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Advisory Resource Group > SMMD

DateNameTickerSharesChangeValueChangePrice
06/30/2023iSHARES TRUSTSMMD200,842-18,33511,542,390,000-472,893,000$57,470.00
03/31/2023iSHARES TRUSTSMMD219,17748,09312,015,283,0002,923,879,000$54,820.00
12/31/2022iSHARES TRUSTSMMD171,08415,5919,091,404,0009,083,668,000$53,140.00
09/30/2022iSHARES TRUSTSMMD155,4934,9167,736,000-37,000$49.75
06/30/2022iSHARES TRUSTSMMD150,5775,1747,773,000-1,297,000$51.62
03/31/2022iSHARES TRUSTSMMD145,40310,2289,070,000858,000$62.38
12/31/2021iSHARES TRUSTSMMD135,17526,8438,212,0001,257,000$60.75
09/30/2021iSHARES TRUSTSMMD108,332-23,2476,955,000-1,759,000$64.20
06/30/2021iSHARES TRUSTSMMD131,5791,4068,714,000527,000$66.23
03/31/2021iSHARES TRUSTSMMD130,17383,1018,187,0005,515,000$62.89
12/31/2020iSHARES TRUSTSMMD47,07229,3922,672,0001,880,000$56.76
09/30/2020iSHARES TRUSTSMMD17,6801,200792,00092,000$44.80
06/30/2020iSHARES TRUSTSMMD16,480-8,165700,000-128,000$42.48
03/31/2020iSHARES TRUSTSMMD24,645-163,649828,000-8,236,000$33.60
12/31/2019iSHARES TRUSTSMMD188,294183,4059,064,0008,846,000$48.14
09/30/2019iSHARES TRUSTSMMD4,8894,889218,000218,000$44.59
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