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OSAIC HOLDINGS, INC.

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

CIK 1677044 SCOTTSDALE, AZ

All Filings in HYGV

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25 filing rows on record
Report Date Value (USD) Shares
2026-03-31 HYGV $1,243,021 31,029
2025-12-31 HYGV $1,307,104 32,088
2025-09-30 HYGV $1,901,049 46,142
2025-06-30 HYGV $1,828,132 44,556
2025-03-31 HYGV $1,740,499 43,103
2024-12-31 HYGV $1,684,802 41,416
2024-09-30 HYGV $1,572,686 37,746
2024-06-30 HYGV $1,379,295 34,141
2024-03-31 HYGV $1,365,508 33,216
2023-12-31 HYGV $888,308 21,735
2023-09-30 HYGV $706,255 17,763
2023-06-30 HYGV $268,560 6,641
2023-03-31 HYGV $355,897 8,738
2022-12-31 HYGV $50,529 1,268
2022-09-30 HYGV $49,565 1,268
2022-06-30 HYGV $67,369 1,668
2022-03-31 HYGV $100,421 2,168
2021-12-31 HYGV $561,669 11,465
2021-09-30 HYGV $70,672 1,418
2021-06-30 HYGV $86,406 1,724
2021-03-31 HYGV $176,856 3,571
2020-12-31 HYGV $165,733 3,374
2020-09-30 HYGV $219,340 4,717
2020-06-30 HYGV $212,791 4,734
2020-03-31 HYGV $206,446 5,039