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)
| Stock | Value |
|---|---|
JHXJAMES HARDIE INDS PLC | $101K |
JMMNUVEEN MULTI MKT INCOME FD | $101K |
—BLACKROCK MD MUNICIPAL BOND | $100K |
COMTISHARES U S ETF TR | $100K |
—CELLCOM ISRAEL LTD | $100K |
EDAEDAP TMS S A | $100K |
—TOWN SPORTS INTL HLDGS INC | $99K |
—SECOND SIGHT MED PRODS INC | $98K |
—ABERDEEN INDONESIA FD INC | $98K |
—UBS AG JERSEY BRH | $98K |
UDOWPROSHARES TR | $97K |
—PACIFIC COAST OIL TR | $97K |
—POWERSHARES ETF TR II | $97K |
FUSBFIRST US BANCSHARES INC | $97K |
ORMPORAMED PHARM INC | $97K |
—FORESIGHT ENERGY LP | $96K |
—CLAYMORE EXCHANGE TRD FD TR | $96K |
—CONATUS PHARMACEUTICALS INC | $96K |
—NUVEEN NEW JERSEY MUN VALUE | $96K |
WPRTWESTPORT FUEL SYSTEMS INC | $94K |
EVGNEVOGENE LTD | $93K |
—ISHARES TR | $93K |
LTPZPIMCO ETF TR | $93K |
—WISDOMTREE TR | $93K |
ISRAVANECK VECTORS ETF TR | $93K |
TGBTASEKO MINES LTD | $92K |
—CHINA CUST RELATIONS CNTR IN | $92K |
—ETF SER SOLUTIONS | $92K |
SLPSIMULATIONS PLUS INC | $92K |
—ANTHERA PHARMACEUTICALS INC | $92K |
—BIOSTAR PHARMACEUTICALS INC | $92K |
—GLOBALSCAPE INC | $92K |
SSBISUMMIT ST BK SANTA ROSA CALI | $91K |
—CARDIOME PHARMA CORP | $91K |
—CIENA CORP | $91K |
VALUVALUE LINE INC | $91K |
MVVPROSHARES TR | $91K |
—RENEWABLE ENERGY GROUP INC | $90K |
—COMSTOCK RES INC | $89K |
NTIPNETWORK 1 TECHNOLOGIES INC | $89K |
—BLACKROCK NY MUNICIPAL BOND | $89K |
POWRISHARES | $89K |
—BARCLAYS BANK PLC | $89K |
GSEUGOLDMAN SACHS ETF TR | $88K |
LINTA 3.75 02/15/30LIBERTY MEDIA CORP | $88K |
—PROSHARES TR | $88K |
—FXCM INC | $88K |
—ABERDEEN LATIN AMER EQTY FD | $87K |
—STERICYCLE INC | $87K |
CYANCYANOTECH CORP | $87K |
MSBMESABI TR | $86K |
—MRV COMMUNICATIONS INC | $86K |
—POWERSHARES EXCHANGE TRADED | $86K |
—THAI FD INC | $85K |
KBAKRANESHARES TR | $85K |
—ADVANCED ACCELERATOR APPLIC | $84K |
ACIUAC IMMUNE SA | $84K |
—CONNECTURE INC | $84K |
GASSSTEALTHGAS INC | $84K |
—NATIONAL RESH CORP | $83K |
NS9BNETSOL TECHNOLOGIES INC | $82K |
CLMBWAYSIDE TECHNOLOGY GROUP INC | $82K |
FSIFLEXIBLE SOLUTIONS INTL INC | $82K |
BHVBLACKROCK VA MUNICIPAL BOND | $81K |
LXP 6.5 PERP CLEXINGTON REALTY TRUST | $81K |
—VOYA INTL HIGH DIVID EQTY IN | $80K |
GOLGBPGOL LINHAS AEREAS INTLG S A | $80K |
—WEB COM GROUP INC | $80K |
—STONEGATE MTG CORP | $80K |
—MARATHON PATENT GROUP INC | $80K |
—ZWEIG FD | $79K |
APTALPHA PRO TECH LTD | $79K |
—DIREXION SHS ETF TR | $79K |
HLX 3.25 03/15/32HELIX ENERGY SOLUTIONS GRP I | $78K |
ASMBASSEMBLY BIOSCIENCES INC | $78K |
—KOSMOS ENERGY LTD | $77K |
LSBKLAKE SHORE BANCORP INC | $77K |
CRSPCRISPR THERAPEUTICS AG | $77K |
BRFVANECK VECTORS ETF TR | $76K |
—MORGAN STANLEY | $76K |
—WELLTOWER INC | $75K |
—BARCLAYS BK PLC | $75K |
SVXSERVOTRONICS INC | $75K |
CIXCOMPX INTERNATIONAL INC | $75K |
—BIOAMBER INC | $75K |
—ADAMIS PHARMACEUTICALS CORP | $75K |
—CLAYMORE EXCHANGE TRD FD TR | $75K |
CLROCLEARONE INC | $74K |
—DEPOMED INC | $74K |
BLDPBALLARD PWR SYS INC NEW | $74K |
—ACORN INTL INC | $74K |
UWMPROSHARES TR | $74K |
—CITIGROUP INC NEW | $74K |
YINNEURDIREXION SHS ETF TR | $73K |
—GRIFFIN INL RLTY INC | $72K |
SCHRSCHWAB STRATEGIC TR | $72K |
—EMERGENT CAP INC | $71K |
—PRICELINE GRP INC | $71K |
—ARES CAP CORP | $71K |
—OLD REP INTL CORP | $71K |