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M Holdings Securities, Inc. > VCIT

DateNameTickerSharesChangeValueChangePrice
12/31/2022VANGUARD SCOTTSDALE FUNDSVCIT154,904-2,93612,007,00062,000$77.51
09/30/2022VANGUARD SCOTTSDALE FUNDSVCIT157,840-35,01411,945,000-3,487,000$75.68
06/30/2022VANGUARD SCOTTSDALE FUNDSVCIT192,854-74,46315,432,000-7,568,000$80.02
03/31/2022VANGUARD SCOTTSDALE FUNDSVCIT267,31722,97323,000,000-230,000$86.04
06/30/2021VANGUARD SCOTTSDALE FUNDSVCIT244,34412,24623,230,0001,638,000$95.07
03/31/2021VANGUARD SCOTTSDALE FUNDSVCIT232,09824,10921,592,0001,388,000$93.03
12/31/2020VANGUARD SCOTTSDALE FUNDSVCIT207,9899,80720,204,0001,218,000$97.14
09/30/2020VANGUARD SCOTTSDALE FUNDSVCIT198,18222,15818,986,0002,239,000$95.80
06/30/2020VANGUARD SCOTTSDALE FUNDSVCIT176,02439,30416,747,0004,840,000$95.14
03/31/2020VANGUARD SCOTTSDALE FUNDSVCIT136,720113,97311,907,0009,830,000$87.09
12/31/2019VANGUARD SCOTTSDALE FUNDSVCIT22,7478,3202,077,000781,000$91.31
06/30/2019VANGUARD SCOTTSDALE FUNDSVCIT14,4272,1061,296,000226,000$89.83
03/31/2019VANGUARD SCOTTSDALE FUNDSVCIT12,3213,0871,070,000305,000$86.84
12/31/2018VANGUARD SCOTTSDALE FUNDSVCIT9,234-471765,000-46,000$82.85
09/30/2018VANGUARD SCOTTSDALE FUNDSVCIT9,705-308811,000-25,000$83.57
06/30/2018VANGUARD SCOTTSDALE FUNDSVCIT10,013492836,00028,000$83.49
03/31/2018VANGUARD SCOTTSDALE FUNDSVCIT9,521-2,111808,000-209,000$84.87
12/31/2017VANGUARD SCOTTSDALE FUNDSVCIT11,6328821,017,00071,000$87.43
09/30/2017VANGUARD SCOTTSDALE FUNDSVCIT10,750349946,00036,000$88.00
06/30/2017VANGUARD SCOTTSDALE FUNDSVCIT10,401901910,00089,000$87.49
03/31/2017VANGUARD SCOTTSDALE FUNDSVCIT9,5009,500821,000821,000$86.42
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