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McGowan Group Asset Management, Inc. > MLPA

DateNameTickerSharesChangeValueChangePrice
03/31/2023Global X FundsMLPA451,093-6,78618,765,461,00018,747,402,000$41,599.98
09/30/2022Global X FundsMLPA457,8797,18318,059,0001,442,000$39.44
06/30/2022Global X FundsMLPA450,69644816,617,000-1,528,000$36.87
03/31/2022Global X FundsMLPA450,24811,53718,145,0002,799,000$40.30
12/31/2021Global X FundsMLPA438,711-5,05615,346,000-306,000$34.98
09/30/2021Global X FundsMLPA443,76714,93315,652,0001,466,000$35.27
03/31/2021Global X FundsMLPA428,834-3,55014,186,0002,330,000$33.08
12/31/2020Global X FundsMLPA432,384432,38411,856,00011,856,000$27.42
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