MORGAN STANLEY EMERGING MARKETS DEBT FUND INC - Common (MSD)

CUSIP: 61744H105

Q1 2020 13F Holders as of 31 Mar 2020

Type / Class
Equity / Common
Shares outstanding
20,231,263
Total 13F shares
5,850,471
Share change
+490,177
Total reported value
$150,417,939
Price per share
$7.65
Number of holders
49
Value change
+$3,033,885
Number of buys
31
Number of sells
19

Quarterly Holders Quick Answers

What is CUSIP 61744H105?
CUSIP 61744H105 identifies MSD - MORGAN STANLEY EMERGING MARKETS DEBT FUND INC - Common in SEC institutional holdings data.

Need full ownership history?
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Top shareholders of MSD - MORGAN STANLEY EMERGING MARKETS DEBT FUND INC - Common (13F + 13D/G + 3/4/5)

Grouped by holder across the latest SEC ownership disclosures. Ownership % is shown only when it is directly reported or safely comparable across share classes.

Methodology: rows are grouped by holder and ranked by the holder's primary source value. indicates unavailable or non-comparable values; "mixed-class rows" means the latest filing spans non-comparable classes.
Holder Source Role / Reporting Ownership % Shares Holdings Value 12M Net Δ As of Details
WELLS FARGO & COMPANY/MN
13F
Company
7.4%
1,491,875
$14,442,000 31 Dec 2019
13F
Invesco Ltd.
13F
Company
2.9%
586,575
$5,678,000 31 Dec 2019
13F
PARAMETRIC PORTFOLIO ASSOCIATES LLC
13F
Company
2.2%
449,733
$4,353,000 31 Dec 2019
13F
BOOTHBAY FUND MANAGEMENT, LLC
13F
Company
2%
400,000
$3,872,000 31 Dec 2019
13F
LPL Financial LLC
13F
Company
1.5%
310,131
$3,002,000 31 Dec 2019
13F
RIVERNORTH CAPITAL MANAGEMENT, LLC
13F
Company
1.2%
234,044
$2,266,000 31 Dec 2019
13F
STIFEL FINANCIAL CORP
13F
Company
1.1%
226,620
$2,193,000 31 Dec 2019
13F
ROYAL BANK OF CANADA
13F
Company
1.1%
218,155
$2,112,000 31 Dec 2019
13F
Saba Capital Management, L.P.
13F
Company
1%
201,982
$1,955,000 31 Dec 2019
13F
Advisor Group, Inc.
13F
Company
0.9%
182,812
$1,771,000 31 Dec 2019
13F
Quad-Cities Investment Group, LLC
13F
Company
0.68%
138,573
$1,341,000 31 Dec 2019
13F
Cetera Advisor Networks LLC
13F
Company
0.47%
94,365
$932,000 31 Dec 2019
13F
Advisors Asset Management, Inc.
13F
Company
0.43%
86,954
$842,000 31 Dec 2019
13F
AMERIPRISE FINANCIAL INC
13F
Company
0.39%
79,334
$769,000 31 Dec 2019
13F
IHT Wealth Management, LLC
13F
Company
0.37%
74,890
$725,000 31 Dec 2019
13F
BANK OF AMERICA CORP /DE/
13F
Company
0.33%
66,133
$640,000 31 Dec 2019
13F
MORGAN STANLEY
13F
Company
0.26%
51,693
$500,000 31 Dec 2019
13F
Greytown Advisors Inc.
13F
Company
0.25%
50,924
$500,000 31 Dec 2019
13F
9258 Wealth Management, LLC
13F
Company
0.18%
37,095
$359,000 31 Dec 2019
13F
GUGGENHEIM CAPITAL LLC
13F
Company
0.15%
30,944
$300,000 31 Dec 2019
13F
WESCAP Management Group, Inc.
13F
Company
0.15%
29,528
$285,000 31 Dec 2019
13F
CONCOURSE FINANCIAL GROUP SECURITIES, INC.
13F
Company
0.13%
25,755
$253,000 31 Dec 2019
13F
Raymond James Financial Services Advisors, Inc.
13F
Company
0.13%
25,940
$251,000 31 Dec 2019
13F
Walleye Capital LLC
13F
Company
0.12%
25,052
$242,000 31 Dec 2019
13F
FNY Investment Advisers, LLC
13F
Company
0.11%
22,289
$215,000 31 Dec 2019
13F
Walleye Trading LLC
13F
Company
0.11%
22,000
$213,000 31 Dec 2019
13F
UBS Group AG
13F
Company
0.11%
21,423
$207,000 31 Dec 2019
13F
Independent Advisor Alliance
13F
Company
0.1%
20,053
$194,000 31 Dec 2019
13F
Kelman-Lazarov, Inc.
13F
Company
0.1%
19,586
$190,000 31 Dec 2019
13F
Fiera Capital Corp
13F
Company
0.08%
16,865
$163,000 31 Dec 2019
13F
HighTower Advisors, LLC
13F
Company
0.07%
14,527
$140,000 31 Dec 2019
13F
NWAM LLC
13F
Company
0.07%
13,825
$134,000 31 Dec 2019
13F
SHUFRO ROSE & CO LLC
13F
Company
0.07%
13,450
$130,000 31 Dec 2019
13F
Point View Wealth Management, Inc.
13F
Company
0.06%
13,052
$126,000 31 Dec 2019
13F
MML INVESTORS SERVICES, LLC
13F
Company
0.06%
12,956
$125,000 31 Dec 2019
13F
ROWLAND CARMICHAEL ADVISORS INC /ADV
13F
Company
0.06%
11,200
$108,000 31 Dec 2019
13F
Samalin Investment Counsel, LLC
13F
Company
0.05%
10,371
$100,000 31 Dec 2019
13F
Capital Investment Advisors, LLC
13F
Company
0.05%
10,365
$100,000 31 Dec 2019
13F
NEXT Financial Group, Inc
13F
Company
0.04%
7,247
$70,000 31 Dec 2019
13F
Realta Investment Advisors
13F
Company
0.03%
5,467
$53,000 31 Dec 2019
13F
LADENBURG THALMANN FINANCIAL SERVICES INC.
13F
Company
0.02%
4,889
$47,000 31 Dec 2019
13F
Federation Des Caisses Desjardins du Quebec
13F
Individual
0.02%
4,855
$46,996 31 Dec 2019
13F
FSA Wealth Management LLC
13F
Company
0.02%
4,339
$42,000 31 Dec 2019
13F
American Portfolios Advisors
13F
Company
0.01%
1,150
$11,132 31 Dec 2019
13F
Capital Analysts, LLC
13F
Company
0%
710
$7,000 31 Dec 2019
13F
REILLY FINANCIAL ADVISORS, LLC
13F
Company
0%
340
$3,000 31 Dec 2019
13F
Rockefeller Capital Management L.P.
13F
Company
0%
166
$2,000 31 Dec 2019
13F
Wealth Quarterback LLC
13F
Company
0%
105
$1,016 31 Dec 2019
13F
Sowell Financial Services LLC
13F
Company
0%
111
$1,000 31 Dec 2019
13F
Steward Partners Investment Advisory, LLC
13F
Company
0%
108
$1,000 31 Dec 2019
13F

