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Pacific Sun Financial Corp

Position in QDEF — FlexShares Quality Dividend Defensive Index Fund

CIK 947517 LOS ANGELES, CA

All Filings in QDEF

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21 filing rows on record
Report Date Value (USD) Shares
2026-03-31 QDEF $1,008,366 12,633
2025-12-31 QDEF $1,013,862 12,523
2025-09-30 QDEF $1,054,376 13,183
2025-06-30 QDEF $978,422 13,213
2025-03-31 QDEF $930,445 13,313
2024-12-31 QDEF $943,967 13,443
2024-09-30 QDEF $975,968 13,648
2024-06-30 QDEF $898,559 13,708
2024-03-31 QDEF $882,759 13,748
2023-12-31 QDEF $811,956 13,748
2023-09-30 QDEF $743,629 13,748
2023-06-30 QDEF $768,513 13,748
2022-12-31 QDEF $712,479 13,848
2022-09-30 QDEF $647,980 14,108
2022-06-30 QDEF $714,042 14,278
2022-03-31 QDEF $856,578 15,158
2021-12-31 QDEF $893,801 15,098
2021-09-30 QDEF $823,718 15,498
2020-09-30 QDEF $705,547 15,959
2020-06-30 QDEF $700,777 16,753
2020-03-31 QDEF $564,464 15,503