Name Net increased
positions
Increased positions Reduced positions Return since
31 Mar ‘21
76
109 517 408 34.1%
77
109 333 224 37.7%
78
108 296 188 11.4%
GM icon
79
General Motors
GM
$55.6B
107 464 357 1.6%
80
106 271 165 251%
81
106 440 334 13.1%
82
104 476 372 52.5%
83
103 697 594 33.2%
84
102 419 317 10.5%
85
102 493 391 37.5%
SPYV icon
86
SPDR Portfolio S&P 500 Value ETF
SPYV
$28.7B
101 207 106 45.7%
87
100 259 159 41.9%
88
99 254 155 54.4%
89
98 736 638 13.7%
90
97 225 128 59.9%
91
97 130 33 59.9%
92
96 583 487 0.75%
93
96 234 138 109%
94
95 312 217 12.1%
95
94 541 447 65.8%
96
94 428 334 17.1%
97
93 557 464 27%
98
92 379 287 22.2%
99
92 655 563 117%
100
91 142 51 2.15%