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McGowan Group Asset Management, Inc. > LIT

DateNameTickerSharesChangeValueChangePrice
03/31/2023Global X FundsLIT0-141,6520-9,362,000 
09/30/2022Global X FundsLIT141,652-1,3879,362,000-1,026,000$66.09
06/30/2022Global X FundsLIT143,039-3,26010,388,000-874,000$72.62
03/31/2022Global X FundsLIT146,299-7,39311,262,000-1,716,000$76.98
12/31/2021Global X FundsLIT153,692145,95412,978,00012,344,000$84.44
09/30/2021Global X FundsLIT7,7387,738634,000634,000$81.93
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