Name Net reduced
positions
Reduced positions Increased positions Return since
31 Mar ‘20
51
131 1,118 987 17.7%
52
130 305 175 174%
53
129 832 703 234%
BMY icon
54
Bristol-Myers Squibb
BMY
$114B
128 948 820 0.22%
55
127 501 374 253%
56
125 689 564 188%
57
125 596 471 203%
58
125 392 267 202%
59
125 1,107 982 16.5%
60
124 357 233 169%
GLW icon
61
Corning
GLW
$73.1B
124 394 270 315%
62
124 440 316 160%
63
124 506 382 127%
64
123 354 231 79.8%
65
121 457 336 184%
66
120 733 613 118%
67
119 513 394 26.5%
68
119 766 647 218%
69
117 448 331 131%
70
117 281 164 95.4%
71
116 757 641 32.8%
72
116 601 485 60.7%
73
115 670 555 667%
74
115 301 186 366%
75
113 656 543 125%