene Corp Centene Corp Del 3% Due 10-15-2030                                      144,139
      Centene Corp  Centene Corp Del Sr Nt 2.45% 07-15-2028                                      116,290
      Centene Corp Centene Corp Del Sr Nt 4.25% 12-15-2027                                        82,467
      Ches Fdg Ii Llc  Ches Fdg Ii Llc Fltg Rt 5.10864% Due 05-15-2036                                      250,137
      Chs / Cmnty Hlth  Chs / Cmnty Hlth 6% Due 01-15-2029                                        62,678
      Citibank  Citibank Cr Card Fltg Rt 5.03234% Due 08-07-2027                                      100,288
      Citibank  Citibank N A 4.929%      08-06-2026                                      100,471
      Citibank  Citibank N A 5.438%      04-30-2026                                      504,551
      Cleveland-Cliffs  Cleveland-Cliffs Fixed 5.875% Due       06-01-2027                                      111,365
      Cloud Software Group Inc Cloud Software Group Inc Tlb 03-30-2029                                      258,247
       Gs Mtg Secs CorpSer Cmo Gs Mtg Secs Corp Ser 2005-Ar6 Cl 1A1Due 09-25-2035 Reg                                                 0
       Harborview Mtg  Cmo Harborview Mtg Ln Ser 05-9 Cl B1 Fltg 06-20-2035                                      179,309
       Harborview Mtg Cmo Harborview Mtg Ln Tr 2005-11 Mtg    Passthru Ctf 2-A1A Due 08-19-2045 Reg                                        72,630
       Ready Cap Mtg Cmo Ready Cap Mtg Fing 2022-Fl8 Llc Nt  Cl A Fltg 01-25-2037                                      202,599
       Structured Asset Mtg Cmo Structured Asset Mtg Invts Ii Inc       Ser 04-Ar2  Cl Ia Var 05-19-2034 Reg                                        10,464
       Wa Mut Mtg Secs Corp Cmo Wa Mut Mtg Secs Corp 2005-Ar1 Cl    A-1A Var Due 12-25-2044 Reg                                        15,667
       Wamu Mtg Cmo Wamu Mtg Pass-Thru Ctfs 2005-Ar8 Ctfcl 2-A-1A Due 07-25-2045 Reg                                        51,025
       Wamu Mtg  Cmo Wamu Mtg Pass-Thru Ctfs Ser   2005-Ar13 Cl A-1A1 Flt 10-25-45                                        95,678
      Cnf Inc  Cnf Inc 6.7% Due 05-01-2034                                      499,974
      Cno Global Fdg  Cno Global Fdg Medium Term Nts Book  5.875% 06-04-2027                                      203,644
      Cobra  Cobra 12.25% Due 11-01-2029                                      213,690
      Columbia / Hca Healthcare Corp Columbia / Hca Healthcare Corp Medium  Term Book Entry # Tr 15 7.58 09-15-2025                                        99,642
      Comm 2021-2400 Mtg  Comm 2021-2400 Mtg Fltg Rt 5.72648% Due 12-15-2038                                      319,489
      Commercehub Inc  Commercehub Inc 2022 Incremental Ln Snr Scd Tl 12-29-2027                                        31,148
      Commercehub Inc  Commercehub Inc Initial Term Loan  (Second Lien) Due 12-29-2028 Beo                                        14,777
               
               (continued) 

     

    - 38 -

     

    MORGAN STANLEY 401(k) PLAN
    Plan Number 003,     Employer Identification Number 20-8764829
    FORM 5500, SCHEDULE H, LINE 4i — 
    SCHEDULE OF ASSETS (HELD AT END OF YEAR)
    AT DECEMBER 31, 2024

     

     

                (e)  
      (b) (c)  (d)      Current   
    (a) Identity of Issuer Description of Investment  Cost**      Value  
      Corporate Debt Instruments (continued)        
      Commercehub Inc Commercehub Inc Initial Term Loan (Firstlien) Due 12-29-2027 Beo                                        67,943
      Commscope Inc  Commscope Inc 7.125% Due 07-01-2028                                        71,297
      Commscope Inc  Commscope Inc Term Loan First Lien      Senior Secured 12-18-2029                                      501,272
      Comstock Res Inc  Comstock Res Inc 6.75% Due 03-01-2029                                        78,740
      Connect Finco  Connect Finco Sarl Amendment No. 4 Term Loan Senior Secured 09-27-2029                                        84,590
      Consensus Cloud  Consensus Cloud 6.5% Due 10-15-2028                                      275,653
      Cqs Us Clo Cqs Us Clo 2022-2 Fltg Rt 6.14317% Due  07-20-2031                                      180,948
      Cr Suisse Ag  Cr Suisse Ag New 3.7% Due 02-21-2025                                      399,200
      Credit Suisse Credit Suisse(Ch) 3.39% Pfbrf 05/12/2025Eur                                      208,820
      Csc Hldis, Llc  Csc Hldis, Llc (Fka Csc Hold(Cablevision)) 22 Refi Tm Ln Snr Sec Tl Due 1-17-28                                      137,308
      Ctr Partnership L P Ctr Partnership L P / Caretrust Cap Sr  Nt 144A 3.875% 06-30-2028                                      260,671
      Cvc Cordatus Xi Frn Clo  Cvc Cordatus Xi Frn Clo 10/2031 Eur ‘A’                                      342,342
      Cvc Cordatus Xi Frn Clo  Cvc Cordatus Xi Frn Clo 10/2031 Eur ‘A’                                      256,757
      Dana Inc Dana Inc 5.375% Due 11-15-2027                                      147,849
      Dana Inc Dana Inc 5.625% Due 06-15-2028                                        51,295
      Delivery Hero Delivery Hero Se Term Loan B Senior Secured 12-12-2029                                      662,090
      Dell Intl L L C Dell Intl L L C/Emc Corp 8.1% 07-15-2036 Usd                                      329,787
      Deutsche Bk  Deutsche Bk Ag N Y Brh 6.119%   07-14-2026                                      301,957
      Digitalocean Hldgs Inc  Digitalocean Hldgs Inc Nt Conv 0%  12-01-2026                                      256,488
      Drop Mtg  Drop Mtg Tr Fltg Rt 5.57648% Due  10-15-2043                                      379,500
      Dryden  Dryden 52 Euro Cl Frn Clo 05/2034 Eur   ‘A-R’                                      269,364
      E2Open Llc E2Open Llc Initial Term Loan Senior  Secured 02-04-2028                                        87,425
      Echostar Corp Echostar Corp 10.75%    11-30-2029                                      358,070
      Echostar Corporation Echostar Corporation 6.75% Pik 11-30-2030                                      239,420
      Echostar Corporation  Echostar Corporation Pik 3.875% 11-30-2030                                      221,154
      Eco Matl  Eco Matl 7.875% Due 01-31-2027                                      489,764
      Elanco Animal Health Inc Elanco Animal Health Inc Term Loan B Due 02-04-2027                                      158,075
      Encino Acqstn Partners Hldgs llc Encino Acqstn Partners Hldgs Llc Sr Nt  144A 8.5% 05-01-2028                                      237,738
      Endo Finance Holdings Inc Endo Finance Holdings Inc Tlb  04-23-2031                                      462,607
      Enpro Inds Inc Corp Enpro Inds Inc Corp 5.75% 10-15-2026                                      154,225
      Enterprise Fleet  Enterprise Fleet 3.03% Due 01-20-2028                                        54,215
      Enterprise Fleet  Enterprise Fleet 5.76% Due 10-22-2029                                        94,468
      Etsy Inc  Etsy Inc Sr Nt Conv .125%    10-01-2026                                        57,953
      Etsy Inc  Etsy Inc Sr Nt Conv .25% 06-15-2028                                        58,061
      Eversource Energy  Eversource Energy Fixed .8% Due  08-15-2025                                      389,842
      Extended Stay  Extended Stay Amer Tr 2021-Esh Mtg Pass Thru Ctf Cl A 144A 5.50648% 07-15-2038                                      352,536
      First Brands Group Llc First Brands Group Llc 2021 Term Loan   First Lien 03-30-2027                                        53,115
      Fmg Res  Fmg Res Aug 2006 4.5% Due 09-15-2027                                      566,608
      Fnz Usa Finco Llc  Fnz Usa Finco Llc Usd Tlb Senior Secured 11-05-2031                                        94,454
      Ford Hldgs Inc  Ford Hldgs Inc 9.3% Due 03-01-2030                                      383,844
      Ford Mtr Co Ford Mtr Co Del 3.25% 02-12-2032                                      148,054
      Ford Mtr Co  Ford Mtr Co Del 6.1%   08-19-2032A                                        52,776
      Ford Mtr Co  Ford Mtr Co Del 9.625% Due 04-22-2030                                      724,251
      Ford Mtr Co  Ford Mtr Cr Co Llc 4.0% Due 11-13-2030  Beo                                      180,192
      Ford Mtr Co  Ford Mtr Cr Co Llc 5.125% 11-05-2026                                      249,792
               
               (continued) 

     

    - 39 -

     

    MORGAN STANLEY 401(k) PLAN
    Plan Number 003,     Employer Identification Number 20-8764829
    FORM 5500, SCHEDULE H, LINE 4i — 
    SCHEDULE OF ASSETS (HELD AT END OF YEAR)
    AT DECEMBER 31, 2024

     

     

                (e)  
      (b) (c)  (d)      Current   
    (a) Identity of Issuer Description of Investment  Cost**      Value  
      Corporate Debt Instruments (continued)        
      Foursight Cap  Foursight Cap 5.99% Due 05-15-2028                                      145,000
      Freddie Mac  Freddie Mac Seasoned Lns Structured Ser 2023-1 Cl A-11 3.25% 10-25-2033                                      232,638
      Frontier Communications  Frontier Communications Hldgs Llc 5.875%11-01-2029                                        78,561
      Frontier Communications  Frontier Communications Holdings Llc    Term Loan B Senior Secured 06-20-2031                                        99,644
      Gainwell Acquisition Corp Gainwell Acquisition Corp Term B Loan   First Lien Senior Secured 10-01-2027                                      141,323
      Garda World Security Corp Garda World Security Corporation Term   Loan B 02-01-2029                                      171,250
      General Mtrs Finl Co Inc General Mtrs Finl Co Inc 5.4%  05-08-2027                                      303,127
      Genesis Energy L P  Genesis Energy L P / Genesis Energy Fin Corp 8.875% Due 04-15-2030                                      127,188
      Genesis Energy L P  Genesis Energy L P 8% Due 01-15-2027                                        31,539
      Genesis Energy L P Genesis Energy L P/Genesis Energy Fin   7.875% 05-15-2032                                      206,639
      Genesis Energy Lp  Genesis Energy Lp Fin 8.0% 05-15-2033                                      137,987
      Georgia Pwr Co Georgia Pwr Co Fltg Rt 05-08-2025                                      300,645
      Gfl Environmental Inc  Gfl Environmental Inc Sr Nt 144A 4.375% 08-15-2029                                        51,045
      Glatfelter Corp Glatfelter Corp Senior Secured Term Loan B  10-10-2031                                        73,530
      Global Med Response Inc  Global Med Response Inc Sr Secd Nt 144A 10% 10-30-2028                                        16,440
      Global Med Response Inc  Global Medical Response Inc Pik Term Loan Senior Secured 10-02-2028                                      706,373
      Global Pmts Inc Global Pmts Inc 4.95% Due 08-15-2027                                      400,491
      Gm Finl Consumer Automob Gm Finl Consumer Automobile Receivables Ser 2024-2 Cl A2B Fltg Rt 03-16-2027                                      230,513
      Goeasy Ltd Goeasy Ltd Sr Nt 144A 4.375% 05-01-2026                                      164,868
      Goldman Sachs Group Inc  Goldman Sachs Group Inc 5.798%   08-10-2026                                      402,213
      Goodyear  Goodyear Tire & 5% Due 05-31-2026                                        38,387
      Goodyear  Goodyear Tire & 9.5% Due 05-31-2025                                      229,447
      Goodyear  Goodyear Tire & Rubr Co Sr Nt 5%  07-15-2029                                        25,712
      Goodyear  Goodyear Tire & Rubr Co Sr Nt 5.25%   04-30-2031                                        83,854
      Graham Hldgs Co  Graham Hldgs Co 5.75% Due 06-01-2026                                      109,539
      Great Outdoors Group Llc Great Outdoors Group Llc Term B-2 Loan 03-06-2028                                        40,827
      Gs Mtg Backed  Gs Mtg Backed Secs Fltg Rt 2.5% Due  08-25-2052                                      270,092
      Gs Mtg Backed  Gs Mtg Secs Corp Fltg Rt 5.38% Due  12-15-2036                                      398,849
      Gs Mtg Backed  Gs Mtg-Backed Secs Fltg Rt 2.5% Due  04-25-2052                                      248,095
      Gs Mtg Backed  Gs Mtg-Backed Secs Tr 2022-Hp1 Mtg   Passthru Ctf Cl A-2 3% 09-25-2052                                      288,280
      Guardant Health Inc  Guardant Health Inc Sr Nt Conv 0.0% Due 11-15-2027 Re                                      432,150
      Gulfport Energy Corp Gulfport Energy Corp 6.75%    09-01-2029                                      229,589
      Gxo Logistics Inc  Gxo Logistics Inc Nt 2.65% 07-15-2031                                        83,786
      Harley-Davidson Motorcycle Harley-Davidson Motorcycle Tr Sr 24-A Cl A2 5.65% 02-16-2027                                      381,151
      Hca Inc  Hca Inc 3.5% Due 07-15-2051 Beo                                      206,037
      Heartland Dental Llc  Heartland Dental Llc Tl Term Loan   04-28-2028                                      165,466
      Hertz  Hertz Veh Fing Iii 3.73% Due 09-25-2026                                      397,799
      Hewlett Packard  Hewlett Packard 4.45% Due 09-25-2026                                      248,721
      HilCorp Energy  Hilcorp Energy I L 6% Due 02-01-2031                                      108,201
      Hillenbrand Inc  Hillenbrand Inc 3.75% Due 03-01-2031 Beo                                        44,578
      Hillenbrand Inc  Hillenbrand Inc 6.25%   02-15-2029                                          2,998
      Hlf Financing Sarl Llc  Hlf Financing Sarl Llc Senior Secured Term Loan 04-05-2029                                                -   
      Host Hotels  Host Hotels & Fixed 3.5% Due 09-15-2030                                        34,416
      Hp Enterprise Co  Hp Enterprise Co 4.4% 09-25-2027                                        49,481
      Hsbc Usa Inc Hsbc Usa Inc New 5.625% 03-17-2025                                      400,732
               
               (continued) 

     

    - 40 -

     

    MORGAN STANLEY 401(k) PLAN
    Plan Number 003,     Employer Identification Number 20-8764829
    FORM 5500, SCHEDULE H, LINE 4i — 
    SCHEDULE OF ASSETS (HELD AT END OF YEAR)
    AT DECEMBER 31, 2024

     

     

                (e)  
      (b) (c)  (d)      Current   
    (a) Identity of Issuer Description of Investment  Cost**      Value  
      Corporate Debt Instruments (continued)        
      Hyundai  Hyundai Cap Amer Var Rt 5.834911% Due  01-08-2027                                      404,696
      Illumina Inc Illumina Inc 5.8% Due 12-12-2025                                      201,462
      Illumina Inc Illumina Inc Sr Nt 4.65% 09-09-2026                                        99,656
      Irb Holding Corporation  Irb Holding Corporation Term Loan Seniorsecured Trm Ln 12-15-2027                                      396,429
      Itron Inc  Itron Inc Sr Nt Conv 0% 03-15-2026                                      301,185
      Jazz Pharmaceuticals Inc Jazz Pharmaceuticals Inc Term Loan B Sen 05-05-2028                                      315,688
      Jones Deslauriers  Jones Deslauriers 10.5% Due 12-15-2030                                      310,283
      Jp Morgan Mtg Acqstn Corp Jp Morgan Mtg Acqstn Corp Fr Cmo    25/08/2036 Usd1000 'Av-5' 08-25-2036 Reg                                        35,053
      Jpmorgan Chase & Co Jpmorgan Chase & Co Fltg Rt    09-22-2027                                      401,981
      Jpmorgan Chase & Co Jpmorgan Chase & Co Sr Nt Fltg Rate   5.276988% 07-22-2028                                      301,658
      Jpmorgan Chase & Co Jpmorgan Chase Bk N A Mandatory Tranche # Tr 00246 Var Dtd .125% 10-19-2027                                      387,280
      Jpmorgan Chase & Co Jpmorgan Chase Bk N A Mandatory Tranche # Tr 00247 Var Dtd .125% 10-27-2027                                      651,990
      Jpmorgan Chase & Co Jpmorgan Chase Bk N A Mandatory Tranche # Tr 00248 Var Dtd .125% 11-08-2027                                      370,800
      Jyske Realkredit  Jyske Realkredit 0.5% Bds 01/10/43      Dkk0.01                                             919
      Jyske Realkredit  Jyske Realkredit 1% Snr 01/10/2050      Dkk0.01                                        34,709
      Jyske Realkredit  Jyske Realkredit 1% Snr 01/10/2053      Dkk0.01                                                 0
      Jyske Realkredit  Jyske Realkredit 1.5% Cvd Bds 01/10/2053Dkk                                                 0
      Jyske Realkredit  Jyske Realkredit 1.5% Cvd Bds 01/10/53  Dkk0.                                        10,615
      Kkr Clo 18 Ltd / Kkr Clo Kkr Clo 18 Ltd / Kkr Clo 18 Llc 5.49478%07-18-2030                                      139,052
      Kraft Heinz Foods Co  Kraft Heinz Foods Co Gtd Sr Nt 4.875%  10-01-2049                                        75,334
      Kraft Heinz Foods Co  Kraft Heinz Foods Co Gtd Sr Nt 5.5%  06-01-2050                                      156,891
      L Brands Inc L Brands Inc 6.875% Due 11-01-2035                                      217,949
      L Brands Inc L Brands Inc 9.375% Due 07-01-2025                                      249,139
      Labl Multicolor  Labl Multicolor Usd Labl Multicolor  October 2021 Term Loan L500 10-22-2028                                             326
      Leia Finco Us Llc  Leia Finco Us Llc Term Loan (Second Lien)  07-02-2032                                      114,646
      Level 3 Financing Inc Level 3 Financing Inc Term B-1 Term Loansenior Secured  04-15-2029                                      263,728
      Liberty Media Corp Liberty Media Corp Sr Exchangeable  Exch Into Sprint 3.75 02-15-30/02-15-04                                        69,581
      Liberty Tripadvisor Hldg Liberty Tripadvisor Hldgs Inc   Exchangeable Sr Deb 144A .5 Due                                      238,602
      Lifepoint Hlth Inc Lifepoint Hlth Inc 4.375% Due 02-15-2027                                          5,748
      Lithia Mtrs Inc  Lithia Mtrs Inc Sr Nt 144A 3.875%  06-01-2029                                      363,527
      Live Nation Entertainment Live Nation Entertainment Inc Term Loan B Due 10-19-2026                                      158,642
      Live Nation Entertainment Live Nation Entmt 5.625% Due 03-15-2026                                      166,716
      Live Nation Entertainment Live Nation Entmt 6.5% Due 05-15-2027                                      136,483
      Lumen Technologies, Inc. Lumen Technologies, Inc. Senior Secured Term B-1 Loan 04-15-2029                                      197,213
      Lumentum Hldgs Inc Lumentum Hldgs Inc 0.5%  06-15-2028                                      144,675
      M / I Homes Inc M / I Homes Inc 3.95% Due 02-15-2030                                        92,010
      M2S Group Intermediate Hlds M2S Group Intermediate Hlds Inc Initial Term Loan Senior Secured 08-25-2031                                      158,086
      Madison Iaq Llc Madison Iaq Llc 4.125% Due 06-30-2028                                      163,770
      Madison Iaq Llc  Madison Iaq Llc 5.875% Due 06-30-2029                                      126,527
      Madison Pk Fdg  Madison Pk Fdg Fltg Rt 0% Due 10-18-2030                                      433,402
      Marriott Ownership Resorts Inc Marriott Ownership Resorts Inc 4.75% Due01-15-2028 Reg                                      449,675
      Match Group Hldgs Ii Llc Match Group Hldgs Ii Llc Sr Nt 144A     3.625% 10-01-2031                                      139,100
      Match Group Inc  Match Group Inc 5% Due 12-15-2027                                      185,690
      Mcafee Corp Mcafee Corp (Usd) Term Loan B Senior Secured 03-01-2029                                      215,359
      Medline  Medline Borrower Lp Third Amendment Incremental Tl Senior Secured 10-23-2028                                      204,993
               
