Holdings

Symbol Grade Price % Change Allocation
LEN D 0.36 0.32
KMI A 1.48 0.28
FOXA B -0.07 0.25
AEE A 0.42 0.25
PEP F 0.26 0.24
LMT D 1.44 0.23
SPG A 0.27 0.22
NXPI F 0.71 0.21
CHTR B -0.68 0.20
GM B 0.26 0.20
PHM D 0.53 0.20
VRSN D 0.39 0.19
NI A 0.67 0.19
MAS D 0.79 0.19
TPR B -0.04 0.19
PAA B 0.00 0.19
APD A -0.01 0.19
TMO D -0.67 0.19
NOC D 0.81 0.19
CHD A 0.42 0.18
ELV F 1.22 0.18
CCI C -0.03 0.18
JNJ D 0.10 0.18
TD D -0.43 0.17
DOW F 0.51 0.17
GPN C 0.67 0.17
WEC A -0.06 0.17
ATO A 0.83 0.17
PM A 0.87 0.17
DG F 0.49 0.16
LII A 2.91 0.16
CVS D -0.14 0.16
ARW D 1.52 0.15
ALL A 0.97 0.15
ADI D 0.61 0.15
RPRX D 0.99 0.14
XEL A 0.47 0.14
CMCSA B -0.06 0.14
TDY B 1.83 0.14
CI D 0.76 0.14
ALLY C 2.93 0.14
OKE A 2.21 0.14
GD D 0.70 0.14
TMUS B -0.18 0.14
WU F 0.00 0.13
BWA D 0.09 0.13
WM B 0.49 0.13
GILD B -0.12 0.13
AMT D -0.05 0.13
JBHT C 1.21 0.12
BRX A 0.00 0.12
O D 0.05 0.12
AMCR C 0.47 0.12
CME A 0.17 0.12
T A 0.15 0.12
INTC C 0.67 0.12
HUM C 0.02 0.12
APH B 3.47 0.11
AMGN D -0.82 0.11
CM A 0.45 0.11
SWK F 1.11 0.11
BHP F -0.67 0.11
ED C -0.27 0.11
K A 0.14 0.11
MKL A 0.91 0.11
NVT C 3.47 0.11
AMZN B -1.10 0.11
ATHS C -0.12 0.11
UNP D 1.26 0.11
ARCC A 0.09 0.11
BMO A 0.79 0.11
DFS B 1.44 0.11
LH B 0.04 0.11
ORCL A 1.83 0.11
VRSK A 0.02 0.10
DLR A 0.51 0.10
BMY B 0.06 0.10
BIDU D -6.71 0.10
WY D 0.20 0.10
CNP A 0.13 0.10
LNT A 0.19 0.10
BKU A 0.76 0.10
TRMB B 1.72 0.10
CB D 0.25 0.10
INTU B 3.35 0.10
MO A 0.25 0.10
COST A 1.08 0.10
SO C -0.14 0.10
GS B 1.76 0.10
LHX B 1.16 0.10
V A 0.30 0.10
VNT C 1.20 0.09
IBM C 1.66 0.09
THG A -0.22 0.09
SBUX B 0.48 0.09
MET A 1.84 0.09
DHR D -0.95 0.09
CARR D 1.50 0.09
FHN B 1.03 0.09
DIS B -0.16 0.09
DTE C 0.10 0.09
BXP D 1.21 0.09
CMA B 1.25 0.09
AGR A 0.00 0.09
CL D -0.34 0.09
HST D 0.00 0.09
MCK A 0.66 0.09
ADBE D -0.34 0.09
FLO D 0.00 0.09
LAZ B 2.38 0.09
MLM B 0.64 0.09
BNS A 0.39 0.09
AON B -0.28 0.09
FITB B 0.76 0.09
AAPL C -0.82 0.09
KMB C 0.38 0.08
BR B 0.96 0.08
AFG A 0.96 0.08
PSA D 0.41 0.08
ADSK A 1.83 0.08
AWH F 0.00 0.08
QCOM F 0.44 0.08
BG D 0.86 0.08
FAF A -0.37 0.08
LEA F 0.65 0.08
HBAN B 0.26 0.08
BDX F -0.45 0.08
EBAY D 0.79 0.08
CSL C 0.81 0.08
CMS C 0.00 0.08
KLAC F 1.44 0.08
HP C 1.90 0.08
ORI A 0.64 0.08
H B 0.77 0.08
UPS C 0.14 0.08
CBOE C 0.54 0.08
KO D 0.48 0.08
DSS F -2.86 0.08
AMH C 0.16 0.08
VLO C 0.12 0.08
EW C 0.52 0.08
DINO D 0.62 0.08
KEYS A 0.51 0.08
KDP D 0.08 0.08
NDAQ A 0.36 0.08
WHR B 0.24 0.08
ROP C 0.45 0.08
BRO B 0.57 0.08
WELL A 0.15 0.08
TT A 1.42 0.08
SPGI D 0.92 0.08
GIS D -0.34 0.08
