Name Net reduced
positions
Reduced positions Increased positions Return since
30 Jun ‘20
51
127 354 227 0.89%
52
126 416 290 54.1%
53
126 378 252 57.3%
IVV icon
54
iShares Core S&P 500 ETF
IVV
$726B
126 833 707 121%
55
125 262 137 46.8%
56
124 440 316 197%
57
123 237 114 72.8%
58
123 790 667 36.4%
59
122 217 95 60.9%
60
120 499 379 38.9%
GLW icon
61
Corning
GLW
$71.7B
117 385 268 223%
62
114 420 306 187%
63
112 630 518 354%
64
111 289 178 165%
65
109 446 337 117%
66
108 315 207 51.1%
67
108 315 207 372%
68
108 211 103 97.8%
69
107 206 99 216%
70
106 488 382 82.4%
71
105 333 228 5.82%
72
103 1,044 941 67.6%
73
103 301 198 26.3%
74
103 369 266 188%
75
102 232 130 84.1%