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OSAIC HOLDINGS, INC.

Position in IQDF — FlexShares International Quality Dividend Index Fund

CIK 1677044 SCOTTSDALE, AZ

All Filings in IQDF

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25 filing rows on record
Report Date Value (USD) Shares
2026-03-31 IQDF $6,572,063 207,517
2025-12-31 IQDF $465,424 15,310
2025-09-30 IQDF $440,714 15,442
2025-06-30 IQDF $409,290 15,103
2025-03-31 IQDF $337,077 13,521
2024-12-31 IQDF $618,863 26,595
2024-09-30 IQDF $727,968 27,690
2024-06-30 IQDF $736,573 29,617
2024-03-31 IQDF $914,641 37,952
2023-12-31 IQDF $862,918 37,067
2023-09-30 IQDF $1,218,273 57,196
2023-06-30 IQDF $845,228 38,125
2023-03-31 IQDF $880,039 39,857
2022-12-31 IQDF $856,699 41,527
2022-09-30 IQDF $702,600 39,472
2022-06-30 IQDF $738,236 36,135
2022-03-31 IQDF $1,323,683 55,454
2021-12-31 IQDF $1,350,655 52,822
2021-09-30 IQDF $1,290,825 51,203
2021-06-30 IQDF $1,349,237 50,838
2021-03-31 IQDF $1,205,912 46,941
2020-12-31 IQDF $1,606,999 66,515
2020-09-30 IQDF $1,402,700 67,829
2020-06-30 IQDF $1,665,687 82,829
2020-03-31 IQDF $2,594,098 146,394