MORGAN STANLEY Q4 2019 Filing

Filed February 14, 2020

Portfolio Value

$430.0M

Holdings

6,811

Report Date

Q4 2019

Filing Type

13F-HR

All Holdings (6,811 positions)

StockValue
CHWCALAMOS GBL DYN INCOME FUND
$33.6M
BWABORGWARNER INC
$33.5M
NWLNEWELL BRANDS INC
$33.5M
EDITEDITAS MEDICINE INC
$33.4M
RWXSPDR INDEX SHS FDS
$33.4M
AZURE PWR GLOBAL LTD
$33.4M
FYXFIRST TR SML CP CORE ALPHA F
$33.3M
EUFNISHARES TR
$33.3M
WATWATERS CORP
$33.3M
CMBTEURONAV NV ANTWERPEN
$33.3M
KDPKEURIG DR PEPPER INC
$33.3M
BYMBLACKROCK MUNICIPL INC QLTY
$33.2M
AWRAMERICAN STS WTR CO
$33.2M
NVGNUVEEN AMT FREE MUN CR INC F
$33.2M
BEST INC
$33.1M
COWZPACER FDS TR
$33.0M
RAMPLIVERAMP HLDGS INC
$33.0M
GNRCGENERAC HLDGS INC
$33.0M
AINALBANY INTL CORP
$33.0M
RWJINVESCO EXCHNG TRADED FD TR
$32.9M
ENCANA CORP
$32.8M
HEZUISHARES TR
$32.8M
QTWOQ2 HLDGS INC
$32.7M
PPAINVESCO EXCHANGE TRADED FD T
$32.7M
QQQXNUVEEN NASDAQ 100 DYNAMIC OV
$32.6M
ELMEWASHINGTON REAL ESTATE INVT
$32.6M
BYNDBEYOND MEAT INC
$32.6M
MTBM & T BK CORP
$32.5M
IYY*ISHARES TR
$32.5M
AMTTD AMERITRADE HLDG CORP
$32.5M
CLEARBRIDGE ENERGY MIDSTRM O
$32.5M
HSICHENRY SCHEIN INC
$32.4M
MHKMOHAWK INDS INC
$32.4M
ARNCCHFARCONIC INC
$32.3M
VRIGINVESCO ACTIVELY MANAGD ETF
$32.3M
UUPINVESCO DB US DLR INDEX TR
$32.3M
PZAINVESCO EXCHNG TRADED FD TR
$32.2M
JHMLJOHN HANCOCK ETF TRUST
$32.2M
07WAMR COOPER GROUP INC
$32.1M
MTNVAIL RESORTS INC
$32.1M
IYKISHARES TR
$32.0M
THD*ISHARES INC
$32.0M
INFOIHS MARKIT LTD
$32.0M
WRKUSDWESTROCK CO
$31.9M
BSMBLACK STONE MINERALS L P
$31.9M
BLVVANGUARD BD INDEX FD INC
$31.8M
BAHBOOZ ALLEN HAMILTON HLDG COR
$31.8M
PAHUSDELEMENT SOLUTIONS INC
$31.8M
XSDSPDR SERIES TRUST
$31.8M
FANHUA INC
$31.8M
FIVNFIVE9 INC
$31.8M
FJPFIRST TR EXCH TRD ALPHA FD I
$31.7M
FDO.FMACYS INC
$31.7M
USX1UNITED STATES STL CORP NEW
$31.6M
NEWREURNEW RELIC INC
$31.6M
DWMWISDOMTREE TR
$31.6M
SHOOMADDEN STEVEN LTD
$31.6M
AESAES CORP
$31.4M
DVADAVITA INC
$31.4M
XAWFXALLIANCEBERNSTEIN GBL HGH IN
$31.4M
TDOCTELADOC HEALTH INC
$31.4M
PKNPERKINELMER INC
$31.3M
LDPCOHEN & STEERS LTD DUR PFD I
$31.3M
EXPDEXPEDITORS INTL WASH INC
$31.2M
MTZMASTEC INC
$31.2M
SNPSSYNOPSYS INC
$31.1M
CRWDCROWDSTRIKE HLDGS INC
$31.1M
FEYECHFFIREEYE INC
$31.1M
ITCIEURINTRA CELLULAR THERAPIES INC
$31.1M
LPI1EURLAREDO PETROLEUM INC
$31.1M
IVREURINVESCO MORTGAGE CAPITAL INC
$31.0M
PSTGPURE STORAGE INC
$31.0M
FSVFIRSTSERVICE CORP NEW
$31.0M
JJSFJ & J SNACK FOODS CORP
$30.9M
BGBBLACKSTONE GSO STRATEGIC CR
$30.8M
QTS RLTY TR INC
$30.8M
OMCOMNICOM GROUP INC
$30.7M
NNNNATIONAL RETAIL PPTYS INC
$30.7M
VIAVVIAVI SOLUTIONS INC
$30.7M
WNSNWNS HOLDINGS LTD
$30.7M
QRVOQORVO INC
$30.7M
AMXNAMERICA MOVIL SAB DE CV
$30.6M
PHYS/USPROTT PHYSICAL GOLD TRUST
$30.6M
IXCISHARES TR
$30.6M
SANMSANMINA CORPORATION
$30.6M
IYEISHARES TR
$30.4M
OLNOLIN CORP
$30.4M
DISCKUSDDISCOVERY INC
$30.3M
DQDAQO NEW ENERGY CORP
$30.3M
GIB/ACGI INC
$30.3M
STLDSTEEL DYNAMICS INC
$30.3M
EDVVANGUARD WORLD FD
$30.2M
SKYWSKYWEST INC
$30.1M
DOOBRP INC
$30.1M
PHOINVESCO EXCHANGE TRADED FD T
$30.1M
FRIFIRST TR S&P REIT INDEX FD
$30.1M
DLSWISDOMTREE TR
$30.1M
CVGWCALAVO GROWERS INC
$30.0M
ROCKGIBRALTAR INDS INC
$30.0M
HUBSHUBSPOT INC
$30.0M
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