Name Net increased
positions
Increased positions Reduced positions Return since
30 Jun ‘20
201
6 36 30 86.2%
202
6 48 42 22.7%
203
6 31 25 7.96%
QLV icon
204
FlexShares US Quality Low Volatility Index Fund
QLV
$144M
6 6 0 83.5%
205
6 9 3 21.9%
206
6 9 3 218%
207
6 21 15 82.3%
208
6 8 2 11.9%
209
6 8 2 11.2%
210
6 20 14 91.3%
MHF
211
Western Asset Municipal High Income Fund
MHF
$154M
6 14 8 2.39%
212
6 18 12 88.2%
213
6 6 0 97.2%
214
6 13 7 78.2%
215
6 48 42 64.8%
216
6 19 13 16.2%
217
6 16 10 51.8%
218
6 8 2 68.6%
219
6 10 4 38.5%
220
6 17 11 16.7%
221
5 18 13 30%
222
5 5 0 28.2%
223
5 36 31 18.2%
224
5 11 6 16.2%
225
5 6 1 174%