FlexShares Ready Access Variable Income Fund (RAVI) Ratings



FlexShares Ready Access Variable Income Fund (RAVI): $75.05

0.06 (+0.08%)

POWR Rating

Component Grades

Buy & Hold

A

Peer

D

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Category: Ultra-Short Term Bonds

Category

A

Ranked

#16 of 33

in category

FlexShares Ready Access Variable Income Fund (RAVI) Ratings History Chart

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FlexShares Ready Access Variable Income Fund (RAVI) Ratings History Table

Date Symbol Name Close Day Chg. POWR Rating Trade Grade B&H Grade Peer Grade Cat. Rank
2024-12-20 RAVI FlexShares Ready Access Variable Income Fund 75.05 75.05
N/A%

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2024-12-19 RAVI FlexShares Ready Access Variable Income Fund 75.31 0.26
0.35%

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2024-12-18 RAVI FlexShares Ready Access Variable Income Fund 75.35 0.04
0.05%

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2024-12-17 RAVI FlexShares Ready Access Variable Income Fund 75.35 0.00
0.00%

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2024-12-16 RAVI FlexShares Ready Access Variable Income Fund 75.37 0.02
0.03%

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2024-12-13 RAVI FlexShares Ready Access Variable Income Fund 75.32 -0.05
-0.07%

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2024-12-12 RAVI FlexShares Ready Access Variable Income Fund 75.33 0.01
0.01%

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2024-12-11 RAVI FlexShares Ready Access Variable Income Fund 75.34 0.00
0.01%

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2024-12-10 RAVI FlexShares Ready Access Variable Income Fund 75.33 -0.00
-0.01%

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2024-12-09 RAVI FlexShares Ready Access Variable Income Fund 75.32 -0.01
-0.01%

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2024-12-06 RAVI FlexShares Ready Access Variable Income Fund 75.31 -0.01
-0.01%

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2024-12-05 RAVI FlexShares Ready Access Variable Income Fund 75.26 -0.05
-0.07%

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2024-12-04 RAVI FlexShares Ready Access Variable Income Fund 75.24 -0.03
-0.03%

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2024-12-03 RAVI FlexShares Ready Access Variable Income Fund 75.21 -0.03
-0.03%

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2024-12-02 RAVI FlexShares Ready Access Variable Income Fund 75.24 0.03
0.04%

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2024-11-29 RAVI FlexShares Ready Access Variable Income Fund 75.16 -0.08
-0.11%

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2024-11-27 RAVI FlexShares Ready Access Variable Income Fund 75.12 -0.04
-0.05%

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2024-11-26 RAVI FlexShares Ready Access Variable Income Fund 75.10 -0.02
-0.03%

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2024-11-25 RAVI FlexShares Ready Access Variable Income Fund 75.14 0.03
0.05%

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2024-11-22 RAVI FlexShares Ready Access Variable Income Fund 75.10 -0.04
-0.05%

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2024-11-21 RAVI FlexShares Ready Access Variable Income Fund 75.08 -0.01
-0.01%

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2024-11-20 RAVI FlexShares Ready Access Variable Income Fund 75.08 -0.01
-0.01%

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2024-11-19 RAVI FlexShares Ready Access Variable Income Fund 75.08 0.00
0.01%

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2024-11-18 RAVI FlexShares Ready Access Variable Income Fund 75.06 -0.02
-0.03%

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2024-11-15 RAVI FlexShares Ready Access Variable Income Fund 75.04 -0.02
-0.03%

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2024-11-14 RAVI FlexShares Ready Access Variable Income Fund 75.01 -0.03
-0.04%

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2024-11-13 RAVI FlexShares Ready Access Variable Income Fund 75.02 0.01
0.02%

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2024-11-12 RAVI FlexShares Ready Access Variable Income Fund 74.99 -0.03
-0.04%

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2024-11-11 RAVI FlexShares Ready Access Variable Income Fund 74.99 0.00
0.00%

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2024-11-08 RAVI FlexShares Ready Access Variable Income Fund 74.98 -0.01
-0.01%

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2024-11-07 RAVI FlexShares Ready Access Variable Income Fund 74.98 -0.00
-0.01%

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2024-11-06 RAVI FlexShares Ready Access Variable Income Fund 74.94 -0.03
-0.05%

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2024-11-05 RAVI FlexShares Ready Access Variable Income Fund 74.94 0.00
0.00%

