MORGAN STANLEY Q1 2019 Filing

Filed May 15, 2019

Portfolio Value

$353.3M

Holdings

6,775

Report Date

Q1 2019

Filing Type

13F-HR

All Holdings (6,775 positions)

StockValue
FQALFIDELITY
$16K
PROSHARES TR
$16K
ECORGBPELECTROCORE INC
$16K
HERCULES CAPITAL INC
$16K
EMPIRE RESORTS INC
$16K
INTEGRATED DEVICE TECHNOLOGY
$16K
VTGNUSDVISTAGEN THERAPEUTICS INC
$16K
NCS MULTISTAGE HLDGS INC
$16K
GOLAR LNG LTD
$16K
LONESTAR RES US INC
$16K
HWBKHAWTHORN BANCSHARES INC
$16K
OASIS PETE INC NEW
$16K
EMCLAIRE FINL CORP
$15K
NABORS INDS INC NEW
$15K
MTOR 0 02/15/27ARVINMERITOR INC
$15K
PHIPLDT INC
$15K
GUANGSHEN RY LTD
$15K
AQSTAQUESTIVE THERAPEUTICS INC
$15K
VNCEVINCE HLDG CORP
$15K
MSB FINL CORP NEW
$15K
AUBNAUBURN NATL BANCORP
$15K
OSI SYSTEMS INC
$15K
MFDXPIMCO EQUITY SER
$15K
MOGU INC
$15K
TCR2 THERAPEUTICS INC
$15K
CURIS INC
$15K
CAASEURCHINA AUTOMOTIVE SYS INC
$14K
LOGICBIO THERAPEUTICS INC
$14K
AKAFETF SER SOLUTIONS
$14K
NAILDIREXION SHS ETF TR
$14K
AVEDRO INC
$14K
FLKRFRANKLIN TEMPLETON ETF TR
$14K
DAVIDSTEA INC
$14K
OSSEN INNOVATION CO LTD
$14K
DIREXION SHS ETF TR
$14K
OROARROW INVTS TR
$14K
VAPOVAPOTHERM INC
$14K
GYROGYRODYNE LLC
$14K
EDUCEDUCATIONAL DEV CORP
$14K
AMPIO PHARMACEUTICALS INC
$14K
NS9BNETSOL TECHNOLOGIES INC
$14K
TOP SHIPS INC
$13K
ELECTRONICS FOR IMAGING INC
$13K
B COMMUNICATIONS LTD
$13K
XOMAXOMA CORP DEL
$13K
EVOKE PHARMA INC
$13K
AMUBCREDIT SUISSE NASSAU BRH
$13K
RIVERVIEW FINL CORP NEW
$13K
LILIS ENERGY INC
$13K
PATRIOT TRANSN HLDG INC
$13K
IBUYAMPLIFY ETF TR
$13K
IDERA PHARMACEUTICALS INC
$13K
UTIUNIVERSAL TECHNICAL INST INC
$13K
STRTSTRATTEC SEC CORP
$12K
TIDEWATER INC NEW
$12K
WEATHERFORD INTL LTD
$12K
LEVEL BRANDS INC
$12K
BARCLAYS BK PLC
$12K
EMDVPROSHARES TR
$12K
VECO 2.7 01/15/23VEECO INSTRS INC DEL
$12K
CONATUS PHARMACEUTICALS INC
$12K
HDSNHUDSON TECHNOLOGIES INC
$12K
SLGLSOL GEL TECHNOLOGIES
$12K
DLHCDLH HLDGS CORP
$12K
GILTGILAT SATELLITE NETWORKS LTD
$12K
OBALON THERAPEUTICS INC
$12K
CTHRUSDCHARLES & COLVARD LTD
$12K
BOWL AMER INC
$12K
A H BELO CORP
$12K
STEIN MART INC
$12K
BRISTOL MYERS SQUIBB CO
$12K
DIREXION SHS ETF TR
$12K
EUDVPROSHARES TR
$11K
SG3SIGMATRON INTL INC
$11K
SELFGLOBAL SELF STORAGE INC
$11K
STANDARD AVB FINL CORP
$11K
MICROCHIP TECHNOLOGY INC
$11K
CORENERGY INFRASTRUCTURE TR
$11K
NEW HOME CO INC
$11K
UBRPROSHARES TR
$11K
DRYSHIPS INC
$11K
MER TELEMANAGEMENT SOLUTIONS
$11K
OTELCO INC
$11K
STROSUTRO BIOPHARMA INC
$11K
NRC GROUP HLDGS CORP
$11K
TCE2CELLDEX THERAPEUTICS INC NEW
$11K
PACIRA PHARMACEUTICALS INC
$11K
SILVER STD RES INC
$11K
FSBCFIVE STAR SENIOR LIVING INC
$11K
GTIMGOOD TIMES RESTAURANTS INC
$11K
FTAGFIRST TR EXCHANGE TRADED FD
$11K
INVNIDENTIV INC
$10K
PERIPERION NETWORK LTD
$10K
PRICELINE GRP INC
$10K
NTICNORTHERN TECH INTL CORP
$10K
FPHFIVE POINT HOLDINGS LLC
$10K
MOLECULIN BIOTECH INC
$10K
TPHSTRINITY PL HLDGS INC
$10K
CENTRIC BRANDS INC
$10K
NUVERRA ENVIRONMENTAL SOLUTI
$10K
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