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UBS Group AG

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

CIK 1610520 ZURICH, V8

All Filings in TLTD

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25 filing rows on record
Report Date Value (USD) Shares
2026-03-31 TLTD $71,902 765
2025-12-31 TLTD $70,938 765
2025-09-30 TLTD $65,401 737
2025-06-30 TLTD $88,633 1,062
2025-03-31 TLTD $151,339 2,023
2024-12-31 TLTD $61,449 892
2024-09-30 TLTD $72,375 965
2024-06-30 TLTD $188,826 2,701
2024-03-31 TLTD $215,983 3,014
2023-12-31 TLTD $267,696 3,920
2023-09-30 TLTD $241,380 3,859
2023-06-30 TLTD $51,010 786
2023-03-31 TLTD $8,055 125
2022-12-31 TLTD $115,731 1,918
2022-09-30 TLTD $77,675 1,503
2022-06-30 TLTD $16,838 292
2022-03-31 TLTD $125,551 1,845
2021-12-31 TLTD $10,723 149
2021-09-30 TLTD $10,695 149
2021-06-30 TLTD $10,875 149
2021-03-31 TLTD $31,355 448
2020-12-31 TLTD $43,890 665
2020-09-30 TLTD $119,887 2,142
2020-06-30 TLTD $7,959 149
2020-03-31 TLTD $558,394 12,024