Name Net reduced
positions
Reduced positions Increased positions Return since
31 Dec ‘22
401
7 125 118 20.3%
402
7 81 74 149%
403
7 26 19 753%
SLQD icon
404
iShares 0-5 Year Investment Grade Corporate Bond ETF
SLQD
$2.35B
7 88 81 6.1%
405
7 22 15 316%
406
7 30 23 6.8%
407
7 57 50 326%
408
7 78 71 52.5%
409
7 64 57 873%
410
7 55 48 237%
VOYA icon
411
Voya Financial
VOYA
$7.36B
7 142 135 25.8%
412
7 79 72 125%
413
7 66 59 6.48%
414
7 14 7 88.8%
415
7 37 30 208%
416
7 47 40 178%
417
7 88 81 42.3%
418
7 113 106 30.9%
419
6 97 91 84%
420
6 7 1 829%
421
6 91 85 205%
422
6 10 4 1,898%
423
6 79 73 10.4%
424
6 127 121 27.1%
425
6 45 39 32.1%