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Morgan Stanley MSDL GB — Investment Owned At Fair Value

Other geography segments

US
$3.52B-2.4%
CA
$123.19M-23.5%
AU
$12.94M+44.6%

Similar metrics at other companies

Goldman Sachs BDC logo
GSBDGB — Investment Owned At Fair Value
$48.96M
Sixth Street Specialty Lending logo
TSLXGB — Percentage Of Investments At Fair Value
4.7%-0.4pp
Goldman Sachs BDC logo
GSBDGB — Investment Owned Percent Of Net Assets
3.6%
Goldman Sachs BDC logo
GSBDIN — Investment Owned At Fair Value
$17.42M
Goldman Sachs BDC logo
GSBDGB — Investment Owned At Cost
$47.84M
Goldman Sachs BDC logo
GSBDUS — Investment Owned At Fair Value
$3.02B

Other financials

Income statement

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Net income-$4.5M-115%
EPS (diluted)-$0.05-115%

Balance sheet

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Cash & equivalents$80.7M+16.2%
Total debt$2.1B+2.2%
Total equity$1.7B-7.0%
Total assets$3.8B-2.2%

Cash flow

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Operating cash flow$86.3M+153%

Valuation

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Market cap$1.27B-24.4%
Enterprise value$3.25B-10.4%
P/E14.5×+5.8×

Returns & leverage

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Return on equity5%-5.6pp
Debt / equity1.2×+0.1×

Where this comes from

Reported directly by Morgan Stanley in its filing.

Tagged under the XBRL concept us-gaap:InvestmentOwnedAtFairValue.

The official record: Morgan Stanley’s 10-Q, filed May 7, 2026, on SEC EDGAR. View the filing →

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Questions, answered.

What is Morgan Stanley's GB — investment owned at fair value?
Morgan Stanley (MSDL) reported GB — investment owned at fair value of $13.25M in Q1 2026.
How has Morgan Stanley's GB — investment owned at fair value changed year-over-year?
Morgan Stanley's GB — investment owned at fair value increased by 9.1% year-over-year, from $12.14M to $13.25M.
What is the long-term trend for Morgan Stanley's GB — investment owned at fair value?
Over 2 years (2023 to 2025), Morgan Stanley's GB — investment owned at fair value has grown at a 3.5% compound annual growth rate (CAGR), from $47.64M to $51M.
What does GB — investment owned at fair value mean?
This metric reflects the current market value of all investments held within the specified segment, as determined by the fund's valuation policies. It incorporates unrealized gains or losses based on prevailing market conditions, credit performance, and interest rate environments. This is a critical indicator of the actual economic value of the segment's portfolio at a specific reporting date.