MORGAN STANLEY Q1 2017 Filing
Filed May 12, 2017
Portfolio Value
$325.8M
Holdings
6,663
Report Date
Q1 2017
Filing Type
13F-HR
All Holdings (6,663 positions)
| Stock | Value |
|---|---|
—GRAMERCY PPTY TR | $21.2M |
BALLBALL CORP | $21.2M |
MEOHMETHANEX CORP | $21.2M |
PODDINSULET CORP | $21.2M |
—CARDINAL FINL CORP | $21.2M |
VIOOVANGUARD ADMIRAL FDS INC | $21.2M |
HBMHUDBAY MINERALS INC | $21.2M |
FLIRFLIR SYS INC | $21.2M |
—CST BRANDS INC | $21.2M |
TRMBTRIMBLE INC | $21.2M |
—PRUDENTIAL SHT DURATION HG Y | $21.1M |
PAGPENSKE AUTOMOTIVE GRP INC | $21.1M |
AKXANSYS INC | $21.1M |
PSQUSDPROSHARES TR | $21.1M |
SONSONOCO PRODS CO | $21.0M |
—CLAYMORE EXCHANGE TRD FD TR | $21.0M |
—HORIZON PHARMA PLC | $21.0M |
—DEVRY ED GROUP INC | $21.0M |
WBSWEBSTER FINL CORP CONN | $21.0M |
RJFRAYMOND JAMES FINANCIAL INC | $21.0M |
—CLIFFS NAT RES INC | $21.0M |
SAJACOMPANHIA DE SANEAMENTO BASI | $20.9M |
ADNTADIENT PLC | $20.9M |
ODFLOLD DOMINION FGHT LINES INC | $20.9M |
—ROYAL BK SCOTLAND GROUP PLC | $20.9M |
—WGL HLDGS INC | $20.9M |
MTNVAIL RESORTS INC | $20.9M |
—YAHOO INC | $20.9M |
EPSWISDOMTREE TR | $20.8M |
—MORGAN STANLEY | $20.8M |
ATHSATHENE HLDG LTD | $20.8M |
JXC1J2 GLOBAL INC | $20.8M |
CFOVICTORY PORTFOLIOS II | $20.7M |
MBTGBPMOBILE TELESYSTEMS PJSC | $20.7M |
—STANDARD CHARTERED PLC | $20.7M |
—BRISTOW GROUP INC | $20.7M |
—CONVERGYS CORP | $20.7M |
AIRRFIRST TR EXCHANGE TRADED FD | $20.6M |
IVOOVANGUARD ADMIRAL FDS INC | $20.6M |
—ALLIANZGI EQUITY & CONV INCO | $20.6M |
UHALAMERCO | $20.6M |
XSDSPDR SERIES TRUST | $20.6M |
—NXP SEMICONDUCTORS N V | $20.5M |
BBNBLACKROCK TAX MUNICPAL BD TR | $20.5M |
IUSVISHARES TR | $20.5M |
STEWBOULDER GROWTH & INCOME FD I | $20.4M |
—TIME INC NEW | $20.4M |
IHEISHARES TR | $20.4M |
PENPENUMBRA INC | $20.4M |
FNVFRANCO NEVADA CORP | $20.3M |
JACKJACK IN THE BOX INC | $20.3M |
ATDALLEGHENY TECHNOLOGIES INC | $20.3M |
KATEKATE SPADE & CO | $20.2M |
QQQXNUVEEN NASDAQ 100 DYNAMIC OV | $20.2M |
BCOBRINKS CO | $20.2M |
—WILLIAMS CLAYTON ENERGY INC | $20.2M |
RYAAYRYANAIR HLDGS PLC | $20.2M |
—CTRIP COM INTL LTD | $20.2M |
BHPBHP BILLITON LTD | $20.1M |
SIRIEURSIRIUS XM HLDGS INC | $20.1M |
FCNFTI CONSULTING INC | $20.1M |
VMBSVANGUARD SCOTTSDALE FDS | $20.1M |
RDWRRADWARE LTD | $20.1M |
WCNWASTE CONNECTIONS INC | $20.0M |
HMCHONDA MOTOR LTD | $20.0M |
—DUPONT FABROS TECHNOLOGY INC | $20.0M |
—PENNTEX MIDSTREAM PARTNERS L | $20.0M |
LGLVSPDR SER TR | $20.0M |
MXIMMAXIM INTEGRATED PRODS INC | $19.9M |
CIGICOLLIERS INTL GROUP INC | $19.9M |
CXOEURCONCHO RES INC | $19.9M |
ASHRDBX ETF TR | $19.9M |
EFTEATON VANCE FLTING RATE INC | $19.9M |
CHS1USDCHICOS FAS INC | $19.9M |
GLREGREENLIGHT CAPITAL RE LTD | $19.9M |
—MEDIDATA SOLUTIONS INC | $19.9M |
EXREXTRA SPACE STORAGE INC | $19.8M |
HEHAWAIIAN ELEC INDUSTRIES | $19.8M |
CRUSCIRRUS LOGIC INC | $19.8M |
CYBRCYBERARK SOFTWARE LTD | $19.8M |
DPGDUFF & PHELPS GLB UTL INC FD | $19.8M |
NWG V7.5 PERP *..ROYAL BK OF SCOTLAND PLC | $19.7M |
WRBBERKLEY W R CORP | $19.7M |
NXSTNEXSTAR MEDIA GROUP INC | $19.7M |
WLKPWESTLAKE CHEM PARTNERS LP | $19.7M |
XFEBFIRST TR ENERGY INFRASTRCTR | $19.7M |
EMOCLEARBRIDGE ENERGY MLP TR FD | $19.7M |
—AKAMAI TECHNOLOGIES INC | $19.6M |
UNITUNITI GROUP INC | $19.6M |
SFMSPROUTS FMRS MKT INC | $19.6M |
THWTEKLA WORLD HEALTHCARE FD | $19.6M |
COTYCOTY INC | $19.6M |
LPLLG DISPLAY CO LTD | $19.6M |
FDSFACTSET RESH SYS INC | $19.6M |
TDSTELEPHONE & DATA SYS INC | $19.6M |
ACCUSDAMERICAN CAMPUS CMNTYS INC | $19.6M |
FSVFIRSTSERVICE CORP NEW | $19.6M |
—ISHARES TR | $19.6M |
RCI/BROGERS COMMUNICATIONS INC | $19.6M |
—LA QUINTA HLDGS INC | $19.5M |