Name Net reduced
positions
Reduced positions Increased positions Return since
31 Mar ‘24
201
9 26 17 16.3%
202
9 12 3 23.5%
203
9 18 9 20.8%
ESG icon
204
FlexShares STOXX US ESG Select Index Fund
ESG
$127M
9 15 6 29.4%
205
9 21 12 19%
206
9 13 4 24.3%
207
9 17 8 13.7%
208
9 12 3 14%
209
8 45 37 81.7%
210
8 29 21 0.49%
CHIQ icon
211
Global X MSCI China Consumer Discretionary ETF
CHIQ
$152M
8 13 5 16.6%
212
8 47 39 48.7%
213
8 15 7 3.81%
214
8 16 8 49%
215
8 18 10 193%
216
8 20 12 17.9%
217
8 10 2 111%
218
8 13 5 25.2%
219
8 41 33 47.6%
220
8 14 6 46%
221
8 15 7 72.9%
222
8 37 29 20.4%
223
8 43 35 62.7%
224
8 9 1 72.1%
225
8 11 3 98.5%