CIK 895421
MORGAN STANLEY
Institutional 13F holdings & portfolio
Holdings
8,196
Portfolio Value
$158.38B
Latest Report
Dec 31, 2025
Report Periods
2
Holdings
13F filings as of Dec 31, 2025 · Showing 2951–3000 of 8,196
| Ticker | Company | Shares | Value | Type |
|---|---|---|---|---|
| MUU | DIREXION SHS ETF TR | 6K | $589K | SH |
| CMC | COMMERCIAL METALS CO | 8K | $586K | SH |
| SPXS | DIREXION SHS ETF TR | 16K | $583K | SH |
| BBUC | BROOKFIELD BUSINESS CORP | 16K | $583K | SH |
| SBAC | SBA COMMUNICATIONS CORP NEW | 3K | $582K | SH |
| CIO | CITY OFFICE REIT INC | 83K | $582K | SH |
| TAL | TAL EDUCATION GROUP | 53K | $580K | SH |
| REXR | REXFORD INDL RLTY INC | 15K | $580K | SH |
| — | WEIBO CORP | 500K | $579K | PRN |
| GPMT | GRANITE PT MTG TR INC | 241K | $577K | SH |
| NNOX | NANO X IMAGING LTD | 206K | $577K | SH |
| EPR-PC | EPR PPTYS | 26K | $577K | SH |
| FLCH | FRANKLIN TEMPLETON ETF TR | 24K | $576K | SH |
| TV | GRUPO TELEVISA S A B | 198K | $575K | SH |
| TECL | DIREXION SHS ETF TR | 5K | $575K | SH |
| ADNT | ADIENT PLC | 30K | $574K | SH |
| PLPC | PREFORMED LINE PRODS CO | 3K | $573K | SH |
| — | EVERGY INC | 470K | $572K | PRN |
| WS | WORTHINGTON STL INC | 17K | $572K | SH |
| ESBA | EMPIRE ST RLTY OP L P | 91K | $572K | SH |
| ZEUS | OLYMPIC STEEL INC | 13K | $571K | SH |
| IAC | IAC INC | 15K | $571K | SH |
| GHC | GRAHAM HLDGS CO | 519 | $570K | SH |
| FTPA | PUTNAM ETF TRUST | 66K | $568K | SH |
| IOVA | IOVANCE BIOTHERAPEUTICS INC | 208K | $568K | SH |
| EVO | EVOTEC AG | 184K | $567K | SH |
| FMBH | FIRST MID ILL BANCSHARES INC | 15K | $567K | SH |
| BXC | BLUELINX HLDGS INC | 9K | $565K | SH |
| IMMX | IMMIX BIOPHARMA INC | 108K | $564K | SH |
| SD | SANDRIDGE ENERGY INC | 39K | $562K | SH |
| IESC | IES HLDGS INC | 1K | $561K | SH |
| AMRX | AMNEAL PHARMACEUTICALS INC | 45K | $561K | SH |
| CXH | MFS INVT GRADE MUN TR | 71K | $561K | SH |
| CCSI | CONSENSUS CLOUD SOLUTIONS IN | 26K | $560K | SH |
| ALRS | ALERUS FINL CORP | 25K | $560K | SH |
| PRA | PROASSURANCE CORP | 23K | $560K | SH |
| SCHB | SCHWAB STRATEGIC TR | 21K | $558K | SH |
| HTZ | HERTZ GLOBAL HLDGS INC | 108K | $558K | SH |
| IPGP | IPG PHOTONICS CORP | 8K | $554K | SH |
| RBBN | RIBBON COMMUNICATIONS INC | 192K | $553K | SH |
| PCB | PCB BANCORP | 26K | $553K | SH |
| CTEV | CLARITEV CORPORATION | 13K | $552K | SH |
| VONV | VANGUARD SCOTTSDALE FDS | 6K | $552K | SH |
| POST | POST HLDGS INC | 6K | $552K | SH |
| AOHY | ANGEL OAK FUNDS TRUST | 50K | $551K | SH |
| SY | SO YOUNG INTERNATIONAL INC | 215K | $550K | SH |
| PHI | PLDT INC | 25K | $550K | SH |
| ASLE | AERSALE CORPORATION | 77K | $550K | SH |
| EGP | EASTGROUP PPTYS INC | 3K | $550K | SH |
| PTGX | PROTAGONIST THERAPEUTICS INC | 6K | $550K | SH |