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MORGAN STANLEY > Accolade, Inc.

DateNameTickerSharesChangeValueChangePrice
06/30/2023Accolade, Inc. 603,29271,5108,126,343,0003,983,761,000$13,470.00
12/31/2022Accolade, Inc. 531,782-149,0484,142,582,0004,134,808,000$7,790.00
09/30/2022Accolade, Inc. 680,8303,5007,774,0002,762,000$11.42
06/30/2022Accolade, Inc. 677,330111,1715,012,000-4,929,000$7.40
03/31/2022Accolade, Inc. 566,15958,3019,941,000-3,446,000$17.56
12/31/2021Accolade, Inc. 507,858-14,45113,387,000-8,639,000$26.36
09/30/2021Accolade, Inc. 522,309-91,25522,026,000-11,297,000$42.17
06/30/2021Accolade, Inc. 613,564292,31733,323,00018,747,000$54.31
03/31/2021Accolade, Inc. 321,247232,97114,576,00010,736,000$45.37
12/31/2020Accolade, Inc. 88,276-71,4403,840,000-2,368,000$43.50
09/30/2020Accolade, Inc. 159,716159,7166,208,0006,208,000$38.87
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