Name Net reduced
positions
Reduced positions Increased positions Return since
30 Jun ‘22
2151
3 13 10 30.1%
2152
3 6 3 99.6%
2153
3 10 7 53.2%
QLVD icon
2154
FlexShares Developed Markets ex-US Quality Low Volatility Index Fund
QLVD
$63.5M
3 4 1 44.3%
2155
3 8 5 86.9%
2156
3 4 1 97.7%
2157
3 7 4 1.13%
2158
3 4 1 3.99%
2159
3 6 3 74.3%
2160
3 4 1 70.1%
RLYB icon
2161
Rallybio
RLYB
$57.9M
3 17 14 81.8%
2162
3 46 43 41.9%
2163
3 904 901 26.7%
2164
3 8 5 5.41%
2165
3 5 2 3.5%
2166
3 6 3 100%
2167
3 11 8 28.4%
2168
3 4 1 5.91%
2169
3 26 23 74.5%
2170
3 3 0 38.6%
2171
3 34 31 61.4%
2172
3 10 7 95.4%
2173
3 63 60 19.6%
2174
3 62 59 117%
2175
3 148 145 87.1%