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Key Features

  • These Bonds returns are linked to Europe’s leading benchmark, the STOXX Europe 600 Index (SXXP Index).
  • The Bonds provide a choice of two capital protected investment options.
    Option A: Potential returns of up to 35% (6.29% CAR) with 100% capital protection at maturity.
    Option B: Unlimited potential returns with 90% capital protection at maturity.
  • The relevant level of Capital Protection at the Final Maturity Date is guaranteed by Morgan Stanley, with “Strong” credit ratings; A1 (Moody’s), A-(S&P), A+ (Fitch).*
  • Both Options A & B are “Low Risk” SRI risk level 2 out of 7.**
  • 4 Year 11 month Investment Term.
  • Minimum Investment: €35,000.
  • Closing Date on or before 30th May 2025

Why Invest?

The STOXX Europe 600 Index is a leading benchmark representing 600 of the largest publicly traded companies across 17 European countries. With a market capitalisation of €14.2 trillion, the Index is diversified
across key sectors and geographies, including Germany, France, the UK, Switzerland, and Scandinavia.

Key Documents


Stoxx Europe 600 Protected Growth Bonds- Brochure

pdf

Stoxx Europe 600 Protected Growth Bonds – KID Option A

pdf

Stoxx Europe 600 Protected Growth Bonds- KID Option B

pdf

Stoxx Europe 600 Protected Growth Bonds – Prospectus

pdf

Stoxx Europe 600 Protected Growth Bonds- Target Market

pdf

WARNING:

Past performance is not a reliable guide to future performance. The value of your investment may go down as well as up.

WARNING:

The value of investments may go down as well as up.

WARNING:

This Investment is a complex investment product and may be difficult to understand. Investors should not invest in this product without having sufficient knowledge, experience and professional advice from their Financial Broker to make a meaningful evaluation of the merits and risks of investing in a product of this type, and the information contained in this document and the Base Prospectus.

WARNING:

The return and your relevant protected investment amount are linked to the solvency of Morgan Stanley B.V., as Issuer and Morgan Stanley as Guarantor, if either were to default you will lose some or all of your investment.

WARNING:

Assessments of the economic impact of elevated geopolitical risks including conflicts, tariffs & trade disputes, tensions between states, economic sanctions or potential sovereign defaults on this investment are not possible at present. These risk factors may negatively impact on the counterparty default risks, valuations & performance of this investment.