Institutional Holders of MORGAN STANLEY EMERGING MARKETS DEBT FUND INC - Common (MSD) as of Q1 2020

As of 31 Mar 2020, MORGAN STANLEY EMERGING MARKETS DEBT FUND INC - Common (MSD) was held by 49 institutional shareholders that filed Form 13F with the SEC. Together, they reported ownership of 5,850,471 shares. The largest 10 holders included WELLS FARGO & COMPANY/MN, Parametric Portfolio Associates LLC, Invesco Ltd., BOOTHBAY FUND MANAGEMENT, LLC, LPL Financial LLC, STIFEL FINANCIAL CORP, ROYAL BANK OF CANADA, Saba Capital Management, L.P., Advisor Group Holdings, Inc., and WESCAP Management Group, Inc.. This page lists 49 institutional shareholders reporting positions in this security for the Q1 2020 filing period.
Investor Option Weight % Change % Value $ * Price Shares Share Change Activity Report Period

Compare Q1 2020 vs Q4 2019 Across Filers

Q4 2019 holders
49
Q1 2020 holders
49
Holder diff
0
Investor Q4 2019 Shares Q1 2020 Shares Share Diff Share Chg % Q4 2019 Value $ Q1 2020 Value $ Value Diff $ Value Chg %

Trend: ostatnie 8 kwartałów (+ wybrane okresy porównania).

Quarterly Holders Trend
Quarterly Value Trend
Quarterly Shares Trend
* Reported Price is the price of the security as of the portfolio date. This value is significant in that it is the last known price at which the security was still held.
An asterisk sign (*) next to the price indicates that the price is likely invalid.
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