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Name Net reduced
positions
Reduced positions Increased positions Return since
31 Mar ‘26
BMGL
1901
Basel Medical
BMGL
$8.8M
0 1 1 20.6%
JBDI
1902
JBDI Holdings
JBDI
$12.3M
0 1 1 10.3%
ULBI icon
1903
Ultralife
ULBI
$86.4M
0 15 15 20.4%
SAA icon
1904
ProShares Ulta SmallCap600
SAA
$29.1M
0 2 2 34.2%
ULE icon
1905
ProShares Ultra Euro
ULE
$4.4M
0 1 1 1.18%
SETH icon
1906
ProShares Short Ether Strategy ETF
SETH
$15.6M
0 1 1 4.7%
TRND icon
1907
Pacer Trendpilot Fund of Funds ETF
TRND
$61.9M
0 6 6 10.3%
SMSI icon
1908
Smith Micro Software
SMSI
$14.5M
0 4 4 28.1%
PLCE icon
1909
Children's Place
PLCE
$54.3M
0 11 11 27.4%
VSDA icon
1910
VictoryShares Dividend Accelerator ETF
VSDA
$246M
0 15 15 8.57%
WAFU icon
1911
Wah Fu Education Group
WAFU
$6.57M
0 2 2 3.87%
MYMG
1912
State Street My2027 Municipal Bond ETF
MYMG
$8.62M
0 2 2 0.4%
BSJW
1913
Invesco BulletShares 2032 High Yield Corporate Bond ETF
BSJW
$45.2M
0 4 4 0.2%
NOEM
1914
CO2 Energy Transition Corp
NOEM
$113M
0 4 4 13.8%
QQXL
1915
ProShares Ultra QQQ Top 30
QQXL
$5.06M
0 1 1 37.8%
TDTH
1916
Trident Digital Tech Holdings Ltd Class B Ordinary Shares
TDTH
$11M
0 3 3 59.4%
CRDU
1917
Tradr 2X Long CRDO Daily ETF
CRDU
$84.7M
0 1 1 229%
BCHT
1918
Birchtech Corp
BCHT
$35.8M
0 1 1 28.4%
AIM
1919
AIM ImmunoTech
AIM
$7.03M
0 2 2 56.6%
NWTG
1920
Newton Golf Co
NWTG
$4.87M
0 2 2 33.3%
XTNT icon
1921
Xtant Medical Holdings
XTNT
$60.3M
0 6 6 23%
CCRP
1922
Columbia Corporate Bond ETF
CCRP
$54.3M
0 1 1 2.17%
WSHP
1923
WeShop Holdings
WSHP
$56.7M
0 1 1 34.5%
ACCL
1924
Acco Group Holdings
ACCL
$31.1M
0 1 1 64%
BWOW
1925
Bitwise Dogecoin ETF
BWOW
$458K
0 1 1 24.2%