Name Net reduced
positions
Reduced positions Increased positions Return since
31 Dec ‘23
976
1 47 46 14.5%
977
1 39 38 285%
978
1 70 69 25.5%
SCVL icon
979
Shoe Carnival
SCVL
$541M
1 53 52 34.5%
980
1 27 26 35.3%
981
1 15 14 45%
982
1 41 40 1.81%
983
1 8 7 139%
984
1 12 11 30.1%
985
1 20 19 117%
TLTD icon
986
FlexShares Morningstar Developed Markets ex-US Factor Tilt Index Fund
TLTD
$570M
1 21 20 30.4%
987
1 12 11 41.1%
988
1 15 14 23.6%
989
1 18 17 17.9%
990
1 50 49 160%
991
1 2 1 224%
992
1 2 1 2.6%
993
1 26 25 29.9%
994
1 4 3 256%
995
1 7 6 48.5%
996
1 9 8 1,121%
997
1 3 2 53.3%
998
1 2 1 1.71%
999
1 4 3 29.4%
1000
1 3 2 35.9%