MORGAN STANLEY Q3 2017 Filing

Filed November 14, 2017

Portfolio Value

$333.9B

Holdings

6,642

Report Date

Q3 2017

Filing Type

13F-HR

All Holdings (6,642 positions)

#StockSharesValue% PortfolioType
201
FLRFLUOR CORP NEW
1,360,121$1.8B0.53%
202
RPX CORP
284,864$1.8B0.53%
203
SWKSTANLEY BLACK & DECKER INC
544,337$1.8B0.53%
204
ICHRICHOR HOLDINGS
65,629$1.8B0.53%
205
BWABORGWARNER INC
567,954$1.8B0.52%
206
TCXTUCOWS INC
29,833$1.7B0.52%
207
CTRPUSDCTRIP COM INTL LTD
1,737,637$1.7B0.52%
208
FLEXION THERAPEUTICS INC
71,787$1.7B0.52%
209
CITCINTAS CORP
261,064$1.7B0.52%
210
UFIUNIFI INC
90,685$1.7B0.52%
211
REEVEREST RE GROUP LTD
458,484$1.7B0.52%
212
6PMPARAMOUNT GROUP INC
7,540,929$1.7B0.52%
213
WATTENERGOUS CORP
136,409$1.7B0.52%
214
LRCXEURLAM RESEARCH CORP
661,677$1.7B0.52%
215
JBHTHUNT J B TRANS SVCS INC
160,570$1.7B0.52%
216
SRISTONERIDGE INC
87,140$1.7B0.52%
217
PTIP T TELEKOMUNIKASI INDONESIA
185,932$1.7B0.52%
218
INVHINVITATION HOMES INC
129,448$1.7B0.52%
219
CITUSDCIT GROUP INC
316,127$1.7B0.52%
220
UTLUNITIL CORP
66,647$1.7B0.52%
221
COSTCOSTCO WHSL CORP NEW
5,334,158$1.7B0.51%
222
ROKROCKWELL AUTOMATION INC
515,202$1.7B0.51%
223
HASHASBRO INC
1,365,596$1.7B0.51%
224
MAAMID AMER APT CMNTYS INC
1,229,548$1.7B0.51%
225
ARCCARES CAP CORP
6,887,226$1.7B0.51%
226
LOGILOGITECH INTL S A
116,747$1.7B0.51%
227
EQIXEQUINIX INC
114,799$1.7B0.51%
228
NYMTEURNEW YORK MTG TR INC
276,218$1.7B0.51%
229
REGNREGENERON PHARMACEUTICALS
457,584$1.7B0.51%
230
NRG YIELD INC
1,007,766$1.7B0.51%
231
ANAUTONATION INC
563,821$1.7B0.51%
232
IEMGISHARES INC
14,445,890$1.7B0.51%
233
SMHVANECK VECTORS ETF TR
5,942,406$1.7B0.51%
234
NIELSEN HLDGS PLC
2,282,855$1.7B0.51%
235
CAGCONAGRA BRANDS INC
2,601,035$1.7B0.51%
236
KOCOCA COLA CO
34,661,389$1.7B0.51%
237
NBTBNBT BANCORP INC
114,496$1.7B0.51%
238
ENBRIDGE ENERGY MANAGEMENT L
1,170,061$1.7B0.50%
239
MSBIMIDLAND STS BANCORP INC ILL
53,087$1.7B0.50%
240
TERRAFORM GLOBAL INC
353,533$1.7B0.50%
241
OXYOCCIDENTAL PETE CORP DEL
8,426,838$1.7B0.50%
242
SYNTEL INC
344,536$1.7B0.50%
243
EWEDWARDS LIFESCIENCES CORP
1,156,076$1.7B0.50%
244
HRBBLOCK H & R INC
1,535,140$1.7B0.50%
245
NKENIKE INC
24,542,177$1.7B0.50%
246
WCNWASTE CONNECTIONS INC
341,943$1.7B0.50%
247
GWREGUIDEWIRE SOFTWARE INC
495,472$1.7B0.50%
248
SPUSDSP PLUS CORP
105,820$1.7B0.50%
249
LIESUN LIFE FINL INC
