Name Net reduced
positions
Reduced positions Increased positions Return since
30 Sep ‘14
851
8 83 75 89.3%
852
7 69 62 325%
853
7 102 95 136%
AXON icon
854
Axon Enterprise
AXON
$42.4B
7 56 49 3,360%
855
7 24 17 0.11%
856
7 81 74 57.4%
857
7 32 25 166%
858
7 23 16 19.1%
859
7 12 5 37.2%
860
7 37 30 94.6%
EWM icon
861
iShares MSCI Malaysia ETF
EWM
$369M
7 33 26 52.7%
862
7 12 5 12.5%
863
7 27 20 68.5%
864
7 42 35 61.9%
865
7 30 23 324%
866
7 129 122 74%
867
7 90 83 46.5%
868
7 9 2 3,955%
869
7 71 64 623%
870
7 38 31 96.1%
871
7 78 71 91.2%
872
7 69 62 1,909%
873
7 22 15 67.2%
874
7 588 581 299%
875
7 57 50 0.77%