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Sterling Investment Advisors, Ltd. > LIT

DateNameTickerSharesChangeValueChangePrice
06/30/2023Global X FundsLIT3,4503,450224,319,000224,319,000$65,020.00
12/31/2022Global X FundsLIT0-3,4500-251,000 
06/30/2022Global X FundsLIT3,450925251,00057,000$72.75
03/31/2022Global X FundsLIT2,5250194,000-19,000$76.83
12/31/2021Global X FundsLIT2,525600213,00055,000$84.36
09/30/2021Global X FundsLIT1,9250158,00019,000$82.08
06/30/2021Global X FundsLIT1,9250139,00026,000$72.21
03/31/2021Global X FundsLIT1,9250113,00036,000$58.70
09/30/2020Global X FundsLIT1,925077,00017,000$40.00
06/30/2020Global X FundsLIT1,925060,00019,000$31.17
03/31/2020Global X FundsLIT1,92577541,00010,000$21.30
12/31/2019Global X FundsLIT1,150031,0003,000$26.96
09/30/2019Global X FundsLIT1,1501,15028,00028,000$24.35
06/30/2019Global X FundsLIT0-1,1500-33,000 
03/31/2019Global X FundsLIT1,150033,0002,000$28.70
12/31/2018Global X FundsLIT1,150-80031,000-33,000$26.96
09/30/2018Global X FundsLIT1,950-2,00064,000-64,000$32.82
06/30/2018Global X FundsLIT3,950-400128,000-15,000$32.41
03/31/2018Global X FundsLIT4,3504,350143,000143,000$32.87
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