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Equitable Holdings, Inc. > VTI

DateNameTickerSharesChangeValueChangePrice
06/30/2023VANGUARD INDEX FUNDSVTI232,17512,43551,143,509,0006,294,575,000$220,280.00
03/31/2023VANGUARD INDEX FUNDSVTI219,740-39,53844,848,934,000-4,722,427,000$204,100.00
12/31/2022VANGUARD INDEX FUNDSVTI259,27865,76449,571,361,00049,536,631,000$191,190.00
09/30/2022VANGUARD INDEX FUNDSVTI193,514-6,08634,730,000-2,919,000$179.47
06/30/2022VANGUARD INDEX FUNDSVTI199,60016,76137,649,000-3,978,000$188.62
03/31/2022VANGUARD INDEX FUNDSVTI182,83919,03941,627,0002,079,000$227.67
12/31/2021VANGUARD INDEX FUNDSVTI163,8002,74939,548,0003,785,000$241.44
09/30/2021VANGUARD INDEX FUNDSVTI161,05117,85935,763,0006,167,000$222.06
03/31/2021VANGUARD INDEX FUNDSVTI143,1921,24029,596,0001,966,000$206.69
12/31/2020VANGUARD INDEX FUNDSVTI141,9525,74227,630,0004,432,000$194.64
09/30/2020VANGUARD INDEX FUNDSVTI136,2101,58423,198,0002,125,000$170.31
06/30/2020VANGUARD INDEX FUNDSVTI134,626-1,10421,073,0003,576,000$156.53
03/31/2020VANGUARD INDEX FUNDSVTI135,730-32,78817,497,000-10,076,000$128.91
12/31/2019VANGUARD INDEX FUNDSVTI168,518168,51827,573,00027,573,000$163.62
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