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Royal Fund Management, LLC

Position in DIVI — Franklin International Core Dividend Tilt Index ETF

CIK 1810099 Lady Lake, FL

All Filings in DIVI

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13 filing rows on record
Report Date Value (USD) Shares
2026-03-31 DIVI $588,630 14,786
2025-12-31 DIVI $624,651 16,062
2025-06-30 DIVI $573,198 16,083
2025-03-31 DIVI $529,783 16,256
2024-12-31 DIVI $501,287 16,704
2024-09-30 DIVI $1,107,345 33,394
2024-06-30 DIVI $2,908,930 93,056
2024-03-31 DIVI $2,852,581 88,617
2023-12-31 DIVI $2,259,820 73,514
2023-09-30 DIVI $1,764,135 63,208
2023-06-30 DIVI $1,699,373 58,138
2023-03-31 DIVI $1,313,127 45,674
2022-12-31 DIVI $763,162 28,585