Name Net reduced
positions
Reduced positions Increased positions Return since
30 Sep ‘15
101
12 35 23 86.8%
102
12 17 5 2.91%
103
12 44 32 53.9%
SPLV icon
104
Invesco S&P 500 Low Volatility ETF
SPLV
$8.17B
12 81 69 112%
105
12 57 45 462%
106
12 152 140 105%
107
12 88 76 371%
108
12 87 75 82.7%
109
12 87 75 37.7%
110
12 42 30 48.8%
AIA icon
111
iShares Asia 50 ETF
AIA
$2.9B
11 15 4 157%
112
11 86 75 340%
113
11 117 106 59.1%
114
11 44 33 172%
115
11 82 71 625%
116
11 35 24 11.1%
117
11 71 60 614%
118
11 59 48 699%
119
11 60 49 72.1%
120
11 77 66 313%
121
11 44 33 120%
122
10 72 62 106%
123
10 131 121 18.5%
124
10 30 20 136%
125
10 33 23 624%