Name Net reduced
positions
Reduced positions Increased positions Return since
30 Sep ‘22
2401
2 6 4 198%
2402
2 17 15 57.9%
2403
2 2 0 69.4%
QLVD icon
2404
FlexShares Developed Markets ex-US Quality Low Volatility Index Fund
QLVD
$60.9M
2 4 2 45.4%
2405
2 5 3 59.8%
2406
2 5 3 20.6%
2407
2 3 1 71.6%
2408
2 4 2 83.8%
2409
2 3 1 13.3%
2410
2 5 3 81.3%
TUG icon
2411
STF Tactical Growth ETF
TUG
$203M
2 2 0 66.3%
2412
2 7 5 36.5%
2413
2 3 1 15.6%
2414
2 4 2 27.1%
2415
2 34 32 11%
2416
2 7 5 59.2%
2417
2 8 6 90.6%
2418
2 42 40 79.2%
2419
2 5 3 46.7%
2420
2 3 1 99.1%
2421
2 20 18 153%
2422
2 14 12 53%
2423
2 4 2 39.7%
2424
2 5 3 136%
2425
2 5 3 61.5%