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Western Wealth Management, LLC > QYLD

DateNameTickerSharesChangeValueChangePrice
12/31/2022Global X FundsQYLD10,295-10,645163,797,000163,469,000$15,910.34
09/30/2022Global X FundsQYLD20,940-709328,000-48,000$15.66
06/30/2022Global X FundsQYLD21,649-12,194376,000-334,000$17.37
03/31/2022Global X FundsQYLD33,84310,274710,000188,000$20.98
12/31/2021Global X FundsQYLD23,5697,157522,000155,000$22.15
06/30/2021Global X FundsQYLD16,4126,196367,000134,000$22.36
12/31/2020Global X FundsQYLD10,21610,216233,000233,000$22.81
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