               (continued) 

     

    - 41 -

     

    MORGAN STANLEY 401(k) PLAN
    Plan Number 003,     Employer Identification Number 20-8764829
    FORM 5500, SCHEDULE H, LINE 4i — 
    SCHEDULE OF ASSETS (HELD AT END OF YEAR)
    AT DECEMBER 31, 2024

     

     

                (e)  
      (b) (c)  (d)      Current   
    (a) Identity of Issuer Description of Investment  Cost**      Value  
      Corporate Debt Instruments (continued)        
      Methanex Corp Methanex Corp 5.125%  10-15-2027                                        42,084
      Metis Merger Metis Merger Sub 6.5% Due 05-15-2029                                      395,940
      Mgm Resorts Intl Mgm Resorts Intl 4.625% Due 09-01-2026                                      465,443
      Mgm Resorts Intl  Mgm Resorts Intl 4.75% Due 10-15-2028                                      373,449
      Mgm Resorts Intl  Mgm Resorts Intl 5.5% Due 04-15-2027                                      270,322
      Mgm Resorts Intl    Mgm Resorts Intl 6.5%   04-15-2032                                        22,919
      Mh Sub I Llc Micro Holding Corp Mh Sub I Llc Micro Holding Corp 2023 May Incremental Tl Sr Sec Tl 04-25-2028                                      129,648
      Michaels Co Inc Michaels Co Inc Term B Loan Senior Secured 04-08-2028                                        56,141
      Mileage Plus Holdings Llc Mileage Plus Holdings Llc Term Loan B   06-21-2027 Beo                                      147,173
      Modena Buyer Llc  Modena Buyer Llc Term Loan Senior  Secured 04-18-2031                                      310,684
      Molina Healthcare  Molina Healthcare 4.375% Due 06-15-2028                                      175,305
      Molina Healthcare Inc Molina Healthcare Inc Sr Nt 144A 3.875% 05-15-2032                                      456,748
      Mosaic Solar  Mosaic Solar Ln Tr 2.64% Due 01-20-2053                                      244,783
      Mp Clo Vii Ltd Mp Clo Vii Ltd / Mp Clo Vii Llc Sr Nt Cla-R3 Fltg 144A 3C7 5.44478% 10-18-2028                                        25,786
      Mpt Oper Mpt Oper 3.5% Due 03-15-2031                                      536,851
      Mpt Oper  Mpt Oper 4.625% Due 08-01-2029                                          7,882
      Mpt Oper Mpt Oper 5.25% Due 08-01-2026                                      287,039
      Mpt Oper  Mpt Oper Fixed 5% Due 10-15-2027                                        38,794
      Msci Inc Msci Inc 3.625% Due 09-01-2030                                      180,222
      Msci Inc  Msci Inc Sr Nt 144A 3.625% 11-01-2031                                      184,528
      Murphy Oil Corp         Murphy Oil Corp    5.125 12-01-2042                                        51,770
      Nabors Inds Inc  Nabors Inds Inc New 9.125%    01-31-2030                                      341,699
      Nabors Inds Inc  Nabors Inds Inc New Sr Priority Gtd Nt  144A 7.375% 05-15-2027                                      205,761
      Natixis Coml Mtg  Natixis Coml Mtg Fltg Rt 6.13546% Due 03-15-2035                                      200,645
      Navient Corp Navient Corp 5% Due 03-15-2027                                        13,722
      Navient Corp Navient Corp 6.75%  06-15-2026                                        30,286
      Navient Corp Navient Corp 6.75% Due 06-25-2025                                      482,506
      Navient Corp Navient Corp 9.375% 07-25-2030                                      111,113
      Navient Private Navient Private Ed Ln Tr 2020-I 5.42634%04-15-2069                                                 0
      Ncl Corp Ncl Corp Ltd Sr Secd Nt 144A 5.875%  02-15-2027                                      127,600
      Neptune Bidco Us Inc  Neptune Bidco Us Inc 9.29% 04-15-2029                                      244,623
      Nordea Realkredit  Nordea Realkredit 0.5% Cvd Bds  01/10/2043 Dkk                                                 0
      Nordea Realkredit  Nordea Realkredit 1% Cvd Bds 01/10/50   Dkk0.01                                               17
      Nordea Realkredit  Nordea Realkredit 1.5% Cvd Bds  01/10/2053 Dkk                                        21,264
      Nordea Realkredit  Nordea Realkredit 1.5% Cvd Bds  01/10/2053 Dkk                                                 0
      Nordea Realkredit  Nordea Realkredit 1.5% Cvd Bds   01/10/2053 Dkk                                          9,985
      Nordea Realkredit  Nordea Realkredit 2% Cvd Bds 01/10/53   Dkk0.01                                        23,695
      Nordstrom Inc  Nordstrom Inc 5% Due 01-15-2044                                      213,069
      Novastar Mtg  Novastar Mtg Fdg Tr Ser 06-1 Cl A1A Fltg  05-25-2036                                        28,101
      Nrg Energy Inc  Nrg Energy Inc Sr Nt 144A 3.875%  02-15-2032                                      216,595
      Numericable Us Llc  Numericable Us Llc (Usd) B14 Term Loan  Senior Secured Term Loan 08-15-2028                                      531,843
      Nustar Logistics L P  Nustar Logistics L P 5.75% Due  10-01-2025 Beo                                      419,918
      Nykredit Realkredi  Nykredit Realkredi 0.5% Cvd Bds  01/10/2043 Dkk                                                 0
      Nykredit Realkredi Nykredit Realkredi 1% Cvd Bds 01/10/2053Dkk                                          1,559
      Nykredit Realkredi Nykredit Realkredi 1% Cvd Bds 01/10/53  Dkk0.01                                                 0
               
               (continued) 

     

    - 42 -

     

    MORGAN STANLEY 401(k) PLAN
    Plan Number 003,     Employer Identification Number 20-8764829
    FORM 5500, SCHEDULE H, LINE 4i — 
    SCHEDULE OF ASSETS (HELD AT END OF YEAR)
    AT DECEMBER 31, 2024

     

     

                (e)  
      (b) (c)  (d)      Current   
    (a) Identity of Issuer Description of Investment  Cost**      Value  
      Corporate Debt Instruments (continued)        
      Nykredit Realkredi Nykredit Realkredi 1% Snr 01/10/2050  Dkk0.01                                               21
      Nykredit Realkredi Nykredit Realkredi 1.5% Cvd Bds   01/10/2053 Dkk                                                 0
      Nykredit Realkredi Nykredit Realkredi 1.5% Cvd Bds   01/10/2053 Dkk                                                 0
      Nykredit Realkredi Nykredit Realkredi 1.5% Cvd Bds   01/10/2053 Dkk                                          9,980
      Nykredit Realkredi Nykredit Realkredi 2% Cvd Bds 01/10/53  Dkk0.01                                                 0
      Obx 2021-Inv2 Tr Fltg Rt Obx 2021-Inv2 Tr Fltg Rt 5% Due 10-25-2051                                      300,324
      Occidental Pete Occidental Pete 4.2% Due 03-15-2048                                        55,339
      Occidental Pete Occidental Pete Corp Sr Nt 6.45%    09-15-2036                                      205,086
      Occidental Pete Occidental Pete Corp Sr Nt 6.6%  03-15-2046                                        74,760
      Occidental Petroleum Corp Occidental Petroleum Corp 4.3% Due  08-15-2039                                          7,246
      One 2021-Pk Mtg  One 2021-Pk Mtg Tr 5.12648% 03-15-2036                                      395,000
      Onemain Direct  Onemain Direct 5.41% Due 11-14-2029                                      303,075
      Onemain Fin Corp Onemain Fin Corp 7.5% 05-15-2031                                        89,291
      Onemain Fin Corp Onemain Fin Corp 7.875%   03-15-2030                                      122,049
      Onemain Fin Corp Onemain Fin Corp Sr Nt 3.5% 01-15-2027                                      134,493
      Onemain Finance Corp Onemain Finance Corp 6.625%  05-15-2029                                        78,971
      Onemain Finance Corp Onemain Financial Corporation 9.0%   01-15-2029                                        76,421
      Oneok Inc Oneok Inc 4.25%    09-24-2027                                      295,632
      Ontario Gaming Gta Limit Ontario Gaming Gta Limited Partnership  Term Loan B Senior Secured Tl 07-20-2030                                      121,944
      Option Care Health Inc  Option Care Health Inc 4.375% 10-31-2029                                      106,975
      Osaic Holdings Inc  Osaic Holdings Inc Term Loan Senior  Secured 08-17-2028                                      158,580
      Oscar Us Fdg Xiv Llc Oscar Us Fdg Xiv Llc Nt Cl A-4 144A  2.82% 04-10-2029                                      390,764
      Pac Gas & Elec Co  Pac Gas & Elec Co Fltg Rt 5.367009% Due 09-04-2025                                      300,501
      Pennymac Finl Svcs Pennymac Finl Svcs 5.375% Due 10-15-2025                                      132,631
      Penske Automotive  Penske Automotive 3.75% Due 06-15-2029                                      338,981
      Penske Automotive Group  Penske Automotive Group Inc 3.5% Due  09-01-2025 Reg                                      134,280
      Petsmart Inc  Petsmart Inc Fltg Rt Tbl 02-11-2028 Beo                                      196,376
      Polar Us Borrower Llc  Polar Us Borrower Llc Senior Secured Term B-1 Loan 10-16-2028                                      377,819
      Polaris Newco Llc Polaris Newco Llc Tlb Lien1 06-02-2028 Usd                                      199,246
      Precision Drilling Corp Precision Drilling Corp Sr Nt 144A   6.875% 01-15-2029                                        75,308
      Pre-Paid Legal Services Inc Pre-Paid Legal Services Inc Initial Termloan (First Lien) Due 12-15-2028                                      157,384
      Proofpoint Inc Proofpoint Inc Senior Secured Term Loan B 08-31-2028                                      157,186
      Pvptl Cco Hldgs Llc Pvptl Cco Hldgs Llc / Cco Hldgs Cap Corp      5.125% Due 05-01-2027                                        83,523
      Pvptl Commscope Fin Llc  Pvptl Commscope Fin Llc Sr Nt 144A 6.0%   03-01-2026                                        57,634
      Pvptl Eqm Midstream Partners Pvptl Eqm Midstream Partners L P 4.75%  01-15-2031                                      371,470
      Pvptl Iron Mtn Inc  Pvptl Iron Mtn Inc New 4.875%   09-15-2027                                      316,884
      Pvtl Transocean Titan Fin Ltd Pvtl Transocean Titan Fin Ltd 01/02/2028     8.375% 02-01-2028                                        86,732
      Pvtpl 1211 Ave Of The Amers Pvtpl 1211 Ave Of The Amers Tr 2015-1211 Cl A-1A2 3.9005% Due 08-10-2035 Beo                                      394,728
      Pvtpl Aadvantage Loyalty Pvtpl Aadvantage Loyalty Ip Ltd/Amern   Airls 5.5% Due 04-20-2026 Beo                                        48,687
      Pvtpl Aag Fh Uk Plc Pvtpl Aag Fh Uk Plc / Global Auto Hldgs Plc 11.5% 08-15-2029                                      203,532
      Pvtpl Abn Amro Bank  Pvtpl Abn Amro Bank Nv 6.575%   10-13-2026                                      202,116
      Pvtpl Acadia Healthcare  Pvtpl Acadia Healthcare Co Inc Sr Nt 5.0% 04-15-2029                                      113,177
      Pvtpl Acrisure Llc Pvtpl Acrisure Llc/Acrisure Fin Inc     8.25% 02-01-2029                                      135,651
      Pvtpl Acrisure Llc Pvtpl Acrisure Llc/Acrisure Fin Inc Sr Nt 6.0% 08-01-2029                                        50,831
      Pvtpl Ag Ttmt  Pvtpl Ag Ttmt Escrow Issuer Llc Sr Secd Nt    8.625% 09-30-2027                                        85,031
               
               (continued) 

     

    - 43 -

     

    MORGAN STANLEY 401(k) PLAN
    Plan Number 003,     Employer Identification Number 20-8764829
    FORM 5500, SCHEDULE H, LINE 4i — 
    SCHEDULE OF ASSETS (HELD AT END OF YEAR)
    AT DECEMBER 31, 2024

     

     

