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Advisors Asset Management, Inc. > VFC

DateNameTickerSharesChangeValueChangePrice
06/30/2023V F CORPVFC190,145114,9083,629,868,0001,906,188,000$19,090.00
03/31/2023V F CORPVFC75,23767,7661,723,680,0001,723,457,000$22,910.00
09/30/2022V F CORPVFC7,4712,411223,000-1,000$29.85
06/30/2022V F CORPVFC5,0605,060224,000224,000$44.27
12/31/2021V F CORPVFC0-5,6230-377,000 
09/30/2021V F CORPVFC5,623-41,323377,000-3,474,000$67.05
06/30/2021V F CORPVFC46,946-29,8683,851,000-2,288,000$82.03
03/31/2021V F CORPVFC76,814-20,2016,139,000-2,147,000$79.92
12/31/2020V F CORPVFC97,015-19,1908,286,000123,000$85.41
09/30/2020V F CORPVFC116,2059,7988,163,0001,679,000$70.25
06/30/2020V F CORPVFC106,40713,2226,484,0001,445,000$60.94
03/31/2020V F CORPVFC93,18516,5145,039,000-2,602,000$54.08
12/31/2019V F CORPVFC76,6717,6077,641,0001,495,000$99.66
09/30/2019V F CORPVFC69,0641,2736,146,000224,000$88.99
06/30/2019V F CORPVFC67,791-11,7845,922,000-994,000$87.36
03/31/2019V F CORPVFC79,575-25,1546,916,000-555,000$86.91
12/31/2018V F CORPVFC104,729-39,1507,471,000-5,974,000$71.34
09/30/2018V F CORPVFC143,879-37,50713,445,000-1,342,000$93.45
06/30/2018V F CORPVFC181,386-67,34114,787,000-3,761,000$81.52
03/31/2018V F CORPVFC248,727-10,63218,548,000-645,000$74.57
12/31/2017V F CORPVFC259,359-14,57219,193,0001,779,000$74.00
09/30/2017V F CORPVFC273,931-33,46217,414,000-292,000$63.57
06/30/2017V F CORPVFC307,39323,64017,706,0002,108,000$57.60
03/31/2017V F CORPVFC283,75336,05315,598,0002,383,000$54.97
12/31/2016V F CORPVFC247,70023,33813,215,000640,000$53.35
09/30/2016V F CORPVFC224,362224,36212,575,00012,575,000$56.05
06/30/2016V F CORPVFC215,70723,44313,264,000813,000$61.49
03/31/2016V F CORPVFC192,264-14,14412,451,000-398,000$64.76
12/31/2015V F CORPVFC206,408-1,61412,849,000-1,340,000$62.25
09/30/2015V F CORPVFC208,022-6,48714,189,000-771,000$68.21
06/30/2015V F CORPVFC214,509-6,22314,960,000-1,663,000$69.74
03/31/2015V F CORPVFC220,732-3,20816,623,000-150,000$75.31
12/31/2014V F CORPVFC223,9409,39816,773,0002,607,000$74.90
09/30/2014V F CORPVFC214,542212,64214,166,00014,046,000$66.03
06/30/2014V F CORPVFC1,900-190,456120,000-11,783,000$63.16
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