MORGAN STANLEY Q3 2017 Filing

Filed November 14, 2017

Portfolio Value

$333.9M

Holdings

6,642

Report Date

Q3 2017

Filing Type

13F-HR

All Holdings (6,642 positions)

StockValue
MANNING & NAPIER INC
$143K
UONEURBAN ONE INC
$143K
MTNBEURMATINAS BIOPHARMA HLDGS INC
$143K
MESOMESOBLAST LTD
$142K
CPIXCUMBERLAND PHARMACEUTICALS I
$142K
OPTUALTICE USA INC
$141K
TIPXSPDR SER TR
$140K
ACORN INTL INC
$137K
COGINT INC
$137K
TIAIYTELECOM ITALIA S P A NEW
$137K
GSITGSI TECHNOLOGY
$137K
FNDCSCHWAB STRATEGIC TR
$136K
VLUSPDR SERIES TRUST
$135K
GAIAGAIA INC NEW
$135K
PENDRELL CORP
$135K
AROTECH CORP
$134K
BLACKROCK NJ MUNICIPAL BOND
$134K
POWERSHARES ETF TR II
$134K
SAMGSILVERCREST ASSET MGMT GROUP
$134K
VANECK VECTORS ETF TR
$134K
FGBIFIRST GTY BANCSHARES INC
$134K
SENEBSENECA FOODS CORP NEW
$134K
NDLSUSDNOODLES & CO
$133K
I D SYSTEMS INC
$133K
POWERSHARES ETF TRUST
$133K
SPIRIT RLTY CAP INC NEW
$133K
XFEBFIRST TRUST SPECIALTY FINANC
$131K
ENPHENPHASE ENERGY INC
$131K
OLD REP INTL CORP
$131K
ADESTO TECHNOLOGIES CORP
$130K
ACELRX PHARMACEUTICALS INC
$130K
PROVIDENT BANCORP INC
$129K
NOG1EURNORTHERN OIL & GAS INC NEV
$129K
WBIGABSOLUTE SHS TR
$128K
PHIPLDT INC
$128K
REMARK HLDGS INC
$128K
ICCCIMMUCELL CORP
$126K
REVOLUTION LIGHTING TECHNOLO
$126K
UREUR ENERGY INC
$126K
EMPIRE RESORTS INC
$125K
HGTXUHUGOTON RTY TR TEX
$125K
BARCLAYS BK PLC
$125K
SB FINL GROUP INC
$124K
INDEXIQ ETF TR
$124K
CRKCOMSTOCK RES INC
$124K
BRFVANECK VECTORS ETF TR
$123K
MAGICJACK VOCALTEC LTD
$123K
IVLUISHARES TR
$122K
FRBAFIRST BANK WILLIAMSTOWN NJ
$122K
ELVTUSDELEVATE CREDIT INC
$122K
NEW IRELAND FUND INC
$122K
FORTERRA INC
$122K
TELARIA INC
$122K
CROWN CASTLE INTL CORP NEW
$121K
OPHTHOTECH CORP
$120K
NOVOGEN LIMITED
$119K
EWUSISHARES TR
$119K
BLDRS INDEX FDS TR
$118K
GNTYUSDGUARANTY BANCSHARES INC TEX
$118K
RNGRRANGER ENERGY SVCS INC
$117K
GCBCGREENE COUNTY BANCORP INC
$117K
EPR 9 PERP EEPR PPTYS
$117K
CIFMFS INTERMEDIATE HIGH INC FD
$117K
FIRST TR EXCH TRD ALPHA FD I
$116K
DIMENSION THERAPEUTICS INC
$115K
VERSARTIS INC
$114K
OSG1EUROVERSEAS SHIPHOLDING GROUP I
$113K
VOYA INTL HIGH DIVID EQTY IN
$113K
BHVBLACKROCK VA MUNICIPAL BOND
$113K
INFIQINFINITY PHARMACEUTICALS INC
$112K
FORWARD PHARMA A/S
$112K
COPXGLOBAL X FDS
$111K
1ST CONSTITUTION BANCORP
$111K
KEMPHARM INC
$111K
ARALEZ PHARMACEUTICALS INC
$110K
TFLOISHARES TR
$109K
INTTINTEST CORP
$108K
AEFABERDEEN CHILE FD INC
$108K
AMUBUBS AG LONDON BRH
$108K
SMSISMITH MICRO SOFTWARE INC
$108K
VOXELJET AG
$107K
XBITXBIOTECH INC
$107K
UWMPROSHARES TR
$107K
DIREXION SHS ETF TR
$107K
COMTISHARES U S ETF TR
$107K
OPNTEUROPIANT PHARMACEUTICALS INC
$107K
EATON VANCE MASS MUN BD FD
$106K
CEMIUSDCHEMBIO DIAGNOSTICS INC
$106K
FORESTAR GROUP INC
$106K
DEUTSCHE STRATEGIC MUN INCOM
$106K
FNDASCHWAB STRATEGIC TR
$106K
DYNEGY INC NEW DEL
$105K
BIBPROSHARES TR
$105K
JHXJAMES HARDIE INDS PLC
$105K
TPBTURNING PT BRANDS INC
$105K
PRCPGBPPERCEPTRON INC
$105K
TESSCO TECHNOLOGIES INC
$105K
NAVIOS MARITIME HLDGS INC
$105K
GARDNER DENVER HLDGS INC
$104K
ECCEAGLE PT CR CO LLC
$104K
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