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MORGAN STANLEY (MS) Fair Value, Option, Aggregate Differences, Long-term Debt Instruments

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MORGAN STANLEY Fair Value, Option, Aggregate Differences, Long-term Debt Instruments

MORGAN STANLEY (MS) had Fair Value, Option, Aggregate Differences, Long-term Debt Instruments of -$700.00 million as of 2016-12-31, per its 10-K filed 2017-02-27.

Discontinued › Notes › Fair Value Measures and Disclosures › Fair Value Disclosures

us-gaap:FairValueOptionAggregateDifferencesLongTermDebtInstruments · last filed 2017-02-27

  • 2016-12-31: Fair Value, Option, Aggregate Differences, Long-term Debt Instruments -$700.00M.
  • 2015-12-31: Fair Value, Option, Aggregate Differences, Long-term Debt Instruments -$500.00M.
  • 2014-12-31: Fair Value, Option, Aggregate Differences, Long-term Debt Instruments $700.00M.
  • 2013-12-31: Fair Value, Option, Aggregate Differences, Long-term Debt Instruments $2.40B.
Period endFair Value, Option, Aggregate Differences, Long-term Debt Instruments
2016-12-31-$700.00M
10-K · filed 2017-02-27
2015-12-31-$500.00M
10-K · filed 2016-02-23
2014-12-31$700.00M
10-K · filed 2015-03-02
2013-12-31$2.40B
10-K · filed 2014-02-25
2012-12-31$400.00M
10-K · filed 2013-02-26
2011-12-31$2.50B
10-K · filed 2012-02-27
2011-09-30$12.70B
10-Q · filed 2011-11-07
2011-06-30$1.00B
10-Q · filed 2011-08-08
2011-03-31$100.00M
10-Q · filed 2011-05-09
2010-12-31$1.80B
10-Q · filed 2011-11-07

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