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VANGUARD GROUP INC > Accolade, Inc.

DateNameTickerSharesChangeValueChangePrice
06/30/2023Accolade, Inc. 5,126,394710,71569,052,526,00069,002,099,000$13,470.00
09/30/2022Accolade, Inc. 4,415,679328,43350,427,00020,182,000$11.42
06/30/2022Accolade, Inc. 4,087,246-920,48730,245,000-57,691,000$7.40
03/31/2022Accolade, Inc. 5,007,733-32,41787,936,000-44,922,000$17.56
12/31/2021Accolade, Inc. 5,040,150123,251132,858,000-74,487,000$26.36
09/30/2021Accolade, Inc. 4,916,8991,000,057207,345,000-5,378,000$42.17
06/30/2021Accolade, Inc. 3,916,8422,452,249212,723,000149,013,000$54.31
12/31/2020Accolade, Inc. 1,464,593385,28263,710,00021,758,000$43.50
09/30/2020Accolade, Inc. 1,079,3111,079,31141,952,00041,952,000$38.87
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