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Equitable Holdings, Inc. > VONV

DateNameTickerSharesChangeValueChangePrice
06/30/2023VANGUARD SCOTTSDALE FUNDSVONV786,62950,14554,442,593,0005,238,097,000$69,210.00
03/31/2023VANGUARD SCOTTSDALE FUNDSVONV736,484-7,25649,204,496,000-313,713,000$66,810.00
12/31/2022VANGUARD SCOTTSDALE FUNDSVONV743,740-15,86349,518,209,00049,472,868,000$66,580.00
09/30/2022VANGUARD SCOTTSDALE FUNDSVONV759,603-170,48045,341,000-13,766,000$59.69
06/30/2022VANGUARD SCOTTSDALE FUNDSVONV930,083-122,81859,107,000-17,544,000$63.55
03/31/2022VANGUARD SCOTTSDALE FUNDSVONV1,052,9017,62176,651,000-428,000$72.80
12/31/2021VANGUARD SCOTTSDALE FUNDSVONV1,045,2807,82077,079,0005,795,000$73.74
09/30/2021VANGUARD SCOTTSDALE FUNDSVONV1,037,460730,77171,284,00030,516,000$68.71
03/31/2021VANGUARD SCOTTSDALE FUNDSVONV306,68967,04340,768,00012,054,000$132.93
12/31/2020VANGUARD SCOTTSDALE FUNDSVONV239,64610,35128,714,0004,922,000$119.82
09/30/2020VANGUARD SCOTTSDALE FUNDSVONV229,29530,66023,792,0004,155,000$103.76
06/30/2020VANGUARD SCOTTSDALE FUNDSVONV198,63573,30119,637,0008,731,000$98.86
03/31/2020VANGUARD SCOTTSDALE FUNDSVONV125,334125,33410,906,00010,906,000$87.02
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