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VestGen Investment Management

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

CIK 1511739 EGG HARBOR TOWNSHIP, NJ

All Filings in HYGV

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23 filing rows on record
Report Date Value (USD) Shares
2026-03-31 HYGV $2,157,311 53,852
2025-12-31 HYGV $2,393,792 58,765
2025-09-30 HYGV $2,365,539 57,416
2025-06-30 HYGV $1,799,616 43,861
2025-03-31 HYGV $2,067,819 51,209
2024-12-31 HYGV $2,328,848 57,248
2024-09-30 HYGV $2,442,860 58,631
2024-06-30 HYGV $2,369,662 58,655
2024-03-31 HYGV $2,424,544 58,977
2023-12-31 HYGV $2,288,474 55,994
2023-09-30 HYGV $2,831,906 71,225
2023-06-30 HYGV $3,034,860 75,046
2023-03-31 HYGV $2,534,342 62,223
2022-12-31 HYGV $2,254,394 56,572
2022-09-30 HYGV $1,749,668 44,760
2022-06-30 HYGV $1,376,289 34,075
2022-03-31 HYGV $1,011,443 21,836
2021-12-31 HYGV $679,099 13,862
2021-09-30 HYGV $916,109 18,381
2021-06-30 HYGV $672,560 13,419
2020-12-31 HYGV $240,594 4,898
2020-09-30 HYGV $202,926 4,364
2020-06-30 HYGV $222,412 4,948