Name Net reduced
positions
Reduced positions Increased positions Return since
31 Mar ‘24
176
9 21 12 6.53%
177
9 19 10 16.1%
178
9 16 7 66%
PAVM icon
179
PAVmed
PAVM
$10.5M
9 12 3 77.6%
180
9 22 13 17.1%
181
9 13 4 110%
182
9 27 18 56.5%
183
9 12 3 18.3%
184
9 17 8 73.4%
185
9 29 20 12.6%
ESG icon
186
FlexShares STOXX US ESG Select Index Fund
ESG
$132M
9 15 6 22.9%
187
9 38 29 21.3%
188
9 25 16 11.8%
189
9 16 7 15.7%
190
9 17 8 20.9%
191
9 25 16 12.6%
192
9 12 3 64.1%
193
9 15 6 40.1%
194
9 43 34 82.3%
195
9 34 25 36.5%
196
9 80 71 52.2%
197
9 25 16 60.3%
198
9 20 11 21.4%
199
9 14 5 1.24%
200
9 19 10 0.99%