Name Net increased
positions
Increased positions Reduced positions Return since
30 Jun ‘22
126
78 336 258 51%
127
77 344 267 1.32%
128
77 294 217 69.8%
CG icon
129
Carlyle Group
CG
$23.7B
76 203 127 107%
130
75 502 427 154%
131
75 414 339 58.1%
132
74 276 202 83.5%
133
74 231 157 54.1%
134
73 258 185 54.7%
135
73 142 69 15.1%
SCHX icon
136
Schwab US Large- Cap ETF
SCHX
$64.4B
73 411 338 83.5%
137
72 207 135 77.4%
138
72 294 222 39.8%
139
71 250 179 42.7%
140
70 111 41 80.7%
141
70 471 401 16.7%
142
70 522 452 85%
143
68 249 181 32.5%
144
67 222 155 34.1%
145
66 88 22 87.6%
146
66 209 143 0.19%
147
66 113 47 122%
148
65 87 22 76.8%
149
65 273 208 43.1%
150
64 94 30 0.18%