Name Net reduced
positions
Reduced positions Increased positions Return since
30 Jun ‘22
26
120 251 131 36.1%
27
120 329 209 1.55%
28
117 197 80 24.7%
USMV icon
29
iShares MSCI USA Min Vol Factor ETF
USMV
$23B
117 487 370 35.2%
30
113 245 132 6.62%
31
113 534 421 78.8%
32
112 332 220 47.6%
33
112 204 92 110%
34
109 191 82 127%
35
108 535 427 35.3%
XLY icon
36
Consumer Discretionary Select Sector SPDR Fund
XLY
$23.3B
107 394 287 70.9%
37
106 240 134 21.8%
38
106 347 241 9.97%
39
104 253 149 147%
40
104 533 429 0.48%
41
103 485 382 52.4%
42
103 555 452 31.7%
43
100 1,061 961 36%
44
100 405 305 74.9%
45
99 447 348 54.3%
46
98 468 370 171%
47
98 452 354 97.1%
48
96 484 388 104%
49
96 175 79 3.44%
50
96 177 81 34.9%