Morgan Stanley (MS) Compounding Analysis | TGMCharts
Morgan Stanley (MS) compounding analysis
Full-size annual and quarterly year-over-year growth charts for revenue, EPS, operating cash flow, EBITDA, and free cash flow against the 15%, 20%, and 30% bars over 3-, 5-, and 10-year windows, with each metric's valuation multiple vs its own history.
Revenue · 10YDoes not currently clear the 15%+, 20%+, or 30%+ revenue bars over 10Y.
Score
30/100
10Y CAGR
12.3%
Median YoY
13.4%
YoY volatility
σ 14.6pp· uneven
Quarters ≥ 20%
10 of 40
Negative quarters
4
Valuation vs own 10Y history
P/S 2.7x · 10Y median 2.1x · 85th percentile · as of Aug 19, 2026
How this score is computed
Quarters at or above 20%: 10 of 40 → 10 of 40 pts
Steadiness (typical swing 14.6pp) → 14.6 of 25 pts
Pace (median 13.4% YoY) → 0 of 20 pts
Latest quarter (22.4% YoY) → 5.5 of 15 pts
Score: 30 of 100
Annualized revenue (TTM) · by quarter, last 40
tgmcharts.com
Quarterly YoY revenue growth vs the 20% line
tgmcharts.com
P/S multiple vs its 10Y median
tgmcharts.com
Across metrics · 10Y
MS reported stats per metric over 10Y: annual CAGR, median quarterly year-over-year growth, YoY standard deviation, quarters at or above 20%, and negative quarters.
Metric
10Y CAGR
Median YoY
YoY σ
Qtrs ≥ 20%
Neg. qtrs
RevenueRevenue
12.3%
13.4%
14.6pp
10 of 40
4
EPSEPS
13.4%
19.8%
53.1pp
20 of 40
13
Op cash flowOperating cash flow
29.6%
—
—
—
—
EBITDAEBITDA
10.4%
12.4%
31.4pp
15 of 40
12
FCFFree cash flow
34.9%
—
—
—
—
Reported figures over 10Y: annual-series CAGR, median and standard deviation (σ, percentage points) of quarterly year-over-year growth, quarters at or above 20%, and quarters with negative YoY. “—” means the window needs more comparable data.
Scores, qualification bars, and the 0–100 consistency methodology are documented on the compounders list page →