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HARBOUR INVESTMENTS, INC.

Position in QDEF — FlexShares Quality Dividend Defensive Index Fund

CIK 810121 MADISON, WI

All Filings in QDEF

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20 filing rows on record
Report Date Value (USD) Shares
2026-03-31 QDEF $306,508 3,840
2025-12-31 QDEF $233,893 2,889
2025-09-30 QDEF $228,262 2,854
2025-06-30 QDEF $211,338 2,854
2025-03-31 QDEF $214,212 3,065
2024-12-31 QDEF $215,224 3,065
2024-09-30 QDEF $246,709 3,450
2024-06-30 QDEF $226,147 3,450
2024-03-31 QDEF $221,524 3,450
2023-12-31 QDEF $205,824 3,485
2023-09-30 QDEF $188,503 3,485
2023-06-30 QDEF $194,811 3,485
2023-03-31 QDEF $187,884 3,549
2022-12-31 QDEF $177,451 3,449
2022-09-30 QDEF $165,761 3,609
2022-06-30 QDEF $180,486 3,609
2021-12-31 QDEF $214,422 3,622
2021-09-30 QDEF $240,822 4,531
2021-06-30 QDEF $329,725 6,131
2021-03-31 QDEF $321,568 6,288