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Concurrent Investment Advisors, LLC

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

CIK 2001015 Tampa, FL

All Filings in FLGV

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9 filing rows on record
Report Date Value (USD) Shares
2026-03-31 FLGV $9,627,718 471,254
2025-12-31 FLGV $8,718,845 424,895
2025-09-30 FLGV $8,139,445 394,353
2025-06-30 FLGV $6,966,655 339,010
2025-03-31 FLGV $6,184,656 300,737
2024-12-31 FLGV $4,491,266 223,224
2024-09-30 FLGV $3,298,964 156,646
2024-06-30 FLGV $1,532,879 75,437
2024-03-31 FLGV $265,796 12,972