NFG A 2.56 0.08
ORLY B 0.63 0.08
JEF A 1.84 0.08
BLK B 0.72 0.08
KEY B 0.95 0.08
MMM D -0.25 0.08
MU D 0.50 0.08
DUK C 0.18 0.08
GLPI C -0.32 0.08
SYF B 1.10 0.08
D C 0.14 0.08
ABBV F 0.29 0.08
C B 1.05 0.08
ADP B 0.74 0.07
EMR A 0.46 0.07
AVT C 0.70 0.07
KMPR A 0.82 0.07
PLD D -0.17 0.07
NTAP C 2.27 0.07
DHI D 0.30 0.07
PCG A 0.36 0.07
PPG F -0.12 0.07
DGX A 0.58 0.07
CPT C 0.27 0.07
SBRA B 0.00 0.07
WB C -2.89 0.07
ALLE D 0.28 0.07
BAX F 0.28 0.07
CE F 1.28 0.07
ITW B 0.51 0.07
DOV B 1.47 0.07
A F 1.67 0.07
BKH A 0.57 0.07
ESS B 0.88 0.07
GSBD F -0.16 0.07
PKG A 0.07 0.07
FMC D 0.63 0.07
NSC B 1.27 0.07
TEL C 0.61 0.07
MKC C 0.75 0.07
USB A 1.74 0.07
AWK C 0.22 0.07
TXN C 0.01 0.07
AMP A 0.83 0.07
CUBE D 0.43 0.07
HUBB B 2.23 0.07
OTIS D 0.09 0.07
CFG B 1.47 0.07
MCO B 0.31 0.07
STT A 0.75 0.07
SRE A 0.07 0.07
MDLZ F -0.02 0.07
PEG A 0.43 0.07
HPQ B 1.20 0.07
AXP B 0.74 0.07
EPD A 0.96 0.07
BABA D -0.77 0.07
HSBC A 0.24 0.07
WFC A 1.88 0.07
ROK B -0.33 0.06
SKT A 0.19 0.06
REG A 0.00 0.06
CPB D 0.14 0.06
WAB B 0.61 0.06
SCS B 0.01 0.06
GL C -0.07 0.06
BA D -2.12 0.06
ECL D 0.36 0.06
WPC C 0.00 0.06
AL B 0.00 0.06
WTW B 0.31 0.06
TFC B 1.08 0.06
PG C 0.53 0.06
NNN C -0.89 0.06
SITC D -0.19 0.05
DT D 2.15 0.05
EFX F 0.80 0.05
RY C 1.81 0.05
BK B 0.70 0.05
AER B 1.35 0.05
DLTR F 1.99 0.05
AZO C 0.00 0.05
ZTS D 0.00 0.05
PDM D 0.43 0.04
KIM A 0.38 0.04
STLD B 0.93 0.04
HPP F 0.00 0.04
VOYA B -0.21 0.04
KRG A 0.00 0.04
FTV C 0.34 0.04
RNR C -0.26 0.04
AIZ A 0.53 0.04
SJM D -0.51 0.04
RPM B 0.73 0.04
EA A -0.59 0.04
ARE F 1.04 0.04
CMI A 1.70 0.04
PGR B 0.72 0.04
HII F 1.25 0.04
AXS A 0.97 0.04
HIW D 0.00 0.04
AIG D 0.22 0.04
CSX C 0.85 0.04
AFL C 1.09 0.04
HON B -0.40 0.04
ES C 0.28 0.04
MCD D -1.97 0.04
MSI A 0.34 0.04
MAR B 1.01 0.04
CSCO B 0.08 0.04
KRC C 1.96 0.04
SCHW A 0.55 0.04
SHW C 0.42 0.04
RSG A 0.35 0.04
LOW C 0.36 0.04
MSFT D -0.54 0.04
DB D 0.06 0.04
EIX C 0.18 0.04
MA B 0.46 0.04
AVGO D -0.96 0.04
NEE C 0.46 0.04
MS B 2.12 0.04
FLS A 0.32 0.03
SYK A 0.44 0.03
GOOGL B -5.35 0.03
FNF D 0.24 0.03
HCA F -2.03 0.03
PNC B 1.08 0.03
VZ C 0.08 0.03
PH B 1.76 0.02
CTAS B 0.48 0.02
AAP D 0.18 0.02
BDN C 0.37 0.02
MAA B 0.04 0.02
EQR C 0.45 0.02
PYPL B 0.09 0.02
AVB B 1.12 0.02
CLX A 0.03 0.02
AVY D 0.06 0.02
VTR B -0.14 0.02
COF B 1.42 0.02
AEP C 0.07 0.02
MUFG B 0.64 0.02
WMT A 1.08 0.02
UNH B 0.05 0.02
MMC D -0.02 0.01
CP F 1.02 0.01
JPM B 1.08 0.01
EQIX A 0.61 0.00
HD C 1.60 0.00
OHI C 0.18 0.00
PRU B 0.73 0.00
BAC A 1.58 0.00

