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HEALTHCARE OF ONTARIO PENSION PLAN TRUST FUND > Equitable Holdings, Inc.

DateNameTickerSharesChangeValueChangePrice
06/30/2023Equitable Holdings, Inc. 3,694-51,277100,329,00098,881,000$27,159.99
09/30/2022Equitable Holdings, Inc. 54,971-406,6301,448,000-10,586,000$26.34
06/30/2022Equitable Holdings, Inc. 461,60153,83912,034,000-570,000$26.07
03/31/2022Equitable Holdings, Inc. 407,76222,86712,604,000-17,000$30.91
12/31/2021Equitable Holdings, Inc. 384,895-80,03912,621,000-1,160,000$32.79
09/30/2021Equitable Holdings, Inc. 464,934-375,13813,781,000-11,799,000$29.64
06/30/2021Equitable Holdings, Inc. 840,072524,39125,580,00015,282,000$30.45
03/31/2021Equitable Holdings, Inc. 315,681-203,96010,298,000-3,000,000$32.62
12/31/2020Equitable Holdings, Inc. 519,641519,64113,298,00013,298,000$25.59
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