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OSAIC HOLDINGS, INC.

Position in DIVI — Franklin International Core Dividend Tilt Index ETF

CIK 1677044 SCOTTSDALE, AZ

All Filings in DIVI

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25 filing rows on record
Report Date Value (USD) Shares
2026-03-31 DIVI $7,011,694 176,129
2025-12-31 DIVI $4,203,736 108,093
2025-09-30 DIVI $4,042,202 108,341
2025-06-30 DIVI $3,829,660 107,454
2025-03-31 DIVI $3,298,661 101,217
2024-12-31 DIVI $2,680,011 89,304
2024-09-30 DIVI $2,968,448 89,519
2024-06-30 DIVI $2,962,258 94,762
2024-03-31 DIVI $4,124,599 128,133
2023-12-31 DIVI $4,017,224 130,684
2023-09-30 DIVI $3,381,014 121,140
2023-06-30 DIVI $1,931,807 66,090
2023-03-31 DIVI $2,201,788 76,584
2022-12-31 DIVI $350,408 13,125
2022-09-30 DIVI $551,361 24,747
2022-06-30 DIVI $164,543 6,405
2022-03-31 DIVI $39,298 1,379
2021-12-31 DIVI $39,681 1,379
2021-09-30 DIVI $37,845 1,368
2021-06-30 DIVI $48,139 1,715
2021-03-31 DIVI $45,795 1,712
2020-12-31 DIVI $43,313 1,712
2020-09-30 DIVI $31,601 1,309
2020-06-30 DIVI $20,094 844
2020-03-31 DIVI $18,603 827