MORGAN STANLEY Q3 2020 Filing
Filed November 13, 2020
Portfolio Value
$517.0M
Holdings
6,838
Report Date
Q3 2020
Filing Type
13F-HR
All Holdings (6,838 positions)
| Stock | Value |
|---|---|
CVRCHICAGO RIVET & MACH CO | $219K |
—BIOSIG TECHNOLOGIES INC | $218K |
UBFOUNITED SEC BANCSHARES CALIF | $218K |
VAPOVAPOTHERM INC | $218K |
FMAOFARMERS & MERCHANTS BANCORP | $218K |
DTFDTF TAX-FREE INCOME INC | $217K |
RJR1STEREOTAXIS INC | $216K |
—MOHAWK GROUP HLDGS INC | $215K |
LAKELAKELAND INDS INC | $215K |
FKUFIRST TR EXCH TRD ALPHDX FD | $213K |
DXYNDIXIE GROUP INC | $213K |
FNDBSCHWAB STRATEGIC TR | $213K |
BSX 5.5 06/01/23 ABOSTON SCIENTIFIC CORP | $212K |
LSFLAIRD SUPERFOOD INC | $211K |
—HEAT BIOLOGICS INC | $211K |
DIEMFRANKLIN TEMPLETON ETF TR | $211K |
VVNTVIVINT SMART HOME INC | $211K |
ECECOPETROL S A | $211K |
GGALGRUPO FINANCIERO GALICIA S.A | $211K |
—CASTLIGHT HEALTH INC | $210K |
DWSNDAWSON GEOPHYSICAL CO NEW | $210K |
—DWS STRATEGIC MUN INCOME TR | $210K |
ALLTALLOT LTD | $210K |
—DIREXION SHS ETF TR | $209K |
ELAN 5 02/01/23ELANCO ANIMAL HEALTH INC | $208K |
NVRNVR INC | $208K |
FMNBFARMERS NATIONAL BANC CORP | $207K |
—ASPIRA WOMENS HEALTH INC | $207K |
PAMPAMPA ENERGIA S A | $207K |
SWZSWISS HELVETIA FD INC | $207K |
—RATTLER MIDSTREAM LP | $207K |
—TESLA INC | $207K |
DCTDUCK CREEK TECHNOLOGIES INC | $206K |
MRNS*MARINUS PHARMACEUTICALS INC | $206K |
GOGLGOLDEN OCEAN GROUP LTD | $206K |
—FREELINE THERAPEUTICS HLDGS | $206K |
WSO/BWATSCO INC | $206K |
—DICERNA PHARMACEUTICALS INC | $205K |
—ORGANIGRAM HLDGS INC | $205K |
CUROEURCURO GROUP HOLDINGS CORP | $204K |
SLDBSOLID BIOSCIENCES INC | $204K |
DURAVANECK VECTORS ETF TR | $204K |
SMLFISHARES TR | $203K |
OPHTEURIVERIC BIO INC | $203K |
CYDCHINA YUCHAI INTL LTD | $203K |
—PAVMED INC | $202K |
BFCBANK FIRST CORP | $202K |
BRFVANECK VECTORS ETF TR | $202K |
—CHURCHILL CAPITAL CORP IV | $201K |
FSBCFIVE STAR SENIOR LIVING INC | $201K |
—CONSTELLATION BRANDS INC | $201K |
ITICINVESTORS TITLE CO NC | $200K |
JELDJELD-WEN HLDG INC | $200K |
—SPIRIT RLTY CAP INC NEW | $199K |
KIDSORTHOPEDIATRICS CORP | $198K |
CPSSCONSUMER PORTFOLIO SVCS INC | $198K |
—PROSHARES TR II | $198K |
FLCFLAHERTY & CRUMRINE TOTAL RE | $198K |
RMBIRICHMOND MUT BANCORPORATION | $198K |
BDCBELDEN INC | $198K |
RDHLGBPREDHILL BIOPHARMA LTD | $197K |
APDNAPPLIED DNA SCIENCES INC | $197K |
—GS ACQUISITION HLDGS CORP II | $197K |
—POINTS INTL LTD | $197K |
CMPSCOMPASS PATHWAYS PLC | $197K |
XAIRBEYOND AIR INC | $196K |
—FIRST TR EXCH TRD ALPHDX FD | $195K |
PFFRETFIS SER TR I | $195K |
FLJPFRANKLIN TEMPLETON ETF TR | $193K |
—NABRIVA THERAPEUTICS PLC | $193K |
INVA 2.125 01/15/23THERAVANCE INC | $193K |
AKOBEMBOTELLADORA ANDINA S A | $193K |
IHRTIHEARTMEDIA INC | $193K |
—HEMISPHERE MEDIA GROUP INC | $193K |
HCCIUSDHERITAGE CRYSTAL CLEAN INC | $191K |
INVA 2.5 08/15/25INNOVIVA INC | $191K |
—ANWORTH MTG ASSET CORP | $190K |
IMVTIMMUNOVANT INC | $190K |
RILYB. RILEY FINANCIAL INC | $190K |
CBFVCB FINL SVCS INC | $190K |
SOHUSOHU COM LTD | $189K |
—DMY TECHNOLOGY GROUP INC | $188K |
CULPCULP INC | $188K |
1K0IGM BIOSCIENCES INC | $188K |
—QUOTIENT TECHNOLOGY INC | $188K |
KCKINGSOFT CLOUD HLDGS LTD | $187K |
—LORAL SPACE & COMMUNICATNS I | $187K |
—TESSCO TECHNOLOGIES INC | $186K |
BANXSTONECASTLE FINL CORP | $186K |
WINAWINMARK CORP | $185K |
INSWINTERNATIONAL SEAWAYS INC | $184K |
HZN1USDHORIZON GLOBAL CORP | $184K |
VPGVISHAY PRECISION GROUP INC | $184K |
BBDOBANCO BRADESCO S A | $183K |
—USA TRUCK INC | $183K |
NHTCNATURAL HEALTH TRENDS CORP | $182K |
IMV1EURIMV INC | $182K |
IIFMORGAN STANLEY INDIA INVT FD | $182K |
—SOUTHERN NATL BANCORP OF VA | $182K |
NYMXFNYMOX PHARMACEUTICAL CORP | $182K |