                (e)  
      (b) (c)  (d)      Current   
    (a) Identity of Issuer Description of Investment  Cost**      Value  
      Corporate Debt Instruments (continued)        
      Pvtpl Ahp Health Partner Pvtpl Ahp Health Partners Inc Sr Nt 5.75% 07-15-2029                                      119,756
      Pvtpl Aircastle Ltd Pvtpl Aircastle Ltd 2.85% Due 01-26-2028Beo                                      184,210
      Pvtpl Aircastle Ltd Pvtpl Aircastle Ltd Sr Nt 6.5%   07-18-2028                                      100,245
      Pvtpl Albertsons Cos Inc Pvtpl Albertsons Cos Inc 4.875% Due 02-15-2030                                      308,280
      Pvtpl Albertsons Cos Inc Pvtpl Albertsons Cos Inc Fixed 5.875%  02-15-2028                                      134,443
      Pvtpl Albertsons Cos Inc Pvtpl Albertsons Cos Inc/Safeway Inc/   A 4.625% Due 01-15-2027 Beo                                      153,705
      Pvtpl Albertsons Cos Inc Pvtpl Albertsons Cos Inc/Safeway Inc/New A Sr Nt 144A 7.5%   03-15-2026                                      610,159
      Pvtpl Albertsons Cos Inc Pvtpl Albertsons Cos Inc/Safeway Inc/Newa 3.5% Due 03-15-2029/08-31-2020 Beo                                      273,958
      Pvtpl Allison Transmission Pvtpl Allison Transmission Inc 3.75% Due01-30-2031/11-19-2020 Beo                                      118,556
      Pvtpl Altice Fing  Pvtpl Altice Fing S A Sr Secd Nt 5.75%   08-15-2029                                      172,762
      Pvtpl Altice France  Pvtpl Altice France S A Sr Secd Nt 144A 8.125% Due 02-01-2027/08-01-2024 Beo                                      281,331
      Pvtpl Amer Sports Co  Pvtpl Amer Sports Co 6.75% 02-16-2031                                        93,208
      Pvtpl American Fin Tr Inc Pvtpl American Fin Tr Inc/Amern Fin Operpar 4.5% 09-30-2028                                      224,245
      Pvtpl Amerigas Partners  Pvtpl Amerigas Partners L P / Amerigas Fin    Corp 9.375% 06-01-2028                                        19,236
      Pvtpl Ameritex Holdco Inter Llc Pvtpl Ameritex Holdco Inter Llc   10.25% 10-15-2028                                      215,327
      Pvtpl Amwins Group Inc Pvtpl Amwins Group Inc 6.375% 02-15-2029                                        81,497
      Pvtpl Anchorage Capital  Pvtpl Anchorage Capital Clo Ltd Sr 18-10A Cl A1Ar Fltg Rt 10-15-2031                                      563,415
      Pvtpl Antero Midstream Partners Pvtpl Antero Midstream Partners  Lp/Antero Mi 5.75% Due 03-01-2027 Beo                                      124,417
      Pvtpl Apidos Pvtpl Apidos Clo Xxiv / Apidos Clo Xxiv Llc Clo Var Rt Due 10-20-2030 Beo                                      261,044
      Pvtpl Aramark Svcs Inc Pvtpl Aramark Svcs Inc Sr Nt 5.0%     04-01-2025                                        95,758
      Pvtpl Arbor Rlty  Pvtpl Arbor Rlty Coml Real Estate Nts   2021-Fl4 Sr 21-Fl4 Cl A 11-15-2036                                      320,962
      Pvtpl Arches Buyer Inc  Pvtpl Arches Buyer Inc 144A 4.25% Due 06-01-2028 Beo                                        32,143
      Pvtpl Archrock Partners  Pvtpl Archrock Partners L P/Archrock Partner 6.25% Due 04-01-2028                                      106,430
      Pvtpl Ard Finance Pvtpl Ard Finance Sa 6.5% Due 06-30-2027Beo                                        29,015
      Pvtpl Ares Clo Ltd  Pvtpl Ares Clo Ltd Ser 18-50A Cl Ar Fltg 01-15-2032                                      189,209
      Pvtpl Artera Svcs Llc Pvtpl Artera Svcs Llc 8.5% 02-15-2031                                        48,194
      Pvtpl Assuredpartners Inc Pvtpl Assuredpartners Inc 5.625% Due 01-15-2029/12-10-2020 Beo                                      435,530
      Pvtpl Assuredpartners Inc Pvtpl Assuredpartners Inc 7.5%  02-15-2032                                        96,863
      Pvtpl Atlas Pvtpl Atlas Sr Secd Ln Fd Viii Ltd Sr 17-8A Cl B Fltg 01-15-2030                                        15,212
      Pvtpl Avantor  Pvtpl Avantor 4.625% Due 07-15-2028 Beo                                        87,814
      Pvtpl Avantor Funding Inc Pvtpl Avantor Funding Inc 3.875% Due    11-01-2029/10-26-2021 Beo                                        59,423
      Pvtpl Bain Capital Credit Pvtpl Bain Capital Credit Clo Limited   Ser 20-3A Cl A1R Fltg 10-23-2034                                      600,692
      Pvtpl Bain Capital Credit Pvtpl Bain Capital Credit Clo Ltd Sr 21-3A Ar Fltg Rt 07-24-2034                                      500,000
      Pvtpl Baldwin Ins Group  Pvtpl Baldwin Ins Group Hldgs Llc 7.125%05-15-2031                                      103,082
      Pvtpl Bausch Health  Pvtpl Bausch Health Companies Inc 11%   Nts 30/09/2028 Usd 11.0% Due 09-30-2028                                        52,250
      Pvtpl Bausch Health  Pvtpl Bausch Health Companies Inc 5.5%  Due 11-01-2025                                      117,094
      Pvtpl Bausch Health  Pvtpl Bausch Health Cos Inc   6.125% 02-10-2027                                      160,628
      Pvtpl Bausch Health  Pvtpl Bausch Health Cos Inc 4.875% Due  06-01-2028 Beo                                        80,800
      Pvtpl Bausch Health  Pvtpl Bausch Health Cos Inc Fixed 5.75%  08-15-2027 Beo                                        80,040
      Pvtpl Baytex Energy Corp Pvtpl Baytex Energy Corp 7.375% 03-15-2032                                        80,875
      Pvtpl Baytex Energy Corp Pvtpl Baytex Energy Corp 8.5%   04-30-2030                                      307,551
      Pvtpl Berry Global  Pvtpl Berry Global Escrow Corp Fixed 4.875% 07-15-2026 Beo                                      219,119
      Pvtpl Blue Racer Mid Llc Pvtpl Blue Racer Mid Llc/Finan   7.0% 07-15-2029                                        81,708
      Pvtpl Bluemountain  Pvtpl Bluemountain Clo 2013-2A Ltd Cl A-1-R Fltg  10-22-2030                                        75,564
      Pvtpl Bluemountain  Pvtpl Bluemountain Clo Xxii Ltd 18-1A Cl A-1 Fltg Rt 07-15-2031                                      325,929
               
               (continued) 

     

    - 44 -

     

    MORGAN STANLEY 401(k) PLAN
    Plan Number 003,     Employer Identification Number 20-8764829
    FORM 5500, SCHEDULE H, LINE 4i — 
    SCHEDULE OF ASSETS (HELD AT END OF YEAR)
    AT DECEMBER 31, 2024

     

     

                (e)  
      (b) (c)  (d)      Current   
    (a) Identity of Issuer Description of Investment  Cost**      Value  
      Corporate Debt Instruments (continued)        
      Pvtpl Bombardier Inc  Pvtpl Bombardier Inc 7.875% Due 04-15-2027                                      139,203
      Pvtpl Bonanza Creek Energy Inc Pvtpl Bonanza Creek Energy Inc  5.0% 10-15-2026                                      407,372
      Pvtpl Borr Ihc Limited  Pvtpl Borr Ihc Limited 10.0%  11-15-2028                                      518,492
      Pvtpl Bpce  Pvtpl Bpce Sa 6.612% 10-19-2027                                      307,436
      Pvtpl Buckeye Partners  Pvtpl Buckeye Partners L P 4.125% Due   03-01-2025                                        50,864
      Pvtpl Caesars Entertainment Inc Pvtpl Caesars Entertainment Inc 4.625%  Due 10-15-2029 Beo                                        90,817
      Pvtpl Caesars Entertainment Inc Pvtpl Caesars Entertainment Inc 6.0% 10-15-2032                                        69,420
      Pvtpl California Res Corp Pvtpl California Res Corp 8.25%   06-15-2029                                      312,327
      Pvtpl Carnival Corp Pvtpl Carnival Corp 4.0% 08-01-2028                                      284,339
      Pvtpl Carnival Corp Pvtpl Carnival Corp Gtd Sr Secd Nt 144A 5.75% Due 03-01-2027/02-16-2021 Beo                                        84,813
      Pvtpl Carriage Purchaser Inc Pvtpl Carriage Purchaser Inc 7.875%     10-15-2029                                      272,342
      Pvtpl Carvana Co  Pvtpl Carvana Co 9.0% 06-01-2031                                        64,313
      Pvtpl Cco Hldgs Llc 144A Pvtpl Cco Hldgs Llc 144A 5.0%   02-01-2028                                      214,948
      Pvtpl Cco Hldgs Llc/Cap  Pvtpl Cco Hldgs Llc/Cap Corp 4.75% Due 03-01-2030                                        59,356
      Pvtpl Cco Hldgs Llc/Cco  Pvtpl Cco Hldgs Llc/Cco Hldgs Cap Corp  4.25% Due 02-01-2031                                      183,020
      Pvtpl Cco Hldgs Llc/Cco  Pvtpl Cco Hldgs Llc/Cco Hldgs Cap Corp  4.5%  Due 08-15-2030                                        69,115
      Pvtpl Cco Hldgs Llc/Cco  Pvtpl Cco Hldgs Llc/Cco Hldgs Cap Corp  Bnds 5.5% Due 05-01-2026                                      557,408
      Pvtpl Cdi  Pvtpl Cdi Escrow Iss 5.75%    04-01-2030                                      103,053
      Pvtpl Centennial Resource Pvtpl Centennial Resource Prodtn Llc  5.375% Due 01-15-2026/11-30-2017                                      161,571
      Pvtpl Charles Riv Laboratories Intl Inc Pvtpl Charles Riv Laboratories Intl Inc 4.25%  Due 05-01-2028                                        39,847
      Pvtpl Chart Industries Inc Pvtpl Chart Industries Inc 9.5% Due  01-01-2031 Beo                                      336,486
      Pvtpl Chase Auto Owner Trust Pvtpl Chase Auto Owner Trust 5.48% Sr 24-1A Cl A2 04-26-2027                                      177,687
      Pvtpl Chase Auto Owner Trust Pvtpl Chase Auto Owner Trust Ser 24-2A Cl A2  5.66% 05-26-2027                                      199,278
      Pvtpl Chobani Holdco Ii Inc Pvtpl Chobani Holdco Ii Llc 8.75%   10-01-2029                                      115,270
      Pvtpl Chobani Llc/Choban Pvtpl Chobani Llc/Chobani Fin Corp Inc  7.625% 07-01-2029                                        31,023
      Pvtpl Chs/Cmnty Health Sys Inc Pvtpl Chs/Cmnty Health Sys Inc 10.875%  01-15-2032                                      583,958
      Pvtpl Chs/Cmnty Health Sys Inc Pvtpl Chs/Cmnty Health Sys Inc 4.75% Due 02-15-2031/02-09-2021 Beo                                        46,552
      Pvtpl Chs/Cmnty Health Sys Inc Pvtpl Chs/Cmnty Health Sys Inc 5.625%   Due 03-15-2027/12-28-2020 Beo                                      467,382
      Pvtpl Churchill Downs  Pvtpl Churchill Downs 4.75% 01-15-2028                                      325,082
      Pvtpl Churchill Downs  Pvtpl Churchill Downs 5.5% Due 04-01-2027                                      209,619
      Pvtpl Cifc  Pvtpl Cifc Fdg 2017-Iv Ltd Ser 17-4A Cl A1R Fltg  10-24-2030                                      192,848
      Pvtpl Civitas Res Inc  Pvtpl Civitas Res Inc 8.375% 07-01-2028                                      436,199
      Pvtpl Civitas Res Inc  Pvtpl Civitas Res Inc 8.625%   11-01-2030                                      220,969
      Pvtpl Clarios Global  Pvtpl Clarios Global Lp 8.5%   05-15-2027                                      778,053
      Pvtpl Cleveland-Cliffs Inc Pvtpl Cleveland-Cliffs Inc 6.875%   11-01-2029                                        56,390
      Pvtpl Cleveland-Cliffs Inc Pvtpl Cleveland-Cliffs Inc 7.0%   03-15-2032                                        48,123
      Pvtpl Cleveland-Cliffs Inc Pvtpl Cleveland-Cliffs Inc 7.375%   05-01-2033                                        20,626
      Pvtpl Cloud Software Group Inc Pvtpl Cloud Software Group Inc 8.25%   06-30-2032                                      326,685
      Pvtpl Cloud Software Group Inc Pvtpl Cloud Software Group Inc 9.0%   09-30-2029                                      637,604
      Pvtpl  280 Pk Ave  Pvtpl Cmo 280 Pk Ave 2017-280P Mtg Tr   Coml Ctf Cl A Var Due 09-15-2034                                      397,000
      Pvtpl  5 Bryant Pk Mtg Pvtpl Cmo 5 Bryant Pk Mtg Tr Ser-2018-5Bp Cl-A Fltg 06-15-2033 Beo                                      279,938
      Pvtpl  Atrium Hote Pvtpl Cmo Atrium Hote 2017-Atrm Coml Mtg 144A Cl A Var Rt Due 11-15-2019                                      344,645
      Pvtpl  Cim Trust Pvtpl Cmo Cim Trust Ser 19-Inv1 Cls A2 Fltg Rt  02-25-2049                                        18,125
      Pvtpl  Colony Mtg Cap Ltd Pvtpl Cmo Colony Mtg Cap Ltd Sr 19-Ikpr Cl A  Fltg 11-15-2038                                      367,265
      Pvtpl  Comm Ser  Pvtpl Cmo Comm Ser 2019-521F Cl A Fltg 144A Due 06-15-2034                                      647,507
               
               (continued) 

     

    - 45 -

     

    MORGAN STANLEY 401(k) PLAN
    Plan Number 003,     Employer Identification Number 20-8764829
    FORM 5500, SCHEDULE H, LINE 4i — 
    SCHEDULE OF ASSETS (HELD AT END OF YEAR)
    AT DECEMBER 31, 2024

     

     

                (e)  
      (b) (c)  (d)      Current   
    (a) Identity of Issuer Description of Investment  Cost**      Value  
      Corporate Debt Instruments (continued)        
      Pvtpl  Hawaii Hotel Pvtpl Cmo Hawaii Hotel Ser 2019-Maui Cl A Fltg 144A 05-15-2038                                      400,125
      Pvtpl  Mill City Mtg  Pvtpl Cmo Mill City Mtg Ln Tr 2019-Gs2  Ser 19-Gs2 Cls A1 Var Rt 08-25-2059                                      208,076
      Pvtpl  New Orl Hotel  Pvtpl Cmo New Orl Hotel Tr 2019-Hnlaser 19-Hnla Cls A Var Rt Due 04-15-2032 Beo                                      394,138
      Pvtpl  New Residential Mtg Pvtpl Cmo New Residential Mtg Ln Ser 19-Rpl3 Cl A1 Frn 07-25-2059 Beo                                      229,925
      Pvtpl  One Mkt Plaza  Pvtpl Cmo One Mkt Plaza Tr Ser 2017-1Mkt Cl A 144A 3.6139% 02-10-2032 Beo                                      477,721
      Pvtpl  Sfo Coml Mtg Pvtpl Cmo Sfo Coml Mtg Tr 2021-555 Sfo  2021-555 A Var Rt Due 05-15-2038 Beo                                      780,000
      Pvtpl  Smb Private Ed Pvtpl Cmo Smb Private Ed Ln Tr 2022-B 0%Due 12-31-2049                                      224,338
      Pvtpl  Smb Private Ed Pvtpl Cmo Smb Private Ed Ln Tr 2022-B 0%Due 12-31-2049 Beo                                      237,551
      Pvtpl Cobra Acquisitionco Llc Pvtpl Cobra Acquisitionco Llc 6.375%   11-01-2029                                      148,175
      Pvtpl Cogent Communications Group Inc Pvtpl Cogent Communications Group Inc   3.5% Due 05-01-2026 Beo                                        71,644
      Pvtpl Commscope Fin Llc  Pvtpl Commscope Fin Llc 144A Fixed 8.25%8.25% Due 03-01-2027/02-19-2019 Beo                                        92,768
      Pvtpl Compass Group Diversified Hldgs Llc Pvtpl Compass Group Diversified Hldgs Llc Sr Nt 5.0% 01-15-2032                                      159,191
      Pvtpl Conduent Business  Pvtpl Conduent Business Svcs  Llc/Conduent St 6.0% 11-01-2029                                      173,492
      Pvtpl Connect Finco Sarl Pvtpl Connect Finco Sarl/Connect Us 9.0%09-15-2029                                      201,288
      Pvtpl Consensus Cloud Solutions Inc Pvtpl Consensus Cloud Solutions Inc 6.0%   10-15-2026                                        87,850
      Pvtpl Consolidated Communications Inc Pvtpl Consolidated Communications Inc   6.5% Due 10-01-2028/10-02-2020 Beo                                        88,509
      Pvtpl Consolidated Energy Pvtpl Consolidated Energy Fin S A Nt Usd 5.625% 10-15-2028                                      126,031
      Pvtpl Continental Resours Pvtpl Continental Resources 2.268%   11-15-2026                                      379,770
      Pvtpl Corelogic Inc Pvtpl Corelogic Inc 4.5% Due 05-01-2028                                      336,862
      Pvtpl Credit Acceptance  Pvtpl Credit Acceptance 9.25% 12-15-2028                                        94,136
      Pvtpl Credit Agricole  Pvtpl Credit Agricole S A Fltg Rt   09-11-2028                                      301,920
      Pvtpl Crestline Denali Clo Xiv Pvtpl Crestline Denali Clo Xiv  Ltd Sr 16-1A Cl Ar2 Fltg 10-23-2031                                      185,727
      Pvtpl Crestwood Midstream Partners Pvtpl Crestwood Midstream Partners Lp   7.375% Due 02-01-2031                                        39,737
      Pvtpl Csc Hldgs Llc  Pvtpl Csc Hldgs Llc 144A 3.375% Due 02-15-2031/08-17-2020 Beo                                      240,584
      Pvtpl Csc Hldgs Llc Pvtpl Csc Hldgs Llc 4.625%     12-01-2030                                      242,418
      Pvtpl Csc Holdings Llc  Pvtpl Csc Holdings Llc Sr Gtd Nt  4.5%11-15-2031                                      194,408
      Pvtpl Danske Bank  Pvtpl Danske Bank A/S 5.427% 03-01-2028                                      201,734
      Pvtpl Darling Ingredients Inc Pvtpl Darling Ingredients Inc 6%    06-15-2030                                      173,622
      Pvtpl Davita Inc  Pvtpl Davita Inc 3.75% 02-15-2031                                        86,526
      Pvtpl Davita Inc  Pvtpl Davita Inc 6.875% 09-01-2032                                      134,019
      Pvtpl Diamond Fgn Asset Co Pvtpl Diamond Fgn Asset Co/Diamond Fin  Llc 8.5% 10-01-2030                                      171,225
      Pvtpl Digital Rlty  Pvtpl Digital Rlty Tr Lp 1.875% 11-15-2029                                      119,480
      Pvtpl Directv Holdings Pvtpl Directv Holdings/Fing 5.87% Due   08-15-2027 Beo                                      171,477
      Pvtpl Dish Network Corp Pvtpl Dish Network Corporation 11.75%   Due 11-15-2027 Beo                                      778,531
      Pvtpl Dryden  Pvtpl Dryden 36 Sr Ln Fd Ser 14-36A Cl A-R3 Fltg 04-15-2029                                        99,587
      Pvtpl Dryden  Pvtpl Dryden Senior Loan Fund Sr 18-64A       Cl A Fltg Due 04-18-2031                                      481,028
      Pvtpl Elastic Pvtpl Elastic N V 4.125% Due  07-15-2029/07-15-2024 Beo                                      330,963
      Pvtpl Eldorado Resorts Inc Pvtpl Eldorado Resorts Inc Sr Nt 144A   8.125% Due 07-01-2027/07-06-2020 Beo                                      368,649
      Pvtpl Encino Acquisition Partners Holding Pvtpl Encino Acquisition Partners Holding 8.75% 05-01-2031                                      142,425
      Pvtpl Endo Fin Hldgs Inc Pvtpl Endo Fin Hldgs Inc 8.5% 04-15-2031                                      357,063
      Pvtpl Enerflex Ltd Pvtpl Enerflex Ltd Sr Secd Nt 9.0%   10-15-2027                                      175,490
      Pvtpl Entegris Escrow Corp Pvtpl Entegris Escrow Corp Sr Secd Nt   144A 4.75% Due 04-15-2029/04-14-2022 Beo                                      213,524
      Pvtpl Entegris Inc  Pvtpl Entegris Inc Sr Nt 144A 4.375% Due 04-15-2028/04-30-2020 Beo                                        40,131
      Pvtpl Eqm Midstream Partners Pvtpl Eqm Midstream Partners L P 6.375% 04-01-2029                                        19,064
      Pvtpl Eqm Midstream Partners Pvtpl Eqm Midstream Partners L P 7.5%   Due 06-01-2027/06-07-2022 Beo                                      148,876
               
