MORGAN STANLEY Q4 2016 Filing

Filed February 13, 2017

Portfolio Value

$305.6M

Holdings

6,591

Report Date

Q4 2016

Filing Type

13F-HR

All Holdings (6,591 positions)

StockValue
NEOGNEOGEN CORP
$12.8M
PBVPRESTIGE BRANDS HLDGS INC
$12.8M
UNFIUNITED NAT FOODS INC
$12.7M
GATXGATX CORP
$12.7M
SHOPSHOPIFY INC
$12.7M
AROCARCHROCK INC
$12.7M
FFAFIRST TR ENHANCED EQTY INC F
$12.7M
BHKBLACKROCK CORE BD TR
$12.7M
RYDEX ETF TRUST
$12.6M
FDPFRESH DEL MONTE PRODUCE INC
$12.6M
LYVLIVE NATION ENTERTAINMENT IN
$12.6M
RABROOKFIELD REAL ASSETS INCOM
$12.6M
FLAMEL TECHNOLOGIES SA
$12.6M
MACQUARIE GLBL INFRA TOTL RE
$12.6M
LVLNSPDR SERIES TRUST
$12.6M
GVAGRANITE CONSTR INC
$12.6M
ETJEATON VANCE RISK MNGD DIV EQ
$12.5M
COUPEURCOUPA SOFTWARE INC
$12.5M
IUSBISHARES TR
$12.5M
CHWCALAMOS GBL DYN INCOME FUND
$12.5M
ENRENERGIZER HLDGS INC NEW
$12.5M
NXP SEMICONDUCTORS N V
$12.5M
NVRIHARSCO CORP
$12.5M
CALMCAL MAINE FOODS INC
$12.5M
WLYWILEY JOHN & SONS INC
$12.5M
TDSTELEPHONE & DATA SYS INC
$12.5M
RETAIL PPTYS AMER INC
$12.4M
DIREXION SHS ETF TR
$12.4M
GRAMERCY PPTY TR
$12.4M
XNTKSPDR SERIES TRUST
$12.4M
CHKPCHECK POINT SOFTWARE TECH LT
$12.3M
JLLJONES LANG LASALLE INC
$12.3M
RMBS*RAMBUS INC DEL
$12.3M
G & K SVCS INC
$12.3M
EZPWEZCORP INC
$12.3M
NATUS MEDICAL INC DEL
$12.3M
STILLWATER MNG CO
$12.3M
AAWWUSDATLAS AIR WORLDWIDE HLDGS IN
$12.2M
USNAUSANA HEALTH SCIENCES INC
$12.2M
VOOVVANGUARD ADMIRAL FDS INC
$12.2M
SLGNSILGAN HOLDINGS INC
$12.2M
DIREXION SHS ETF TR
$12.2M
HMS HLDGS CORP
$12.2M
PDCEUSDPDC ENERGY INC
$12.2M
OPPJWISDOMTREE TR
$12.2M
EXPEAGLE MATERIALS INC
$12.2M
DSIISHARES TR
$12.2M
HEPUSDHOLLY ENERGY PARTNERS L P
$12.2M
SHIP FINANCE INTERNATIONAL L
$12.2M
CASCADE BANCORP
$12.1M
MXIMMAXIM INTEGRATED PRODS INC
$12.1M
SPYVSPDR SERIES TRUST
$12.1M
EGOELDORADO GOLD CORP NEW
$12.1M
TESLA MTRS INC
$12.1M
HALYARD HEALTH INC
$12.1M
ETBEATON VANCE TAX MNGED BUY WR
$12.1M
ROLROLLINS INC
$12.1M
TRMKTRUSTMARK CORP
$12.1M
DTDWISDOMTREE TR
$12.0M
XFDEXFIRST TR DYNAMIC EUROPE EQT
$12.0M
ELMEWASHINGTON REAL ESTATE INVT
$12.0M
BANCORPSOUTH INC
$12.0M
ANFABERCROMBIE & FITCH CO
$12.0M
NYTNEW YORK TIMES CO
$12.0M
HTDCORCEPT THERAPEUTICS INC
$12.0M
MATWMATTHEWS INTL CORP
$12.0M
COTT CORP QUE
$12.0M
PENNEY J C INC
$12.0M
FELEFRANKLIN ELEC INC
$11.9M
VYXNCR CORP NEW
$11.9M
NXSTNEXSTAR BROADCASTING GROUP I
$11.9M
SUSAISHARES TR
$11.9M
VWR CORP
$11.9M
LTXBUSDLEGACY TEX FINL GROUP INC
$11.9M
SRJSPARTANNASH CO
$11.9M
GXCSPDR INDEX SHS FDS
$11.9M
IFNINDIA FD INC
$11.9M
GRFSGRIFOLS S A
$11.9M
BIZDVANECK VECTORS ETF TR
$11.8M
UVVUNIVERSAL CORP VA
$11.8M
HSN INC
$11.8M
XSCDXLMP CAP & INCOME FD INC
$11.8M
MYIBLACKROCK MUNIYIELD QLTY FD
$11.8M
FLT1EURFLEETCOR TECHNOLOGIES INC
$11.8M
COHRII VI INC
$11.8M
SHOSUNSTONE HOTEL INVS INC NEW
$11.7M
XCHYXCALAMOS CONV & HIGH INCOME F
$11.7M
EPUISHARES
$11.7M
EVTCEVERTEC INC
$11.7M
ISHARES TR
$11.7M
ACACIA COMMUNICATIONS INC
$11.7M
ENERGEN CORP
$11.7M
DOOREURMASONITE INTL CORP NEW
$11.7M
SYNASYNAPTICS INC
$11.7M
TOWER INTL INC
$11.7M
CIBRFIRST TR EXCHANGE TRADED FD
$11.6M
MBIMBIA INC
$11.6M
IWXISHARES
$11.6M
ALBANY MOLECULAR RESH INC
$11.6M
BRCBRADY CORP
$11.6M
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