Name Net reduced
positions
Reduced positions Increased positions Return since
31 Mar ‘20
801
0 2 2 121%
802
0 1 1 128%
803
0 15 15 78.1%
QLV icon
804
FlexShares US Quality Low Volatility Index Fund
QLV
$156M
0 1 1 111%
805
0 1 1 85.2%
806
0 4 4 113%
807
0 27 27 68.6%
808
0 2 2 46.3%
809
0 2 2 18.5%
810
0 7 7 110%
SOCL icon
811
Global X Social Media ETF
SOCL
$141M
0 10 10 90.6%
812
0 3 3 55.2%
813
0 3 3 63.9%
814
0 1 1 94.8%
815
0 2 2 165%
816
0 1 1 98.9%
817
0 2 2 48.7%
818
0 1 1 61.7%
819
0 2 2 63.2%
820
0 4 4 6.71%
821
0 1 1 16.2%
822
0 2 2 57.6%
823
0 1 1 11.3%
824
0 4 4 38.2%
825
0 1 1 66.8%