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)
| Stock | Value |
|---|---|
—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 |