Name Net reduced
positions
Reduced positions Increased positions Return since
30 Jun ‘20
51
127 834 707 120%
52
126 416 290 99.1%
53
126 354 228 9.71%
SPLV icon
54
Invesco S&P 500 Low Volatility ETF
SPLV
$7.29B
125 262 137 49.3%
55
125 441 316 306%
56
124 378 254 81.9%
57
123 237 114 88.1%
58
122 790 668 48.2%
59
122 217 95 73%
60
121 500 379 33.2%
GLW icon
61
Corning
GLW
$147B
116 385 269 561%
62
113 420 307 256%
63
111 630 519 525%
64
110 289 179 139%
65
109 446 337 99.5%
66
109 316 207 76.2%
67
109 316 207 423%
68
108 211 103 107%
69
107 206 99 219%
70
106 488 382 110%
71
104 1,045 941 111%
72
104 302 198 12.2%
73
104 333 229 4.03%
74
103 369 266 202%
75
102 191 89 28.1%