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DELTA ASSET MANAGEMENT LLC > LIT

DateNameTickerSharesChangeValueChangePrice
06/30/2023Global X FundsLIT300-1019,506,000-195,000$65,020.00
03/31/2023Global X FundsLIT31031019,701,00019,701,000$63,551.61
03/31/2022Global X FundsLIT0-4250-36,000 
12/31/2021Global X FundsLIT425036,0001,000$84.71
09/30/2021Global X FundsLIT425035,0004,000$82.35
06/30/2021Global X FundsLIT425031,0005,000$72.94
12/31/2020Global X FundsLIT425-5026,0007,000$61.18
09/30/2020Global X FundsLIT475-10019,0001,000$40.00
06/30/2020Global X FundsLIT575018,0006,000$31.30
03/31/2020Global X FundsLIT575-5312,000-5,000$20.87
12/31/2019Global X FundsLIT628017,0002,000$27.07
09/30/2019Global X FundsLIT628015,000-1,000$23.89
06/30/2019Global X FundsLIT628016,000-2,000$25.48
03/31/2019Global X FundsLIT628018,0001,000$28.66
12/31/2018Global X FundsLIT62862817,00017,000$27.07
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