879,164$1.7B0.50%
250
TRISTATE CAP HLDGS INC
72,835$1.7B0.50%
251
VRTVEURVERITIV CORP
51,322$1.7B0.50%
252
GRFSGRIFOLS S A
585,189$1.7B0.50%
253
UMHUMH PPTYS INC
227,497$1.7B0.50%
254
L3 TECHNOLOGIES INC
270,844$1.7B0.50%
255
SPGSIMON PPTY GROUP INC NEW
8,358,321$1.7B0.50%
256
CXOEURCONCHO RES INC
271,635$1.7B0.50%
257
PATKPATRICK INDS INC
41,636$1.7B0.50%
258
ALXNALEXION PHARMACEUTICALS INC
916,538$1.7B0.49%
259
MTDMETTLER TOLEDO INTERNATIONAL
112,214$1.6B0.49%
260
AMTTD AMERITRADE HLDG CORP
372,173$1.6B0.49%
261
TIPISHARES TR
6,359,994$1.6B0.49%
262
IVZINVESCO LTD
4,019,525$1.6B0.49%
263
IHS MARKIT LTD
5,960,555$1.6B0.49%
264
VGTVANGUARD WORLD FDS
2,270,970$1.6B0.49%
265
PBCTEURPEOPLES UNITED FINANCIAL INC
1,678,254$1.6B0.49%
266
ALKSALKERMES PLC
69,163$1.6B0.49%
267
UVEUNIVERSAL INS HLDGS INC
71,409$1.6B0.49%
268
COPCONOCOPHILLIPS
6,615,003$1.6B0.49%
269
PRGOPERRIGO CO PLC
216,263$1.6B0.49%
270
PGRPROGRESSIVE CORP OHIO
968,079$1.6B0.49%
271
CMRECOSTAMARE INC
2,232,051$1.6B0.49%
272
ALBALBEMARLE CORP
473,063$1.6B0.49%
273
TJXTJX COS INC NEW
5,525,406$1.6B0.49%
274
BLKCHFBLACKROCK INC
1,605,652$1.6B0.49%
275
AQLTISHARES TR
1,169,505$1.6B0.49%
276
HRSEURHARRIS CORP DEL
664,089$1.6B0.49%
277
MMM3M CO
3,315,467$1.6B0.49%
278
PDEURPRECISION DRILLING CORP
2,419,272$1.6B0.49%
279
XLKSELECT SECTOR SPDR TR
12,598,085$1.6B0.49%
280
MDC PARTNERS INC
147,740$1.6B0.49%
281
ARNCCHFARCONIC INC
1,799,031$1.6B0.49%
282
DISCKUSDDISCOVERY COMMUNICATNS NEW
1,005,113$1.6B0.49%
283
EWAISHARES INC
970,134$1.6B0.49%
284
PKNPERKINELMER INC
412,348$1.6B0.49%
285
IDAIDACORP INC
255,469$1.6B0.48%
286
MBUUMALIBU BOATS INC
122,123$1.6B0.48%
287
8CWCROWN CASTLE INTL CORP NEW
6,286,263$1.6B0.48%
288
MBTGBPMOBILE TELESYSTEMS PJSC
1,806,644$1.6B0.48%
289
OKEONEOK INC NEW
2,843,452$1.6B0.48%
290
IWDISHARES TR
7,419,640$1.6B0.48%
291
INSYEURINSYS THERAPEUTICS INC NEW
180,907$1.6B0.48%
292
OCOWENS CORNING NEW
355,325$1.6B0.48%
293
LNTALLIANT ENERGY CORP
536,041$1.6B0.48%
294
UBSIUNITED BANKSHARES INC WEST V
457,756$1.6B0.48%
295
CINFCINCINNATI FINL CORP
444,627$1.6B0.48%
296
MYLAN N V
1,958,850$1.6B0.48%
297
NFBKNORTHFIELD BANCORP INC DEL
158,343$1.6B0.48%
298
STAASTAAR SURGICAL CO
128,402$1.6B0.48%
299
TWOTWO HBRS INVT CORP
2,062,826$1.6B0.48%
300
FRONTIER COMMUNICATIONS CORP
84,056$1.6B0.48%
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