Name Net reduced
positions
Reduced positions Increased positions Return since
30 Sep ‘13
226
2 144 142 82.3%
227
2 59 57 173%
228
2 4 2 77.4%
SPHY icon
229
SPDR Portfolio High Yield Bond ETF
SPHY
$9.19B
2 5 3 6.77%
230
2 47 45 354%
231
2 48 46 895%
232
2 115 113 18.9%
233
2 71 69 22.3%
234
2 76 74 58.2%
235
2 7 5 257%
EMN icon
236
Eastman Chemical
EMN
$6.91B
2 175 173 22.7%
237
2 85 83 173%
238
2 141 139 24.5%
239
2 119 117 70.1%
240
2 78 76 24.3%
241
2 109 107 57.2%
242
2 90 88 31.5%
243
2 56 54 180%
244
2 27 25 109%
245
2 4 2 70.2%
246
2 9 7 236%
247
2 2 0
248
1 14 13 68.7%
249
1 4 3 559%
250
1 2 1 17.9%