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Stock Comparison

WINV vs MS

Revenue, margins, valuation, and 5-year total return — side by side.

Live fundamentals10-year financials5-year price chart
WINV
WinVest Acquisition Corp.

Shell Companies

Financial ServicesNASDAQ • US
Market Cap$36M
5Y Perf.-59.3%
MS
Morgan Stanley

Financial - Capital Markets

Financial ServicesNYSE • US
Market Cap$307.14B
5Y Perf.+95.8%

WINV vs MS — Key Financials

Market cap, revenue, margins, and valuation side-by-side.

Company Snapshot
WINV logoWINV
MS logoMS
IndustryShell CompaniesFinancial - Capital Markets
Market Cap$36M$307.14B
Revenue (TTM)$0.00$103.14B
Net Income (TTM)$-2M$16.18B
Gross Margin55.6%
Operating Margin17.1%
Forward P/E16.2x
Total Debt$3M$360.49B
Cash & Equiv.$566.00$75.74B

WINV vs MSLong-Term Stock Performance

Price return indexed to 100 at period start. Dividends excluded.

WINV
MS
StockSep 21May 26Return
WinVest Acquisition… (WINV)10040.7-59.3%
Morgan Stanley (MS)100195.8+95.8%

Price return only. Dividends and distributions are not included.

Quick Verdict: WINV vs MS

Each card shows where this stock fits in a portfolio — not just who wins on paper.

Bottom line: MS leads in 5 of 5 categories, making it the strongest pick for growth and revenue expansion and profitability and margin quality. As sector peers, any of these can serve as alternatives in the same allocation.
WINV
WinVest Acquisition Corp.
The Banking Pick

WINV is the clearest fit if your priority is bank quality.

  • NIM 12.6% vs MS's 0.7%
Best for: bank quality
MS
Morgan Stanley
The Banking Pick

MS carries the broadest edge in this set and is the clearest fit for growth exposure and long-term compounding.

  • Rev growth 16.8%, EPS growth 53.5%
  • 7.4% 10Y total return vs WINV's -59.3%
  • Lower volatility, beta 1.36, current ratio 0.66x
Best for: growth exposure and long-term compounding
See the full category breakdown
CategoryWinnerWhy
GrowthMS logoMS16.8% NII/revenue growth vs WINV's -43.8%
Quality / MarginsMS logoMS13.0% margin vs WINV's 12.6%
DividendsMS logoMS2.0% yield; 11-year raise streak; the other pay no meaningful dividend
Momentum (1Y)MS logoMS+61.7% vs WINV's +0.2%
Efficiency (ROA)MS logoMS1.2% ROA vs WINV's -66.8%, ROIC 2.9% vs -113.4%

WINV vs MS — Revenue Breakdown by Segment

How each company's revenue is distributed across its business units

WINVWinVest Acquisition Corp.

Segment breakdown not available.

MSMorgan Stanley
FY 2024
Wealth Management Segment
45.6%$28.4B
Institutional Securities Segment
45.0%$28.1B
Investment Management Segment
9.4%$5.9B

WINV vs MS — Financial Metrics

Side-by-side numbers across 2 stocks — who leads on profitability, valuation, growth, and risk.

BEST OVERALLMSLAGGINGWINV

Income & Cash Flow (Last 12 Months)

MS leads this category, winning 1 of 1 comparable metric.

MS and WINV operate at a comparable scale, with $103.1B and $0 in trailing revenue.

MetricWINV logoWINVWinVest Acquisiti…MS logoMSMorgan Stanley
RevenueTrailing 12 months$0$103.1B
EBITDAEarnings before interest/tax-$2M$26.3B
Net IncomeAfter-tax profit-$2M$16.2B
Free Cash FlowCash after capex$1.61T-$6.7B
Gross MarginGross profit ÷ Revenue+55.6%
Operating MarginEBIT ÷ Revenue+17.1%
Net MarginNet income ÷ Revenue+13.0%
FCF MarginFCF ÷ Revenue-2.0%
Rev. Growth (YoY)Latest quarter vs prior year
EPS Growth (YoY)Latest quarter vs prior year-4.3%+48.9%
MS leads this category, winning 1 of 1 comparable metric.

