Name Net reduced
positions
Reduced positions Increased positions Return since
31 Dec ‘19
26
145 543 398 51.9%
27
142 599 457 89.1%
28
141 341 200 67.6%
GLW icon
29
Corning
GLW
$73.1B
140 419 279 193%
30
138 773 635 26.4%
31
135 474 339 106%
32
134 1,190 1,056 136%
33
132 516 384 47.9%
34
131 669 538 90.5%
35
126 480 354 52.7%
MDY icon
36
SPDR S&P MidCap 400 ETF Trust
MDY
$25.3B
125 349 224 68.2%
37
124 696 572 123%
38
120 457 337 9.14%
39
120 863 743 92.8%
40
119 319 200 188%
41
116 460 344 55.8%
42
114 587 473 18.4%
43
112 444 332 36.4%
44
112 608 496 75.2%
45
108 315 207 33.3%
46
108 395 287 647%
47
107 316 209 60.3%
48
106 391 285 54.4%
49
104 190 86 215%
50
103 359 256 490%