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2024-11-04 RAVI FlexShares Ready Access Variable Income Fund 74.94 -0.00
-0.01%

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2024-11-01 RAVI FlexShares Ready Access Variable Income Fund 74.89 -0.05
-0.07%

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2024-10-31 RAVI FlexShares Ready Access Variable Income Fund 74.86 -0.02
-0.03%

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2024-10-30 RAVI FlexShares Ready Access Variable Income Fund 74.85 -0.01
-0.01%

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2024-10-29 RAVI FlexShares Ready Access Variable Income Fund 74.86 0.01
0.01%

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2024-10-28 RAVI FlexShares Ready Access Variable Income Fund 74.85 -0.01
-0.02%

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2024-10-25 RAVI FlexShares Ready Access Variable Income Fund 74.84 -0.01
-0.01%

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2024-10-24 RAVI FlexShares Ready Access Variable Income Fund 74.85 0.01
0.01%

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2024-10-23 RAVI FlexShares Ready Access Variable Income Fund 74.79 -0.06
-0.08%

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2024-10-22 RAVI FlexShares Ready Access Variable Income Fund 74.80 0.01
0.01%

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2024-10-21 RAVI FlexShares Ready Access Variable Income Fund 74.81 0.01
0.01%

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2024-10-18 RAVI FlexShares Ready Access Variable Income Fund 74.81 0.00
0.01%

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2024-10-17 RAVI FlexShares Ready Access Variable Income Fund 74.79 -0.02
-0.03%

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2024-10-16 RAVI FlexShares Ready Access Variable Income Fund 74.79 -0.00
0.00%

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2024-10-15 RAVI FlexShares Ready Access Variable Income Fund 74.78 -0.00
-0.01%

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2024-10-14 RAVI FlexShares Ready Access Variable Income Fund 74.78 -0.00
-0.01%

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2024-10-11 RAVI FlexShares Ready Access Variable Income Fund 74.76 -0.02
-0.03%

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2024-10-10 RAVI FlexShares Ready Access Variable Income Fund 74.72 -0.03
-0.05%

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2024-10-09 RAVI FlexShares Ready Access Variable Income Fund 74.71 -0.01
-0.02%

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2024-10-08 RAVI FlexShares Ready Access Variable Income Fund 74.70 -0.01
-0.02%

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2024-10-07 RAVI FlexShares Ready Access Variable Income Fund 74.69 -0.01
-0.01%

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2024-10-04 RAVI FlexShares Ready Access Variable Income Fund 74.67 -0.02
-0.03%

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2024-10-03 RAVI FlexShares Ready Access Variable Income Fund 74.70 0.04
0.05%

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2024-10-02 RAVI FlexShares Ready Access Variable Income Fund 74.71 0.00
0.01%

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2024-10-01 RAVI FlexShares Ready Access Variable Income Fund 74.69 -0.01
-0.02%

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2024-09-30 RAVI FlexShares Ready Access Variable Income Fund 74.68 -0.02
-0.03%

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2024-09-27 RAVI FlexShares Ready Access Variable Income Fund 74.66 -0.02
-0.02%

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2024-09-26 RAVI FlexShares Ready Access Variable Income Fund 74.65 -0.01
-0.02%

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2024-09-25 RAVI FlexShares Ready Access Variable Income Fund 74.63 -0.02
-0.03%

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2024-09-24 RAVI FlexShares Ready Access Variable Income Fund 74.63 0.01
0.01%

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2024-09-23 RAVI FlexShares Ready Access Variable Income Fund 74.61 -0.02
-0.03%

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2024-09-20 RAVI FlexShares Ready Access Variable Income Fund 74.58 -0.03
-0.04%

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2024-09-19 RAVI FlexShares Ready Access Variable Income Fund 74.57 -0.01
-0.01%

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2024-09-18 RAVI FlexShares Ready Access Variable Income Fund 74.56 -0.01
-0.02%

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2024-09-17 RAVI FlexShares Ready Access Variable Income Fund 74.54 -0.02
-0.03%

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2024-09-16 RAVI FlexShares Ready Access Variable Income Fund 74.54 -0.00
0.00%

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2024-09-13 RAVI FlexShares Ready Access Variable Income Fund 74.50 -0.04
-0.05%

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2024-09-12 RAVI FlexShares Ready Access Variable Income Fund 74.47 -0.03
-0.04%

