Name Net reduced
positions
Reduced positions Increased positions Return since
30 Sep ‘15
201
5 161 156 13%
202
5 29 24 52.7%
203
5 81 76 52.8%
SPHD icon
204
Invesco S&P 500 High Dividend Low Volatility ETF
SPHD
$3.39B
5 21 16 65.5%
205
5 53 48 56.3%
206
4 91 87 17.8%
207
4 19 15 208%
208
4 46 42 385%
209
4 17 13 947%
210
4 37 33 100%
GLNG icon
211
Golar LNG
GLNG
$4.63B
4 77 73 64.1%
212
4 13 9 332%
213
4 107 103 11.8%
214
4 47 43 43.6%
215
4 94 90 102%
216
4 74 70 1.09%
217
4 147 143 76.2%
218
4 63 59 300%
219
4 65 61 560%
220
4 12 8 95.6%
221
4 51 47 12.4%
222
4 45 41 97.2%
223
4 10 6 450%
224
4 6 2 3,799%
225
3 45 42 20.6%