Name Net increased
positions
Increased positions Reduced positions Return since
30 Jun ‘17
926
1 29 28 6.98%
927
1 21 20 40.9%
928
1 4 3 0.67%
SPLB icon
929
SPDR Portfolio Long Term Corporate Bond ETF
SPLB
$919M
1 14 13 15.9%
930
1 1 0 38.7%
931
1 7 6 541%
932
1 31 30 67.4%
933
1 48 47 177%
934
1 32 31 12%
935
1 32 31 49%
PVLA
936
Palvella Therapeutics
PVLA
$809M
1 9 8 81.9%
937
1 4 3 50.8%
938
1 3 2 14.1%
939
1 41 40 22%
940
1 42 41 27.6%
941
1 41 40 21.2%
942
1 51 50 4.81%
943
1 2 1 73%
944
1 13 12 270%
945
1 63 62 22.5%
946
1 1 0 4.17%
947
1 18 17 54.7%
948
1 55 54 146%
949
1 43 42 99.1%
950
1 27 26 212%