Morgan Stanley Infrastructure Inc.
Registered investment adviser · New York, NY · CRD #142824
Form ADV data as of 2026-09-01Regulatory assets
$15.97 billion
Total accounts
21
Employees
67
Disclosure events
8
Firm details
- Website: https://www.morganstanley.com/im/en-us/institutional-investor/strategies/real-assets/private-infrastructure.html
- Telephone: 1 212 761-7160
- SEC file number: 801-67678
- Most recent Form ADV filing: 2026-05-13
- SEC record: View this firm on the SEC's IAPD site
Disciplinary disclosures
This firm reports 3 disclosure questions answered Yes, covering 8 reported events. Form ADV Item 11 covers charges and pending proceedings as well as findings, so a Yes answer is not itself a finding of wrongdoing. The underlying detail is filed with the SEC.
- Another regulator found a false statement, omission, or dishonest, unfair, or unethical conduct
- Another regulator found a violation of investment-related regulations or statutes
- Another regulator entered an order in connection with investment-related activity (past 10 years)
Assets and accounts
| Provides continuous and regular supervisory or management services | Yes |
| Discretionary regulatory assets under management | $15.97 billion |
| Non-discretionary regulatory assets under management | $0 |
| Total regulatory assets under management | $15.97 billion |
| Discretionary accounts | 21 |
| Non-discretionary accounts | 0 |
| Total accounts | 21 |
| Regulatory assets under management attributable to non-U.S. persons | $13.84 billion |
People
| Total employees (excluding clerical) | 67 |
| Employees performing investment advisory functions (including research) | 48 |
| Employees who are registered representatives of a broker-dealer | 9 |
| Employees registered as investment adviser representatives with a state | 0 |
| Employees registered as IARs for another investment adviser | 0 |
| Employees who are licensed insurance agents | 0 |
| Firms or persons who solicit advisory clients on the firm's behalf | 0 |
Custody
| Has custody of client cash or bank accounts | No |
| Has custody of client securities | No |
| A related person has custody of client cash or bank accounts | Yes |
| A related person has custody of client securities | Yes |
| Client funds and securities held in a related person's custody | $15.97 billion |
| Clients for whom a related person has custody | 21 |
| The firm acts as a qualified custodian | No |
| A related person acts as a qualified custodian | No |
| Number of persons acting as qualified custodians for the firm's clients | 11 |
How the firm is compensated
Advisory services offered
Other business activities
Affiliated related persons
Reported conflicts of interest
Form ADV Items 8 asks advisers to disclose arrangements that may create a conflict with client interests. This firm answered Yes to:
- Buys securities from or sells securities to advisory clients (principal transactions)
- Buys or sells for itself securities it also recommends to clients
- Recommends securities in which it has another proprietary interest
- Executes agency cross transactions involving advisory client securities
- Recommends securities for which it serves as underwriter or general partner
- Brokers or dealers selected under 8.C.(3) are related persons
- Compensates a non-employee for client referrals
- Provides employee compensation specifically for obtaining clients
- Receives compensation from others for client referrals
Client types
| Type of client | Clients | Assets |
|---|---|---|
| Pooled investment vehicles (other than investment companies and BDCs) | 21 | $15.97 billion |