               (continued) 

     

    - 46 -

     

    MORGAN STANLEY 401(k) PLAN
    Plan Number 003,     Employer Identification Number 20-8764829
    FORM 5500, SCHEDULE H, LINE 4i — 
    SCHEDULE OF ASSETS (HELD AT END OF YEAR)
    AT DECEMBER 31, 2024

     

     

                (e)  
      (b) (c)  (d)      Current   
    (a) Identity of Issuer Description of Investment  Cost**      Value  
      Corporate Debt Instruments (continued)        
      Pvtpl Eqm Midstream Partners Pvtpl Eqm Midstream Partners L P 7.5%   Due 06-01-2030/06-07-2022 Beo                                      225,498
      Pvtpl Eqm Midstream Partners Pvtpl Eqm Midstream Partners L P Sr Nt   4.5%  01-15-2029                                        68,539
      Pvtpl Eqm Midstream Partners Pvtpl Eqm Midstream Partners L P Sr Nt  144A 6.5% Due 07-01-2027/06-18-2020 Beo                                        75,973
      Pvtpl Fmg Res Pvtpl Fmg Res August 2006 Pty Ltd 5.875% 04-15-2030                                      216,213
      Pvtpl Fmg Res Pvtpl Fmg Res August 2006 Pty Ltd 6.125%  04-15-2032                                      226,211
      Pvtpl Fmg Resources  Pvtpl Fmg Resources Aug 2006 4.375% Due 04-01-2031 Beo                                      154,821
      Pvtpl Ford Pvtpl Ford Cr Auto Owner Tr 2023-Rev1 231 Cl A 4.85% 08-15-2035                                      251,646
      Pvtpl Fortress  Pvtpl Fort Cre 2022-Fl3 Issuer Llc Nt Cla Fltg 12-17-2026                                      110,128
      Pvtpl Fortress  Pvtpl Fortress Cr Bsl Vii Ltd Sr 21-1A Cl A-1-R Fltg 07-23-2032                                      699,984
      Pvtpl Fortress  Pvtpl Fortress Transn & Infrastructure  Invs Ll 7.875% 12-01-2030                                      205,241
      Pvtpl Freedom Mortgage Corp Pvtpl Freedom Mortgage Corporation  6.625% 01-15-2027                                        58,010
      Pvtpl Freedom Mortgage Corp Pvtpl Freedom Mortgage Corporation 12.0% 10-01-2028                                        54,377
      Pvtpl Freedom Mortgage Corp Pvtpl Freedom Mortgage Corporation 9.25% 02-01-2029                                      162,015
      Pvtpl Fresenius Med Care Pvtpl Fresenius Med Care Us Fin Iii Inc 3% Due 12-01-2031 Beo                                      431,592
      Pvtpl Fresenius Med Care Pvtpl Fresenius Med Care Us Fin Iii Inc Gtd Nt2.375% 02-16-2031                                      196,345
      Pvtpl Frontier Communications Corp Pvtpl Frontier Communications Corp 5.0% Due 05-01-2028 Beo                                      193,628
      Pvtpl Frontier Communications Hldgs Pvtpl Frontier Communications Hldgs Llc 6.0% 01-15-2030                                        88,801
      Pvtpl Frontier Communications Hldgs Pvtpl Frontier Communications Hldgs Llc 8.625% 03-15-2031                                        68,067
      Pvtpl Frontier Communications Hldgs Pvtpl Frontier Communications Hldgs Llc 8.75%  05-15-2030                                      117,315
      Pvtpl Fs Rialto  Pvtpl Fs Rialto 2022-Fl4 Issuer Llc Sr  22-Fl4 Cl A Var Rt Due 01-19-2039 Beo                                      247,290
      Pvtpl Garda World Security Corp Pvtpl Garda World Security Corp 4.625%  Due 02-15-2027                                        33,993
      Pvtpl Garda World Security Corp Pvtpl Garda World Security Corp 7.75% 02-15-2028                                        77,383
      Pvtpl Garda World Security Corp Pvtpl Garda World Security Corp 8.375%  11-15-2032                                      441,745
      Pvtpl Garden Spinco Corp Pvtpl Garden Spinco Corp Sr Nt 8.625%   07-20-2030                                      112,615
      Pvtpl Garrett Motion Hldgs Inc Pvtpl Garrett Motion Hldgs Inc/Garrett  Lx I 7.75% 05-31-2032                                      132,904
      Pvtpl Gfl Environmental Inc Pvtpl Gfl Environmental Inc 3.75% Due  08-01-2025 Beo                                      402,972
      Pvtpl Gfl Environmental Inc Pvtpl Gfl Environmental Inc 4.0%        08-01-2028                                      363,614
      Pvtpl Gfl Environmental Inc Pvtpl Gfl Environmental Inc 5.125%      12-15-2026                                      227,768
      Pvtpl Glatfelter Corp Pvtpl Glatfelter Corp 4.75% 11-15-2029                                      211,361
      Pvtpl Global Auto Pvtpl Global Auto Ho/Aag Fh Uk 8.375% 01-15-2029                                      186,541
      Pvtpl Global Auto Pvtpl Global Auto Ho/Aag Fh Uk 8.75% 01-15-2032                                      232,965
      Pvtpl Global Infrastructure Solutions Inc Pvtpl Global Infrastructure Solutions   Inc 7.5% Due 04-15-2032/04-07-2022 Beo                                        42,541
      Pvtpl Global Net Lease Inc Pvtpl Global Net Lease Inc & Global Net Lease 3.75 Due 12-15-2027/12-17-2020 Beo                                      265,563
      Pvtpl Go Daddy Oper Co Llc Pvtpl Go Daddy Oper Co Llc/Gd Fin Co Inc 5.25% 12-01-2027                                        14,734
      Pvtpl Go Daddy Oper Co Llc Pvtpl Go Daddy Oper Co Llc/Gd Fin Co Inc 3.5% Due 03-01-2029 Beo                                        18,271
      Pvtpl Goeasy Ltd  Pvtpl Goeasy Ltd 7.625% 07-01-2029                                      183,930
      Pvtpl Goeasy Ltd  Pvtpl Goeasy Ltd 9.25% 12-01-2028                                      175,853
      Pvtpl Graftech Finance Inc Pvtpl Graftech Finance Inc 4.625%       12-23-2029                                      117,450
      Pvtpl Graphic Packaging Intl Llc Pvtpl Graphic Packaging Intl Llc 3.5%   Due 03-01-2029 Beo                                      122,388
      Pvtpl Graphic Packaging Intl Llc Pvtpl Graphic Packaging Intl Llc Sr Nt  3.75% 02-01-2030                                        81,290
      Pvtpl Great Canadian Gaming Corp Pvtpl Great Canadian Gaming Corp 8.75% 11-15-2029                                      100,307
      Pvtpl Group 1 Automotive Inc Pvtpl Group 1 Automotive Inc Group 1    4.0% Due 08-15-2028 Beo                                      164,773
      Pvtpl Grubhub Hldgs Inc  Pvtpl Grubhub Hldgs Inc Sr Nt 5.5% Due  07-01-2027/06-10-2019 Beo                                        31,608
      Pvtpl Gs Mortgage Securities  Pvtpl Gs Mortgage Securities Trust Ser 2018-Luau Cl E E 11-15-2032 Beo                                      399,250
      Pvtpl Hah Group Holding Company Pvtpl Hah Group Holding Company Llc 9.75% 10-01-2031                                      146,116
               
               (continued) 

     

    - 47 -

     

    MORGAN STANLEY 401(k) PLAN
    Plan Number 003,     Employer Identification Number 20-8764829
    FORM 5500, SCHEDULE H, LINE 4i — 
    SCHEDULE OF ASSETS (HELD AT END OF YEAR)
    AT DECEMBER 31, 2024

     

     

                (e)  
      (b) (c)  (d)      Current   
    (a) Identity of Issuer Description of Investment  Cost**      Value  
      Corporate Debt Instruments (continued)        
      Pvtpl Heartland Dental Llc Pvtpl Heartland Dental Llc/ Sr Secd Nt 144A 10.5% 04-30-2028                                      133,586
      Pvtpl Herc Hldgs Inc Pvtpl Herc Hldgs Inc 5.5% Due 07-15-2027 Beo                                        26,657
      Pvtpl Herc Hldgs Inc Pvtpl Herc Hldgs Inc 6.625%     06-15-2029                                        20,253
      Pvtpl HilCorp Energy Pvtpl Hilcorp Energy I L P / Hilcorp 7.25% 02-15-2035                                      338,445
      Pvtpl HilCorp Energy Pvtpl Hilcorp Energy I L P/Hilcorp Fin  Co Sr Nt 8.375% 11-01-2033                                      171,493
      Pvtpl HilCorp Energy Pvtpl Hilcorp Energy I L P/Hilcorp Fin Co 6.875% 05-15-2034                                      224,624
      Pvtpl Hilton Domestic Oper Co Inc Pvtpl Hilton Domestic Oper Co Inc 3.625%Due 02-15-2032/02-02-2021 Beo                                          6,949
      Pvtpl Hilton Domestic Oper Co Inc Pvtpl Hilton Domestic Oper Co Inc 4.0%  Due 05-01-2031 Beo                                        21,584
      Pvtpl Hilton Grand Vac  Pvtpl Hilton Grand Vac Cor Esc 6.625% 01-15-2032                                        49,155
      Pvtpl Hlf Fing Sarl Llc Pvtpl Hlf Fing Sarl Llc/Herbalife Intl  Inc 12.25%  04-15-2029                                        51,198
      Pvtpl Hyundai Cap  Pvtpl Hyundai Cap Amer Fltg Rt     08-04-2025                                      401,525
      Pvtpl Iliad Hldg  Pvtpl Iliad Hldg S A S 7.0%      04-15-2032                                      250,260
      Pvtpl Iliad Hldg  Pvtpl Iliad Hldg S A S 7.0% Due  10-15-2028 Beo                                      202,674
      Pvtpl Iliad Hldg  Pvtpl Iliad Hldg S A S 8.5% Due  04-15-2031                                      266,854
      Pvtpl Illuminate Buyer Llc Pvtpl Illuminate Buyer Llc/Illuminate   Hldgs Sr Nt 144A 9.0% Due 07-01-2028                                      356,415
      Pvtpl Ims Health Inc Pvtpl Ims Health Inc Sr 5.0% Due  10-15-2026/09-28-2016 Beo                                      305,824
      Pvtpl Ineos Finance Plc  Pvtpl Ineos Finance Plc 6.75%      05-15-2028                                      201,983
      Pvtpl International Game Technology Pvtpl International Game Technology 6.25% 01-15-2027                                      356,224
      Pvtpl Intl Game Tech Pvtpl Intl Game Tech 4.125% 04-15-2026                                      829,771
      Pvtpl Iron Mountain Information Management Pvtpl Iron Mountain Information Managemen 5% Due 07-15-2032 Beo                                        95,768
      Pvtpl Iron Mtn Inc Pvtpl Iron Mtn Inc New 4.5% Due  02-15-2031/08-18-2020 Beo                                        84,107
      Pvtpl Iron Mtn Inc Pvtpl Iron Mtn Inc New 4.875% Due  09-15-2029 Beo                                        58,926
      Pvtpl Iron Mtn Inc Pvtpl Iron Mtn Inc New 5.0% Due  07-15-2028                                      111,172
      Pvtpl Iron Mtn Inc Pvtpl Iron Mtn Inc New 5.25% Due  07-15-2030                                      255,822
      Pvtpl Iron Mtn Inc Pvtpl Iron Mtn Inc New Bds 144A 5.625%  Due 07-15-2032/06-22-2020 Beo                                          1,911
      Pvtpl Itt Hldgs Llc Pvtpl Itt Hldgs Llc 6.5% Due  08-01-2029/07-08-2021 Beo                                      195,904
      Pvtpl J2 Global Inc  Pvtpl J2 Global Inc 4.625% Due  10-15-2030/10-07-2020 Beo                                        54,014
      Pvtpl Jazz Secs Designated Activity Co Pvtpl Jazz Secs Designated Activity Co  4.375% Due 01-15-2029 Beo                                      457,288
      Pvtpl Jones Deslauriers Ins Mgmt Inc Pvtpl Jones Deslauriers Ins Mgmt Inc 8.5% 03-15-2030                                      212,597
      Pvtpl Kar Auction Svcs Inc Pvtpl Kar Auction Svcs Inc         5.125% Due 06-01-2025 Beo                                      206,993
      Pvtpl Kinetik Hldgs Pvtpl Kinetik Hldgs Lp 6.625%      12-15-2028                                      213,809
      Pvtpl Kraken Oil & Gas Partners Llc Pvtpl Kraken Oil & Gas Partners Llc 7.625% 08-15-2029                                      118,376
      Pvtpl Lamb Weston Hldgs Inc Pvtpl Lamb Weston Hldgs Inc Sr Nt 4.125% 01-31-2030                                        51,185
      Pvtpl Lccm  Pvtpl Lccm 2021-Fl2 Tr Lccm 2021-Fl2 Tr Var Rt Due 12-13-2038/02-18-2025 Beo                                        41,003
      Pvtpl Lcm Invts Hldgs  Pvtpl Lcm Invts Hldgs Ii Llc 4.875% Due 05-01-2029/04-27-2021 Beo                                        56,025
      Pvtpl Lcm Invts Hldgs  Pvtpl Lcm Invts Hldgs Ii Llc 8.25%      08-01-2031                                      117,222
      Pvtpl Level 3 Fing Inc  Pvtpl Level 3 Fing Inc 3.75% Due 07-15-2029/01-13-2021 Beo                                        74,253
      Pvtpl Level 3 Fing Inc  Pvtpl Level 3 Fing Inc 3.875% Due  10-15-2030 Beo                                        30,328
      Pvtpl Level 3 Fing Inc  Pvtpl Level 3 Fing Inc 4.0%    04-15-2031                                        29,925
      Pvtpl Level 3 Fing Inc  Pvtpl Level 3 Fing Inc 4.875% 06-15-2029                                        53,070
      Pvtpl Level 3 Fing Inc  Pvtpl Level 3 Fing Inc New Money 1St Lien Nt  144A 10.5% 04-15-2029                                        43,462
      Pvtpl Lft Cre  Pvtpl Lft Cre 2021-Fl1 Ltd / Lft Cre Cl A 1.26025% 06-15-2039                                      174,288
      Pvtpl Lgi Homes Inc  Pvtpl Lgi Homes Inc 4.0%       07-15-2029                                      301,619
      Pvtpl Lgi Homes Inc  Pvtpl Lgi Homes Inc 8.75% 12-15-2028                                        62,951
      Pvtpl Liberty Broadband Corp Pvtpl Liberty Broadband Corp 3.125%      06-30-2054                                      295,362
               
               (continued) 

     

    - 48 -

     

    MORGAN STANLEY 401(k) PLAN
    Plan Number 003,     Employer Identification Number 20-8764829
    FORM 5500, SCHEDULE H, LINE 4i — 
    SCHEDULE OF ASSETS (HELD AT END OF YEAR)
    AT DECEMBER 31, 2024

     

     

