Name Net new
positions
New positions Closed positions Return since
31 Mar ‘21
976
2 4 2 3.91%
977
2 6 4 94.4%
978
2 3 1 17.2%
QLV icon
979
FlexShares US Quality Low Volatility Index Fund
QLV
$142M
2 5 3 54%
980
2 5 3 57.1%
981
2 3 1 4.23%
982
2 2 0 6.46%
983
2 5 3 100%
984
2 5 3 47.8%
985
2 5 3 21.7%
AGIG
986
Abundia Global Impact Group
AGIG
$106M
2 5 3 85.8%
987
2 3 1 53.7%
988
2 3 1 70.1%
989
2 2 0 56%
990
2 4 2 6.85%
991
2 4 2 99.4%
992
2 3 1 2.88%
993
2 6 4 66.6%
994
2 3 1
995
2 4 2 11%
996
2 2 0 32.8%
997
2 3 1 88.5%
998
2 4 2 56.9%
999
2 3 1 6.82%
1000
2 3 1 8.42%