REAL-TIME GLOBAL RESEARCH
Global Exposure Guide 2026 – US
Research evidence excerpt
Global Exposure Guide 2026 – US
Foundation
June 28, 2026 10:16 PM GMT
Morgan Stanley & Co. LLCMUS Equity Strategy | North America Nicholas Lentini, CFA
Equity Strategist
Nick.Lentini@morganstanley.com +1 212 761-5863
Michael J Wilson
Equity StrategistGlobal Exposure M.Wilson@morganstanley.com +1 212 761-2532
Andrew B Pauker
Equity StrategistGuide 2026 – US Andrew.Pauker@morganstanley.com +1 212 761-1330
Our Global Exposure Guide leverages Morgan Stanley analyst Michelle M. Weaver, CFA
expertise to break down revenue exposure by region. The guide EquityMichelle.M.Weaver@morganstanley.comStrategist +1 212 296-5254
allows investors to identify which sectors and industry groups Diane Ding, Ph.D.
Quantitative Strategist
have the highest exposure to particular areas. Please reach out Qian.Ding@morganstanley.com +1 212 761-6758
for customized screens.
When geopolitical tensions rise or regions lock
down, investors often want to know how much
revenue or cost exposure a particular company or
sector has to a region. One of the department's 4
key themes is The Multipolar World, a world
trending away from globalization that comes with
geopolitical change. Our Global Exposure Guide
collection serves as a reference for investors in
times of regional volatility and is a key data set
when assessing developments related to the Multipolar World. The guide breaks
down revenue exposure at the sector, industry group, and single-stock levels. The
guide includes data on 1,000+ US & Canadian companies covered by Morgan
Stanley analysts.
We estimate that companies in our North America database derive 27% of their
revenue from foreign sources ( Exhibit 1 ). The biggest source is Europe at 12%,
followed by Asia ex-Japan & ex-China at 5%, Latin America at 4%, and China at
3%.
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