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Stock Market & Financial Investment News

News Breaks
January 17, 2014
09:56 EDTMSMorgan Stanley sees 'steadily' increasing capital return to shareholders
Among its strategic plan roll-forward goals, Morgan Stanley lists continuing to improve Wealth Management margins, improving Fixed Income and Commodities ROE, improving expense ratios, "steadily" increasing capital return to shareholders, and achieving returns in excess of its cost of capital. Morgan Stanley is increasing its Wealth Management pre-tax margin target for 4Q15 to 22%-25%. Wealth Management's pre-tax margin for 2013 was 18%. Information and guidance from slides for Q4 earnings conference call.
News For MS From The Last 14 Days
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November 24, 2014
07:01 EDTMSFed could further restrict banks' commodities businesses, NY Times says
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06:12 EDTMSMorgan Stanley implied volatility of 18 at lower end of index mean range
November 21, 2014
07:41 EDTMSGoldman, Morgan Stanley, JPMorgan grilled on commodities, WSJ says
Sen. Carl Levin, the retiring chairman of the Senate Permanent Subcommittee on Investigations, accused Goldman Sachs (GS) of manipulating aluminum markets and also said JPMorgan Chase (JPM) and Morgan Stanley (MS) obscured their investments in metals or natural gas from regulators as representatives of the banks took part in a hearing that is part of a larger probe into their dealings in commodities markets, reported The Wall Street Journal. Reference Link
07:24 EDTMSBB&T CEO says 'banks lending recklessly' again, Reuters reports
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November 19, 2014
13:05 EDTMSMorgan Stanley files automatic mixed securities shelf
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12:38 EDTMSSenate Homeland Security & Government Affairs Committee to hold a hearing
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November 18, 2014
09:02 EDTMSMorgan Stanley Wealth Management forms Global Sports & Entertainment unit
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November 12, 2014
10:46 EDTMSMorgan Stanley's Kelleher says Europe needs viable securitization framework
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10:37 EDTMSMorgan Stanley's Kelleher says firm is negative on Europe for growth
The company's President, Institutional securities Colm Kelleher is speaking at the BofA Financial Services Conference.
07:28 EDTMSBofA/Merrill to hold a conference
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November 10, 2014
06:46 EDTMSRegulators set new capital buffer rule for banks, Reuters reports
Global banks should have buffers of bonds or equity worth 16%-20% of their risk-weighted assets, beginning in January 2019, The Financial Stability Board decided, according to Reuters. The board said the buffer would prevent the need for government bailouts, the news service explained. Publicly traded global banks include Bank of America (BAC), Citigroup (C), Goldman Sachs (GS), JPMorgan (JPM), Morgan Stanley (MS), U.S. Bancorp (USB) Wells Fargo (WFC), Banco Santander (SAN), Barclays (BCS), Credit Suisse (CS), Deutsche Bank (DB), HSBC (HSBC), ING Groep (ING), Lloyds Banking (LYG), RBS (RBS) and UBS (UBS). Reference Link

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