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ENVESTNET ASSET MANAGEMENT INC

Position in HYGV — FlexShares High Yield Value - Scored Bond Index Fund

CIK 1407543 Berwyn, PA

All Filings in HYGV

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25 filing rows on record
Report Date Value (USD) Shares
2026-03-31 HYGV $27,166,208 678,138
2025-12-31 HYGV $29,797,082 731,486
2025-09-30 HYGV $28,721,632 697,127
2025-06-30 HYGV $28,384,430 691,797
2025-03-31 HYGV $29,530,136 731,306
2024-12-31 HYGV $34,451,688 846,895
2024-09-30 HYGV $31,874,724 765,024
2024-06-30 HYGV $30,697,414 759,837
2024-03-31 HYGV $26,221,232 637,831
2023-12-31 HYGV $25,774,910 630,656
2023-09-30 HYGV $24,584,323 618,318
2023-06-30 HYGV $29,145,795 720,717
2023-03-31 HYGV $16,397,001 402,578
2022-12-31 HYGV $15,058,119 377,870
2022-09-30 HYGV $13,746,506 351,663
2022-06-30 HYGV $12,747,447 315,609
2022-03-31 HYGV $13,008,462 280,839
2021-12-31 HYGV $9,126,739 186,298
2021-09-30 HYGV $7,761,782 155,734
2021-06-30 HYGV $4,592,144 91,623
2021-03-31 HYGV $4,526,379 91,394
2020-12-31 HYGV $5,376,882 109,462
2020-09-30 HYGV $5,374,237 115,575
2020-06-30 HYGV $5,406,406 120,276
2020-03-31 HYGV $4,481,011 109,373