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MACGX

Morgan Stanley Inst Discovery Portfolio;A
1W: -1.7% 1M: +1.2% 3M: -2.1% YTD: +1.8% 1Y: -7.6% 3Y: +108.6% 5Y: -25.7%
$17.06
+0.02 (+0.12%)
 
Weekly Expected Move ±3.2%
$16 $16 $17 $18 $18
ETF NASDAQ · AUM $1.2B
Total Changes (90d)
0
New Holdings
0
Removed Holdings
0
32 changes · Page 1 of 1
Date Holding Name Ticker Change Type Old Value New Value
2026-02-28 CVNA CVNA New — 84725 shares
2026-02-28 MDB MDB New — 146807 shares
2026-02-28 ARGX ARGX New — 4398 shares
2026-02-28 CNM CNM New — 911698 shares
2026-02-28 ALNY ALNY New — 8871 shares
2026-02-28 SYM SYM New — 211243 shares
2026-02-28 GLBE GLBE New — 518575 shares
2026-02-28 AFRM AFRM New — 1105168 shares
2026-02-28 ROIVW ROIVW New — 2436048 shares
2026-02-28 PROK PROK New — 733305 shares
2026-02-28 OPEN OPEN New — 728590 shares
2026-02-28 IOT IOT New — 494478 shares
2026-02-28 IONQ IONQ New — 1484101 shares
2026-02-28 AGL AGL New — 6777455 shares
2026-02-28 FNMFO FNMFO New — 2480167 shares
2026-02-28 QXO QXO New — 3558279 shares
2026-02-28 CRCL CRCL New — 24500 shares
2026-02-28 BMNR BMNR New — 469627 shares
2026-02-28 RPRX RPRX New — 1593877 shares
2026-02-28 RBLX RBLX New — 671207 shares
2026-02-28 ODD ODD New — 776195 shares
2026-02-28 STRD STRD New — 135348 shares
2026-02-28 CELH CELH New — 143196 shares
2026-02-28 NET NET New — 757487 shares
2026-02-28 TTD TTD New — 695747 shares
2026-02-28 FIG FIG New — 443966 shares
2026-02-28 FND FND New — 547449 shares
2026-02-28 HQY HQY New — 69228 shares
2026-02-28 LB LB New — 431539 shares
2026-02-28 AUR AUR New — 7968400 shares
2026-02-28 IBIT IBIT New — 534999 shares
2026-02-28 MP MP New — 98978 shares

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For informational purposes only. Not investment advice. Data sourced from SEC filings. Privacy Terms