Recent News for FlexShares Credit-Scored US Corporate Bond Index Fund & its Holdings

Date Stock Title
Nov 21 KO Warren Buffett Is Set To Collect $776 Million In Coca-Cola Dividends – But Daughter Says His Wife Buys Him The Soda 'On Sale'
Nov 21 HPQ HP keeps Equal-weight rating at Morgan Stanley ahead of earnings
Nov 21 MA Mastercard joins hands with JP Morgan to get foreign exchange on blockchain
Nov 21 IBM Q1 2025 Palo Alto Networks Inc Earnings Call
Nov 21 ADBE The Zacks Analyst Blog Highlights Adobe, Pfizer, Dollar General, Snap and Ryanair
Nov 21 INTC This Surprising Number Inside Intel's Balance Sheet Suggests Something Big Is Coming In Its War With TSMC
Nov 21 MSFT Microsoft (MSFT) Corporation Fell as its Azure Cloud Segment’s Revenue Fell Short Of Expectations
Nov 21 MA Mastercard's 3-Yr Plan Looks Sluggish And Pricey
Nov 21 LMT Lockheed Martin Stock Under Pressure With Technicals Hinting At Recovery Potential
Nov 21 MSFT Artificial General Intelligence Is Coming: 1 Unstoppable Vanguard ETF to Buy Now
Nov 21 AAPL Artificial General Intelligence Is Coming: 1 Unstoppable Vanguard ETF to Buy Now
Nov 21 INTU How To Earn $500 A Month From Intuit Stock Ahead Of Q1 Earnings
Nov 21 CMCSA Analyst Green-Lights Comcast Spinoff: How CMCSA's Restructure Plan Could Unlock Significant Shareholder Value
Nov 21 MSFT Microsoft Corp (MSFT): A Cloud Powerhouse in Ken Griffin’s Portfolio
Nov 21 AAPL The feds want Google to sell its Chrome browser
Nov 21 PYPL PayPal resolves system issue affecting multiple products
Nov 21 PYPL PayPal outage affects thousands worldwide
Nov 21 CM 3 TSX Dividend Stocks Yielding Up To 6.4%
Nov 21 MLM Will Donald Trump Crush These Growth Stocks?
Nov 21 MO Top Dividend Stock Altria Is Currently Trading In A Buy Zone
The investment seeks the price and yield performance, before fees and expenses, of the Northern Trust Credit-Scored US Corporate Bond IndexSM. The fund generally will invest at least 80% of its total assets in the securities of its underlying index. The index reflects the performance of a portfolio of US-dollar denominated bonds of companies that are considered by the index Provider to have higher credit quality, lower risk of default and the potential for higher yield, price appreciation and liquidity relative to the universe of securities comprising the Northern Trust US Investment-Grade Corporate Bond IndexSM. The fund is non-diversified
Exchange Traded Fund ETF Bond Bond Market Corporate Bond Bond Fund Yield Northern Trust
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