MORGAN STANLEY Q3 2016 Filing

Filed November 10, 2016

Portfolio Value

$292.8M

Holdings

6,580

Report Date

Q3 2016

Filing Type

13F-HR

All Holdings (6,580 positions)

StockValue
MESOMESOBLAST LTD
$4K
PTGXPROTAGONIST THERAPEUTICS INC
$4K
GLOBAL X FDS
$4K
DYNEGY INC NEW DEL
$4K
PHI INC
$4K
MOLECULIN BIOTECH INC
$4K
TTM TECHNOLOGIES INC
$4K
EMMIS COMMUNICATIONS CORP
$4K
VLUSPDR SERIES TRUST
$4K
MEIPUSDMEI PHARMA INC
$4K
ONCOSEC MED INC
$4K
OPGEN INC
$4K
STEADYMED LTD
$4K
PARAGON COML CORP
$4K
CSTRUSDCAPSTAR FINL HLDGS INC
$4K
UBS AG JERSEY BRH
$4K
PROOFPOINT INC
$4K
SPIRIT RLTY CAP INC NEW
$4K
CONTRAFECT CORP
$4K
CORNERSTONE ONDEMAND INC
$4K
FXCM INC
$4K
CHINA GREEN AGRICULTURE INC
$4K
ATLANTIC COAST FINL CORP
$4K
ACCSISSUER DIRECT CORPORATION
$4K
DEUTSCHE BK AG LONDON BRH
$4K
AMERICAN RLTY CAP PPTYS INC
$4K
MAXPOINT INTERACTIVE INC
$4K
GTX INC DEL
$3K
AMERICAN TOWER CORP NEW
$3K
CERULEAN PHARMA INC
$3K
PZGPARAMOUNT GOLD NEV CORP
$3K
CIM COML TR CORP
$3K
CEMTREX INC
$3K
VANECK VECTORS ETF TR
$3K
PAIN THERAPEUTICS INC
$3K
CBAYUSDCYMABAY THERAPEUTICS INC
$3K
FNDCSCHWAB STRATEGIC TR
$3K
NABRIVA THERAPEUTICS AG
$3K
GLOBAL X FDS
$3K
CURRENCYSHARES SINGAPORE DLR
$3K
CVVCVD EQUIPMENT CORP
$3K
CAPITAL ONE FINL CORP
$3K
SPNEUSDSEASPINE HLDGS CORP
$3K
MAGNEGAS CORP
$3K
PALATIN TECHNOLOGIES INC
$3K
MDGLMADRIGAL PHARMACEUTICALS INC
$3K
SPDR INDEX SHS FDS
$3K
MELROSE BANCORP INC
$3K
STRMSTREAMLINE HEALTH SOLUTIONS
$3K
ASIA TIGERS FD INC
$3K
ALPS ETF TR
$3K
NETSUITE INC
$3K
CREDIT SUISSE NASSAU BRH
$3K
CIXCOMPX INTERNATIONAL INC
$3K
CURRENCYSHARES CHINESE RENMI
$3K
AMERICAN TOWER CORP NEW
$3K
FTAGFIRST TR EXCHANGE TRADED FD
$3K
PBHCPATHFINDER BANCORP INC MD
$3K
VANECK VECTORS ETF TR
$3K
UUUUNIVERSAL SEC INSTRS INC
$3K
SWEDISH EXPT CR CORP
$3K
HUDSON GLOBAL INC
$3K
BBPETFIS SER TR I
$3K
OCERA THERAPEUTICS INC
$3K
TESARO INC
$3K
POAGE BANKSHARES INC
$3K
NOVELLUS SYS INC
$3K
FGBIFIRST GTY BANCSHARES INC
$3K
STANLEY FURNITURE CO INC
$2K
PROSHARES TR
$2K
SWEDISH EXPT CR CORP
$2K
CLEANTECH SOLUTIONS INTL INC
$2K
ARTWARTS WAY MFG INC
$2K
CDNACAREDX INC
$2K
PROVIDENCE & WORCESTER RR CO
$2K
VENAXIS INC
$2K
GREENBRIER COS INC
$2K
YINGLI GREEN ENERGY HLDG CO
$2K
XTL BIOPHARMACEUTICALS LTD
$2K
OESXUSDORION ENERGY SYSTEMS INC
$2K
METABOLIX INC
$2K
OPEXA THERAPEUTICS INC
$2K
ACURACURA PHARMACEUTICALS INC
$2K
BROADVISION INC
$2K
SMMTUSDSUMMIT THERAPEUTICS PLC
$2K
EMPIRE RES INC DEL
$2K
UXIPROSHARES TR
$2K
COASTWAY BANCORP INC
$2K
CPERUNITED STS COMMODITY IDX FDT
$2K
KFSKINGSWAY FINL SVCS INC
$2K
CHEROKEE INC DEL NEW
$2K
HARVEST CAP CR CORP
$2K
GOLDEN ENTERPRISES INC
$2K
DBX ETF TR
$2K
LITBUSDLIGHTINTHEBOX HLDG CO LTD
$2K
NEONODE INC
$2K
ALIMERA SCIENCES INC
$2K
SANDISK CORP
$2K
CPRXCATALYST PHARMACEUTICALS INC
$2K
GLOBAL X FDS
$2K
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