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2024-09-11 RAVI FlexShares Ready Access Variable Income Fund 74.45 -0.02
-0.03%

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2024-09-10 RAVI FlexShares Ready Access Variable Income Fund 74.43 -0.02
-0.03%

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2024-09-09 RAVI FlexShares Ready Access Variable Income Fund 74.41 -0.02
-0.03%

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2024-09-06 RAVI FlexShares Ready Access Variable Income Fund 74.40 -0.01
-0.01%

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2024-09-05 RAVI FlexShares Ready Access Variable Income Fund 74.37 -0.03
-0.04%

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2024-09-04 RAVI FlexShares Ready Access Variable Income Fund 74.35 -0.02
-0.03%

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2024-09-03 RAVI FlexShares Ready Access Variable Income Fund 74.29 -0.05
-0.07%

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2024-08-30 RAVI FlexShares Ready Access Variable Income Fund 74.27 -0.02
-0.03%

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2024-08-29 RAVI FlexShares Ready Access Variable Income Fund 74.22 -0.05
-0.07%

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2024-08-28 RAVI FlexShares Ready Access Variable Income Fund 74.20 -0.02
-0.03%

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2024-08-27 RAVI FlexShares Ready Access Variable Income Fund 74.22 0.02
0.03%

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2024-08-26 RAVI FlexShares Ready Access Variable Income Fund 74.19 -0.03
-0.04%

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2024-08-23 RAVI FlexShares Ready Access Variable Income Fund 74.18 -0.01
-0.01%

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2024-08-22 RAVI FlexShares Ready Access Variable Income Fund 74.12 -0.06
-0.09%

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2024-08-21 RAVI FlexShares Ready Access Variable Income Fund 74.13 0.01
0.02%

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2024-08-20 RAVI FlexShares Ready Access Variable Income Fund 74.11 -0.02
-0.03%

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2024-08-19 RAVI FlexShares Ready Access Variable Income Fund 74.10 -0.01
-0.01%

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2024-08-16 RAVI FlexShares Ready Access Variable Income Fund 74.08 -0.02
-0.03%

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2024-08-15 RAVI FlexShares Ready Access Variable Income Fund 74.02 -0.06
-0.08%

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2024-08-14 RAVI FlexShares Ready Access Variable Income Fund 74.03 0.01
0.01%

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2024-08-13 RAVI FlexShares Ready Access Variable Income Fund 74.03 0.00
0.00%

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2024-08-12 RAVI FlexShares Ready Access Variable Income Fund 74.00 -0.03
-0.04%

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2024-08-09 RAVI FlexShares Ready Access Variable Income Fund 73.98 -0.02
-0.03%

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2024-08-08 RAVI FlexShares Ready Access Variable Income Fund 73.96 -0.02
-0.03%

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2024-08-07 RAVI FlexShares Ready Access Variable Income Fund 73.96 -0.00
-0.01%

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2024-08-06 RAVI FlexShares Ready Access Variable Income Fund 73.95 -0.00
-0.01%

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2024-08-05 RAVI FlexShares Ready Access Variable Income Fund 73.96 0.00
0.01%

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2024-08-02 RAVI FlexShares Ready Access Variable Income Fund 73.94 -0.01
-0.02%

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2024-08-01 RAVI FlexShares Ready Access Variable Income Fund 73.89 -0.05
-0.07%

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2024-07-31 RAVI FlexShares Ready Access Variable Income Fund 73.86 -0.03
-0.04%

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2024-07-30 RAVI FlexShares Ready Access Variable Income Fund 73.86 0.00
0.00%

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2024-07-29 RAVI FlexShares Ready Access Variable Income Fund 73.86 -0.00
-0.01%

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2024-07-26 RAVI FlexShares Ready Access Variable Income Fund 73.84 -0.01
-0.02%

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2024-07-25 RAVI FlexShares Ready Access Variable Income Fund 73.77 -0.07
-0.09%

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2024-07-24 RAVI FlexShares Ready Access Variable Income Fund 73.77 -0.01
-0.01%

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2024-07-23 RAVI FlexShares Ready Access Variable Income Fund 73.74 -0.02
-0.03%

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2024-07-22 RAVI FlexShares Ready Access Variable Income Fund 73.73 -0.01
-0.01%

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2024-07-19 RAVI FlexShares Ready Access Variable Income Fund 73.71 -0.02
-0.03%

