MORGAN STANLEY Q2 2017 Filing

Filed August 11, 2017

Portfolio Value

$331.0M

Holdings

6,714

Report Date

Q2 2017

Filing Type

13F-HR

All Holdings (6,714 positions)

StockValue
CONVERGYS CORP
$10.9M
FIDELITY NATIONAL FINANCIAL
$10.9M
HANHAWAIIAN HOLDINGS INC
$10.9M
GAMGENERAL AMERN INVS INC
$10.9M
ORBOTECH LTD
$10.9M
FHIFEDERATED INVS INC PA
$10.9M
500 COM LTD
$10.9M
POWERSHARES ETF TRUST
$10.9M
HXLHEXCEL CORP NEW
$10.9M
CMPCOMPASS MINERALS INTL INC
$10.9M
TALLGRASS ENERGY GP LP
$10.8M
POWERSHARES EXCHANGE TRADED
$10.8M
PODDINSULET CORP
$10.8M
HDGEGBPADVISORSHARES TR
$10.8M
ASBASSOCIATED BANC CORP
$10.8M
SILVER STD RES INC
$10.8M
UBNTEURUBIQUITI NETWORKS INC
$10.8M
VWOBVANGUARD WHITEHALL FDS INC
$10.8M
BSMLPOWERSHARES ETF TR II
$10.8M
EWSISHARES INC
$10.7M
MDPUSDMEREDITH CORP
$10.7M
MMDMAINSTAY DEFINEDTERM MN OPP
$10.7M
SYNASYNAPTICS INC
$10.7M
DGRSWISDOMTREE TR
$10.7M
XTNSPDR SERIES TRUST
$10.7M
MHNBLACKROCK MUNIHLDGS NY QLTY
$10.7M
THCTENET HEALTHCARE CORP
$10.6M
WF2WINTRUST FINL CORP
$10.6M
CEMEX SAB DE CV
$10.6M
VNOMVIPER ENERGY PARTNERS LP
$10.6M
DST SYS INC DEL
$10.6M
RBAGBPRITCHIE BROS AUCTIONEERS
$10.6M
AVAAVISTA CORP
$10.6M
XFOFXCOHEN & STEERS CLOSED END OP
$10.6M
PTCTPTC THERAPEUTICS INC
$10.6M
NOMDNOMAD FOODS LTD
$10.6M
NEOGNEOGEN CORP
$10.6M
FSZFIRST TR EXCH TRD ALPHA FD I
$10.6M
MTGE INVT CORP
$10.6M
JHMLJOHN HANCOCK EXCHANGE TRADED
$10.5M
KXIISHARES TR
$10.5M
MNROMONRO MUFFLER BRAKE INC
$10.5M
BRK-BQUALITY CARE PPTYS INC
$10.5M
DEAN FOODS CO NEW
$10.5M
ALLSCRIPTS HEALTHCARE SOLUTN
$10.5M
USDUWISDOMTREE TR
$10.5M
CPFCENTRAL PAC FINL CORP
$10.5M
QDFFLEXSHARES TR
$10.4M
TREXTREX CO INC
$10.4M
GGZGABELLI GLB SML & MD CP VAL
$10.4M
LVHDLEGG MASON ETF INVESTMENT TR
$10.4M
POWERSHARES ETF TRUST
$10.4M
JPMJPMORGAN CHASE & CO
$10.4M
TPLUSDTEXAS PAC LD TR
$10.4M
GRFSGRIFOLS S A
$10.4M
ISHARES
$10.4M
MICROSEMI CORP
$10.4M
PSPPOWERSHARES ETF TRUST
$10.3M
PMTPENNYMAC MTG INVT TR
$10.3M
INTEGRATED DEVICE TECHNOLOGY
$10.3M
RMBS*RAMBUS INC DEL
$10.3M
FAFFIRST AMERN FINL CORP
$10.3M
HCSGHEALTHCARE SVCS GRP INC
$10.3M
LECOLINCOLN ELEC HLDGS INC
$10.3M
FIRST TR BICK INDEX FD
$10.3M
UEURBAN EDGE PPTYS
$10.3M
AQLTISHARES TR
$10.3M
ENBRIDGE ENERGY MANAGEMENT L
$10.3M
STAMPS COM INC
$10.3M
SIGISELECTIVE INS GROUP INC
$10.2M
RUTHUSDRUTHS HOSPITALITY GROUP INC
$10.2M
AITAPPLIED INDL TECHNOLOGIES IN
$10.2M
BBBLACKBERRY LTD
$10.2M
GEFGREIF INC
$10.2M
UFSDOMTAR CORP
$10.2M
NCLHNORWEGIAN CRUISE LINE HLDGS
$10.2M
AAWW 1.875 06/01/24ATLAS AIR WORLDWIDE HLDGS IN
$10.2M
DVYEISHARES
$10.2M
VMIVALMONT INDS INC
$10.2M
ZAYOEURZAYO GROUP HLDGS INC
$10.2M
SVMSILVERCORP METALS INC
$10.2M
ACMAECOM
$10.2M
SPDR INDEX SHS FDS
$10.1M
FANFIRST TR EXCHANGE TRADED FD
$10.1M
CWCURTISS WRIGHT CORP
$10.1M
NAVINAVIENT CORPORATION
$10.1M
AKBAAKEBIA THERAPEUTICS INC
$10.1M
POOLPOOL CORPORATION
$10.1M
RYDEX ETF TRUST
$10.1M
DEPOMED INC
$10.1M
CDLVICTORY PORTFOLIOS II
$10.0M
ISHARES TR
$10.0M
ARES MGMT L P
$10.0M
TSEMTOWER SEMICONDUCTOR LTD
$10.0M
MYIBLACKROCK MUNIYIELD QLTY FD
$10.0M
BRKRBRUKER CORP
$10.0M
WIDEPOINT CORP
$10.0M
ECFELLSWORTH GROWTH & INCOME FD
$10.0M
EDFSTONE HBR EMERG MRKTS INC FD
$10.0M
ENABLE MIDSTREAM PARTNERS LP
$10.0M
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