Name Net reduced
positions
Reduced positions Increased positions Return since
30 Jun ‘16
1
32 78 46 71%
2
25 94 69 90.4%
3
24 38 14 22.8%
SRI icon
4
Stoneridge
SRI
$195M
23 59 36 53.5%
5
20 46 26 75.5%
6
19 33 14 12%
7
19 28 9 182%
8
18 32 14 6.23%
9
16 50 34 94.6%
10
16 35 19 86.2%
PSL icon
11
Invesco Dorsey Wright Consumer Staples Momentum ETF
PSL
$96.2M
16 28 12 89.3%
12
15 18 3 45.8%
13
15 44 29 77.8%
14
14 26 12 143%
15
14 26 12 99.3%
16
14 34 20 35.7%
17
14 68 54 86.7%
18
14 17 3 169%
19
13 20 7 4.14%
20
13 55 42 70.7%
21
13 43 30 30.4%
22
13 30 17 98.3%
23
12 46 34 97.8%
24
11 24 13 35.9%
25
11 16 5 174%