Name Net reduced
positions
Reduced positions Increased positions Return since
31 Mar ‘14
276
4 11 7 347%
277
4 50 46 45.7%
278
3 33 30 117%
SPHD icon
279
Invesco S&P 500 High Dividend Low Volatility ETF
SPHD
$3.39B
3 11 8 76.8%
280
3 72 69 73.5%
281
3 40 37 171%
282
3 40 37 577%
283
3 6 3 31.2%
284
3 13 10 66.7%
285
3 32 29 40.6%
CNX icon
286
CNX Resources
CNX
$5.97B
3 127 124 25.9%
287
3 4 1 218%
288
3 94 91 66.5%
289
3 52 49 383%
290
3 62 59 194%
291
3 40 37 171%
292
3 36 33 27.7%
293
3 26 23 249%
294
2 156 154 51.1%
295
2 43 41 225%
296
2 78 76 163%
297
2 55 53 126%
298
2 34 32 267%
299
2 3 1 49.1%
300
2 65 63 55.3%