Name Net reduced
positions
Reduced positions Increased positions Return since
30 Sep ‘14
1401
2 12 10 140%
1402
2 3 1 78.3%
1403
2 4 2 29.1%
SPYM
1404
State Street SPDR Portfolio S&P 500 ETF
SPYM
$128B
2 4 2 244%
1405
2 28 26 1%
1406
2 94 92 188%
1407
2 70 68 81.4%
1408
2 17 15 1,818%
1409
2 12 10 97.2%
1410
2 7 5 27.4%
USL icon
1411
United States 12 Month Oil Fund,
USL
$61.2M
2 7 5 17%
1412
2 2 0 28.5%
1413
2 3 1 305%
1414
1 29 28 69.3%
1415
1 1 0 100%
1416
1 2 1 9.52%
1417
1 4 3 205%
1418
1 14 13 166%
1419
1 42 41 45.7%
1420
1 10 9 99.2%
1421
1 5 4 65.3%
1422
1 7 6 14.8%
1423
1 32 31 339%
1424
1 39 38 15.3%
1425
1 16 15 23.6%