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)

StockValue
REGREGENCY CTRS CORP
$61.3M
KBAKRANESHARES TR
$61.3M
ROBOEXCHANGE TRADED CONCEPTS TR
$61.0M
FIVEFIVE BELOW INC
$60.9M
CDLXCARDLYTICS INC
$60.9M
MSCIMSCI INC
$60.7M
CSMPROSHARES TR
$60.6M
CNCCENTENE CORP DEL
$60.4M
TSCOTRACTOR SUPPLY CO
$60.4M
RPMRPM INTL INC
$60.4M
FSVFIRSTSERVICE CORP NEW
$60.1M
UTZUTZ BRANDS INC
$60.1M
ESTCELASTIC N V
$59.9M
STNESTONECO LTD
$59.8M
ISHARES TR
$59.7M
QLTAISHARES TR
$59.4M
CDNSCADENCE DESIGN SYSTEM INC
$59.3M
ALLIANZGI DIVIDEND INT & PRM
$59.3M
VMCVULCAN MATLS CO
$59.2M
HTHTHUAZHU GROUP LTD
$59.2M
SAICSCIENCE APPLICATIONS INTL CO
$59.1M
VSSVANGUARD INTL EQUITY INDEX F
$59.1M
OXYOCCIDENTAL PETE CORP
$59.1M
GWWGRAINGER W W INC
$59.0M
ABGAMERISOURCEBERGEN CORP
$58.2M
EENI S P A
$58.2M
PALATIN TECHNOLOGIES INC
$58.0M
ELANELANCO ANIMAL HEALTH INC
$57.9M
EFVISHARES TR
$57.9M
AFWALIGN TECHNOLOGY INC
$57.8M
EXREXTRA SPACE STORAGE INC
$57.7M
WSTWEST PHARMACEUTICAL SVSC INC
$57.5M
IYFISHARES TR
$57.5M
PG4PRINCIPAL FINANCIAL GROUP IN
$57.3M
NTRNUTRIEN LTD
$57.2M
SRLNSSGA ACTIVE ETF TR
$57.2M
VNQIVANGUARD INTL EQUITY INDEX F
$56.9M
AWMSKYWORKS SOLUTIONS INC
$56.7M
CAHCARDINAL HEALTH INC
$56.6M
CSIQCANADIAN SOLAR INC
$56.4M
FLYING EAGLE ACQUISITION COR
$56.2M
CTLEURLUMEN TECHNOLOGIES INC
$55.4M
CTXSEURCITRIX SYS INC
$55.1M
WRKUSDWESTROCK CO
$55.1M
HPPHUDSON PAC PPTYS INC
$55.0M
HRUSDHEALTHCARE RLTY TR
$54.9M
EWUISHARES TR
$54.9M
ICFISHARES TR
$54.8M
BLBLACKLINE INC
$54.7M
NADNUVEEN QUALITY MUNCP INCOME
$54.6M
DXCDXC TECHNOLOGY CO
$54.3M
UUPINVESCO DB US DLR INDEX TR
$54.2M
IMCBISHARES TR
$54.2M
BOTZGLOBAL X FDS
$54.1M
CBL & ASSOC PPTYS INC
$54.0M
HLFHERBALIFE NUTRITION LTD
$53.8M
INFOIHS MARKIT LTD
$53.7M
PTNQPACER FDS TR
$53.5M
SNDRSCHNEIDER NATIONAL INC
$53.5M
PWBINVESCO EXCHANGE TRADED FD T
$53.4M
BWABORGWARNER INC
$53.1M
GRMNGARMIN LTD
$52.9M
BXMTBLACKSTONE MTG TR INC
$52.4M
KEYKEYCORP
$52.2M
LNCLINCOLN NATL CORP IND
$52.1M
KMXCARMAX INC
$52.0M
ZEN1EURZENDESK INC
$51.9M
CRTOCRITEO S A
$51.8M
IPOAGBPVIRGIN GALACTIC HOLDINGS INC
$51.8M
AMCRAMCOR PLC
$51.8M
IMCGISHARES TR
$51.7M
LVSLAS VEGAS SANDS CORP
$51.7M
PLUNPLUG POWER INC
$51.5M
HYDVANECK VECTORS ETF TR
$51.5M
HEDJWISDOMTREE TR
$51.4M
CTSHCOGNIZANT TECHNOLOGY SOLUTIO
$51.4M
YUMCYUM CHINA HLDGS INC
$51.3M
CMBSISHARES TR
$51.3M
ALCALCON AG
$51.3M
NVROEURNEVRO CORP
$51.2M
RWMPROSHARES TR
$51.1M
PCARPACCAR INC
$51.0M
NOKNOKIA CORP
$51.0M
SNPSSYNOPSYS INC
$50.8M
USOUNITED STS OIL FD LP
$50.7M
IBDPISHARES TR
$50.7M
VIXMPROSHARES TR II
$50.5M
RCI/BROGERS COMMUNICATIONS INC
$50.5M
RDS/AROYAL DUTCH SHELL PLC
$50.5M
07WAMR COOPER GROUP INC
$50.3M
NVV1NOVAVAX INC
$50.3M
PRAHPRA HEALTH SCIENCES INC
$50.1M
OKEONEOK INC NEW
$50.0M
LAMRLAMAR ADVERTISING CO NEW
$50.0M
VIOOVANGUARD ADMIRAL FDS INC
$49.8M
FPFFIRST TR EXCH TRD ALPHDX FD
$49.6M
CQPCHENIERE ENERGY PARTNERS LP
$49.6M
TRPTC ENERGY CORP
$49.4M
IVOOVANGUARD ADMIRAL FDS INC
$49.3M
CECELANESE CORP DEL
$49.3M
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