Name Net reduced
positions
Reduced positions Increased positions Return since
31 Mar ‘25
1401
6 55 49 57.9%
1402
6 23 17 25.9%
1403
6 22 16 0.78%
EAF icon
1404
GrafTech
EAF
$366M
6 45 39 62%
1405
6 10 4 14.6%
1406
6 9 3 67.8%
1407
6 36 30 21.9%
1408
6 13 7 8.46%
1409
6 54 48 3%
1410
6 28 22 34.8%
ESG icon
1411
FlexShares STOXX US ESG Select Index Fund
ESG
$125M
6 16 10 16.1%
1412
6 78 72 14.6%
1413
6 53 47 10.2%
1414
6 29 23 4.32%
1415
6 76 70 18.7%
1416
6 84 78 26.2%
1417
6 28 22 2.75%
1418
6 16 10 25.9%
1419
6 18 12 3.58%
1420
6 29 23 4.49%
1421
6 29 23 24.8%
1422
6 182 176 42.8%
1423
6 24 18 20.7%
1424
6 8 2 38.7%
1425
6 64 58 17.9%