Asset Management Overview - Morgan Stanley

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Morgan Stanley Investment Management

Asset Management Overview

July 2006

This slide is part of a presentation by Morgan Stanley and is intended to be viewed as part of that presentation. The presentation is based on information generally available to the public and does not contain any material, non-public information. No representation is made that it is accurate or complete. The presentation has been prepared solely for informational purposes, is neither an offer to sell nor the solicitation of an offer to buy any security or instrument and has not been updated since it was originally presented.

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The information provided herein may include certain non-GAAP financial measures. The reconciliation of such measures to the comparable GAAP figures are included in the Company's Annual Reports on Form 10-K, Quarterly Reports on Form 10-Q and Current Reports on 8-K, including any amendments thereto, which are available at .

This presentation may contain forward-looking statements. You are cautioned not to place undue reliance on forward-looking statements, which speak only as of the date on which they are made, which reflect management's current estimates, projections, expectations or beliefs and which are subject to risks and uncertainties that may cause actual results to differ materially. For a discussion of risks and uncertainties that may affect the future results of the Company, please see "Forward-Looking Statements" immediately preceding Part I, Item 1, "Competition" and "Regulation" in Part I, Item 1, "Risk Factors" in Part I, Item 1A and "Certain Factors Affecting Results of Operations" in Part II, Item 7 of the Company's Annual Report on Form 10-K for the fiscal year ended November 30, 2005, "Management's Discussion and Analysis of Financial Condition and Results of Operations" in the Company's Quarterly Reports on Form 10Q for the quarterly periods ended February 28, 2006 and May 31, 2006 and other items throughout the Form 10-K, Form 10-Qs and the Company's 2006 Current Reports on Form 8-K.

This slide is part of a presentation by Morgan Stanley and is intended to be viewed as part of that presentation. The presentation is based on information generally available to the public and does not contain any material, non-public information. No representation is made that it is accurate or complete. The presentation has been prepared solely for informational purposes, is neither an offer to sell nor the solicitation of an offer to buy any security or instrument and has not been updated since it was originally presented.

Table of contents

Section 1 Section 2

Strengths of MSIM Today MSIM Growth Strategy

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This slide is part of a presentation by Morgan Stanley and is intended to be viewed as part of that presentation. The presentation is based on information generally available to the public and does not contain any material, non-public information. No representation is made that it is accurate or complete. The presentation has been prepared solely for informational purposes, is neither an offer to sell nor the solicitation of an offer to buy any security or instrument and has not been updated since it was originally presented.

Section 1

Strengths of MSIM Today

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This slide is part of a presentation by Morgan Stanley and is intended to be viewed as part of that presentation. The presentation is based on information generally available to the public and does not contain any material, non-public information. No representation is made that it is accurate or complete. The presentation has been prepared solely for informational purposes, is neither an offer to sell nor the solicitation of an offer to buy any security or instrument and has not been updated since it was originally presented.

MSIM Is a Key Business of Morgan Stanley

STRENGTHS OF MSIM TODAY

Net revenues

Fiscal year 2005=$26,778 million

19% Asset Management 11%

Morgan Stanley

Profit before taxes

Fiscal year 2005=$7,361 million

8% Asset Management 14%

12% 58%

65%

13%

Profit before taxes

$ million

Institutional Securities Global Wealth Management Asset Management Discover

Asset Management Pre-tax profit margin

1,007 827

482

22% 21%

30% 26%

35% 29%

28% 25%

462

396

Return on average common equity

36%

17%

24% 23%

FY 2003 Page 5

FY 2004

FY 2005

1st Half 2006(1)

FY 2003

FY 2004

FY 2005

1st Half 2006(1)

MSIM

MSIM excl. Private Equity

FY 2005 MSIM

1st Half 2006(1) Morgan Stanley

1. Six months ended May 31

This slide is part of a presentation by Morgan Stanley and is intended to be viewed as part of that presentation. The presentation is based on information generally available to the public and does not contain any material, non-public information. No representation is made that it is accurate or complete. The presentation has been prepared solely for informational purposes, is neither an offer to sell nor the solicitation of an offer to buy any security or instrument and has not been updated since it was originally presented.

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