FLEXSHARES TR - CR SCORED LONG (LKOR)

Historical Holders from Q4 2015 to Q1 2025

Symbol
LKOR
CUSIP
33939L753
Type / Class
Equity / CR SCORED LONG
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
463K
Holdings value
$19.4M
% of all portfolios
0.001%
Grand Portfolio weight change
+0%
Number of holders
15
Number of buys
12
Number of sells
-5
Average Value change %
+0%
Average buys %
+0%
Average sells %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of FLEXSHARES TR - CR SCORED LONG (LKOR)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 22 $934 -$365K $42.45 1
2024 Q4 463K $19.4M +$5.02M $41.93 15
2024 Q3 342K $15.6M -$1.08M $45.57 12
2024 Q2 372K $15.9M +$9.1M $42.61 14
2024 Q1 158K $6.92M +$615K $43.80 12
2023 Q4 144K $6.45M +$2.02M $44.68 12
2023 Q3 99.1K $3.96M -$496K $39.92 10
2023 Q2 111K $4.84M +$932K $43.60 12
2023 Q1 88.8K $3.94M -$2.06M $44.36 13
2022 Q4 136K $5.74M +$319K $42.13 14
2022 Q3 0 $0 -$49K 0
2022 Q2 116K $5.19M +$1.48M $44.85 15
2022 Q1 26.9K $26K -$8.48K $0.97 1
2021 Q4 35.6K $33K $0 $0.93 1
2021 Q3 113K $4.65M +$444K $59.87 12
2021 Q2 198K $9.86M -$1.11M $60.64 8
2021 Q1 280K $14.1M +$786K $57.42 8
2020 Q4 83.2K $5.22M -$1.14M $62.87 7
2020 Q3 261K $12.8M +$3.32M $49.30 1
2020 Q2 193K $8.64M +$4.99M $44.71 1
2020 Q1 81.7K $1.56M +$52.2K $19.11 1
2019 Q4 0 $0 -$23K 0
2019 Q3 122K $7M -$2.98M $57.54 6
2019 Q2 0 $0 -$324K 0
2019 Q1 198K $10.3M +$7.86M $51.93 6
2018 Q4 46.1K $2.24M +$41.4K $48.60 4
2018 Q3 45.2K $2.26M -$370K $50.13 5
2018 Q2 52.6K $2.62M +$1.74M $49.77 5
2018 Q1 17.3K $907K -$671K $52.27 5
2017 Q4 29.4K $1.61M -$504K $54.82 6
2017 Q3 38.6K $2.07M +$1.83M $53.58 4
2017 Q2 4.35K $231K -$14.6K $53.13 3
2017 Q1 123K $491K -$122K $4.00 1
2016 Q4 153K $480K +$3.34K $3.13 1
2016 Q3 152K $86K +$18.3K $0.56 1
2016 Q2 120K $66K +$31.2K $0.55 1
2016 Q1 63.2K $33K +$27.6K $0.52 1
2015 Q4 10.3K $5K +$5K $0.49 1