Name Net reduced
positions
Reduced positions Increased positions Return since
31 Dec ‘22
1301
0 2 2 28.8%
1302
0 44 44 98.6%
1303
0 1 1 54.3%
QLV icon
1304
FlexShares US Quality Low Volatility Index Fund
QLV
$144M
0 8 8 44.9%
1305
0 1 1 57.8%
1306
0 3 3 10.5%
1307
0 1 1 99.9%
1308
0 8 8 89.4%
1309
0 4 4 99.8%
1310
0 7 7 61.9%
USEA icon
1311
United Maritime
USEA
$16.7M
0 2 2 58.4%
1312
0 7 7 9.17%
1313
0 3 3 19.8%
1314
0 6 6 121%
1315
0 1 1 88.5%
1316
0 4 4 50.7%
1317
0 8 8 0.88%
1318
0 4 4 98.7%
1319
0 4 4 56.8%
1320
0 6 6 48.2%
1321
0 11 11 36.3%
1322
0 1 1 74.3%
1323
0 1 1 8.29%
1324
0 6 6 89.2%
1325
0 4 4 44%