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2024-07-18 RAVI FlexShares Ready Access Variable Income Fund 73.68 -0.03
-0.04%

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2024-07-17 RAVI FlexShares Ready Access Variable Income Fund 73.67 -0.01
-0.01%

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2024-07-16 RAVI FlexShares Ready Access Variable Income Fund 73.68 0.01
0.01%

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2024-07-15 RAVI FlexShares Ready Access Variable Income Fund 73.67 -0.01
-0.01%

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2024-07-12 RAVI FlexShares Ready Access Variable Income Fund 73.65 -0.02
-0.03%

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2024-07-11 RAVI FlexShares Ready Access Variable Income Fund 73.61 -0.04
-0.06%

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2024-07-10 RAVI FlexShares Ready Access Variable Income Fund 73.59 -0.02
-0.03%

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2024-07-09 RAVI FlexShares Ready Access Variable Income Fund 73.58 -0.01
-0.02%

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2024-07-08 RAVI FlexShares Ready Access Variable Income Fund 73.56 -0.02
-0.03%

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2024-07-05 RAVI FlexShares Ready Access Variable Income Fund 73.55 -0.00
-0.01%

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2024-07-03 RAVI FlexShares Ready Access Variable Income Fund 73.50 -0.05
-0.07%

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2024-07-02 RAVI FlexShares Ready Access Variable Income Fund 73.48 -0.02
-0.03%

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2024-07-01 RAVI FlexShares Ready Access Variable Income Fund 73.46 -0.01
-0.02%

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2024-06-28 RAVI FlexShares Ready Access Variable Income Fund 73.46 0.00
0.00%

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2024-06-27 RAVI FlexShares Ready Access Variable Income Fund 73.42 -0.05
-0.07%

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2024-06-26 RAVI FlexShares Ready Access Variable Income Fund 73.40 -0.01
-0.02%

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2024-06-25 RAVI FlexShares Ready Access Variable Income Fund 73.40 -0.00
0.00%

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2024-06-24 RAVI FlexShares Ready Access Variable Income Fund 73.41 0.00
0.01%

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2024-06-21 RAVI FlexShares Ready Access Variable Income Fund 73.39 -0.01
-0.02%

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2024-06-20 RAVI FlexShares Ready Access Variable Income Fund 73.38 -0.01
-0.02%

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2024-06-18 RAVI FlexShares Ready Access Variable Income Fund 73.35 -0.02
-0.03%

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2024-06-17 RAVI FlexShares Ready Access Variable Income Fund 73.35 -0.00
-0.01%

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2024-06-14 RAVI FlexShares Ready Access Variable Income Fund 73.34 -0.01
-0.01%

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2024-06-13 RAVI FlexShares Ready Access Variable Income Fund 73.34 0.00
0.00%

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2024-06-12 RAVI FlexShares Ready Access Variable Income Fund 73.31 -0.03
-0.04%

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2024-06-11 RAVI FlexShares Ready Access Variable Income Fund 73.28 -0.02
-0.03%

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2024-06-10 RAVI FlexShares Ready Access Variable Income Fund 73.28 -0.00
0.00%

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2024-06-07 RAVI FlexShares Ready Access Variable Income Fund 73.24 -0.04
-0.06%

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2024-06-06 RAVI FlexShares Ready Access Variable Income Fund 73.25 0.01
0.01%

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2024-06-05 RAVI FlexShares Ready Access Variable Income Fund 73.25 0.00
0.00%

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2024-06-04 RAVI FlexShares Ready Access Variable Income Fund 73.21 -0.04
-0.05%

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2024-06-03 RAVI FlexShares Ready Access Variable Income Fund 73.18 -0.03
-0.04%

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2024-05-31 RAVI FlexShares Ready Access Variable Income Fund 73.14 -0.04
-0.06%

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2024-05-30 RAVI FlexShares Ready Access Variable Income Fund 73.13 -0.01
-0.01%

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2024-05-29 RAVI FlexShares Ready Access Variable Income Fund 73.11 -0.02
-0.03%

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2024-05-28 RAVI FlexShares Ready Access Variable Income Fund 73.11 -0.00
-0.01%

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2024-05-24 RAVI FlexShares Ready Access Variable Income Fund 73.11 0.00
0.01%

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2024-05-23 RAVI FlexShares Ready Access Variable Income Fund 73.08 -0.03
-0.04%