                (e)  
      (b) (c)  (d)      Current   
    (a) Identity of Issuer Description of Investment  Cost**      Value  
      Corporate Debt Instruments (continued)        
      Pvtpl Lifepoint Health Inc Pvtpl Lifepoint Health Inc      5.375% Due 01-15-2029 Beo                                      323,487
      Pvtpl Lifepoint Health Inc Pvtpl Lifepoint Health Inc 10.0%    06-01-2032                                      215,564
      Pvtpl Lifepoint Health Inc Pvtpl Lifepoint Health Inc 11.0%    10-15-2030                                      712,326
      Pvtpl Lifepoint Health Inc Pvtpl Lifepoint Health Inc 9.875% Due   08-15-2030                                      113,259
      Pvtpl Lightning Pwr Llc  Pvtpl Lightning Pwr Llc 7.25%   08-15-2032                                        88,421
      Pvtpl Lithia Motors Inc  Pvtpl Lithia Motors Inc 4.625% Due      12-15-2027                                      263,175
      Pvtpl Lithia Mtrs Inc Pvtpl Lithia Mtrs Inc 4.375% Due 01-15-2031                                      315,486
      Pvtpl Live Nation Entmt  Pvtpl Live Nation Entmt In 4.75% Due 10-15-2027                                      254,267
      Pvtpl Live Nation Entmt  Pvtpl Live Nation Entmt Inc 3.75% Due   01-15-2028/01-04-2021 Beo                                        10,373
      Pvtpl Lumen Technologies Inc Pvtpl Lumen Technologies Inc 4.125% 04-15-2030                                        92,864
      Pvtpl M&T Bk Auto Receivables Pvtpl M&T Bk Auto Receivables Tr Ser 24-1A Cl A2 5.59% 02-17-2032                                      198,893
      Pvtpl Macquarie Airfinance Hldgs Ltd Pvtpl Macquarie Airfinance Hldgs Ltd    6.4% 03-26-2029                                        58,743
      Pvtpl Macquarie Airfinance Hldgs Ltd Pvtpl Macquarie Airfinance Hldgs Ltd    8.375% 05-01-2028                                      177,096
      Pvtpl Macquarie Airfinance Hldgs Ltd Pvtpl Macquarie Airfinance Hldgs Ltd Gtdsr Nt 8.125% 03-30-2029                                        85,662
      Pvtpl Macys Retail Hldgs Llc Pvtpl Macys Retail Hldgs Llc 6.125000% Due 03-15-2032 Beo                                        76,981
      Pvtpl Madison Pk Fdg Xxii Ltd Pvtpl Madison Pk Fdg Xxiii Ltd/Madison Sr Nt  Cl A-R Fltg 6.26157% 07-27-2031                                      230,704
      Pvtpl Madison Pk Fdg Xxii Ltd Pvtpl Madison Pk Fdg Xxiii Ltd/Madison Sr Nt  Cl A-R Fltg 6.26157% 07-27-2031                                      307,605
      Pvtpl Magic Mergerco Inc Pvtpl Magic Mergerco Inc 5.25%   05-01-2028                                      255,948
      Pvtpl Marathon Clo Ltd  Pvtpl Marathon Clo Ltd Sr 19-1A Cl Aar2 Fltg Rt  04-15-2032                                      500,011
      Pvtpl Marble Pt Clo Xi Ltd Pvtpl Marble Pt Clo Xi Ltd Ser 17-20 Cl A Fltg 12-18-2030                                      106,406
      Pvtpl Marriott Ownership Resorts Inc Pvtpl Marriott Ownership Resorts Inc    4.5% Due 06-15-2029                                      267,863
      Pvtpl Master Credit Card Trust Pvtpl Master Credit Card Trust Ser 23-2A Cl A Fltg 01-21-2027                                      501,316
      Pvtpl Match Group Inc  Pvtpl Match Group Inc 4.125% Due  08-01-2030                                      118,653
      Pvtpl Match Group Inc  Pvtpl Match Group Inc 5.625% Due  02-15-2029/02-15-2019 Beo                                      165,079
      Pvtpl Match Group Inc  Pvtpl Match Group Inc Sr Nt 144A 4.625% Due 06-01-2028/05-19-2020 Beo                                        93,324
      Pvtpl Mauser Packaging Solutions Pvtpl Mauser Packaging Solutions 7.875% 04-15-2027                                      117,324
      Pvtpl Mauser Packaging Solutions Pvtpl Mauser Packaging Solutions Hldg Co9.25% Due 04-15-2027 Beo                                        78,922
      Pvtpl Mav Acquisition Corp Pvtpl Mav Acquisition Corp Sr Nt        8.0% 08-01-2029                                      240,006
      Pvtpl Mav Acquisition Corp Pvtpl Mav Acquisition Corp Sr Secd Nt   144A 5.75% 08-01-2028                                      327,082
      Pvtpl Mcafee Corp Pvtpl Mcafee Corp Sr Nt 144A 7.375% Due 02-15-2030/02-15-2025 Beo                                      684,715
      Pvtpl Mcgraw-Hill Education Pvtpl Mcgraw-Hill Education 7.375%      09-01-2031                                      103,361
      Pvtpl Methanex Us Operations Pvtpl Methanex Us Operations 6.25%      03-15-2032                                        44,521
      Pvtpl Mileage Plus Hldgs Llc Pvtpl Mileage Plus Hldgs Llc/Mileage    Plus In 6.5% Due 06-20-2027                                          8,554
      Pvtpl Minerva Merger Sub Inc Pvtpl Minerva Merger Sub Inc 6.50% Due   02-15-2030                                      177,715
      Pvtpl Molina Healthcare Inc Pvtpl Molina Healthcare Inc 3.875% Due  11-15-2030 Beo                                      353,421
      Pvtpl Molina Healthcare Inc Pvtpl Molina Healthcare Inc 6.25% 01-15-2033                                      238,190
      Pvtpl Moss Creek Res Hldgs Inc Pvtpl Moss Creek Res Hldgs Inc 8.25%    09-01-2031                                      102,648
      Pvtpl Mozart Debt Merger Sub Inc Pvtpl Mozart Debt Merger Sub Inc 3.875% Due 04-01-2029 Beo                                      206,495
      Pvtpl Msci Inc Pvtpl Msci Inc 3.25% Due 08-15-2033 Beo                                      131,798
      Pvtpl Msci Inc  Pvtpl Msci Inc Sr Nt 144A 3.875% Due    02-15-2031/05-26-2020 Beo                                        45,810
      Pvtpl Nabors Inds Ltd Pvtpl Nabors Inds Ltd 7.5% Due  01-15-2028                                        86,109
      Pvtpl Nationstar Mtg Hldgs Inc Pvtpl Nationstar Mtg Hldgs Inc 6.5%     08-01-2029                                      119,797
      Pvtpl Nationstar Mtg Hldgs Inc Pvtpl Nationstar Mtg Hldgs Inc Sr Nt    144A 6% Due 01-15-2027/01-15-2025 Beo                                      199,940
      Pvtpl Navient Pvt Ed Ln  Pvtpl Navient Pvt Ed Ln Tr 2015-B Nt Cl A-3 Fltg Rate 144A Var Rt Due 07-16-2040                                      148,860
      Pvtpl Ncl Corp Ltd  Pvtpl Ncl Corp Ltd 6.25% 03-01-2030                                        43,477
               
               (continued) 

     

    - 49 -

     

    MORGAN STANLEY 401(k) PLAN
    Plan Number 003,     Employer Identification Number 20-8764829
    FORM 5500, SCHEDULE H, LINE 4i — 
    SCHEDULE OF ASSETS (HELD AT END OF YEAR)
    AT DECEMBER 31, 2024

     

     

                (e)  
      (b) (c)  (d)      Current   
    (a) Identity of Issuer Description of Investment  Cost**      Value  
      Corporate Debt Instruments (continued)        
      Pvtpl Ncl Corp Ltd  Pvtpl Ncl Corp Ltd 8.125% 01-15-2029                                        76,929
      Pvtpl Ncl Corp Ltd  Pvtpl Ncl Corp Ltd 8.375% Due  02-01-2028                                        87,828
      Pvtpl Ncr Corp Pvtpl Ncr Corp New 5% Due  10-01-2028/08-20-2020 Beo                                      189,482
      Pvtpl Nelnet Student Ln  Pvtpl Nelnet Student Ln Tr Fltg Rt Ser 19-2A Cl A 06-27-2067 Beo                                                 0
      Pvtpl Noble Fin Ii Llc Pvtpl Noble Fin Ii Llc 8.0% 04-15-2030                                      118,166
      Pvtpl Northriver Midstream  Pvtpl Northriver Midstream Fin Lp 6.75% 07-15-2032                                        74,439
      Pvtpl Nortonlifelock Inc Pvtpl Nortonlifelock Inc 6.75% Due  09-30-2027 Beo                                      265,943
      Pvtpl Nrg Energy Inc Pvtpl Nrg Energy Inc 3.375% Due 02-15-2029/12-02-2020 Beo                                        24,497
      Pvtpl Nrg Energy Inc  Pvtpl Nrg Energy Inc 6.25% 11-01-2034                                      313,870
      Pvtpl Nrg Energy Inc  Pvtpl Nrg Energy Inc 7.0%    03-15-2033                                      623,907
      Pvtpl Octagon Invt Partners Pvtpl Octagon Invt Partners Xxi  Ltd/Octagon Sr Secd Nt 02-14-2031                                      195,733
      Pvtpl Olympus Wtr Us Hldgs Corp Pvtpl Olympus Wtr Us Hldg Corp 4.25%     10-01-2028                                      186,889
      Pvtpl Olympus Wtr Us Hldgs Corp Pvtpl Olympus Wtr Us Hldg Corp 9.75%    11-15-2028                                      216,447
      Pvtpl Ontario Gaming Gta Ltd Pvtpl Ontario Gaming Gta Ltd Partnership/Otg 8.0% 08-01-2030                                      151,123
      Pvtpl Open Text Corp Pvtpl Open Text Corp 01/12/2029 3.875%  Due 12-01-2029/12-01-2024 Beo                                      275,890
      Pvtpl Open Text Corp Pvtpl Open Text Corp 3.875% Due  02-15-2028 Beo                                      214,783
      Pvtpl Open Text Corp Pvtpl Open Text Corp 6.9% Due  12-01-2027/12-01-2022 Beo                                      368,877
      Pvtpl Open Text Inc Pvtpl Open Text Inc 4.125%      02-15-2030                                      146,901
      Pvtpl Organon Co Pvtpl Organon Co/Organon Foreign Debt C 6.75% 05-15-2034                                      372,304
      Pvtpl Organon Fin 1 Llc  Pvtpl Organon Fin 1 Llc 5.125%    04-30-2031                                      239,982
      Pvtpl Osd Clo Pvtpl Osd Clo 2021-23 Ltd Ser 21-23A Cl A Fltg 144A 04-17-2031                                      241,263
      Pvtpl Ot Merger Corp Pvtpl Ot Merger Corp 7.875% Due  10-15-2029                                      109,423
      Pvtpl Ozlm Xxiv Ltd  Pvtpl Ozlm Xxiv Ltd / Ozlm Xxiv Llc   20/07/2032 Var Rt Due 07-20-2032 Beo                                        90,002
      Pvtpl Palmer Square Ln Fdg Pvtpl Palmer Square Ln Fdg 2021-3 Ltd/Sr Secd Nt Cl A-1 Fltg 5.04257% 07-20-2029                                        53,724
      Pvtpl Palmer Square Loan Funding Ltd Pvtpl Palmer Square Loan Funding Ltd Ser 21-4A Cl A1 Fltg Rt 10-15-2029 Beo                                      179,367
      Pvtpl Panther Bf Aggregator  Pvtpl Panther Bf Aggregator 2 Lp/Panther6.25% 05-15-2026                                      263,930
      Pvtpl Panther Escrow Issuer Llc Pvtpl Panther Escrow Issuer Llc/Panther Co-I 7.125% 06-01-2031                                      100,999
      Pvtpl Park Inter Hldgs Llc Pvtpl Park Inter Hldgs Llc/Pk Domestic  Ppty 5.875% Due 10-01-2028 Beo                                        88,951
      Pvtpl Parkland Corp Pvtpl Parkland Corp 6.625%     08-15-2032                                      130,627
      Pvtpl Parkland Corp Pvtpl Parkland Corp/Canada    4.625% 07-10-2030                                      423,090
      Pvtpl Parkland Corp Pvtpl Parkland Corp/Canada  4.5% 10-01-2029                                      615,852
      Pvtpl Parkland Fuel Corp Pvtpl Parkland Fuel Corp 5.875% Due  07-15-2027 Beo                                      300,113
      Pvtpl Penn National Ga Inc Pvtpl Penn National Ga Inc 4.125%   Due 07-01-2029 Beo                                      181,135
      Pvtpl Penn Natl Gaming Inc Pvtpl Penn Natl Gaming Inc Sr Nt   5.625% Due 01-15-2027 Beo                                        67,931
      Pvtpl Pennymac Finl Svcs Inc Pvtpl Pennymac Finl Svcs Inc New Sr Nt  4.25%  02-15-2029                                        55,607
      Pvtpl Permian Resources Operating Llc Pvtpl Permian Resources Operating Llc   5.875% 07-01-2029                                        14,718
      Pvtpl Petsmart Inc Pvtpl Petsmart Inc/Petsmart Fin Corp 4.75% Due 02-15-2028 Beo                                      634,029
      Pvtpl Petsmart Inc Pvtpl Petsmart Inc/Petsmart Fin Corp 7.75% Due 02-15-2029 Beo                                      310,298
      Pvtpl Phinia Inc Pvtpl Phinia Inc 6.75% 04-15-2029                                        99,960
      Pvtpl Pike Corp Pvtpl Pike Corp Sr Nt 5.5%     09-01-2028                                      229,789
      Pvtpl Playtika Hldg Corp Pvtpl Playtika Hldg Corp 4.25% Due 03-15-2029/03-11-2021 Beo                                      891,020
      Pvtpl Post Hldgs Inc Pvtpl Post Hldgs Inc 6.25%    10-15-2034                                      114,949
      Pvtpl Post Hldgs Inc Pvtpl Post Hldgs Inc Sr Nt 144A 5.5% Due12-15-2029/12-15-2024 Beo                                      264,157
      Pvtpl Premier Entmt Sub  Pvtpl Premier Entmt Sub Llc/Premier Entmt Fi  Sr Nt 5.625% 09-01-2029                                      179,765
      Pvtpl Premier Entmt Sub  Pvtpl Premier Entmt Sub Llc/Premier Entmt Fi Sr Nt 5.875% 09-01-2031                                      270,630
               
               (continued) 

     

    - 50 -

     

    MORGAN STANLEY 401(k) PLAN
    Plan Number 003,     Employer Identification Number 20-8764829
    FORM 5500, SCHEDULE H, LINE 4i — 
    SCHEDULE OF ASSETS (HELD AT END OF YEAR)
    AT DECEMBER 31, 2024

     

     

                (e)  
      (b) (c)  (d)      Current   
    (a) Identity of Issuer Description of Investment  Cost**      Value  
      Corporate Debt Instruments (continued)        
      Pvtpl Prime Healthcare  Pvtpl Prime Healthcare Svcs Inc 9.375% 09-01-2029                                      397,838
      Pvtpl Quicken Lns Llc Pvtpl Quicken Lns Llc/Quicken Lns Co-Issuer In 3.625% 03-01-2029                                        18,112
      Pvtpl Radiate Holdco Pvtpl Radiate Holdco/Finance 4.5% Due   09-15-2026                                        14,841
      Pvtpl Raven Acquisition Hldgs Pvtpl Raven Acquisition Hldgs Llc 6.875% 11-15-2031                                      229,673
      Pvtpl Regatta Xvi Funding Pvtpl Regatta Xvi Funding Ltd Sr 19-2A Cl A1R Fltg Rt 01-15-2033                                      502,451
      Pvtpl Regatta Xvi Funding Pvtpl Regatta Xvi Funding Ltd Sr 19-2A Cl A1R Fltg Rt 01-15-2033                                      401,961
      Pvtpl Roblox Corp Pvtpl Roblox Corp 3.875% Due 05-01-2030/10-29-2021 Beo                                      197,351
      Pvtpl Rockcliff Energy  Pvtpl Rockcliff Energy Ii Llc Sr Nt 144A5.5% Due 10-15-2029/10-15-2024 Beo                                      251,257
      Pvtpl Rocket Mtg Llc Pvtpl Rocket Mtg Llc/Rocket Mtg 4.0% 10-15-2033                                        79,955
      Pvtpl Rocket Mtg Llc Pvtpl Rocket Mtg Llc/Rocket Mtg Co-Issuer Inc 2.875% Due 10-15-2026 Beo                                      100,578
      Pvtpl Rockies Express Pipeline Llc Pvtpl Rockies Express Pipeline Llc  6.875% Due 04-15-2040/03-22-2010                                      232,910
      Pvtpl Rockies Express Pipeline Llc Pvtpl Rockies Express Pipeline Llc  Fixed 4.95% 07-15-2029 Beo                                      315,210
      Pvtpl Rockies Express Pipeline Llc Pvtpl Rockies Express Pipeline Llc Sr Nt144A 7.5% Due 07-15-2038/06-27-2008 Beo                                        99,319
      Pvtpl Royal Caribbean Cruise Limited Pvtpl Royal Caribbean Cruises Limited 5.5% 08-31-2026                                        97,904
      Pvtpl Royal Caribbean Cruise Limited Pvtpl Royal Caribbean Cruises Ltd 5.375%Due 07-15-2027 Beo                                      188,816
      Pvtpl Royal Caribbean Cruise Limited Pvtpl Royal Caribbean Cruises Ltd 5.5%  Due 04-01-2028 Beo                                      152,846
      Pvtpl Sabre Glbl Inc  Pvtpl Sabre Glbl Inc 10.75%  11-15-2029                                      232,119
      Pvtpl Scih Salt Hldgs Inc Pvtpl Scih Salt Hldgs Inc 4.875%  05-01-2028                                      157,103
      Pvtpl Scih Salt Hldgs Inc Pvtpl Scih Salt Hldgs Inc 6.625% Due  05-01-2029 Beo                                        53,158
      Pvtpl Select Medical Corp Pvtpl Select Medical Corp 6.25%  12-01-2032                                        47,132
      Pvtpl Sensata Technologies Inc Pvtpl Sensata Technologies Inc 4.375% Due 02-15-2030                                        80,611
      Pvtpl Sequoia Mtg Pvtpl Sequoia Mtg Tr Sr-Ch1 Cl-A1 4%  02-25-2048                                                 0
      Pvtpl Shift4 Pmts Llc  Pvtpl Shift4 Pmts Llc / Fin 6.75%  08-15-2032                                      116,962
      Pvtpl Shift4 Pmts Llc  Pvtpl Shift4 Pmts Llc/Shift4 Pmts Fin Sub In  4.625% Due 11-01-2026 Beo                                      423,376
      Pvtpl Sirius Xm Holdings Inc Pvtpl Sirius Xm Holdings Inc 5.0% Due 08-01-2027                                        81,688
      Pvtpl Sirius Xm Radio Inc Pvtpl Sirius Xm Radio Inc 3.125% Due 09-01-2026 Beo                                      622,441
      Pvtpl Sirius Xm Radio Inc Pvtpl Sirius Xm Radio Inc 3.875% Due 09-01-2031 Beo                                      324,670
      Pvtpl Sitio Royalties Oper Partnership Pvtpl Sitio Royalties Oper Partnership Lp/S 7.875% 11-01-2028                                        99,704
      Pvtpl Six Flags Theme Parks Inc Pvtpl Six Flags Theme Parks Inc Sr Secd Nt 144A 7% Due 07-01-2025/04-22-2020                                        25,976
      Pvtpl Sm Energy Co  Pvtpl Sm Energy Co 6.75% 08-01-2029                                        53,453
      Pvtpl Sm Energy Co  Pvtpl Sm Energy Co 7.0% 08-01-2032                                        39,438
      Pvtpl Smb Private Eduacation Pvtpl Smb Private Eduacation Ln Tr  2023-C Nt Cl A-1A 5.67% 11-15-2052                                      199,986
      Pvtpl Smb Private Eduacation Pvtpl Smb Private Education Loan Trust  Ser 24-D Cl A1B Fltg 07-05-2053                                      477,111
      Pvtpl Snap Inc  Pvtpl Snap Inc .5% 05-01-2030                                      231,667
      Pvtpl Sound Pt Clo  Pvtpl Sound Pt Clo Xvi Ltd/Sound Pt Clo Xvi Var Rt Due 07-25-2030 Beo                                        58,346
      Pvtpl Sound Pt Clo  Pvtpl Sound Pt Clo Xvi Ltd/Sound Pt Clo Xvi Var Rt Due 07-25-2030 Beo                                        72,932
      Pvtpl Sound Pt Clo  Pvtpl Sound Pt Clo Xvii Ltdcl A-1-R Fltg 144A Var Rt 10-20-2030                                      168,728
      Pvtpl Sound Pt Clo  Pvtpl Sound Pt Clo Xvii Ltdcl A-1-R Fltg 144A Var Rt 10-20-2030                                      134,982
      Pvtpl Specialty Building Pvtpl Specialty Building Produ 7.75%  10-15-2029                                        38,560
      Pvtpl Ss&C Technologies Inc Pvtpl Ss&C Technologies Inc 144A  5.5% 03-28-2019                                      111,925
      Pvtpl Standard Inds Inc  Pvtpl Standard Inds Inc Del 3.375% Due  01-15-2031 Beo                                        23,150
      Pvtpl Standard Industries Inc Pvtpl Standard Industries Inc 6.5%  07-30-2032                                        50,080
      Pvtpl Staples Inc  Pvtpl Staples Inc 10.75%   09-01-2029                                      244,963
      Pvtpl Summit Matls Llc  Pvtpl Summit Matls Llc Fixed 6.5%  03-15-2027                                        38,961
      Pvtpl Summit Midsteam Hldgs Pvtpl Summit Midsteam Hldgs Llc/Fin Corp 8.625% 10-31-2029                                      115,123
               
