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)

StockValue
STARWOOD WAYPOINT RESIDENTL
$107K
REAL IND INC
$107K
DRYSHIPS INC
$107K
MLPMAUI LD & PINEAPPLE INC
$106K
SYNTHETIC BIOLOGICS INC
$106K
07SSECUREWORKS CORP
$106K
BLDRS INDEX FDS TR
$106K
ATLAS AIR WORLDWIDE HLDGS IN
$106K
UNIQUE FABRICATING INC
$105K
NEWPARK RES INC
$105K
EATON VANCE MASS MUN BD FD
$105K
INTERPACE DIAGNOSTICS GROUP
$104K
TCMDTACTILE SYS TECHNOLOGY INC
$104K
SPDR INDEX SHS FDS
$103K
EEAEUROPEAN EQUITY FUND
$103K
NAVIDEA BIOPHARMACEUTICALS I
$102K
BARCLAYS BANK PLC
$102K
INDEXIQ ETF TR
$102K
REGULUS THERAPEUTICS INC
$102K
XFEBFIRST TRUST SPECIALTY FINANC
$102K
AETERNA ZENTARIS INC
$102K
COMTISHARES U S ETF TR
$102K
NAGECHROMADEX CORP
$101K
ROBOEXCHANGE TRADED CONCEPTS TR
$101K
BARCLAYS BK PLC
$101K
AEUSDADAMS RES & ENERGY INC
$101K
IHYVANECK VECTORS ETF TR
$100K
NUVEEN FLEXIBLE INVT INCOME
$100K
BARCLAYS BK PLC
$99K
GENOCEA BIOSCIENCES INC
$99K
GSEUGOLDMAN SACHS ETF TR
$99K
MRV COMMUNICATIONS INC
$98K
THAI FD INC
$98K
CRVSCORVUS PHARMACEUTICALS INC
$98K
FIRST TR EXCHANGE TRADED FD
$98K
TONIX PHARMACEUTICALS HLDG C
$98K
ESPESPEY MFG & ELECTRS CORP
$97K
UBS AG LONDON BRH
$97K
SSI3EURSTAGE STORES INC
$97K
COGINT INC
$96K
BIO PATH HOLDINGS INC
$96K
NAKNORTHERN DYNASTY MINERALS LT
$96K
NTIPNETWORK 1 TECHNOLOGIES INC
$96K
WCPCPI AEROSTRUCTURES INC
$96K
SPDR INDEX SHS FDS
$96K
R1 RCM INC
$95K
LIPOCINE INC NEW
$95K
GAIAGAIA INC NEW
$95K
WKHSEURWORKHORSE GROUP INC
$95K
PETROQUEST ENERGY INC
$94K
CALAMP CORP
$94K
BRFVANECK VECTORS ETF TR
$94K
OLD REP INTL CORP
$94K
EWUSISHARES TR
$93K
ISRAVANECK VECTORS ETF TR
$93K
CSWCCAPITAL SOUTHWEST CORP
$93K
GULF RESOURCES INC
$93K
IPI1EURINTREPID POTASH INC
$92K
AIRTAIR T INC
$92K
CLAYMORE EXCHANGE TRD FD TR
$91K
MISONIX INC
$91K
TOWN SPORTS INTL HLDGS INC
$91K
CEMIUSDCHEMBIO DIAGNOSTICS INC
$90K
KOSMOS ENERGY LTD
$90K
ATYR PHARMA INC
$89K
TRHCEURTABULA RASA HEALTHCARE INC
$89K
SMMTUSDSUMMIT THERAPEUTICS PLC
$89K
TROVAGENE INC
$89K
NAVISTAR INTL CORP NEW
$89K
DICERNA PHARMACEUTICALS INC
$88K
CAFEPRESS INC
$88K
ENERGY FOCUS INC
$87K
NUMEREX CORP PA
$87K
INTRICON CORP
$87K
PROSHARES TR
$86K
BBGIEURBEASLEY BROADCAST GROUP INC
$86K
RENNOVA HEALTH INC
$86K
CELLECT BIOTECHNOLOGY LTD
$85K
DEPOMED INC
$85K
GLYCEURGLYCOMIMETICS INC
$85K
BARCLAYS BANK PLC
$85K
TLTEFLEXSHARES TR
$85K
ACORN INTL INC
$85K
HOSTESS BRANDS INC
$84K
KRNTKORNIT DIGITAL LTD
$84K
SVXSERVOTRONICS INC
$84K
ISRAEL CHEMICALS LTD
$84K
CELYAD SA
$83K
DIREXION SHS ETF TR
$83K
BHVBLACKROCK VA MUNICIPAL BOND
$83K
OBALON THERAPEUTICS INC
$83K
EVGNEVOGENE LTD
$83K
CANCER GENETICS INC
$82K
CVVCVD EQUIPMENT CORP
$82K
MARIN SOFTWARE INC
$82K
MEIPUSDMEI PHARMA INC
$82K
JASNQJASON INDS INC
$82K
SSBISUMMIT ST BK SANTA ROSA CALI
$82K
CAPRICOR THERAPEUTICS INC
$81K
ADVMCHFADVERUM BIOTECHNOLOGIES INC
$81K
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