Valuation Metrics

WINV leads this category, winning 1 of 1 comparable metric.
MetricWINV logoWINVWinVest Acquisiti…MS logoMSMorgan Stanley
Market CapShares × price$36M$307.1B
Enterprise ValueMkt cap + debt − cash$39M$591.9B
Trailing P/EPrice ÷ TTM EPS-19.02x24.28x
Forward P/EPrice ÷ next-FY EPS est.16.24x
PEG RatioP/E ÷ EPS growth rate2.73x
EV / EBITDAEnterprise value multiple26.01x
Price / SalesMarket cap ÷ Revenue2.98x
Price / BookPrice ÷ Book value/share2.95x
Price / FCFMarket cap ÷ FCF
WINV leads this category, winning 1 of 1 comparable metric.

Profitability & Efficiency

MS leads this category, winning 4 of 6 comparable metrics.

On the Piotroski fundamental quality scale (0–9), MS scores 5/9 vs WINV's 2/9, reflecting solid financial health.

MetricWINV logoWINVWinVest Acquisiti…MS logoMSMorgan Stanley
ROE (TTM)Return on equity+14.6%
ROA (TTM)Return on assets-66.8%+1.2%
ROICReturn on invested capital-113.4%+2.9%
ROCEReturn on capital employed-72.8%+3.8%
Piotroski ScoreFundamental quality 0–925
Debt / EquityFinancial leverage3.42x
Net DebtTotal debt minus cash$3M$284.7B
Cash & Equiv.Liquid assets$566$75.7B
Total DebtShort + long-term debt$3M$360.5B
Interest CoverageEBIT ÷ Interest expense0.44x
MS leads this category, winning 4 of 6 comparable metrics.

Total Returns (Dividends Reinvested)

MS leads this category, winning 6 of 6 comparable metrics.

A $10,000 investment in MS five years ago would be worth $24,291 today (with dividends reinvested), compared to $4,075 for WINV. Over the past 12 months, MS leads with a +61.7% total return vs WINV's +0.2%. The 3-year compound annual growth rate (CAGR) favors MS at 34.2% vs WINV's 5.4% — a key indicator of consistent wealth creation.

MetricWINV logoWINVWinVest Acquisiti…MS logoMSMorgan Stanley
YTD ReturnYear-to-date0.0%+7.2%
1-Year ReturnPast 12 months+0.2%+61.7%
3-Year ReturnCumulative with dividends+17.2%+141.8%
5-Year ReturnCumulative with dividends-59.3%+142.9%
10-Year ReturnCumulative with dividends-59.3%+743.3%
CAGR (3Y)Annualised 3-year return+5.4%+34.2%
MS leads this category, winning 6 of 6 comparable metrics.

Risk & Volatility

Evenly matched — WINV and MS each lead in 1 of 2 comparable metrics.

WINV is the less volatile stock with a -0.18 beta — it tends to amplify market swings less than MS's 1.36 beta. A beta below 1.0 means the stock typically moves less than the S&P 500. MS currently trades 99.1% from its 52-week high vs WINV's 91.3% drawdown — a narrower gap to the peak suggests stronger recent price momentum.

MetricWINV logoWINVWinVest Acquisiti…MS logoMSMorgan Stanley
Beta (5Y)Sensitivity to S&P 500-0.18x1.36x
52-Week HighHighest price in past year$13.74$194.83
52-Week LowLowest price in past year$12.53$119.99
% of 52W HighCurrent price vs 52-week peak+91.3%+99.1%
RSI (14)Momentum oscillator 0–10062.059.9
Avg Volume (50D)Average daily shares traded215.3M
Evenly matched — WINV and MS each lead in 1 of 2 comparable metrics.

Analyst Outlook

Insufficient data to determine a leader in this category.

MS is the only dividend payer here at 1.97% yield — a key consideration for income-focused portfolios.

