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BRIDGES INVESTMENT MANAGEMENT INC

Position in TLTD — FlexShares Morningstar Developed Markets ex-US Factor Tilt Index Fund

CIK 1007295 OMAHA, NE

All Filings in TLTD

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25 filing rows on record
Report Date Value (USD) Shares
2026-03-31 TLTD $2,100,864 22,352
2025-12-31 TLTD $1,583,086 17,072
2025-09-30 TLTD $1,517,985 17,106
2025-06-30 TLTD $1,427,666 17,106
2025-03-31 TLTD $1,343,811 17,963
2024-12-31 TLTD $1,237,470 17,963
2024-09-30 TLTD $1,347,225 17,963
2024-06-30 TLTD $1,364,852 19,523
2024-03-31 TLTD $1,217,717 16,993
2023-12-31 TLTD $1,160,451 16,993
2023-09-30 TLTD $1,062,911 16,993
2023-06-30 TLTD $1,117,318 17,216
2023-03-31 TLTD $1,230,868 19,101
2022-12-31 TLTD $1,152,553 19,101
2022-09-30 TLTD $1,816,292 35,145
2022-06-30 TLTD $2,032,521 35,244
2022-03-31 TLTD $2,423,396 35,612
2021-12-31 TLTD $2,562,995 35,612
2021-09-30 TLTD $2,556,229 35,612
2021-06-30 TLTD $2,742,233 37,570
2021-03-31 TLTD $2,657,659 37,972
2020-12-31 TLTD $2,725,008 41,288
2020-09-30 TLTD $3,026,185 54,068
2020-06-30 TLTD $2,974,585 55,683
2020-03-31 TLTD $3,138,089 67,573