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Clearview Wealth Advisors LLC > LIT

DateNameTickerSharesChangeValueChangePrice
06/30/2023Global X FundsLIT0-420-2,464,000 
12/31/2022Global X FundsLIT4202,464,0002,461,000$58,666.67
09/30/2022Global X FundsLIT4203,0000$71.43
06/30/2022Global X FundsLIT4203,0000$71.43
03/31/2022Global X FundsLIT4213,000-1,000$71.43
12/31/2021Global X FundsLIT41-14,0001,000$97.56
09/30/2021Global X FundsLIT4213,0000$71.43
06/30/2021Global X FundsLIT4113,0001,000$73.17
03/31/2021Global X FundsLIT4002,000-1,000$50.00
12/31/2020Global X FundsLIT40403,0003,000$75.00
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