Name Net reduced
positions
Reduced positions Increased positions Return since
31 Dec ‘14
376
6 37 31 29.7%
377
5 72 67 4.51%
378
5 41 36 162%
NMR icon
379
Nomura Holdings
NMR
$27.3B
5 31 26 63.8%
380
5 128 123 350%
381
5 35 30 0.05%
382
5 193 188 11.9%
383
5 87 82 197%
384
5 81 76 37.9%
385
5 21 16 378%
SF icon
386
Stifel
SF
$13.2B
5 83 78 281%
387
5 31 26 310%
388
4 36 32 43.4%
389
4 104 100 177%
390
4 170 166 84.3%
391
4 102 98 95.8%
392
4 105 101 7.95%
393
4 13 9 6.64%
394
4 285 281 60.9%
395
4 61 57 293%
396
4 119 115 579%
397
4 88 84 12.1%
398
4 63 59 835%
399
4 155 151 79.7%
400
4 115 111 419%