Name Net reduced
positions
Reduced positions Increased positions Return since
30 Sep ‘22
801
1 2 1 27.8%
802
1 2 1 96.6%
803
1 4 3 74.4%
OPBK icon
804
OP Bancorp
OPBK
$195M
1 19 18 18.1%
805
1 2 1 4.8%
806
1 10 9 68.6%
807
1 9 8 13.9%
808
1 4 3 65%
809
1 3 2 50.5%
810
1 2 1 58%
QLV icon
811
FlexShares US Quality Low Volatility Index Fund
QLV
$149M
1 9 8 60.1%
812
1 2 1 44.6%
813
1 3 2 86.3%
814
1 3 2 60.9%
815
1 1 0 37.9%
816
1 13 12 65.5%
817
1 9 8 65.3%
818
1 6 5 0.17%
819
1 4 3 49.1%
820
1 5 4 98.9%
821
1 4 3 134%
822
1 4 3 6.51%
823
1 1 0 99.1%
824
1 1 0 69%
825
1 20 19 90.5%