MORGAN STANLEY Q4 2016 Filing

Filed February 13, 2017

Portfolio Value

$305.6M

Holdings

6,591

Report Date

Q4 2016

Filing Type

13F-HR

All Holdings (6,591 positions)

StockValue
COUNTY BANCORP INC
$381K
INNOCOLL HLDGS PLC
$381K
CEECENTRAL EUR RUSS & TURK FD I
$381K
MIDCOAST ENERGY PARTNERS L P
$379K
POWERSHARES ETF TRUST
$378K
CONCORDIA INTERNATIONAL CORP
$378K
AXTIAXT INC
$377K
NORTH ATLANTIC DRILLING LTD
$377K
SYROS PHARMACEUTICALS INC
$377K
UPLDUPLAND SOFTWARE INC
$376K
NOVAN INC
$375K
EDNEMPRESA DIST Y COMERCIAL NOR
$373K
VIVUS INC
$373K
BLACKROCK MUNIHLDGS FD II IN
$373K
HEALTH INS INNOVATIONS INC
$370K
FIRST TR EXCH TRD ALPHA FD I
$369K
SCSANTANDER CONSUMER USA HDG I
$368K
NOBILIS HEALTH CORP
$368K
PIMPUTNAM MASTER INTER INCOME T
$367K
TUSKMAMMOTH ENERGY SVCS INC
$366K
ROCKET FUEL INC
$366K
KONA GRILL INC
$366K
PKBKPARKE BANCORP INC
$365K
WINS FIN HLDGS INC
$364K
GDENGOLDEN ENTMT INC
$363K
RA PHARMACEUTICALS INC
$363K
INOTEK PHARMACEUTICALS CORP
$363K
INTERNET GOLD-GOLDEN LINES L
$363K
POWERSHARES ACTIVE MNG ETF T
$363K
ZNHUSDCHINA SOUTHN AIRLS LTD
$362K
OGCPEMPIRE ST RLTY OP L P
$360K
BNYBLACKROCK N Y MUN INCOME TR
$360K
EUDGWISDOMTREE TR
$357K
DIREXION SHS ETF TR
$357K
DEUTSCHE STRATEGIC INCOME TR
$354K
RED LION HOTELS CORP
$353K
BTABLACKROCK LONG-TERM MUNI ADV
$353K
GPRCHFGREAT PANTHER SILVER LTD
$350K
MSDMORGAN STANLEY EMER MKTS DEB
$350K
ASPNASPEN AEROGELS INC
$349K
BIO PATH HOLDINGS INC
$348K
DIREXION SHS ETF TR
$347K
SQNSSEQUANS COMMUNICATIONS S A
$347K
TROVAGENE INC
$347K
SSI3EURSTAGE STORES INC
$347K
WTMWHITE MTNS INS GROUP LTD
$346K
NUVEEN PA MUN VALUE FD
$346K
ASTERIAS BIOTHERAPEUTICS INC
$345K
EATON VANCE MICH MUN BD FD
$342K
FLCFLAHERTY & CRUMRINE TOTAL RE
$342K
VTE1ASURE SOFTWARE INC
$340K
XEGFXBLACKROCK ENHANCED GOVT FD I
$339K
SYNUTRA INTL INC
$339K
NEW YORK MTG TR INC
$339K
PACIFIC MERCANTILE BANCORP
$339K
NORTEL INVERSORA S A
$338K
NGVCNATURAL GROCERS BY VITAMIN C
$338K
AXSMAXSOME THERAPEUTICS INC
$338K
BLACKROCK NY MUNI INC QLTY T
$338K
YUME INC
$337K
RMCFROCKY MTN CHOCOLATE FACTORY
$336K
DBX ETF TR
$335K
NIHDEURNII HLDGS INC
$335K
BBUBROOKFIELD BUSINESS PARTNERS
$334K
HRZNHORIZON TECHNOLOGY FIN CORP
$334K
POWERSHARES ETF TRUST
$333K
EEMSISHARES
$333K
CONTRAVIR PHARMACEUTICALS IN
$333K
FIRST NBC BK HLDG CO
$333K
TSQTOWNSQUARE MEDIA INC
$333K
REALNETWORKS INC
$333K
SLVPISHARES
$332K
MRTXEURMIRATI THERAPEUTICS INC
$329K
GBILGOLDMAN SACHS ETF TR
$329K
TRANSENTERIX INC
$328K
AFKVANECK VECTORS ETF TR
$327K
ZAFGEN INC
$327K
YINTECH INVT HLDGS LTD
$327K
XHITXINVESCO HIGH INCOME 2023 TAR
$325K
JUNIPER PHARMACEUTICALS INC
$324K
ENORISHARES TR
$323K
POWERSHARES ETF TRUST
$323K
RYDEX ETF TRUST
$323K
PROSHARES TR
$323K
NEURODERM LTD
$323K
ZHAOPIN LTD
$322K
XNXNXNUVEEN NY SELECT TAX FREE PR
$322K
EMIFISHARES TR
$321K
ASIA PAC FD INC
$321K
CABOCABLE ONE INC
$319K
POWERSHARES ETF TRUST
$318K
FORWARD PHARMA A/S
$318K
EARTHSTONE ENERGY INC
$318K
SPESPECIAL OPPORTUNITIES FD INC
$314K
SOUTHCROSS ENERGY PARTNERS L
$314K
GUGGENHEIM CR ALLOCATION FD
$312K
PROSHARES TR II
$312K
EATON VANCE NJ MUNI INCOME T
$311K
FIRST TR EXCH TRD ALPHA FD I
$311K
ACELRX PHARMACEUTICALS INC
$310K
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