MORGAN STANLEY Q2 2017 Filing

Filed August 11, 2017

Portfolio Value

$331.0M

Holdings

6,714

Report Date

Q2 2017

Filing Type

13F-HR

All Holdings (6,714 positions)

StockValue
PROTALIX BIOTHERAPEUTICS INC
$119K
USAPUNIVERSAL STAINLESS & ALLOY
$119K
AROTECH CORP
$119K
DEPOMED INC
$119K
ENTEGRA FINL CORP
$119K
ULHUNIVERSAL LOGISTICS HLDGS IN
$118K
IVLUISHARES TR
$117K
JASNQJASON INDS INC
$117K
HANDY & HARMAN LTD
$117K
PEBKPEOPLES BANCORP N C INC
$117K
TREVENA INC
$117K
CLAYMORE EXCHANGE TRD FD TR
$116K
GMREUSDGLOBAL MED REIT INC
$116K
MRTXEURMIRATI THERAPEUTICS INC
$116K
EPR 9 PERP EEPR PPTYS
$115K
AMERICAN RIVER BANKSHARES
$115K
SCTLRECRO PHARMA INC
$115K
RED LION HOTELS CORP
$115K
ISRAMCO INC
$114K
BAY BANCORP INC
$114K
ENDURO RTY TR
$113K
AGQPROSHARES TR II
$113K
VYGRVOYAGER THERAPEUTICS INC
$113K
VANECK VECTORS ETF TR
$112K
BHVBLACKROCK VA MUNICIPAL BOND
$112K
BLDRS INDEX FDS TR
$112K
UBFOUNITED SECURITY BANCSHARES C
$112K
REDWOOD TR INC
$112K
MERITAGE HOMES CORP
$111K
BELLATRIX EXPLORATION LTD
$111K
WPRTWESTPORT FUEL SYSTEMS INC
$111K
GCBCGREENE COUNTY BANCORP INC
$109K
SANDRIDGE PERMIAN TR
$109K
CRVSCORVUS PHARMACEUTICALS INC
$109K
WKHSEURWORKHORSE GROUP INC
$109K
COMTISHARES U S ETF TR
$108K
XERIUM TECHNOLOGIES INC
$108K
NDLSUSDNOODLES & CO
$108K
EATON VANCE MASS MUN BD FD
$107K
PINGTAN MARINE ENTERPRISE LT
$107K
07SSECUREWORKS CORP
$107K
PERNIX THERAPEUTICS HLDGS IN
$107K
AEUSDADAMS RES & ENERGY INC
$107K
PENDRELL CORP
$106K
AKTSQAKOUSTIS TECHNOLOGIES INC
$106K
NAVIOS MARITIME HLDGS INC
$106K
ASB BANCORP INC N C
$106K
CIE1EURCOBALT INTL ENERGY INC
$106K
EGALET CORP
$106K
CF CORP
$105K
NSSCNAPCO SEC TECHNOLOGIES INC
$105K
ACORN INTL INC
$105K
STANDARD PAC CORP NEW
$105K
LEJU HLDGS LTD
$104K
PRNTARK ETF TR
$104K
CEMIUSDCHEMBIO DIAGNOSTICS INC
$103K
JAKKEURJAKKS PAC INC
$103K
EMPIRE RESORTS INC
$102K
SUNDANCE ENERGY AUSTRALIA LT
$102K
EWUSISHARES TR
$102K
AMERICAN TOWER CORP NEW
$102K
ARKKARK ETF TR
$102K
ATYR PHARMA INC
$102K
OSG1EUROVERSEAS SHIPHOLDING GROUP I
$101K
STEIN MART INC
$101K
CEMTREX INC
$101K
CVVCVD EQUIPMENT CORP
$101K
ESPESPEY MFG & ELECTRS CORP
$100K
KOSMOS ENERGY LTD
$100K
AVIANCA HLDGS SA
$99K
UNVREURUNIVAR INC
$99K
THAI FD INC
$98K
COGINT INC
$98K
ORMPORAMED PHARM INC
$98K
SPRING BK PHARMACEUTICALS IN
$98K
AMUBUBS AG LONDON BRH
$98K
BLACKROCK MD MUNICIPAL BOND
$97K
NEWPARK RES INC
$97K
UTIUNIVERSAL TECHNICAL INST INC
$97K
WISDOMTREE TR
$97K
AXIACENTRAIS ELETRICAS BRASILEIR
$96K
IMPAX LABORATORIES INC
$96K
SPDR INDEX SHS FDS
$96K
ALCOALICO INC
$96K
PTGXPROTAGONIST THERAPEUTICS INC
$95K
DYNEGY INC NEW DEL
$95K
REALNETWORKS INC
$95K
ONCOMED PHARMACEUTICALS INC
$95K
VOCVOC ENERGY TR
$94K
FNDBSCHWAB STRATEGIC TR
$94K
XBITXBIOTECH INC
$94K
VUZIVUZIX CORP
$94K
ENERNOC INC
$93K
CRWSCROWN CRAFTS INC
$93K
NUVECTRA CORP
$93K
DXYNDIXIE GROUP INC
$93K
TROVAGENE INC
$93K
CLAYMORE EXCHANGE TRD FD TR
$92K
FGBIFIRST GTY BANCSHARES INC
$92K
SUPERCONDUCTOR TECHNOLOGIES
$91K
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