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Russell Investments Group, Ltd. > VMD

DateNameTickerSharesChangeValueChangePrice
06/30/2023VIEMED HEALTHCARE, INC.VMD128,973-24,1121,261,354,000-217,445,000$9,779.98
03/31/2023VIEMED HEALTHCARE, INC.VMD153,085-4,2891,478,799,000289,054,000$9,659.99
12/31/2022VIEMED HEALTHCARE, INC.VMD157,374157,3741,189,745,0001,189,745,000$7,559.98
03/31/2022VIEMED HEALTHCARE, INC.VMD0-616,7250-3,219,000 
12/31/2021VIEMED HEALTHCARE, INC.VMD616,725169,2633,219,000737,000$5.22
09/30/2021VIEMED HEALTHCARE, INC.VMD447,462253,0972,482,0001,092,000$5.55
06/30/2021VIEMED HEALTHCARE, INC.VMD194,365-32,9911,390,000-914,000$7.15
03/31/2021VIEMED HEALTHCARE, INC.VMD227,356101,1562,304,0001,325,000$10.13
12/31/2020VIEMED HEALTHCARE, INC.VMD126,20055,700979,000370,000$7.76
09/30/2020VIEMED HEALTHCARE, INC.VMD70,500-24,500609,000-303,000$8.64
06/30/2020VIEMED HEALTHCARE, INC.VMD95,00095,000912,000912,000$9.60
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