               (continued) 

     

    - 51 -

     

    MORGAN STANLEY 401(k) PLAN
    Plan Number 003,     Employer Identification Number 20-8764829
    FORM 5500, SCHEDULE H, LINE 4i — 
    SCHEDULE OF ASSETS (HELD AT END OF YEAR)
    AT DECEMBER 31, 2024

     

     

                (e)  
      (b) (c)  (d)      Current   
    (a) Identity of Issuer Description of Investment  Cost**      Value  
      Corporate Debt Instruments (continued)        
      Pvtpl Sunoco Pvtpl Sunoco Lp Nt 7.0%  09-15-2028                                      250,657
      Pvtpl Surgery Ctr Hldgs  Pvtpl Surgery Ctr Hldgs Inc 7.25%  04-15-2032                                      257,064
      Pvtpl Swedbank Ab Medium Pvtpl Swedbank Ab Medium Term Nts Book  Entry 1 3.356% Due 04-04-2025 Reg                                      299,006
      Pvtpl Symantec Corp Pvtpl Symantec Corp 5.0% Due 04-15-2025                                        98,775
      Pvtpl Tallgrass Energy Partners Pvtpl Tallgrass Energy Partners Lp/Tallgrass 6.0% 12-31-2030                                        66,281
      Pvtpl Tallgrass Energy Partners Pvtpl Tallgrass Energy Partners Lp/Tallgrass 6.0% Due 09-01-2031 Beo                                      299,195
      Pvtpl Tegna Inc  Pvtpl Tegna Inc Sr Nt 4.75% Due  03-15-2026 Beo                                      175,544
      Pvtpl Teleflex Inc Pvtpl Teleflex Inc Sr Nt 144A 4.25% Due 06-01-2028/05-27-2020 Beo                                      277,142
      Pvtpl Telesat Canada Pvtpl Telesat Canada/Telesat Llc 4.875% Due 06-01-2027                                      126,953
      Pvtpl Thor Industries Pvtpl Thor Industries  4.0% 10-15-2029                                      391,312
      Pvtpl Towd Pt Mtg  Pvtpl Towd Pt Mtg Tr Fltg Rt Ser 19-Hy2 Cl A1 12-25-2048 Beo                                        29,888
      Pvtpl Towd Pt Mtg  Pvtpl Towd Pt Mtg Tr Ser 2019-Hy3 Cl A1A Fltg 12-25-2048                                      120,307
      Pvtpl Towd Pt Mtg  Pvtpl Towd Pt Mtg Tr Var Rt Ser 19-1 Cl A1 03-25-2058                                      256,946
      Pvtpl Transocean Inc  Pvtpl Transocean Inc 8.25% 05-15-2029                                      291,912
      Pvtpl Transocean Inc  Pvtpl Transocean Inc 8.75%  02-15-2030                                      165,682
      Pvtpl Trident Tpi Hldgs  Pvtpl Trident Tpi Hldgs Inc 12.75%  12-31-2028                                      469,907
      Pvtpl Trinitas Clo  Pvtpl Trinitas Clo Xiv Ltd Ser 20-14A Cl A1R Fltg 01-25-2034                                      500,905
      Pvtpl Trinseo Matls  Pvtpl Trinseo Matls Oper S C A/Trinseo 5.375% Due 09-01-2025                                      117,410
      Pvtpl Trinseo Op Pvtpl Trinseo Op/Trinseo Fin 5.125% Due 04-01-2029 Beo                                      286,004
      Pvtpl Triton Wtr Hldgs  Pvtpl Triton Wtr Hldgs Inc 6.25% Due 04-01-2029/03-31-2021 Beo                                      201,521
      Pvtpl Triumph Group Inc  Pvtpl Triumph Group Inc 9.0%   03-15-2028                                      226,989
      Pvtpl Tronox Inc  Pvtpl Tronox Inc 4.625%  03-15-2029                                      120,278
      Pvtpl Trtx  Pvtpl Trtx 2021-Fl4 Issuer Ltd Ser 21-Fl4 Cl A Fltg 03-15-2038                                      182,816
      Pvtpl Trtx  Pvtpl Trtx 2022-Fl5 Issuer Ser 22-Fl5 Cl A Var 02-15-2039                                      385,193
      Pvtpl Ubs Group  Pvtpl Ubs Group Ag 5.711%  01-12-2027                                      503,583
      Pvtpl Ubs Group  Pvtpl Ubs Group Ag 6.373%   07-15-2026                                      402,855
      Pvtpl Ukg Inc  Pvtpl Ukg Inc 6.875% 02-01-2031                                      143,049
      Pvtpl United Shore  Pvtpl United Shore Finan Serv 5.5%  11-15-2025                                      323,403
      Pvtpl United Wholesale Mtge Pvtpl United Wholesale Mtge Ll Corp 5.5%   04-15-2029                                      118,480
      Pvtpl United Whsl Mtg Llc Pvtpl United Whsl Mtg Llc  5.75% 06-15-2027                                        15,804
      Pvtpl Uniti Group Pvtpl Uniti Group/Csl Capital 10.5%  02-15-2028                                      439,308
      Pvtpl Univision Communications Inc Pvtpl Univision Communications Inc 8.0% 08-15-2028                                        78,402
      Pvtpl Univision Communications Inc Pvtpl Univision Communications Inc Sr   Secd Nt 144A 6.625% 06-01-2027                                      304,767
      Pvtpl Us Foods Inc  Pvtpl Us Foods Inc 6.875% Due 09-13-2028                                        51,157
      Pvtpl Usa Compression Partners Pvtpl Usa Compression Partners Lp/Usa   7.125% 03-15-2029                                      124,153
      Pvtpl Uwm Holdings Llc  Pvtpl Uwm Holdings Llc 6.625% 02-01-2030                                      105,345
      Pvtpl Valaris Ltd  Pvtpl Valaris Ltd 8.375%  04-30-2030                                        77,812
      Pvtpl Valeant Pharmaceuticals  Pvtpl Valeant Pharmaceuticals Intl Bnds 9.0% Due 12-15-2025                                        50,502
      Pvtpl Varonis Sys Inc Pvtpl Varonis Sys Inc 1.0%  09-15-2029                                      111,215
      Pvtpl Venture Clo Ltd  Pvtpl Venture Clo Ltd Sr 17-28A Cl A2R Var Rt 07-20-2030                                      192,075
      Pvtpl Venture Global Calcasieu Pvtpl Venture Global Calcasieu Pass Llc 3.875% Due 08-15-2029                                      501,620
      Pvtpl Venture Global Calcasieu Pvtpl Venture Global Calcasieu Pass Llc 3.875% Due 11-01-2033 Beo                                      352,240
      Pvtpl Venture Global Calcasieu Pvtpl Venture Global Calcasieu Pass Llc 6.25% 01-15-2030                                      233,162
      Pvtpl Venture Global Lng Pvtpl Venture Global Lng Inc 7.0% 01-15-2030                                      245,625
      Pvtpl Venture Global Lng Pvtpl Venture Global Lng Inc 8.375% Due 06-01-2031                                      110,550
               
               (continued) 

     

    - 52 -

     

    MORGAN STANLEY 401(k) PLAN
    Plan Number 003,     Employer Identification Number 20-8764829
    FORM 5500, SCHEDULE H, LINE 4i — 
    SCHEDULE OF ASSETS (HELD AT END OF YEAR)
    AT DECEMBER 31, 2024

     

     

                (e)  
      (b) (c)  (d)      Current   
    (a) Identity of Issuer Description of Investment  Cost**      Value  
      Corporate Debt Instruments (continued)        
      Pvtpl Venture Global Lng Pvtpl Venture Global Lng Inc 9.5%       02-01-2029                                      699,633
      Pvtpl Venture Global Lng Pvtpl Venture Global Lng Inc 9.875%     02-01-2032                                      523,402
      Pvtpl Venture Xxix Clo Ltd Pvtpl Venture Xxix Clo Ltd/Venture Xxix Clo Var Rt Due 09-07-2030 Beo                                      264,565
      Pvtpl Venture Xxix Clo Ltd Pvtpl Venture Xxvi Clo Ltd Ser 17-26A  Cl A-R Fltg 01-20-2029 Beo                                        33,298
      Pvtpl Verdelite Static Clo Ltd Pvtpl Verdelite Static Clo Ltd Ser 24-1A Cl A Fltg 07-20-2032                                      485,505
      Pvtpl Vertical Holdco Gmbh Pvtpl Vertical Holdco Gmbh Sr Nt Usd    144A 7.625 Due 07-15-2028/07-15-2020 Beo                                      199,846
      Pvtpl Vertical U S Newco Inc Pvtpl Vertical U S Newco Inc 5.25% Due  07-15-2027                                      293,685
      Pvtpl Viasat Inc Pvtpl Viasat Inc Sr Nt 144A 5.625% 09-15-2025                                      161,544
      Pvtpl Vibrant Clo Ltd  Pvtpl Vibrant Clo Ltd Ser 19-11A Cl A1R1 Fltg 07-20-2032                                      373,787
      Pvtpl Vici Pptys L P Pvtpl Vici Pptys L P/Vici Nt Co Inc   3.875% Due 02-15-2029 Beo                                      124,382
      Pvtpl Vici Pptys L P Pvtpl Vici Pptys L P/Vici Nt Co Inc   4.125% Due 08-15-2030                                      103,138
      Pvtpl Vici Pptys L P Pvtpl Vici Pptys L P/Vici Nt Co Inc 4.5% Due 01-15-2028 Beo                                      149,632
      Pvtpl Vici Properties Inc Pvtpl Vici Properties Inc 3.75% Due  02-15-2027                                        52,426
      Pvtpl Vistra Operations Co Pvtpl Vistra Operations Co Llc 4.375%   Due 05-01-2029 Beo                                      317,293
      Pvtpl Vistra Operations Co Pvtpl Vistra Operations Co Llc 5.0% 07-31-2027                                      296,320
      Pvtpl Vistra Operations Co Pvtpl Vistra Operations Co Llc 5.125%   Due 05-13-2025 Beo                                      162,818
      Pvtpl Vistra Operations Co Pvtpl Vistra Operations Co Llc 5.5% Due 09-01-2026 Beo                                      330,953
      Pvtpl Vistra Operations Co Pvtpl Vistra Operations Co Llc 6.875%  Due 04-15-2032                                      393,184
      Pvtpl Vistra Operations Co Pvtpl Vistra Operations Co Llc 6.95% Due10-15-2033 Beo                                      792,928
      Pvtpl Vistra Operations Co Pvtpl Vistra Operations Co Llc Sr Nt    144A 5.625% 02-15-2027                                        20,916
      Pvtpl Vistra Operations Co Pvtpl Vistra Operations Co Llc Sr Nt    7.75% 10-15-2031                                      614,752
      Pvtpl Vital Energy Inc  Pvtpl Vital Energy Inc Del  7.875% 04-15-2032                                      295,394
      Pvtpl W R Grace Hldgs Llc Pvtpl W R Grace Hldgs Llc Sr Nt 5.625%   08-15-2029                                      162,784
      Pvtpl Wesco Distribution Inc Pvtpl Wesco Distribution Inc 6.375% 03-15-2029                                        48,642
      Pvtpl Wildfire Inter Hldgs Llc Pvtpl Wildfire Inter Hldgs Llc 7.5% 10-15-2029                                      203,011
      Pvtpl Williams Scotsman Inc Pvtpl Williams Scotsman Inc 6.625%  06-15-2029                                        48,571
      Pvtpl Xpo Inc Pvtpl Xpo Inc 6.25%  06-01-2028                                        97,593
      Pvtpl Zf North Amer Cap Inc Pvtpl Zf North Amer Cap Inc Nt 144A  4.75% Due 04-29-2025 Beo                                      301,471
      Pvtpl Zf North Amer Cap Inc Pvtpl Zf North America Capital Inc  6.875% Due 04-14-2028                                      149,592
      Pvtpl Zf North Amer Cap Inc Pvtpl Zf North America Capital Inc  7.125% Due 04-14-2030                                      157,024
      Pvtpl Ziprecruiter Inc   Pvtpl Ziprecruiter Inc   5.0% 01-15-2030                                      144,139
      Pvtplmacquarie Airfinance Hldgs Ltd Pvtplmacquarie Airfinance Hldgs Ltd 6.5% 03-26-2031                                      169,341
      Radiate Holdco, Llc  Radiate Holdco, Llc Incremental Term Loan B Due 09-25-2026                                      102,828
      Rapid7 Inc Sr Nt Conv 1. Rapid7 Inc Sr Nt Conv 1.25% 03-15-2029                                      196,008
      Realkredit Danmark  Realkredit Danmark 1% Cvd Bds 01/10/53  Dkk0.01                                          3,011
      Realkredit Danmark  Realkredit Danmark 1% Cvd Bds 01/10/53  Dkk0.01                                                 0
      Realkredit Danmark  Realkredit Danmark 1% Snr Sec 01/10/50  Dkk0.01                                                 0
      Realkredit Danmark  Realkredit Danmark 1.5% Cvd Bds  01/10/2053 Dkk                                        50,905
      Realkredit Danmark  Realkredit Danmark 1.5% Snr Sec  01/10/2053 Dkk                                                 0
      Realkredit Danmark  Realkredit Danmark 2% Cvd Bds 01/10/53  Dkk0.01                                        13,887
      Regal Rexnord Corp Regal Rexnord Corp 6.05%  04-15-2028                                        31,532
      Regal Rexnord Corp Regal Rexnord Corp 6.3%  02-15-2030                                      212,910
      Regal Rexnord Corp Regal Rexnord Corp 6.4%  04-15-2033                                        61,937
      Resimac Bastille Series  Resimac Bastille Series 2021-2Nc  5.09248% 02-03-2053                                      272,062
      Restoration Hardware Inc Restoration Hardware Inc Term Loan B  10-20-2028                                      222,934
               
               (continued) 

     

    - 53 -

     

    MORGAN STANLEY 401(k) PLAN
    Plan Number 003,     Employer Identification Number 20-8764829
    FORM 5500, SCHEDULE H, LINE 4i — 
    SCHEDULE OF ASSETS (HELD AT END OF YEAR)
    AT DECEMBER 31, 2024

     

     

