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DIMENSIONAL FUND ADVISORS LP > CNSL

DateNameTickerSharesChangeValueChangePrice
06/30/2023Consolidated Communications Holdings, Inc.CNSL3,836,944-267,19814,695,591,0004,108,195,000$3,830.02
03/31/2023Consolidated Communications Holdings, Inc.CNSL4,104,142-218,19910,587,396,00010,571,922,000$2,579.69
12/31/2022Consolidated Communications Holdings, Inc.CNSL4,322,341-194,05815,474,000-3,314,000$3.58
09/30/2022Consolidated Communications Holdings, Inc.CNSL4,516,399-86,51418,788,000-13,432,000$4.16
06/30/2022Consolidated Communications Holdings, Inc.CNSL4,602,9138,81532,220,0005,114,000$7.00
03/31/2022Consolidated Communications Holdings, Inc.CNSL4,594,098137,11027,106,000-6,233,000$5.90
12/31/2021Consolidated Communications Holdings, Inc.CNSL4,456,988-122,88833,339,000-8,751,000$7.48
09/30/2021Consolidated Communications Holdings, Inc.CNSL4,579,876-347,20742,090,000-1,218,000$9.19
06/30/2021Consolidated Communications Holdings, Inc.CNSL4,927,083-76,88643,308,00018,839,000$8.79
12/31/2020Consolidated Communications Holdings, Inc.CNSL5,003,969-192,52324,469,000-5,099,000$4.89
09/30/2020Consolidated Communications Holdings, Inc.CNSL5,196,492-186,10029,568,000-6,869,000$5.69
06/30/2020Consolidated Communications Holdings, Inc.CNSL5,382,59236,43436,437,00012,112,000$6.77
03/31/2020Consolidated Communications Holdings, Inc.CNSL5,346,158326,64424,325,0004,849,000$4.55
12/31/2019Consolidated Communications Holdings, Inc.CNSL5,019,514147,22919,476,000-3,716,000$3.88
09/30/2019Consolidated Communications Holdings, Inc.CNSL4,872,28574,78723,192,000-460,000$4.76
06/30/2019Consolidated Communications Holdings, Inc.CNSL4,797,498183,90923,652,000-26,682,000$4.93
03/31/2019Consolidated Communications Holdings, Inc.CNSL4,613,589293,47650,334,0007,651,000$10.91
12/31/2018Consolidated Communications Holdings, Inc.CNSL4,320,113209,04942,683,000-10,925,000$9.88
09/30/2018Consolidated Communications Holdings, Inc.CNSL4,111,064314,70153,608,0006,685,000$13.04
06/30/2018Consolidated Communications Holdings, Inc.CNSL3,796,363527,72346,923,00011,099,000$12.36
03/31/2018Consolidated Communications Holdings, Inc.CNSL3,268,640238,40335,824,000-1,115,000$10.96
12/31/2017Consolidated Communications Holdings, Inc.CNSL3,030,237386,90636,939,000-13,497,000$12.19
09/30/2017Consolidated Communications Holdings, Inc.CNSL2,643,331721,76350,436,0009,180,000$19.08
06/30/2017Consolidated Communications Holdings, Inc.CNSL1,921,568-19,52241,256,000-4,205,000$21.47
03/31/2017Consolidated Communications Holdings, Inc.CNSL1,941,09032,58445,461,000-5,783,000$23.42
12/31/2016Consolidated Communications Holdings, Inc.CNSL1,908,506-189,34451,244,000-1,707,000$26.85
09/30/2016Consolidated Communications Holdings, Inc.CNSL2,097,85013,02752,951,000-3,839,000$25.24
06/30/2016Consolidated Communications Holdings, Inc.CNSL2,084,82390,15756,790,0005,408,000$27.24
03/31/2016Consolidated Communications Holdings, Inc.CNSL1,994,6661,224,96851,382,00039,129,000$25.76
12/31/2015Consolidated Communications Holdings, Inc.CNSL1,792,935348,11537,563,000-2,647,000$20.95
09/30/2015Consolidated Communications Holdings, Inc.CNSL1,687,748242,92832,523,000-7,687,000$19.27
06/30/2015Consolidated Communications Holdings, Inc.CNSL1,597,857153,03733,571,000-6,639,000$21.01
03/31/2015Consolidated Communications Holdings, Inc.CNSL1,550,569105,74931,633,000-8,577,000$20.40
12/31/2014Consolidated Communications Holdings, Inc.CNSL1,444,820675,12240,210,00027,957,000$27.83
09/30/2014Consolidated Communications Holdings, Inc.CNSL1,074,35692,11426,913,0005,068,000$25.05
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