MORGAN STANLEY Q2 2018 Filing

Filed August 14, 2018

Portfolio Value

$370.1M

Holdings

6,836

Report Date

Q2 2018

Filing Type

13F-HR

All Holdings (6,836 positions)

StockValue
CUBICUSTOMERS BANCORP INC
$2.4M
BFKBLACKROCK MUN INCOME TR
$2.4M
NODKNI HLDGS INC
$2.4M
MYDBLACKROCK MUNIYIELD FD INC
$2.4M
FINISAR CORP
$2.4M
DHILDIAMOND HILL INVESTMENT GROU
$2.4M
BFINUSDBANKFINANCIAL CORP
$2.4M
VLGEAVILLAGE SUPER MKT INC
$2.4M
ORITANI FINL CORP DEL
$2.4M
FNLCFIRST BANCORP INC ME
$2.4M
DUFF & PHELPS SLCT ENGY MLP
$2.4M
VRTSVIRTUS INVT PARTNERS INC
$2.4M
TRISTATE CAP HLDGS INC
$2.4M
NYMTEURNEW YORK MTG TR INC
$2.4M
FXAINVESCO CURNCYSHS AUSTRLA DL
$2.4M
CYRXCRYOPORT INC
$2.4M
BNEDBARNES & NOBLE ED INC
$2.4M
LMATLEMAITRE VASCULAR INC
$2.4M
HURNHURON CONSULTING GROUP INC
$2.4M
CUROEURCURO GROUP HLDGS CORP
$2.4M
ERHWELLS FARGO UTILITIES AND HI
$2.4M
HPFHANCOCK JOHN PFD INCOME FD I
$2.4M
SPDR INDEX SHS FDS
$2.4M
BKNGBOOKING HLDGS INC
$2.4M
EEMOINVESCO EXCHNG TRADED FD TR
$2.4M
HZOMARINEMAX INC
$2.4M
SAJACOMPANHIA DE SANEAMENTO BASI
$2.4M
CASHMETA FINL GROUP INC
$2.4M
CMCM1EURCHEETAH MOBILE INC
$2.4M
ORBCOMM INC
$2.4M
XBFZXBLACKROCK CALIF MUN INCOME T
$2.4M
ULTRA PETROLEUM CORP
$2.3M
QAD INC
$2.3M
HTLDHEARTLAND EXPRESS INC
$2.3M
REZISHARES TR
$2.3M
DBEINVESCO DB MLTI SECTR CMMTY
$2.3M
TRINITY BIOTECH PLC
$2.3M
DERMIRA INC
$2.3M
ENEL GENERACION CHILE S A
$2.3M
HPIHANCOCK JOHN PFD INCOME FD
$2.3M
BRISTOW GROUP INC
$2.3M
RZVINVESCO EXCHANGE TRADED FD T
$2.3M
DIREXION SHS ETF TR
$2.3M
TKTEEKAY CORPORATION
$2.3M
HAYNUSDHAYNES INTERNATIONAL INC
$2.3M
TBPHTHERAVANCE BIOPHARMA INC
$2.3M
MTSIMACOM TECH SOLUTIONS HLDGS I
$2.3M
NMIHNMI HLDGS INC
$2.3M
FRONT YD RESIDENTIAL CORP
$2.3M
QUOTUSDQUOTIENT TECHNOLOGY INC
$2.3M
TDTFFLEXSHARES TR
$2.3M
IRTINDEPENDENCE RLTY TR INC
$2.3M
PROPROS HOLDINGS INC
$2.3M
RSPUINVESCO EXCHANGE TRADED FD T
$2.3M
IAEVOYA ASIA PAC DIVID EQUITY I
$2.3M
ALTA MESA RES INC
$2.3M
CYDCHINA YUCHAI INTL LTD
$2.3M
INNERWORKINGS INC
$2.3M
PGCPEAPACK-GLADSTONE FINL CORP
$2.3M
USDUWISDOMTREE TR
$2.3M
MXLMAXLINEAR INC
$2.3M
SMPSTANDARD MTR PRODS INC
$2.3M
NHCNATIONAL HEALTHCARE CORP
$2.3M
AGQPROSHARES TR
$2.3M
LORAL SPACE & COMMUNICATNS I
$2.3M
BCOVUSDBRIGHTCOVE INC
$2.3M
AGREURAVANGRID INC
$2.3M
DENNDENNYS CORP
$2.3M
FTAGFIRST TR EXCHANGE TRADED FD
$2.3M
TNDMTANDEM DIABETES CARE INC
$2.3M
SPMBSPDR SERIES TRUST
$2.3M
NAM TAI PPTY INC
$2.2M
ERIEERIE INDTY CO
$2.2M
VKIINVESCO ADVANTAGE MUNICIPAL
$2.2M
DEL FRISCOS RESTAURANT GROUP
$2.2M
NWLINATIONAL WESTN LIFE GROUP IN
$2.2M
BSETBASSETT FURNITURE INDS INC
$2.2M
KEANE GROUP INC
$2.2M
ATNXEURATHENEX INC
$2.2M
HYZDWISDOMTREE TR
$2.2M
IBDSISHARES TR
$2.2M
HWKNHAWKINS INC
$2.2M
MGNXMACROGENICS INC
$2.2M
NUVEEN TAX ADVANTAGED DIV GR
$2.2M
FLG 6 11/01/51NEW YORK CMNTY CAP TR V
$2.2M
VRAVERA BRADLEY INC
$2.2M
BOINGO WIRELESS INC
$2.2M
SRCE1ST SOURCE CORP
$2.2M
FFICFLUSHING FINL CORP
$2.2M
CGOCALAMOS GLOBAL TOTAL RETURN
$2.2M
INDUSTRIAS BACHOCO S A B DE
$2.2M
STWD 4.375 04/01/23STARWOOD PPTY TR INC
$2.2M
MULTI COLOR CORP
$2.2M
BECTON DICKINSON & CO
$2.2M
EFTTECHTARGET INC
$2.2M
FORRFORRESTER RESH INC
$2.2M
PSCMINVESCO EXCHNG TRADED FD TR
$2.2M
COHEN & STEERS GLOBAL INC BL
$2.2M
MRTXEURMIRATI THERAPEUTICS INC
$2.2M
CRBNISHARES TR
$2.2M
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