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LPL Financial LLC

Position in HYGV — FlexShares High Yield Value - Scored Bond Index Fund

CIK 1403438 FORT MILL, SC

All Filings in HYGV

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25 filing rows on record
Report Date Value (USD) Shares
2026-03-31 HYGV $5,925,114 147,906
2025-12-31 HYGV $6,605,587 162,160
2025-09-30 HYGV $5,851,471 142,026
2025-06-30 HYGV $6,070,716 147,958
2025-03-31 HYGV $5,152,568 127,602
2024-12-31 HYGV $4,593,585 112,920
2024-09-30 HYGV $2,910,341 69,851
2024-06-30 HYGV $2,327,807 57,619
2024-03-31 HYGV $2,159,138 52,521
2023-12-31 HYGV $1,837,719 44,965
2023-09-30 HYGV $1,765,224 44,397
2023-06-30 HYGV $1,428,502 35,324
2023-03-31 HYGV $1,322,543 32,471
2022-12-31 HYGV $1,474,210 36,994
2022-09-30 HYGV $1,486,084 38,017
2022-06-30 HYGV $1,675,740 41,489
2022-03-31 HYGV $2,496,462 53,896
2021-12-31 HYGV $2,638,405 53,856
2021-09-30 HYGV $2,588,091 51,928
2021-06-30 HYGV $1,504,051 30,009
2021-03-31 HYGV $1,746,782 35,270
2020-12-31 HYGV $2,461,502 50,111
2020-09-30 HYGV $1,932,586 41,561
2020-06-30 HYGV $1,977,125 43,985
2020-03-31 HYGV $1,681,859 41,051