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Equitable Holdings, Inc. > VCIT

DateNameTickerSharesChangeValueChangePrice
06/30/2023VANGUARD SCOTTSDALE FUNDSVCIT666,82076,83552,698,785,0005,370,188,000$79,030.00
03/31/2023VANGUARD SCOTTSDALE FUNDSVCIT589,985-21,04147,328,597,000-32,029,000$80,220.00
12/31/2022VANGUARD SCOTTSDALE FUNDSVCIT611,026128,32347,360,626,00047,324,096,000$77,510.00
09/30/2022VANGUARD SCOTTSDALE FUNDSVCIT482,70379,20636,530,0004,242,000$75.68
06/30/2022VANGUARD SCOTTSDALE FUNDSVCIT403,4972,23932,288,000-2,236,000$80.02
03/31/2022VANGUARD SCOTTSDALE FUNDSVCIT401,25860,41734,524,0002,908,000$86.04
12/31/2021VANGUARD SCOTTSDALE FUNDSVCIT340,84154,14331,616,0004,549,000$92.76
09/30/2021VANGUARD SCOTTSDALE FUNDSVCIT286,69864,51127,067,0006,397,000$94.41
03/31/2021VANGUARD SCOTTSDALE FUNDSVCIT222,18721,89420,670,0001,213,000$93.03
12/31/2020VANGUARD SCOTTSDALE FUNDSVCIT200,29316,62919,457,0001,862,000$97.14
09/30/2020VANGUARD SCOTTSDALE FUNDSVCIT183,664-6,65717,595,000-512,000$95.80
06/30/2020VANGUARD SCOTTSDALE FUNDSVCIT190,32140,97218,107,0005,100,000$95.14
03/31/2020VANGUARD SCOTTSDALE FUNDSVCIT149,34938,72013,007,0002,903,000$87.09
12/31/2019VANGUARD SCOTTSDALE FUNDSVCIT110,629110,62910,104,00010,104,000$91.33
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