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LKOR · FlexShares Credit-Scored US Long Corporate Bond Index Fund ETF

FlexShares Trust

SEC fund profile
$39.90 +0.13% At close · Sep 4
Net assets $35,338,447
Holdings816
1 month
-1.06%
Year to date
-2.73%
52-week range
$39.55–$44.34
30-session avg volume
5,676

Market performance

Adjusted close · up to five years

Since Sep 2021

Fund profile

Structure
Open-end / ETF
SEC series
S000050613
Report date
Apr 30, 2026
Holdings coverage
Full reported portfolio

Portfolio concentration

Top 10 holdings7.33%

Calculated only when the SEC filing is stored with complete portfolio coverage.

Asset allocation

DBT97.00%
STIV1.41%

Country allocation

US90.80%
GB2.10%
CA1.96%
FR0.67%
NL0.56%
AU0.46%
IE0.44%
Other1.43%

Portfolio holdings

Latest linked SEC Form NPORT-P report.

Export CSV
HoldingValueWeight
FNMA$499,9501.41%
Meta Platforms, Inc.$248,2310.70%
Altria Group, Inc.$247,2100.70%
Alphabet, Inc.$245,9170.70%
Comcast Corp.$245,7340.70%
Enterprise Products Operating LLC$233,6830.66%
McDonald's Corp.$227,6330.64%
Visa, Inc.$217,4160.62%
BAT Capital Corp.$214,0000.61%
HSBC Holdings plc$211,8320.60%
Duke Energy Corp.$209,9360.59%
AT&T, Inc.$204,3170.58%
Amazon.com, Inc.$177,5400.50%
Abbott Laboratories$173,3580.49%
Verizon Communications, Inc.$171,5720.49%
Amazon.com, Inc.$171,5040.49%
Philip Morris International, Inc.$166,2340.47%
Exxon Mobil Corp.$160,1610.45%
Broadcom, Inc.$159,4300.45%
Wells Fargo & Co.$159,3910.45%
Salesforce, Inc.$156,8970.44%
Marsh & McLennan Cos., Inc.$155,1640.44%
Southern Copper Corp.$152,1790.43%
Abbott Laboratories$150,4000.43%
Reynolds American, Inc.$150,3920.43%
Bank of America Corp.$149,4660.42%
Apple, Inc.$148,5970.42%
Exxon Mobil Corp.$145,8770.41%
Cisco Systems, Inc.$145,4950.41%
Verizon Communications, Inc.$144,6620.41%
Alphabet, Inc.$143,5560.41%
Home Depot, Inc. (The)$141,2680.40%
Atmos Energy Corp.$140,3190.40%
Eli Lilly & Co.$138,7680.39%
Gilead Sciences, Inc.$137,7920.39%
Cisco Systems, Inc.$137,6750.39%
Burlington Northern Santa Fe LLC$135,9660.38%
Coca-Cola Co. (The)$133,2680.38%
Oracle Corp.$132,0020.37%
Aon North America, Inc.$129,8710.37%
Meta Platforms, Inc.$129,0660.37%
Energy Transfer LP$128,1100.36%
PacifiCorp$127,7410.36%
Coca-Cola Co. (The)$126,3170.36%
Amazon.com, Inc.$125,9580.36%
HCA, Inc.$125,3450.35%
Microsoft Corp.$123,8610.35%
QUALCOMM, Inc.$122,6320.35%
Fox Corp.$120,0940.34%
AT&T, Inc.$119,8090.34%