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2024-05-22 RAVI FlexShares Ready Access Variable Income Fund 73.03 -0.05
-0.07%

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2024-05-21 RAVI FlexShares Ready Access Variable Income Fund 73.03 0.00
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2024-05-20 RAVI FlexShares Ready Access Variable Income Fund 73.01 -0.02
-0.03%

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2024-05-17 RAVI FlexShares Ready Access Variable Income Fund 73.01 -0.00
0.00%

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2024-05-16 RAVI FlexShares Ready Access Variable Income Fund 72.98 -0.02
-0.03%

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2024-05-15 RAVI FlexShares Ready Access Variable Income Fund 72.98 -0.00
-0.01%

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2024-05-14 RAVI FlexShares Ready Access Variable Income Fund 72.95 -0.03
-0.04%

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2024-05-13 RAVI FlexShares Ready Access Variable Income Fund 72.94 -0.01
-0.02%

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2024-05-10 RAVI FlexShares Ready Access Variable Income Fund 72.92 -0.02
-0.03%

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2024-05-09 RAVI FlexShares Ready Access Variable Income Fund 72.90 -0.01
-0.02%

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2024-05-08 RAVI FlexShares Ready Access Variable Income Fund 72.90 -0.00
0.00%

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2024-05-07 RAVI FlexShares Ready Access Variable Income Fund 72.87 -0.03
-0.04%

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2024-05-06 RAVI FlexShares Ready Access Variable Income Fund 72.87 -0.00
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2024-05-03 RAVI FlexShares Ready Access Variable Income Fund 72.86 -0.01
-0.01%

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2024-05-02 RAVI FlexShares Ready Access Variable Income Fund 72.82 -0.04
-0.06%

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2024-05-01 RAVI FlexShares Ready Access Variable Income Fund 72.81 -0.01
-0.02%

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2024-04-30 RAVI FlexShares Ready Access Variable Income Fund 72.76 -0.04
-0.06%

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2024-04-29 RAVI FlexShares Ready Access Variable Income Fund 72.79 0.03
0.04%

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2024-04-26 RAVI FlexShares Ready Access Variable Income Fund 72.75 -0.04
-0.05%

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2024-04-25 RAVI FlexShares Ready Access Variable Income Fund 72.73 -0.03
-0.04%

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2024-04-24 RAVI FlexShares Ready Access Variable Income Fund 72.73 0.00
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2024-04-23 RAVI FlexShares Ready Access Variable Income Fund 72.71 -0.02
-0.03%

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2024-04-22 RAVI FlexShares Ready Access Variable Income Fund 72.69 -0.02
-0.03%

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2024-04-19 RAVI FlexShares Ready Access Variable Income Fund 72.65 -0.03
-0.05%

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2024-04-18 RAVI FlexShares Ready Access Variable Income Fund 72.65 -0.00
-0.01%

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2024-04-17 RAVI FlexShares Ready Access Variable Income Fund 72.63 -0.02
-0.03%

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2024-04-16 RAVI FlexShares Ready Access Variable Income Fund 72.60 -0.03
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2024-04-15 RAVI FlexShares Ready Access Variable Income Fund 72.60 0.01
0.01%

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2024-04-12 RAVI FlexShares Ready Access Variable Income Fund 72.60 -0.01
-0.01%

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2024-04-11 RAVI FlexShares Ready Access Variable Income Fund 72.58 -0.02
-0.03%

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2024-04-10 RAVI FlexShares Ready Access Variable Income Fund 72.55 -0.03
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2024-04-09 RAVI FlexShares Ready Access Variable Income Fund 72.58 0.03
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2024-04-08 RAVI FlexShares Ready Access Variable Income Fund 72.56 -0.02
-0.03%

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2024-04-05 RAVI FlexShares Ready Access Variable Income Fund 72.54 -0.02
-0.03%

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2024-04-04 RAVI FlexShares Ready Access Variable Income Fund 72.52 -0.02
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2024-04-03 RAVI FlexShares Ready Access Variable Income Fund 72.53 0.01
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2024-04-02 RAVI FlexShares Ready Access Variable Income Fund 72.50 -0.03
-0.05%

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2024-04-01 RAVI FlexShares Ready Access Variable Income Fund 72.47 -0.02
-0.03%

