Name Net reduced
positions
Reduced positions Increased positions Return since
30 Jun ‘22
326
5 32 27 73%
327
4 9 5 78%
328
4 5 1 8.66%
BMVP icon
329
Invesco Bloomberg MVP Multi-factor ETF
BMVP
$104M
4 9 5 65.1%
330
4 7 3 42.2%
331
4 7 3 28.6%
332
4 8 4 46.4%
333
4 9 5 12%
334
4 5 1 1.61%
335
4 73 69 67.8%
DOG
336
ProShares Short Dow30
DOG
$134M
4 12 8 34%
337
4 10 6 10.9%
338
4 9 5 5.08%
339
4 19 15 0.69%
340
4 8 4 51.5%
341
4 9 5 105%
342
4 32 28 95%
343
4 16 12 1.33%
344
4 12 8 87.2%
345
4 5 1 71.2%
346
4 6 2 70.8%
347
4 4 0 56.9%
348
4 17 13 41.1%
349
4 9 5 44%
350
4 6 2 40.4%