TypeDateAccessionPeriodSize
NPORT-P
Feb 26, 2026
0001410368-26-019259
Dec 31, 2025
402.9 KB
DEF 14A
Dec 23, 2025
0001213900-25-125350DEF 14A
Jan 29, 2026
244.4 KB
40-17F2
Dec 16, 2025
0001193125-25-320970TAX-FREE HIGH GRADE PORTFOLIO BOND FUND - JUNE 30, 2025
—
43.2 KB
40-17F2
Dec 16, 2025
0001193125-25-320957TAX-FREE HIGH GRADE PORTFOLIO BOND FUND - MAY 31, 2025
—
43.5 KB
N-CEN
Dec 12, 2025
0001410368-25-035605
Sep 30, 2025
32.4 KB
IRANNOTICE
Dec 5, 2025
0001193125-25-309591IRAN NOTICE
—
4.1 KB
N-CSR
Dec 5, 2025
0001193125-25-309578TAX-FREE HIGH GRADE PORTFOLIO BOND FUND FOR PUERTO RICO RESIDENTS, INC.
Sep 30, 2025
1.0 MB
N-PX
Aug 29, 2025
0001021408-25-004208
Jun 30, 2025
3.7 KB
40-17F2
Jul 17, 2025
0001193125-25-160602TAX-FREE HIGH GRADE PORTFOLIO BOND FUND FOR PUERTO RICO RESIDENTS, INC.
—
39.9 KB
40-17F2
Jul 17, 2025
0001193125-25-160598TAX-FREE HIGH GRADE PORTFOLIO BOND FUND FOR PUERTO RICO RESIDENTS, INC.
—
40.1 KB
40-17F2
Jul 17, 2025
0001193125-25-160596TAX-FREE HIGH GRADE PORTFOLIO BOND FUND FOR PUERTO RICO RESIDENTS, INC.
—
40.1 KB
40-17F2
Jul 17, 2025
0001193125-25-160594TAX-FREE HIGH GRADE PORTFOLIO BOND FUND FOR PUERTO RICO RESIDENTS, INC.
—
39.6 KB
40-17F2
Jul 17, 2025
0001193125-25-160590TAX-FREE HIGH GRADE PORTFOLIO BOND FUND FOR PUERTO RICO RESIDENTS, INC.
—
40.4 KB
40-17F2
Jul 17, 2025
0001193125-25-160587TAX-FREE HIGH GRADE PORTFOLIO BOND FUND FOR PUERTO RICO RESIDENTS, INC.
—
45.4 KB
N-CSRS
Jun 6, 2025
0001193125-25-137020TAX-FREE HIGH GRADE PORTFOLIO BOND FUND FOR PUERTO RICO RESIDENTS, INC.
Mar 31, 2025
800.0 KB
40-17G
May 30, 2025
0001193125-25-131786JOINT FIDELITY BOND FILING
—
430.8 KB
40-17F2
Feb 28, 2025
0001193125-25-042159BOND FUND - MARCH 31, 2023
—
45.1 KB
40-17F2
Feb 28, 2025
0001193125-25-042152BOND FUND - AUGUST 31, 2022
—
45.1 KB
40-17F2
Feb 28, 2025
0001193125-25-042142BOND FUND - MAY 31, 2022
—
45.2 KB
40-17F2
Feb 28, 2025
0001193125-25-042141BOND FUND - JUNE 30, 2021
—
45.3 KB
40-17F2
Feb 28, 2025
0001193125-25-042131BOND FUND - NOVEMBER 30, 2021
—
52.5 KB
40-17F2
Feb 28, 2025
0001193125-25-042031BOND FUND - MARCH 31, 2022
—
45.4 KB
DEF 14A
Dec 18, 2024
0001213900-24-110192DEF 14A
Jan 16, 2025
231.5 KB
N-CEN
Dec 9, 2024
0001752724-24-278504
Sep 30, 2024
31.7 KB
IRANNOTICE
Dec 5, 2024
0001193125-24-271568IRAN NOTICE
—
10.6 KB