Name Net reduced
positions
Reduced positions Increased positions Return since
30 Sep ‘22
2626
1 25 24 5.96%
2627
1 35 34 77.4%
2628
1 9 8 61.1%
QLVE icon
2629
FlexShares Emerging Markets Quality Low Volatility Index Fund
QLVE
$16.1M
1 2 1 55.7%
2630
1 3 2 87.1%
2631
1 15 14 20.3%
2632
1 113 112 113%
2633
1 3 2 57.2%
2634
1 1 0 41.4%
2635
1 13 12 72.8%
SCM icon
2636
Stellus Capital Investment Corp
SCM
$304M
1 14 13 11.4%
2637
1 9 8 51.3%
2638
1 6 5 0.3%
2639
1 4 3 52.2%
2640
1 60 59 13.7%
2641
1 35 34 362%
2642
1 4 3 149%
2643
1 21 20 6.24%
2644
1 5 4 98.9%
2645
1 4 3 141%
2646
1 4 3 9.08%
2647
1 1 0 99.2%
2648
1 127 126 0.75%
2649
1 1 0 68.9%
2650
1 42 41 284%