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UBS Group AG

Position in QLVD — FlexShares Developed Markets ex-US Quality Low Volatility Index Fund

CIK 1610520 ZURICH, V8

All Filings in QLVD

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13 filing rows on record
Report Date Value (USD) Shares
2025-09-30 QLVD $9,752 314
2025-06-30 QLVD $156,709 5,016
2025-03-31 QLVD $123,106 4,279
2024-12-31 QLVD $31,259 1,185
2024-09-30 QLVD $70,949 2,466
2024-06-30 QLVD $4,177 159
2024-03-31 QLVD $2,293 86
2023-12-31 QLVD $17,263 665
2023-09-30 QLVD $73 3
2023-06-30 QLVD $1,861 73
2022-03-31 QLVD $1,380 52
2021-12-31 QLVD $140 5
2021-03-31 QLVD $22,235 833