FlexShares Morningstar Developed Markets ex-US Factor Tilt Index Fund

Historical 13F Holders

Symbol
TLTD
CUSIP
33939L803
All holders as of
Q4 2025
Type
Equity
Class
M STAR DEV MKT
Reported Value, Excluding Options
Total Filings
Period Filings Shares, Excl. Options Value, Excl. Options
2025 Q4 82 5.96 M $552 M
2025 Q3 69 5.97 M $530 M
2025 Q2 76 5.81 M $485 M
2025 Q1 72 5.83 M $436 M
2024 Q4 72 5.95 M $410 M
2024 Q3 67 5.94 M $445 M
2024 Q2 67 6.42 M $449 M
2024 Q1 60 6.88 M $493 M
2023 Q4 66 7.34 M $501 M
2023 Q3 62 7.50 M $469 M
2023 Q2 63 7.87 M $510 M
2023 Q1 56 7.63 M $492 M
2022 Q4 55 7.59 M $458 M
2022 Q3 52 7.89 M $408 M
2022 Q2 56 7.42 M $428 M
2022 Q1 63 8.11 M $552 M
2021 Q4 62 7.77 M $558 M
2021 Q3 55 8.48 M $609 M
2021 Q2 54 8.08 M $590 M
2021 Q1 48 8.06 M $564 M
2020 Q4 50 8.08 M $533 M
2020 Q3 48 8.68 M $486 M
2020 Q2 52 9.66 M $516 M
2020 Q1 45 13.0 M $601 M
2019 Q4 48 14.1 M $914 M
2019 Q3 45 14.6 M $879 M
2019 Q2 41 15.1 M $920 M
2019 Q1 35 15.7 M $954 M
2018 Q4 40 14.9 M $825 M
2018 Q3 43 14.9 M $972 M
2018 Q2 42 15.0 M $971 M
2018 Q1 38 15.2 M $1.03 B
2017 Q4 31 14.3 M $993 M
2017 Q3 27 13.0 M $865 M
2017 Q2 25 13.1 M $825 M
2017 Q1 25 12.9 M $780 M
2016 Q4 20 11.8 M $667 M
2016 Q3 20 10.8 M $608 M
2016 Q2 18 10.5 M $550 M
2016 Q1 20 9.84 M $531 M
2015 Q4 18 9.16 M $505 M
2015 Q3 19 9.33 M $509 M
2015 Q2 20 8.87 M $540 M
2015 Q1 14 7.87 M $473 M
2014 Q4 17 9.08 M $520 M
2014 Q3 15 9.92 M $613 M
2014 Q2 12 9.13 M $607 M
2014 Q1 13 8.16 M $519 M