                (e)  
      (b) (c)  (d)      Current   
    (a) Identity of Issuer Description of Investment  Cost**      Value  
      Corporate Debt Instruments (continued)        
      Rhp Hotel Pptys Lp & Rhp Corp Rhp Hotel Pptys Lp & Rhp Fin Corp 4.75% 10-11-2027                                        19,345
      Ripon Mortgages  Ripon Mortgages 28/08/2056                                      419,802
      Rlj Lodging Tr  Rlj Lodging Tr L P Sr Secd Nt 144A 3.75% 07-01-2026                                      115,733
      Rlj Lodging Tr  Rlj Lodging Tr L P Sr Secd Nt 144A 4%   09-15-2029                                      187,586
      Royal Caribbean Cruises  Royal Caribbean Cruises Ltd Sr Nt 144A  4.25% 07-01-2026                                      271,893
      Sabra Health Care Sabra Health Care Lp 3.2% Due 12-01-2031                                      266,900
      Sabre Glbl Inc Sabre Glbl Inc 4% Snr Nts 04-15-2025 Usd                                      127,201
      Sabre Glbl Inc Sabre Glbl Inc Sr Secd Nt 144A 8.625%  06-01-2027                                        30,573
      Sabre Glbl Inc Sabre Glbl Inc Term Loan B Senior Secured Term Loan  06-30-2028 Beo                                                -   
      Sabre Glbl Inc Sabre Glbl Inc Term Loan B1 Due 12-17-2027 Beo                                      124,845
      Sabre Glbl Inc Sabre Glbl Inc Term Loan B2 Due 12-17-2027 Beo                                        54,222
      Sabre Glbl Inc Sabre Glbl Inc. Senior Secured Term Loan B 06-30-2028 Beo                                      153,390
      Santander Uk Group Fltg  Santander Uk Group Fltg Rt 4.858% Due   09-11-2030                                      243,321
      Sba Communications Sba Communications 3.125% Due 02-01-2029                                      190,456
      Sba Communications Sba Communications Corp New Sr Nt 3.875% 02-15-2027                                        86,281
      Scientific Games  Scientific Games 7% Due 05-15-2028                                      292,576
      Scih Salt Holdings Inc  Scih Salt Holdings Inc Term Loan B 03-16-2027 Eo                                        83,901
      Seagate Hdd Cayman Seagate Hdd Cayman 4.091% Due 06-01-2029                                        21,448
      Seagate Hdd Cayman  Seagate Hdd Cayman 5.75% Due 12-01-2034                                      287,729
      Seagate Hdd Cayman  Seagate Hdd Cayman 8.25% 12-31-2049                                      138,514
      Seagate Hdd Cayman  Seagate Hdd Cayman 9.625% 12-01-2032                                      185,525
      Segovia Euro Segovia Euro C6-19 Frn Clo 07/2032 Eur  'A-R'                                      375,661
      Sensata  Sensata 3.75% Due 02-15-2031                                        45,457
      Service Pptys  Service Pptys Tr 5.5% Due 12-15-2027                                        77,615
      Shea Homes  Shea Homes Lp 4.75%  02-15-2028                                        60,294
      Shift4 Payments Inc  Shift4 Payments Inc 0.5% Cnv Snr Nts  08-01-2027                                      151,575
      Sitel Worldwide Corporation Sitel Worldwide Corporation Term Loan  07-28-2028 Beo                                      219,578
      Slm Corp Medium Term Nts Slm Corp Medium Term Nts Book Entry  5.625% Due 08-01-2033                                        37,208
      Sm Energy Co  Sm Energy Co 6.5% Due 07-15-2028 Reg                                        13,913
      Snap Inc Snap Inc Sr Nt Conv 0% 05-01-2027                                        98,028
      Sound Pt Clo Ix Ltd  Sound Pt Clo Ix Ltd / Sound Pt Clo 15-2A Ar 0.0% 07-20-2032                                      400,618
      Southern Calif Edison Co Southern Calif Edison Co 5.35% 03-01-2026                                      301,966
      Southwest Airls Co  Southwest Airls Co 1.25% Due 05-01-2025                                      413,680
      Springleaf Fin  Springleaf Fin 7.125% Due 03-15-2026                                        65,150
      Sprint Corp Fixed  Sprint Corp Fixed 7.625% Due 03-01-2026                                      215,629
      Star Hldg Llc  Star Hldg Llc Term Loan B 07-18-2031                                        86,908
      Star Parent Inc Star Parent Inc Term Loan B Senior Secured Term Loan 09-19-203                                             247
      Starwood Ppty Tr Inc  Starwood Ppty Tr Inc Sr Nt 144A 4.375%  01-15-2027                                      386,736
      Std Inds Inc  Std Inds Inc Del 4.375% Due 07-15-2030                                        84,291
      Std Inds Inc  Std Inds Inc Del 5% Due 02-15-2027                                        35,231
      Steele Creek  Steele Creek Clo 2018-1 Ltd / Sr Secd Ntcl A Fltg 144A 5.57359% 04-15-2031                                      375,486
      Stryker Corp Stryker Corp 4.637% 09-11-2029                                      292,023
      Sumitomo Mitsui  Sumitomo Mitsui 1.474% Due 07-08-2025                                      393,304
      Sumitomo Mitsui Finl Group Inc Sumitomo Mitsui Finl Group Inc 5.464% 01-13-2026                                      403,037
      Sunoco Lp/Sunoco Fin Corp Sunoco Lp/Sunoco Fin Corp 4.5% Due 05-15-2029                                        39,460
               
               (continued) 

     

    - 54 -

     

    MORGAN STANLEY 401(k) PLAN
    Plan Number 003,     Employer Identification Number 20-8764829
    FORM 5500, SCHEDULE H, LINE 4i — 
    SCHEDULE OF ASSETS (HELD AT END OF YEAR)
    AT DECEMBER 31, 2024

     

     

                (e)  
      (b) (c)  (d)      Current   
    (a) Identity of Issuer Description of Investment  Cost**      Value  
      Corporate Debt Instruments (continued)        
      Sunoco Lp/Sunoco Fin Corp Sunoco Lp/Sunoco Fin Corp 5.875%  03-15-2028                                        83,657
      Surgery Center Holdings, Inc Surgery Center Holdings, Inc Senior Secured Term Loan B 12-19-2030                                      311,775
      Synchrony Bk Global Synchrony Bk Global Sr Short Term Bk Nts5.4% Due 08-22-2025 Reg                                      400,498
      Synchrony Card Issuance  Synchrony Card Issuance Tr Ser 23-A2 Cl A 5.74% 10-15-2029                                      407,575
      Targa Res Partners Fixed Targa Res Partners Fixed 6.5% Due  07-15-2027                                      157,094
      Tegna Inc Tegna Inc 4.625% Due 03-15-2028                                      194,671
      Teladoc Health Inc       Teladoc Health Inc  1.25% Due 06-01-2027                                      283,725
      Telesat Canada  Telesat Canada Term B-5 Loan   Due 12-07-2026 Beo                                        72,708
      Tenet Healthcare Tenet Healthcare 6.875% Due 11-15-2031                                        98,314
      Tenet Healthcare Corp Tenet Healthcare Corp 6.25% Due  02-01-2027                                      835,337
      Tenet Healthcare  Tenet Healthcare Fixed 6.125% Due  10-01-2028                                        10,980
      Tenneco Inc.  Tenneco Inc. Term A Loan Senior Secured Term Loan 11-17-2028                                      119,799
      Tenneco Inc.  Tenneco Inc. Term B Loan (First Lien)  Senior Secured Term Loan 11-17-2028                                        60,104
      Teva  Teva 3.15% Due 10-01-2026                                      496,784
      Teva Teva 6.15% Due 02-01-2036                                        36,071
      Teva Pharmaceutical Inds Teva Pharmaceutical Indst Ltd 4.1% Bds  10-01-2046 Usd2000                                      122,932
      Tibco Software Inc  Tibco Software Inc Sr Secd Nt 144A 6.5% 03-31-2029                                      389,673
      Time Warner Cable Time Warner Cable 7.3% Due 07-01-2038                                        93,713
      Tkc Hldgs Inc  Tkc Hldgs Inc Sr Secd Nt 144A 6.875%  05-15-2028                                      184,884
      Tkc Holdings, Inc.  Tkc Holdings, Inc. Closing Date Initial Term Loan (2024) Sr Scrd Tl 05-15-2028                                      111,059
      Transalta Corp Transalta Corp 7.75% Due 11-15-2029 Beo                                        75,077
      Transdigm Inc  Transdigm Inc 4.625% 01-15-2029                                        62,720
      Transdigm Inc  Transdigm Inc 4.875% 05-01-2029 Reg                                        63,268
      Transdigm Inc Transdigm Inc Fixed 5.5%  11-15-2027                                      624,955
      Transdigm Inc  Transdigm Inc Tranche I Term Loan Sen  08-24-2028                                      342,687
      Transocean Sedco Forex Inc Transocean Sedco Forex Inc 7.5 Due 04-15-2031 Beo                                        80,513
      Tri Pointe Homes Inc Tri Pointe Homes Inc 5.25% Due 06-01-2027                                        41,249
      Trident Tpi Hldgs Inc  Trident Tpi Hldgs Inc Senior Secured Tlb 09-15-2028                                      115,138
      Triton Water Holdings Inc Triton Water Holdings Incorporated Tl   Due 03-31-2028 Beo                                        27,811
      Twilio Inc Twilio Inc 3.625% 03-15-2029                                      370,633
      Uber Technologies  Uber Technologies 7.5% Due 09-15-2027                                      341,984
      Uber Technologies Inc  Uber Technologies Inc Sr Nt Conv 0.0%   Due 12-15-2025 Reg                                      247,968
      Ubs Group  Ubs Group Ag Sr Nt 3.75% 03-26-2025                                      249,252
      Uniti Group Lp  Uniti Group Lp / 4.75% Due 04-15-2028                                      142,460
      Uniti Group Lp  Uniti Group Lp / Uniti Fiber Hldgs Sr Nt144A 6% 01-15-2030                                        65,858
      Uwm Mtg  Uwm Mtg Tr Fltg Rt 5% Due 12-25-2051                                      303,804
      Venture 38 Clo Ltd  Venture 38 Clo Ltd / Venture 38 Clo  5.7085% 07-30-2032                                      300,462
      Venture Global Venture Global 4.125% Due 08-15-2031                                      331,346
      Venture Xxviii Clo Ltd Venture Xxviii Clo Ltd / Venture Sr Secdnt Cl A1R Fltg 144A 5.54478% 07-20-2030                                      143,920
      Viacom Inc  Viacom Inc New 5.25% Due 04-01-2044                                      196,790
      Viacom Inc  Viacom Inc New 5.85% Due 09-01-2043                                        91,321
      Wells Fargo & Co  Wells Fargo & Co Var Rt 3.908% Due 04-25-2026                                      199,387
      Wells Fargo & Co  Wells Fargo & Company 5.707% 04-22-2028                                      406,633
      Wells Fargo Home Wells Fargo Home Fltg Rt 5.43378% Due  10-25-2034                                        19,858
      Western Dig Corp Western Dig Corp 3.1% Due 02-01-2032                                          5,833
               
               (continued) 

     

    - 55 -

     

    MORGAN STANLEY 401(k) PLAN
    Plan Number 003,     Employer Identification Number 20-8764829
    FORM 5500, SCHEDULE H, LINE 4i — 
    SCHEDULE OF ASSETS (HELD AT END OF YEAR)
    AT DECEMBER 31, 2024

     

     

                (e)  
      (b) (c)  (d)      Current   
    (a) Identity of Issuer Description of Investment  Cost**      Value  
      Corporate Debt Instruments (continued)        
      Western Dig Corp Western Dig Corp 4.75% Due 02-15-2026                                      329,790
      Western Midstream Oper  Western Midstream Oper Lp 5.45%  11-15-2034                                        68,580
      Western Midstream Operating Western Midstream Operating Lp 5.25% 02-01-2050                                      161,820
      Westn Gas Partners Westn Gas Partners 4.5% 03-01-2028                                        33,285
      Westn Gas Partners Westn Gas Partners 5.3% 03-01-2048                                        52,720
      William Morris Endeavor Entmt William Morris Endeavor Entmt Llc (Img Hldngs, Llc) Term B-1 Ln  05-18-25                                      237,074
      Ww Intl Inc  Ww Intl Inc Sr Secd Nt 144A 4.5%  04-15-2029                                        73,842
      Wyndham  Wyndham 4.625% Due 03-01-2030                                        52,899
      Wyndham Wyndham 6.625% Due 07-31-2026                                      358,794
      Zayo Group Holdings Inc  Zayo Group Holdings Inc Incremental Term Loan (1St Lien)  Senior Secured 3-9-27                                        49,230
      Ziggo Ziggo Bd Fin B V 6% Due 01-15-2027                                      294,598
        Corporate Debt Instruments                            171,927,433
      Derivative Investments        
      Barclays OTC DER CASH COLL REC FROM BARCLAYS                                      204,000
      Barclays SWAP DUE FROM USD BARCUS31XXX 31 DEC 2050                                      192,000
      Barclays LCH_OIS BARCUS31 18/09/2029 GBP P 1DSONIA / R 4% SWU022DV9                                                 0
      Barclays CME_OIS BARCUS31 12/18/2029 USD P 3.75% / R 1DSOFR SWU025TW3                                        20,387
      Barclays CME_OIS BARCUS31 12/21/2032 USD P 2% / R 1DSOFR SWU01JHW7                                      271,350
      Barclays LCH_OIS BARCUS31 08/19/2034 USD P 3.586% / R 1DSOFR SWU028ZY6                                          4,336
      Barclays LCH_OIS BARCUS31 08/21/2034 USD P 3.558% / R 1DSOFR SWU02A1C6                                          4,558
      Barclays LCH_OIS BARCUS31 08/22/2034 USD P 3.613% / R 1DSOFR SWU02A2K7                                          4,097
      Barclays LCH_OIS BARCUS31 08/28/2034 USD P 3.555% / R 1DSOFR SWU02A7Z9                                          4,553
      Barclays LCH_OIS BARCUS31 08/28/2034 USD P 3.565% / R 1DSOFR SWU02A805                                          4,471
      Barclays LCH_OIS BARCUS31 08/28/2034 USD P 3.599% / R 1DSOFR SWU02A813                                          8,377
      Barclays LCH_OIS BARCUS31 08/28/2034 USD P 3.611% / R 1DSOFR SWU02A847                                          8,178
      Barclays LCH_OIS BARCUS31 08/28/2034 USD P 3.643% / R 1DSOFR SWU02A854                                          5,736
      Barclays LCH_OIS BARCUS31 09/04/2034 USD P 3.525% / R 1DSOFR SWU02ABR2                                          4,775
      Barclays LCH_OIS BARCUS31 09/05/2034 USD P 3.41% / R 1DSOFR SWU02ACW0                                          5,722
      Barclays LCH_OIS BARCUS31 09/16/2034 USD P 3.277% / R 1DSOFR SWU02ANQ1                                          6,775
      Barclays LCH_OIS BARCUS31 09/18/2034 USD P 3.231% / R 1DSOFR SWU02AR95                                        14,294
      Barclays LCH_OIS BARCUS31 10/31/2030 USD P 3.623% / R 1DSOFR SWU020UR3                                          4,718
      Barclays LCH_OIS BARCUS31 10/31/2030 USD P 3.664% / R 1DSOFR SWU020WS9                                          4,286
      Barclays LCH_OIS BARCUS31 10/31/2030 USD P 3.677% / R 1DSOFR SWU020XV1                                          2,075
      Barclays LCH_OIS BARCUS31 10/31/2030 USD P 3.689% / R 1DSOFR SWU020W18                                          6,629
      Barclays LCH_OIS BARCUS31 10/31/2030 USD P 3.735% / R 1DSOFR SWU020ZX5                                          7,051
      Barclays LCH_OIS BARCUS31 12/18/2025 USD P 3.5% / R 1DSOFR SWU020B78                                        12,398
      Citibank CALL SWO EUR CITIUS33 P 3MEURIB / R 2.05%  317U6VZA8 19/02/2025                                          1,878
      Citibank OTC DERIVATIVE CASH COLL RECEIVABLE FROM CITIBANK                                             194
      Citibank CDS CITIUS33 06/20/2025 SELL SCHLUMBERGER OILFIELD  SWPC0N676                                          2,195
      Citigroup Global Markets CDX SBNYUS33 08/17/2061 SELL CMBX.NA.AAA.12 SWPC0HTX7                                               30
      Deutsche Bank AG CALL SWO USD DEUTGB2L P 1DSOFR / R 3.75%  317U7HTA5 10/30/2025                                        24,894
      Goldman Sachs Bank Usa CALL SWO GBP GSCMUS33 P 1DSONIA / R 3.25%  317U71LA8 06/03/2025                                               55
      Goldman Sachs Bank Usa CALL SWO GBP GSCMUS33 P 1DSONIA / R 3.25%  317U72BA7 10/03/2025                                               96
      Goldman Sachs Bank Usa CALL SWO GBP GSCMUS33 P 1DSONIA / R 3.25%  317U72TA8 11/03/2025                                               85
      Goldman Sachs Bank Usa CALL SWO GBP GSCMUS33 P 1DSONIA / R 3.25%  317U73VA3 12/03/2025                                             136
               
               (continued) 

     

    - 56 -

     

    MORGAN STANLEY 401(k) PLAN
    Plan Number 003,     Employer Identification Number 20-8764829
    FORM 5500, SCHEDULE H, LINE 4i — 
    SCHEDULE OF ASSETS (HELD AT END OF YEAR)
    AT DECEMBER 31, 2024

     

     

