MORGAN STANLEY Credit Risk Derivatives, at Fair Value, Net
MORGAN STANLEY (MS) had Credit Risk Derivatives, at Fair Value, Net of $125.09 billion as of 2011-09-30, per its 10-Q filed 2011-11-07.
Discontinued › Notes › Derivative Instruments and Hedging Activities › Summary of Credit Derivatives
us-gaap:CreditRiskDerivativesAtFairValueNet · last filed 2011-11-07
- 2011-09-30: Credit Risk Derivatives, at Fair Value, Net $125.09B.
- 2011-06-30: Credit Risk Derivatives, at Fair Value, Net $23.23B.
- 2011-03-31: Credit Risk Derivatives, at Fair Value, Net $12.70B.
- 2010-12-31: Credit Risk Derivatives, at Fair Value, Net $24.03B.
| Period end | Credit Risk Derivatives, at Fair Value, Net |
|---|---|
| 2011-09-30 | $125.09B 10-Q · filed 2011-11-07 |
| 2011-06-30 | $23.23B 10-Q · filed 2011-08-08 |
| 2011-03-31 | $12.70B 10-Q · filed 2011-05-09 |
| 2010-12-31 | $24.03B 10-Q · filed 2011-11-07 |
| 2010-09-30 | $43.69B 10-Q · filed 2010-11-08 |
| 2010-06-30 | $72.05B 10-Q · filed 2010-08-09 |
| 2009-12-31 | $44.40B 10-K · filed 2011-02-28 |
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