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2024-03-28 RAVI FlexShares Ready Access Variable Income Fund 72.45 -0.02
-0.03%

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2024-03-27 RAVI FlexShares Ready Access Variable Income Fund 72.45 -0.00
-0.01%

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2024-03-26 RAVI FlexShares Ready Access Variable Income Fund 72.42 -0.03
-0.04%

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2024-03-25 RAVI FlexShares Ready Access Variable Income Fund 72.42 0.00
0.00%

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2024-03-22 RAVI FlexShares Ready Access Variable Income Fund 72.42 0.00
0.00%

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2024-03-21 RAVI FlexShares Ready Access Variable Income Fund 72.37 -0.05
-0.07%

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2024-03-20 RAVI FlexShares Ready Access Variable Income Fund 72.36 -0.01
-0.01%

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2024-03-19 RAVI FlexShares Ready Access Variable Income Fund 72.33 -0.03
-0.05%

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2024-03-18 RAVI FlexShares Ready Access Variable Income Fund 72.32 -0.00
-0.01%

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2024-03-15 RAVI FlexShares Ready Access Variable Income Fund 72.29 -0.03
-0.05%

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2024-03-14 RAVI FlexShares Ready Access Variable Income Fund 72.28 -0.01
-0.01%

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2024-03-13 RAVI FlexShares Ready Access Variable Income Fund 72.29 0.01
0.01%

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2024-03-12 RAVI FlexShares Ready Access Variable Income Fund 72.28 -0.01
-0.02%

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2024-03-11 RAVI FlexShares Ready Access Variable Income Fund 72.28 0.01
0.01%

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2024-03-08 RAVI FlexShares Ready Access Variable Income Fund 72.26 -0.02
-0.03%

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2024-03-07 RAVI FlexShares Ready Access Variable Income Fund 72.24 -0.03
-0.04%

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2024-03-06 RAVI FlexShares Ready Access Variable Income Fund 72.21 -0.02
-0.03%

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2024-03-05 RAVI FlexShares Ready Access Variable Income Fund 72.17 -0.04
-0.06%

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2024-03-04 RAVI FlexShares Ready Access Variable Income Fund 72.19 0.02
0.02%

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2024-03-01 RAVI FlexShares Ready Access Variable Income Fund 72.17 -0.02
-0.03%

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2024-02-29 RAVI FlexShares Ready Access Variable Income Fund 72.13 -0.04
-0.06%

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2024-02-28 RAVI FlexShares Ready Access Variable Income Fund 72.11 -0.02
-0.03%

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2024-02-27 RAVI FlexShares Ready Access Variable Income Fund 72.10 -0.00
-0.01%

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2024-02-26 RAVI FlexShares Ready Access Variable Income Fund 72.10 -0.00
0.00%

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2024-02-23 RAVI FlexShares Ready Access Variable Income Fund 72.08 -0.02
-0.03%

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2024-02-22 RAVI FlexShares Ready Access Variable Income Fund 72.04 -0.03
-0.05%

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2024-02-21 RAVI FlexShares Ready Access Variable Income Fund 72.05 0.00
0.01%

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2024-02-20 RAVI FlexShares Ready Access Variable Income Fund 72.03 -0.01
-0.02%

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2024-02-16 RAVI FlexShares Ready Access Variable Income Fund 72.01 -0.03
-0.04%

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2024-02-15 RAVI FlexShares Ready Access Variable Income Fund 71.97 -0.03
-0.05%

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2024-02-14 RAVI FlexShares Ready Access Variable Income Fund 71.95 -0.02
-0.03%

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2024-02-13 RAVI FlexShares Ready Access Variable Income Fund 71.92 -0.03
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2024-02-12 RAVI FlexShares Ready Access Variable Income Fund 71.94 0.02
0.03%

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2024-02-09 RAVI FlexShares Ready Access Variable Income Fund 71.93 -0.01
-0.02%

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2024-02-08 RAVI FlexShares Ready Access Variable Income Fund 71.91 -0.02
-0.03%

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2024-02-07 RAVI FlexShares Ready Access Variable Income Fund 71.90 -0.00
-0.01%

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2024-02-06 RAVI FlexShares Ready Access Variable Income Fund 71.88 -0.02
-0.03%

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2024-02-05 RAVI FlexShares Ready Access Variable Income Fund 71.85 -0.02
-0.03%

