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Private Advisor Group, LLC > FVD

DateNameTickerSharesChangeValueChangePrice
03/31/2023FIRST TR VALUE LINE DIVID INFVD1,620,7582,54565,089,591,00065,031,676,000$40,159.97
09/30/2022FIRST TR VALUE LINE DIVID INFVD1,618,213-225,54857,915,000-13,642,000$35.79
06/30/2022FIRST TR VALUE LINE DIVID INFVD1,843,761-97,02871,557,000-10,538,000$38.81
03/31/2022FIRST TR VALUE LINE DIVID INFVD1,940,789101,35882,095,0002,926,000$42.30
12/31/2021FIRST TR VALUE LINE DIVID INFVD1,839,431-319,06779,169,000-5,445,000$43.04
09/30/2021FIRST TR VALUE LINE DIVID INFVD2,158,498162,51184,614,0005,233,000$39.20
06/30/2021FIRST TR VALUE LINE DIVID INFVD1,995,987669,81379,381,00037,745,000$39.77
09/30/2020FIRST TR VALUE LINE DIVID INFVD1,326,174139,34941,636,0005,652,000$31.40
06/30/2020FIRST TR VALUE LINE DIVID INFVD1,186,825377,55035,984,00013,583,000$30.32
03/31/2020FIRST TR VALUE LINE DIVID INFVD809,275229,18222,401,0001,500,000$27.68
12/31/2019FIRST TR VALUE LINE DIVID INFVD580,093-99,11420,901,000-2,916,000$36.03
09/30/2019FIRST TR VALUE LINE DIVID INFVD679,207267,86123,817,0009,938,000$35.07
06/30/2019FIRST TR VALUE LINE DIVID INFVD411,346147,51313,879,0005,312,000$33.74
03/31/2019FIRST TR VALUE LINE DIVID INFVD263,83361,9848,567,0002,697,000$32.47
12/31/2018FIRST TR VALUE LINE DIVID INFVD201,849-13,1475,870,000-932,000$29.08
09/30/2018FIRST TR VALUE LINE DIVID INFVD214,99691,3226,802,0003,061,000$31.64
06/30/2018FIRST TR VALUE LINE DIVID INFVD123,6748,6203,741,000302,000$30.25
03/31/2018FIRST TR VALUE LINE DIVID INFVD115,054-5,5953,439,000-313,000$29.89
12/31/2017FIRST TR VALUE LINE DIVID INFVD120,649-96,8003,752,000-2,743,000$31.10
09/30/2017FIRST TR VALUE LINE DIVID INFVD217,449-10,4206,495,000-116,000$29.87
06/30/2017FIRST TR VALUE LINE DIVID INFVD227,86926,5346,611,000790,000$29.01
03/31/2017FIRST TR VALUE LINE DIVID INFVD201,335201,3355,821,0005,821,000$28.91
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