Name Net new
positions
New positions Closed positions Return since
31 Dec ‘22
701
3 7 4 62.3%
702
3 7 4 5.6%
703
3 6 3 51.1%
QLV icon
704
FlexShares US Quality Low Volatility Index Fund
QLV
$183M
3 7 4 47.3%
705
3 5 2 72.9%
706
3 5 2 73.2%
707
3 6 3 99.3%
708
3 7 4 100%
709
3 9 6 73.2%
710
3 4 1 82.7%
INCO icon
711
Columbia India Consumer ETF
INCO
$239M
3 4 1 31.6%
712
3 7 4 89.7%
713
3 5 2 81.7%
714
3 5 2 20.5%
715
3 7 4 99.4%
716
3 3 0 78%
717
3 10 7 99.8%
718
3 8 5 163%
719
3 5 2 154%
720
3 5 2 22.8%
721
3 3 0 179%
722
3 5 2 35.5%
723
3 3 0 110%
724
3 6 3 11.8%
725
3 7 4 67.9%