Name Net increased
positions
Increased positions Reduced positions Return since
31 Dec ‘20
2226
3 9 6 68.6%
2227
3 4 1 25%
2228
3 52 49 93.1%
QLVD icon
2229
FlexShares Developed Markets ex-US Quality Low Volatility Index Fund
QLVD
$60M
3 4 1 15.9%
2230
3 4 1 99%
2231
3 4 1 88.6%
2232
3 13 10 25.3%
2233
3 7 4 21.9%
2234
3 11 8 36.5%
2235
3 12 9 52.7%
PCYO icon
2236
Pure Cycle
PCYO
$265M
3 28 25 1.96%
2237
3 8 5 14.8%
2238
3 12 9 91.4%
2239
3 68 65 14.5%
2240
3 12 9 28.2%
2241
3 8 5 20.4%
2242
3 9 6 339%
2243
3 39 36 17.1%
2244
3 36 33 91.7%
2245
3 5 2 99.9%
2246
2 4 2 34.5%
2247
2 118 116 73.2%
2248
2 16 14 13.5%
2249
2 33 31 9.48%
2250
2 2 0 10.4%