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Riggs Asset Managment Co. Inc.

Position in FLGV — Franklin U.S. Treasury Bond ETF

CIK 1601348 DALLAS, PA

All Filings in FLGV

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8 filing rows on record
Report Date Value (USD) Shares
2025-06-30 FLGV $1,335 65
2025-03-31 FLGV $1,336 65
2024-12-31 FLGV $1,307 65
2024-09-30 FLGV $1,368 65
2024-06-30 FLGV $1,320 65
2024-03-31 FLGV $1,331 65
2023-12-31 FLGV $1,353 65
2023-09-30 FLGV $1,299 65