Name Net reduced
positions
Reduced positions Increased positions Return since
30 Jun ‘20
551
3 57 54 314%
552
2 251 249 134%
553
2 31 29 22.6%
CG icon
554
Carlyle Group
CG
$23.7B
2 63 61 135%
555
2 97 95 325%
556
2 2 0
557
2 404 402 84.1%
558
2 225 223 7.01%
559
2 257 255 53.2%
560
2 561 559 211%
VONV icon
561
Vanguard Russell 1000 Value ETF
VONV
$15.1B
2 40 38 94.4%
562
2 36 34 497%
563
1 1 0 10%
564
1 71 70 351%
565
1 1 0 429%
566
1 241 240 22.4%
567
1 203 202 5.47%
568
1 6 5 626%
569
1 45 44 335%
570
1 159 158 0.39%
571
1 4 3 474%
572
1 39 38 44%
573
1 2 1
574
0 3 3
575
0 54 54 182%