Name Net increased
positions
Increased positions Reduced positions Return since
30 Jun ‘22
326
48 211 163 11.5%
327
48 96 48 2.4%
328
48 69 21 11.1%
BRO icon
329
Brown & Brown
BRO
$24.2B
48 225 177 22.1%
330
48 119 71 114%
331
48 140 92 23.7%
332
47 274 227 35.5%
333
47 852 805 8.11%
334
47 241 194 31.7%
335
47 808 761 38.4%
SPLV icon
336
Invesco S&P 500 Low Volatility ETF
SPLV
$8.03B
47 254 207 23.8%
337
47 376 329 58.6%
338
47 225 178 13.8%
339
47 189 142 35.7%
340
47 450 403 134%
341
47 99 52 2.58%
342
47 116 69 62.3%
343
47 215 168 31.3%
344
47 81 34 70.8%
345
46 157 111 28.9%
346
46 69 23 45.3%
347
46 147 101 70.5%
348
46 91 45 25.3%
349
46 108 62 38.9%
350
46 168 122 617%