Name Net increased
positions
Increased positions Reduced positions Return since
30 Sep ‘22
1276
0 6 6 33.7%
1277
0 14 14 68.3%
1278
0 8 8 307%
VALQ icon
1279
American Century US Quality Value ETF
VALQ
$304M
0 9 9 61.9%
1280
0 14 14 75.2%
1281
0 15 15 4.7%
1282
0 12 12 7.94%
1283
0 12 12 38.8%
1284
0 21 21 68.9%
1285
0 95 95 10.3%
BTAL icon
1286
AGF US Market Neutral Anti-Beta Fund
BTAL
$390M
0 17 17 30.1%
1287
0 25 25 84.8%
1288
0 23 23 229%
1289
0 1 1 9.03%
1290
0 15 15 58.3%
1291
0 6 6 1,467%
1292
0 5 5 597%
1293
0 56 56 1.09%
1294
0 28 28 7.46%
1295
0 4 4 219%
1296
0 9 9 330%
1297
0 6 6 512%
1298
0 2 2 1,165%
1299
0 87 87 7.53%
1300
0 8 8 46.1%