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TCTC Holdings, LLC > CB

DateNameTickerSharesChangeValueChangePrice
06/30/2023Chubb LtdCB245,8272,24747,336,448,00038,083,000$192,560.00
03/31/2023Chubb LtdCB243,5801,55047,298,365,000-6,093,453,000$194,180.00
12/31/2022Chubb LtdCB242,030-3553,391,818,00053,347,791,000$220,600.00
09/30/2022Chubb LtdCB242,06514444,027,000-3,530,000$181.88
06/30/2022Chubb LtdCB241,921-3,77747,557,000-4,997,000$196.58
03/31/2022Chubb LtdCB245,698-2,42652,554,0004,589,000$213.90
12/31/2021Chubb LtdCB248,124-247,965,0004,920,000$193.31
09/30/2021Chubb LtdCB248,126-1,37143,045,0003,632,000$173.48
03/31/2021Chubb LtdCB249,4973,05739,413,0001,481,000$157.97
12/31/2020Chubb LtdCB246,440-21537,932,0009,291,000$153.92
09/30/2020Chubb LtdCB246,655-3,30028,641,000-3,008,000$116.12
06/30/2020Chubb LtdCB249,95515,61931,649,0005,476,000$126.62
03/31/2020Chubb LtdCB234,3369,83426,173,000-8,773,000$111.69
12/31/2019Chubb LtdCB224,502034,946,000-1,298,000$155.66
09/30/2019Chubb LtdCB224,502-42036,244,0003,115,000$161.44
06/30/2019Chubb LtdCB224,922-1,65433,129,0001,390,000$147.29
03/31/2019Chubb LtdCB226,576-9031,739,0002,458,000$140.08
12/31/2018Chubb LtdCB226,6666029,281,000-1,002,000$129.18
09/30/2018Chubb LtdCB226,606030,283,0001,499,000$133.64
06/30/2018Chubb LtdCB226,60636028,784,000-2,159,000$127.02
03/31/2018Chubb LtdCB226,24640030,943,000-2,060,000$136.77
12/31/2017Chubb LtdCB225,846033,003,000809,000$146.13
09/30/2017Chubb LtdCB225,846032,194,000-639,000$142.55
06/30/2017Chubb LtdCB225,846032,833,0002,061,000$145.38
03/31/2017Chubb LtdCB225,8461,02330,772,0001,069,000$136.25
12/31/2016Chubb LtdCB224,823-1,20329,703,0001,303,000$132.12
09/30/2016Chubb LtdCB226,026-54628,400,000-1,215,000$125.65
06/30/2016Chubb LtdCB226,572226,57229,615,00029,615,000$130.71
03/31/2016Chubb LtdCB227,437227,43727,099,00027,099,000$119.15
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