MetricWINV logoWINVWinVest Acquisiti…MS logoMSMorgan Stanley
Analyst RatingConsensus buy/hold/sellBuy
Price TargetConsensus 12-month target$203.00
# AnalystsCovering analysts52
Dividend YieldAnnual dividend ÷ price+2.0%
Dividend StreakConsecutive years of raises11
Dividend / ShareAnnual DPS$3.81
Buyback YieldShare repurchases ÷ mkt cap+28.2%+1.4%
Insufficient data to determine a leader in this category.
Key Takeaway

MS leads in 3 of 6 categories (Income & Cash Flow, Profitability & Efficiency). WINV leads in 1 (Valuation Metrics). 1 tied.

Best OverallMorgan Stanley (MS)Leads 3 of 6 categories
Loading custom metrics...

WINV vs MS: Frequently Asked Questions

8 questions · data-driven answers · updated daily

01

Is WINV or MS a better buy right now?

Morgan Stanley (MS) offers the better valuation at 24.

3x trailing P/E (16. 2x forward), making it the more compelling value choice. Analysts rate Morgan Stanley (MS) a "Buy" — based on 52 analyst ratings — the highest consensus in this comparison. The "better buy" depends entirely on your goals: growth investors should weight revenue trajectory, value investors should weight P/E and PEG, and income investors should weight dividend yield and streak.

02

Which is the better long-term investment — WINV or MS?

Over the past 5 years, Morgan Stanley (MS) delivered a total return of +142.

9%, compared to -59. 3% for WinVest Acquisition Corp. (WINV). Over 10 years, the gap is even starker: MS returned +743. 3% versus WINV's -59. 3%. Past returns do not guarantee future results, and the stock with the higher historical return may already have its best growth priced in.

03

Which is safer — WINV or MS?

By beta (market sensitivity over 5 years), WinVest Acquisition Corp.

(WINV) is the lower-risk stock at -0. 18β versus Morgan Stanley's 1. 36β — meaning MS is approximately -860% more volatile than WINV relative to the S&P 500.

04

Which is growing faster — WINV or MS?

On earnings-per-share growth, the picture is similar: Morgan Stanley grew EPS 53.

5% year-over-year, compared to -153. 8% for WinVest Acquisition Corp.. Higher growth typically commands a higher valuation multiple — check whether the premium P/E or P/S is justified by the growth rate using the PEG ratio.

05

Which has better profit margins — WINV or MS?

Morgan Stanley (MS) is the more profitable company, earning 13.

0% net margin versus 0. 0% for WinVest Acquisition Corp. — meaning it keeps 13. 0% of every revenue dollar as bottom-line profit. Operating margin tells a similar story: MS leads at 17. 1% versus 0. 0% for WINV. At the gross margin level — before operating expenses — MS leads at 55. 6%, reflecting greater pricing power or product mix advantage. Stronger margins indicate durable pricing power, lower cost of revenue, or higher mix of software/services. They are one of the clearest signs of business quality.

06

Which pays a better dividend — WINV or MS?

In this comparison, MS (2.

0% yield) pays a dividend. WINV does not pay a meaningful dividend and should not be held primarily for income.

07

Is WINV or MS better for a retirement portfolio?

For long-horizon retirement investors, WinVest Acquisition Corp.

(WINV) is the stronger choice — it scores higher on the combination of lower volatility, dividend reliability, and long-term compounding (low volatility (β -0. 18)). Both have compounded well over 10 years (WINV: -59. 3%, MS: +743. 3%), confirming both are viable long-term holds — but the lower-volatility option typically results in less emotional selling during corrections. Retirement portfolios generally favour predictability over maximum returns. Consult a financial advisor before making allocation decisions.

08

What are the main differences between WINV and MS?

Both stocks operate in the Financial Services sector, making this a peer-level intra-sector comparison — the same macro tailwinds and headwinds will affect both.

In terms of investment character: WINV is a small-cap quality compounder stock; MS is a large-cap high-growth stock. MS pays a dividend while WINV does not, making them suitable for different income and tax situations. These fundamental differences mean investors should not choose between them on a single metric — the "better stock" depends entirely on which of these characteristics aligns with your investment strategy.

Find Stocks Like These

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Stocks Like

WINV

Quality Business

  • Sector: Financial Services
  • Market Cap > $100B
Run This Screen
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MS

High-Growth Compounder

  • Sector: Financial Services
  • Market Cap > $100B
  • Revenue Growth > 8%
  • Net Margin > 7%
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