TypeDateAccessionPeriodSize
N-CSRS
Mar 6, 2026
0001193125-26-095972TAX-FREE HIGH GRADE PORTFOLIO TARGET MATURITY FUND FOR PUERTO RICO RESIDENTS
Dec 31, 2025
654.0 KB
NPORT-P
Feb 26, 2026
0001410368-26-019262
Dec 31, 2025
98.0 KB
DEFR14A
Dec 23, 2025
0001213900-25-125379DEFR14A
—
240.9 KB
40-17F2
Dec 16, 2025
0001193125-25-320918TAX-FREE HIGH GRADE PORTFOLIO TARGET MATURITY FUND - JUNE 30, 2025
—
44.5 KB
DEF 14A
Sep 19, 2025
0001213900-25-089643DEF 14A
Oct 16, 2025
240.1 KB
N-CEN
Sep 12, 2025
0001752724-25-214971
Jun 30, 2025
30.8 KB
IRANNOTICE
Sep 5, 2025
0001193125-25-197346IRAN NOTICE
—
4.8 KB
N-CSR
Sep 5, 2025
0001193125-25-197136TAX-FREE HIGH GRADE PORTFOLIO TARGET MATURITY FUND FOR PUERTO RICO RESIDENTS, IN
Jun 30, 2025
949.9 KB
N-PX
Aug 29, 2025
0001021408-25-004209
Jun 30, 2025
3.9 KB
40-17F2
Jul 17, 2025
0001193125-25-160583TAX-FREE HIGH GRADE PORTFOLIO TARGET MATURITY FUND FOR PUERTO RICO RESIDENTS
—
39.9 KB
40-17F2
Jul 17, 2025
0001193125-25-160576TAX-FREE HIGH GRADE PORTFOLIO TARGET MATURITY FUND FOR PUERTO RICO RESIDENTS
—
40.1 KB
40-17F2
Jul 17, 2025
0001193125-25-160572TAX-FREE HIGH GRADE PORTFOLIO TARGET MATURITY FUND FOR PUERTO RICO RESIDENTS
—
46.4 KB
40-17F2
Jul 17, 2025
0001193125-25-160569TAX-FREE HIGH GRADE PORTFOLIO TARGET MATURITY FUND FOR PUERTO RICO RESIDENTS
—
45.9 KB
40-17F2
Jul 17, 2025
0001193125-25-160565TAX-FREE HIGH GRADE PORTFOLIO TARGET MATURITY FUND FOR PUERTO RICO RESIDENTS
—
40.2 KB
40-17F2
Jul 17, 2025
0001193125-25-160562TAX-FREE HIGH GRADE PORTFOLIO TARGET MATURITY FUND FOR PUERTO RICO RESIDENTS
—
40.4 KB
40-17G
May 30, 2025
0001193125-25-131786JOINT FIDELITY BOND FILING
—
430.8 KB
IRANNOTICE
Mar 7, 2025
0001193125-25-049309IRAN NOTICE
—
4.4 KB
N-CSRS
Mar 7, 2025
0001193125-25-049285N-CSRS
Dec 31, 2024
841.8 KB
40-17F2
Feb 28, 2025
0001193125-25-042269TARGET MATURITY FUND - MARCH 31, 2023
—
52.7 KB
40-17F2
Feb 28, 2025
0001193125-25-042264TARGET MATURITY FUND - AUGUST 31, 2022
—
52.9 KB
40-17F2
Feb 28, 2025
0001193125-25-042242TARGET MATURITY FUND - MAY 31, 2022
—
52.3 KB
40-17F2
Feb 28, 2025
0001193125-25-042228TARGET MATURITY FUND - MARCH 31, 2022
—
52.3 KB
40-17F2
Feb 28, 2025
0001193125-25-042187TARGET MATURITY FUND - NOVEMBER 30, 2021
—
52.9 KB
40-17F2
Feb 28, 2025
0001193125-25-042168TARGET MATURITY FUND - JUNE 30, 2021
—
52.2 KB
DEF 14A
Sep 18, 2024
0001213900-24-079937DEFINITIVE PROXY STATEMENT
Oct 17, 2024
249.0 KB