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2024-02-02 RAVI FlexShares Ready Access Variable Income Fund 71.85 -0.00
-0.01%

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2024-02-01 RAVI FlexShares Ready Access Variable Income Fund 71.85 0.00
0.00%

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2024-01-31 RAVI FlexShares Ready Access Variable Income Fund 71.84 -0.01
-0.02%

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2024-01-30 RAVI FlexShares Ready Access Variable Income Fund 71.79 -0.04
-0.06%

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2024-01-29 RAVI FlexShares Ready Access Variable Income Fund 71.80 0.01
0.01%

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2024-01-26 RAVI FlexShares Ready Access Variable Income Fund 71.78 -0.02
-0.03%

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2024-01-25 RAVI FlexShares Ready Access Variable Income Fund 71.77 -0.01
-0.01%

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2024-01-24 RAVI FlexShares Ready Access Variable Income Fund 71.74 -0.03
-0.05%

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2024-01-23 RAVI FlexShares Ready Access Variable Income Fund 71.73 -0.00
-0.01%

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2024-01-22 RAVI FlexShares Ready Access Variable Income Fund 71.72 -0.01
-0.01%

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2024-01-19 RAVI FlexShares Ready Access Variable Income Fund 71.69 -0.03
-0.05%

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2024-01-18 RAVI FlexShares Ready Access Variable Income Fund 71.67 -0.01
-0.02%

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2024-01-17 RAVI FlexShares Ready Access Variable Income Fund 71.67 -0.01
-0.01%

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2024-01-16 RAVI FlexShares Ready Access Variable Income Fund 71.66 -0.00
-0.01%

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2024-01-12 RAVI FlexShares Ready Access Variable Income Fund 71.65 -0.01
-0.02%

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2024-01-11 RAVI FlexShares Ready Access Variable Income Fund 71.62 -0.03
-0.04%

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2024-01-10 RAVI FlexShares Ready Access Variable Income Fund 71.57 -0.05
-0.07%

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2024-01-09 RAVI FlexShares Ready Access Variable Income Fund 71.55 -0.02
-0.03%

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2024-01-08 RAVI FlexShares Ready Access Variable Income Fund 71.54 -0.01
-0.01%

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2024-01-05 RAVI FlexShares Ready Access Variable Income Fund 71.51 -0.03
-0.05%

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2024-01-04 RAVI FlexShares Ready Access Variable Income Fund 71.47 -0.04
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2024-01-03 RAVI FlexShares Ready Access Variable Income Fund 71.45 -0.02
-0.03%

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2024-01-02 RAVI FlexShares Ready Access Variable Income Fund 71.44 -0.01
-0.01%

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2023-12-29 RAVI FlexShares Ready Access Variable Income Fund 71.44 -0.01
-0.01%

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2023-12-28 RAVI FlexShares Ready Access Variable Income Fund 71.42 -0.02
-0.03%

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2023-12-27 RAVI FlexShares Ready Access Variable Income Fund 71.41 -0.01
-0.01%

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2023-12-26 RAVI FlexShares Ready Access Variable Income Fund 71.39 -0.02
-0.03%

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2023-12-22 RAVI FlexShares Ready Access Variable Income Fund 71.36 -0.03
-0.04%

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2023-12-21 RAVI FlexShares Ready Access Variable Income Fund 71.32 -0.04
-0.05%

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2023-12-20 RAVI FlexShares Ready Access Variable Income Fund 71.28 -0.04
-0.06%

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2023-12-19 RAVI FlexShares Ready Access Variable Income Fund 71.26 -0.02
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2023-12-18 RAVI FlexShares Ready Access Variable Income Fund 71.27 0.00
0.01%

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2023-12-15 RAVI FlexShares Ready Access Variable Income Fund 71.23 -0.04
-0.05%

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2023-12-14 RAVI FlexShares Ready Access Variable Income Fund 71.22 -0.01
-0.01%

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2023-12-13 RAVI FlexShares Ready Access Variable Income Fund 71.19 -0.03
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2023-12-12 RAVI FlexShares Ready Access Variable Income Fund 71.12 -0.07
-0.09%

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2023-12-11 RAVI FlexShares Ready Access Variable Income Fund 71.12 0.00
0.01%

