Name Net increased
positions
Increased positions Reduced positions Return since
30 Jun ‘25
376
6 7 1 64.6%
377
6 16 10 4.43%
378
6 15 9 6.28%
OPAL icon
379
OPAL Fuels
OPAL
$65.8M
6 14 8 6.2%
380
6 7 1 82.8%
381
6 7 1 38.5%
382
6 8 2 16.5%
383
6 10 4 44.8%
384
6 8 2 28.6%
385
6 38 32 18.7%
MBSD icon
386
FlexShares Disciplined Duration MBS Index Fund
MBSD
$93.2M
6 15 9 1.21%
387
6 7 1 11.3%
388
6 11 5 14.6%
389
6 6 0 26.5%
390
6 18 12 13.1%
391
6 24 18 3.98%
392
6 12 6 16.7%
393
6 17 11 0.4%
394
6 9 3 1.39%
395
6 17 11 41.7%
396
6 6 0 7.16%
397
6 24 18 16.8%
398
6 12 6 82.7%
399
6 22 16 67.4%
400
6 11 5 0.56%