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ENVESTNET ASSET MANAGEMENT INC

Position in FLGV — Franklin U.S. Treasury Bond ETF

CIK 1407543 Berwyn, PA

All Filings in FLGV

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22 filing rows on record
Report Date Value (USD) Shares
2026-03-31 FLGV $8,476,447 414,902
2025-12-31 FLGV $8,311,030 405,021
2025-09-30 FLGV $8,269,147 400,637
2025-06-30 FLGV $7,892,330 384,055
2025-03-31 FLGV $7,452,941 362,409
2024-12-31 FLGV $3,247,186 161,391
2024-09-30 FLGV $2,396,396 113,789
2024-06-30 FLGV $1,936,170 95,284
2024-03-31 FLGV $3,253,504 158,785
2023-12-31 FLGV $2,442,814 117,302
2023-09-30 FLGV $2,543,890 127,290
2023-06-30 FLGV $2,540,706 122,314
2023-03-31 FLGV $2,277,066 107,257
2022-12-31 FLGV $1,807,855 87,336
2022-09-30 FLGV $1,611,568 77,442
2022-06-30 FLGV $895,016 41,037
2022-03-31 FLGV $1,286,896 56,754
2021-12-31 FLGV $1,284,045 53,728
2021-09-30 FLGV $1,108,354 46,143
2021-06-30 FLGV $550,899 22,839
2021-03-31 FLGV $402,163 16,841
2020-12-31 FLGV $217,732 8,725