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2023-12-08 RAVI FlexShares Ready Access Variable Income Fund 71.11 -0.02
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2023-12-07 RAVI FlexShares Ready Access Variable Income Fund 71.13 0.02
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2023-12-06 RAVI FlexShares Ready Access Variable Income Fund 71.10 -0.03
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2023-12-05 RAVI FlexShares Ready Access Variable Income Fund 71.11 0.01
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2023-12-04 RAVI FlexShares Ready Access Variable Income Fund 71.08 -0.02
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2023-12-01 RAVI FlexShares Ready Access Variable Income Fund 71.07 -0.01
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2023-11-30 RAVI FlexShares Ready Access Variable Income Fund 71.00 -0.06
-0.09%

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2023-11-29 RAVI FlexShares Ready Access Variable Income Fund 71.01 0.01
0.01%

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2023-11-28 RAVI FlexShares Ready Access Variable Income Fund 70.98 -0.03
-0.05%

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2023-11-27 RAVI FlexShares Ready Access Variable Income Fund 70.95 -0.03
-0.04%

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2023-11-24 RAVI FlexShares Ready Access Variable Income Fund 70.90 -0.05
-0.07%

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2023-11-22 RAVI FlexShares Ready Access Variable Income Fund 70.90 -0.00
-0.01%

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2023-11-21 RAVI FlexShares Ready Access Variable Income Fund 70.89 -0.01
-0.01%

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2023-11-20 RAVI FlexShares Ready Access Variable Income Fund 70.88 -0.01
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2023-11-17 RAVI FlexShares Ready Access Variable Income Fund 70.84 -0.04
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2023-11-16 RAVI FlexShares Ready Access Variable Income Fund 70.81 -0.03
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2023-11-15 RAVI FlexShares Ready Access Variable Income Fund 70.79 -0.02
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2023-11-14 RAVI FlexShares Ready Access Variable Income Fund 70.80 0.01
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2023-11-13 RAVI FlexShares Ready Access Variable Income Fund 70.76 -0.04
-0.06%

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2023-11-10 RAVI FlexShares Ready Access Variable Income Fund 70.74 -0.02
-0.03%

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2023-11-09 RAVI FlexShares Ready Access Variable Income Fund 70.72 -0.02
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2023-11-08 RAVI FlexShares Ready Access Variable Income Fund 70.71 -0.01
-0.02%

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2023-11-07 RAVI FlexShares Ready Access Variable Income Fund 70.70 -0.01
-0.01%

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2023-11-06 RAVI FlexShares Ready Access Variable Income Fund 70.68 -0.02
-0.03%

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2023-11-03 RAVI FlexShares Ready Access Variable Income Fund 70.69 0.01
0.02%

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2023-11-02 RAVI FlexShares Ready Access Variable Income Fund 70.64 -0.05
-0.07%

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2023-11-01 RAVI FlexShares Ready Access Variable Income Fund 70.63 -0.01
-0.01%

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2023-10-31 RAVI FlexShares Ready Access Variable Income Fund 70.59 -0.05
-0.07%

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2023-10-30 RAVI FlexShares Ready Access Variable Income Fund 70.59 -0.00
0.00%

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2023-10-27 RAVI FlexShares Ready Access Variable Income Fund 70.57 -0.02
-0.03%

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2023-10-26 RAVI FlexShares Ready Access Variable Income Fund 70.56 -0.00
-0.01%

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2023-10-25 RAVI FlexShares Ready Access Variable Income Fund 70.54 -0.02
-0.03%

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2023-10-24 RAVI FlexShares Ready Access Variable Income Fund 70.53 -0.01
-0.02%

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2023-10-23 RAVI FlexShares Ready Access Variable Income Fund 70.52 -0.01
-0.01%

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2023-10-20 RAVI FlexShares Ready Access Variable Income Fund 70.51 -0.01
-0.01%

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2023-10-19 RAVI FlexShares Ready Access Variable Income Fund 70.47 -0.04
-0.05%

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2023-10-18 RAVI FlexShares Ready Access Variable Income Fund 70.45 -0.01
-0.02%

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2023-10-17 RAVI FlexShares Ready Access Variable Income Fund 70.44 -0.01
-0.02%

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2023-10-16 RAVI FlexShares Ready Access Variable Income Fund 70.45 0.01
0.01%

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2023-10-13 RAVI FlexShares Ready Access Variable Income Fund 70.43 -0.02
-0.03%

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2023-10-12 RAVI FlexShares Ready Access Variable Income Fund 70.41 -0.02
-0.03%

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