                (e)  
      (b) (c)  (d)      Current   
    (a) Identity of Issuer Description of Investment  Cost**      Value  
      Derivative Investments (continued)        
      Goldman Sachs Bank Usa CALL SWO GBP GSCMUS33 P 1DSONIA / R 3.25%  317U74RA6 13/03/2025                                             144
      Goldman Sachs Bank Usa LCH_RPI GOLDUS33 15/03/2031 EUR P CPTFE / R 1.38% SWU086FC4                                                 0
      Goldman Sachs Bank Usa LCH_RPI GOLDUS33 15/03/2052 EUR P CPTFE / R 2.58% SWU0KT119                                          9,743
      Goldman Sachs Bank Usa LCH_RPI GOLDUS33 15/03/2052 EUR P CPTFE / R 2.59% SWU0ZD712                                          5,231
      Goldman Sachs Bank Usa LCH_RPI GOLDUS33 15/04/2053 EUR P CPTFE / R 2.7% SWU0K8A23                                        33,843
      Goldman Sachs Bank Usa LCH_RPI GOLDUS33 15/05/2027 EUR P 3% / R CPTFE SWU0EA018                                          5,728
      Goldman Sachs Bank Usa LCH_RPI GOLDUS33 15/05/2027 EUR P 3.13% / R CPTFE SWU04AM49                                             708
      Goldman Sachs Bank Usa LCH_RPI GOLDUS33 15/05/2037 EUR P CPTFE / R 2.488% SWU01JA46                                          1,161
      Goldman Sachs Bank Usa LCH_RPI GOLDUS33 15/05/2052 EUR P CPTFE / R 2.421% SWU0EA026                                             740
      Goldman Sachs Bank Usa LCH_RPI GOLDUS33 15/08/2034 EUR P 2.049% / R CPTFE SWU056462                                                 0
      Goldman Sachs Bank Usa LCH_RPI GOLDUS33 15/09/2034 EUR P 2.034% / R CPTFE SWU0MM443                                                 0
      Goldman Sachs Bank Usa LCH_RPI GOLDUS33 15/09/2053 EUR P CPTFE / R 2.763% SWU0GH854                                        19,368
      Goldman Sachs Bank Usa LCH_RPI GOLDUS33 15/10/2053 EUR P CPTFE / R 2.682% SWU0KH016                                        16,499
      Goldman Sachs Bank Usa LCH_RPI GOLDUS33 15/10/2053 EUR P CPTFE / R 2.736% SWU0NL451                                        36,916
      Goldman Sachs Bank Usa LCH_RPI GOLDUS33 15/12/2052 EUR P CPTFE / R 2.59% SWU0XL419                                        23,647
      Goldman Sachs Bank Usa LCH_RPI GOLDUS33 15/08/2034 GBP P RPI / R 3.5% SWU0TX9S4                                                 0
      Goldman Sachs Bank Usa LCH_RPI GOLDUS33 02/05/2028 USD P CPI / R 2.335% SWU0Y9274                                                 0
      Goldman Sachs Bank Usa LCH_RPI GOLDUS33 02/24/2031 USD P 2.311% / R CPI SWU0PS017                                      111,910
      Goldman Sachs Bank Usa LCH_RPI GOLDUS33 02/26/2026 USD P 2.314% / R CPI SWU0EN655                                      184,303
      Goldman Sachs Bank Usa LCH_RPI GOLDUS33 03/05/2026 USD P 2.419% / R CPI SWU0EN705                                      131,101
      Goldman Sachs Bank Usa LCH_RPI GOLDUS33 05/13/2026 USD P 2.768% / R CPI SWU0EQ088                                        77,948
      Goldman Sachs Bank Usa LCH_RPI GOLDUS33 05/14/2026 USD P 2.813% / R CPI SWU0JL852                                        42,053
      Goldman Sachs Bank Usa LCH_RPI GOLDUS33 05/25/2026 USD P 2.703% / R CPI SWU0ZN009                                        59,591
      Goldman Sachs Bank Usa LCH_RPI GOLDUS33 08/26/2028 USD P 2.573% / R CPI SWU0EQ690                                        28,069
      Goldman Sachs Bank Usa LCH_RPI GOLDUS33 09/10/2028 USD P 2.645% / R CPI SWU0EQ781                                        12,436
      Goldman Sachs Bank Usa LCH_RPI GOLDUS33 10/07/2025 USD P CPI / R 2.208% SWU0BV9R9                                                 0
      Goldman Sachs Bank Usa LCH_RPI GOLDUS33 10/15/2025 USD P CPI / R 2.38% SWU0RT9K2                                                 0
      Goldman Sachs Bank Usa LCH_RPI GOLDUS33 11/04/2029 USD P CPI / R 1.76% SWU0FC880                                                 0
      Goldman Sachs Bank Usa LCH_RPI GOLDUS33 11/07/2025 USD P CPI / R 2.341% SWU0RB9N5                                                 0
      Goldman Sachs Bank Usa CCP DUE FROM GOLDMAN SACHS                                        99,000
      Goldman Sachs Bank Usa CCP OTC DERIVATIVE CASH COLLATERAL RECEIVABLE FROM GOLDMA                                        87,000
      Goldman Sachs Bank Usa OTC DERIVATIVE CASH COLLATERAL RECEIVABLE FROM USD GSAMUS33                                      260,000
      Goldman Sachs Bank Usa LCH_IRS GOLDUS33 04/11/2052 EUR P 0.195% / R 6MEURIB SWU01MK06                                      233,422
      Goldman Sachs Bank Usa LCH_IRS GOLDUS33 08/11/2052 EUR P 0.197% / R 6MEURIB SWU01MMU8                                      636,446
      Goldman Sachs Bank Usa LCH_IRS GOLDUS33 11/05/2027 EUR P 6MEURIB / R 0.65% SWU01IOA9                                                 0
      Goldman Sachs Bank Usa LCH_IRS GOLDUS33 12/04/2027 EUR P 6MEURIB / R 0.65% SWU01HY44                                                 0
      Goldman Sachs Bank Usa LCH_IRS GOLDUS33 13/05/2027 EUR P 6MEURIB / R 1% SWU01IQW9                                                 0
      Goldman Sachs Bank Usa LCH_IRS GOLDUS33 15/08/2032 EUR P 6MEURIB / R 2.879% SWU01QDX3                                        88,889
      Goldman Sachs Bank Usa LCH_IRS GOLDUS33 19/03/2035 EUR P 6MEURIB / R 2.5% SWU028YB7                                      211,217
      Goldman Sachs Bank Usa LCH_IRS GOLDUS33 19/03/2055 EUR P 2.25% / R 6MEURIB SWU02A2D3                                                 0
      Goldman Sachs Bank Usa LCH_OIS GOLDUS33 26/02/2025 EUR P 3.475% / R 1DESTR SWU0225S5                                        19,824
      Goldman Sachs Bank Usa LCH_OIS GOLDUS33 20/09/2027 JPY P 0.3% / R 1DTONAR SWU01E2S3                                               55
      Goldman Sachs Bank Usa LCH_OIS GOLDUS33 18/09/2026 GBP P 1DSONIA / R 0 SWU022DT4                                                 0
      Goldman Sachs Bank Usa CME_OIS GOLDUS33 06/20/2054 USD P 3.5% / R 1DSOFR SWU0206Z2                                        76,147
      Goldman Sachs Bank Usa LCH_OIS GOLDUS33 02/13/2034 USD P 1DSOFR / R 3.085% SWU01OR39                                                 0
               
               (continued) 

     

    - 57 -

     

    MORGAN STANLEY 401(k) PLAN
    Plan Number 003,     Employer Identification Number 20-8764829
    FORM 5500, SCHEDULE H, LINE 4i — 
    SCHEDULE OF ASSETS (HELD AT END OF YEAR)
    AT DECEMBER 31, 2024

     

     

                (e)  
      (b) (c)  (d)      Current   
    (a) Identity of Issuer Description of Investment  Cost**      Value  
      Derivative Investments (continued)        
      Goldman Sachs Bank Usa LCH_OIS GOLDUS33 02/13/2054 USD P 2.865% / R 1DSOFR SWU01OR47                                      514,952
      Goldman Sachs Bank Usa LCH_OIS GOLDUS33 11/15/2028 USD P 1DSOFR / R 2.3% SWU01YS10                                                 0
      Goldman Sachs Bank Usa LCH_OIS GOLDUS33 11/15/2053 USD P 2.285% / R 1DSOFR SWU01YS28                                      273,153
      Goldman Sachs Bank Usa LCH_OIS GOLDUS33 11/21/2028 USD P 1DSOFR / R 2.34% SWU01YS36                                                 0
      Goldman Sachs Bank Usa LCH_OIS GOLDUS33 11/21/2053 USD P 2.236% / R 1DSOFR SWU01YS44                                      204,578
      Goldman Sachs Bank Usa LCH_OIS GOLDUS33 12/20/2025 USD P 4.25% / R 1DSOFR SWU01VA64                                                 0
      Goldman Sachs Bank Usa CDS / STS GSILGB2X 10-17-2057 SWPC0ATK0                                                 1
      Goldman Sachs Bank Usa ICE_CDS GOLDUS33 20/12/2025 SELL BARCLAYS BANK PLC 1.5% SWPC0N6P6                                             679
      GSC CCP DUE RECEIVABLE FROM GSC                                        75,000
      HSBC HSBC (RYANAIR HOLDINGS PLC) P-NOTE  31/10/2025                                   4,586,180
      JP Morgan Chase Bank PUT SWO USD CHASUS33 P 5% / R 1DSOFR  317U4UYA3 07/08/2025                                          3,888
      Keppel DC Reit KEPPEL DC REIT NRO NPV                                          5,229
      Merrill Lynch OTC DERIVATIVE CASH COLL RECEIVABLE FROMMERRILL LYNCH INTL                                 17,550,211
      Not Applicable Canadian dollar                                                 0
      Not Applicable Euro                                        12,967
      Not Applicable British pound sterling                                        36,909
      Not Applicable British pound sterling                                        51,282
      Not Applicable Japanese yen                                                 1
      Not Applicable Japanese yen                                        14,669
      Not Applicable New Zealand dollar                                                 1
      Not Applicable Brazilian real                                             818
      Not Applicable British pound sterling                                                 6
      Not Applicable Japanese yen                                             892
      Not Applicable Australian dollar                                          3,542
      Not Applicable Brazilian real                                          1,845
      Not Applicable Brazilian real                                        37,668
      Not Applicable Brazilian real                                        26,937
      Not Applicable Brazilian real                                        33,007
      Not Applicable Brazilian real                                        24,555
      Not Applicable Brazilian real                                        17,449
      Not Applicable Brazilian real                                        20,638
      Not Applicable Brazilian real                                          5,735
      Not Applicable Canadian dollar                                          8,298
      Not Applicable Canadian dollar                                          6,204
      Not Applicable HK offshore Chinese Yuan Renminbi                                               52
      Not Applicable Danish krone                                          1,500
      Not Applicable Danish krone                                          4,113
      Not Applicable Danish krone                                          4,058
      Not Applicable Euro                                      175,869
      Not Applicable Euro                                          2,233
      Not Applicable Euro                                             131
      Not Applicable Euro                                          7,699
      Not Applicable Euro                                             153
      Not Applicable British pound sterling                                          7,289
      Not Applicable British pound sterling                                          1,953
               
               (continued) 

     

    - 58 -

     

    MORGAN STANLEY 401(k) PLAN
    Plan Number 003,     Employer Identification Number 20-8764829
    FORM 5500, SCHEDULE H, LINE 4i — 
    SCHEDULE OF ASSETS (HELD AT END OF YEAR)
    AT DECEMBER 31, 2024

     

     

                (e)  
      (b) (c)  (d)      Current   
    (a) Identity of Issuer Description of Investment  Cost**      Value  
               
      Derivative Investments (continued)        
      Not Applicable Japanese yen     628.41
      Not Applicable Mexican peso     957.17
      Not Applicable Mexican peso     1,017.43
      Not Applicable New Zealand dollar     9,939.31
      Not Applicable South African rand     1,236.41
        Derivative Investments Total                              27,079,590
      Collective Trust Fund        
    * Blackrock MFO BLACKROCK INSTL TR CO EQUITY INDEX  UNITIZED ACCT     4,100,047,480.74
    * Blackrock MFO BLACKROCK INSTL TR CO MIDCAP EQUITY INDEX UNITIZED ACCT     652,329,706.25
    * Blackrock MFO BLACKROCK INSTL TR CO RUSSELL 2000 INDEX UNITIZED ACCT     546,242,680.05
    * Blackrock MFO BLACKROCK INSTL TR CO MSCI ACWI EX US IMI INDEX UNITIZED ACCT     425,971,132.54
    * Blackrock MFO BLACKROCK INSTL TR CO US DEBT INDEX UNITIZED ACCT     252,248,287.53
    * Blackrock MFO BLACKROCK INSTL TR CO EMERGING MKTS INDEX UNITIZED ACCT     177,166,135.36
    * Blackrock MFO BLACKROCK INSTL TR CO N A MSCI ACWI ESG FOCUS INDEX UNITIZED ACCT     118,282,362.59
    * Blackrock MFO BLACKROCK INSTL TR CO US HIGH YIELD BOND INDEX     81,055,354.16
    * Blackrock MFO BLACKROCK INSTL TR CO N A INVT FDS FOR E DEVELOPED REAL ESTATE INDEX UNI     65,191,529.34
    * JP Morgan MFO CF COMMINGLED PENSION TR FD LARGE CAP GROWT OF JPM CHASE BK N A UNIT CL CF-K     1,199,400,903.03
    * JP Morgan MFO CF COMMINGLED PENSION TR FD LARGE CAP GROWT OF JPM CHASE BK N A UNIT CL CF-K     649,456,051.53
    * Northern Trust NT COLLECTIVE SHORT TERM INVT FD     23,691,222.36
    * Northern Trust NT COLLECTIVE SHORT TERM INVT FD     15,712,989.67
    * Northern Trust NT COLLECTIVE SHORT TERM INVT FD     15,656,888.22
    * Northern Trust NT COLLECTIVE SHORT TERM INVT FD     10,295,213.52
    * Northern Trust NT COLLECTIVE SHORT TERM INVT FD                                   9,685,308
    * Northern Trust NT COLLECTIVE SHORT TERM INVT FD     8,985,882.42
    * Northern Trust NT COLLECTIVE SHORT TERM INVT FD     8,471,289.48
    * Northern Trust NT COLLECTIVE SHORT TERM INVT FD                              7,335,802.59
    * Northern Trust NT COLLECTIVE SHORT TERM INVT FD                              3,442,099.30
    * Northern Trust NT COLLECTIVE SHORT TERM INVT FD                              2,626,837.08
    * Northern Trust NT COLLECTIVE SHORT TERM INVT FD                              1,053,050.79
    * Northern Trust NT COLLECTIVE SHORT TERM INVT FD                                 842,037.15
    * Northern Trust NT COLLECTIVE SHORT TERM INVT FD                                 407,898.79
    * Northern Trust NT COLLECTIVE SHORT TERM INVT FD                                 379,736.49
    * Northern Trust NT COLLECTIVE SHORT TERM INVT FD                                 242,419.59
    * Northern Trust NT COLLECTIVE SHORT TERM INVT FD                                   79,379.11
    * Northern Trust NT COLLECTIVE SHORT TERM INVT FD                                   12,993.64
    * Northern Trust NT COLLECTIVE SHORT TERM INVT FD                                     6,366.38
    * Northern Trust NT COLLECTIVE SHORT TERM INVT FD                                          11.97
    * Northern Trust NT COLLECTIVE SHORT TERM INVT FD                                                -   
    * Northern Trust NT COLLECTIVE SHORT TERM INVT FD                                                -   
    * PIMCO MFO PIMCO COLLECTIVE INVT TOTAL RETURN COLLECTIVE TR CL M                          298,602,624.48
    * Pimco MFO PIMCO SHORT TERM FLOATING NAV II                            30,013,466.98
    * State Street MFO SSGA 2035 FUND (CM8V1)                          688,527,441.83
    * State Street MFO SSGA 2030 FUND (CM5L)                          550,732,849.71
    * State Street MFO SSGA 2040 FUND (CM5M)                          547,090,464.39
               
               (continued) 

     

    - 59 -

     

    MORGAN STANLEY 401(k) PLAN
    Plan Number 003,     Employer Identification Number 20-8764829
    FORM 5500, SCHEDULE H, LINE 4i — 
    SCHEDULE OF ASSETS (HELD AT END OF YEAR)
    AT DECEMBER 31, 2024

     

     

                (e)  
      (b) (c)  (d)      Current   
    (a) Identity of Issuer Description of Investment  Cost**      Value  
      Collective Trust Fund (continued)        
    * State Street MFO SSGA 2045 FUND (CM8W1)     532,762,031.25
    * State Street MFO SSGA 2050 FUND (CMAQ1)     480,100,538.00
    * State Street MFO SSGA 2025 FUND (CM8U1)     333,319,851.17
    * State Street MFO SSGA 2055 FUND (CMLE1)                               330,702,424
    * State Street MFO SSGA TARGET RETMT INCOME SL SER I     196,226,700.98
    * State Street MFO STATE STREET TARGET RETIREMENT 2060 SECURITIES LENDING SER FUND CLASS I     189,469,764.68
    * State Street MFO SSGA 2020 FUND (CM5J)                               110,249,435
    * State Street MFO STATE STREET TARGET RETIREMENT 2065 SECURITIES LENDING SERIES FUND CLASS I                               104,513,652
    * TS&W MFO TS&W COLLECTIVE INVT TR INTL LARGE CAP  EQUITY TR CL V                               287,873,575
    * Wellington MFO WELLINGTON OPPORTUNISTIC EMERGING   MARKETS DEBT (SERIES 1)                                 58,420,742
    * William Blair MFO WILLIAM BLAIR COLLECTIVE INVT TR EMERGING MKTS GROWTH COLL INVT FD CL 6                               319,949,482
        Collective Trust Fund Total                      13,434,874,094
      Repurchase Agreements        
    * Blackrock Agreement to repurchase W/BANK OF N 4.45% FROM 12-31-2024 TO 01-02-2025                                 95,000,000
    * Blackrock Agreement to repurchase W/BNP PARIB 4.46% FROM 12-31-2024 TO 01-02-2025                                 95,000,000
    * Blackrock Agreement to repurchase W/BOFA SECU 4.46% FROM 12-31-2024 TO 01-02-2025                                 95,000,000
    * Blackrock Agreement to repurchase W/GOLDMAN, 4.46% FROM 12-31-2024 TO 01-02-2025                                 80,000,000
    * Blackrock Agreement to repurchase W/MIZUHO SE 4.46% FROM 12-31-2024 TO 01-02-2025                                 70,000,000
    * Blackrock Agreement to repurchase W/NATIXIS C 4.45% FROM 12-31-2024 TO 01-02-2025                                 70,000,000
    * Blackrock Agreement to repurchase W/TD SECURI 4.48% FROM 12-31-2024 TO 01-02-2025                                 65,000,000
        Repurchase Agreement Total                            570,000,000
               
      Participant-directed investments at fair value                        21,589,503,782
               
      Various Participants  Participant Loans (secured by account, rates ranging from 4.25% to 9.50% with maturity dates ranging from 2024 to 2051)                            130,367,784
             

     

    * Party-in-interest
     
    ** Cost information is not required for Participant-directed investments and therefore is not included.
     
    See Report of Independent Registered Public Accounting Firm

     

     

    - 60 -

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