CIK: 0001833140

Mclean Asset Management Corp

Filing Date Previous Period Total Shares Share-Type Market Value Change
2023-04-11
60.00K
58.39K
Shares
9.63M
-1.61K
2021-04-28
34.98K
34.98K
Shares
1.40M
2
2022-10-12
33.29K
31.85K
Shares
979K
-1.44K
2021-04-28
23.13K
24.00K
Shares
2.15M
864
2021-04-28
10.89K
18.64K
Shares
1.53M
7.75K
2021-04-28
14.40K
14.67K
Shares
796K
262
2021-01-27
0
13.39K
Shares
2.98M
13.39K
2021-04-28
12.61K
12.61K
Shares
1.02M
0
2021-04-28
11.58K
11.69K
Shares
660K
111
2021-04-28
11.16K
11.16K
Shares
40K
0
2021-01-27
0
10.76K
Shares
696K
10.76K
2023-07-10
10.97K
10.40K
Shares
432.00K
-572
2021-04-28
10.44K
10.31K
Shares
396K
-126
2023-07-10
7.62K
7.63K
Shares
535.67K
4
2021-04-28
6.64K
6.71K
Shares
1.01M
66
2021-01-27
0
6.40K
Shares
397K
6.40K
2023-07-10
6.26K
6.26K
Shares
448.39K
0
2021-04-28
6.17K
6.19K
Shares
879K
19
2021-04-28
0
5.17K
Shares
291K
5.17K
2021-01-27
0
5.05K
Shares
251K
5.05K
2021-01-27
0
4.93K
Shares
893K
4.93K
2021-01-27
0
4.90K
Shares
219K
4.90K
2021-04-28
4.98K
4.34K
Shares
1.19M
-638
2021-04-28
4.26K
4.32K
Shares
440K
55
2021-01-27
0
4.00K
Shares
874K
4.00K
2021-04-28
3.78K
3.78K
Shares
292K
0
2023-07-10
3.52K
3.52K
Shares
211.66K
0
2021-01-27
0
3.26K
Shares
266K
3.26K
2021-04-28
3.33K
3.18K
Shares
222K
-147
2021-01-27
0
2.99K
Shares
248K
2.99K
2021-04-28
2.93K
2.97K
Shares
485K
45
2023-07-10
2.94K
2.85K
Shares
211.84K
-87
2021-04-28
2.77K
2.85K
Shares
347K
81
2021-04-28
2.85K
2.85K
Shares
913K
0
2021-01-27
0
2.80K
Shares
295K
2.80K
2023-07-10
2.91K
2.74K
Shares
369.76K
-167
2021-04-28
0
2.48K
Shares
204K
2.48K
2021-04-28
2.31K
2.31K
Shares
305K
0
2021-04-28
2.46K
2.30K
Shares
318K
-167
2021-04-28
2.25K
2.28K
Shares
514K
24
2021-01-27
0
2.27K
Shares
483K
2.27K
2021-01-27
0
2.25K
Shares
272K
2.25K
2021-01-27
0
2.22K
Shares
519K
2.22K
2021-01-27
0
2.21K
Shares
236K
2.21K
2023-07-10
2.19K
2.19K
Shares
393.32K
-6
2021-04-28
2.15K
2.15K
Shares
282K
0
2021-04-28
2.10K
2.13K
Shares
405K
28
2023-07-10
2.03K
2.03K
Shares
223.70K
-7
2021-01-27
0
2.03K
Shares
711K
2.03K
2023-07-10
1.96K
1.98K
Shares
409.74K
11
2023-07-10
1.80K
1.77K
Shares
277.98K
-29
2021-04-28
1.73K
1.74K
Shares
677K
15
2021-04-28
1.82K
1.73K
Shares
488K
-85
2021-04-28
0
1.60K
Shares
207K
1.60K
2021-04-28
1.54K
1.56K
Shares
588K
16
2021-04-28
1.49K
1.51K
Shares
355K
23
2023-07-10
1.47K
1.42K
Shares
321.47K
-50
2021-01-27
0
1.38K
Shares
214K
1.38K
2021-04-28
1.35K
1.38K
Shares
353K
25
2021-01-27
0
1.31K
Shares
229K
1.31K
2023-07-10
1.27K
1.27K
Shares
245.24K
1
2021-04-28
1.27K
1.27K
Shares
328K
0
2021-04-28
0
1.23K
Shares
245K
1.23K
2021-04-28
1.15K
1.14K
Shares
291K
-10
2021-04-28
0
1.13K
Shares
206K
1.13K
2021-04-28
1.09K
1.11K
Shares
270K
25
2021-01-27
0
1.06K
Shares
323K
1.06K
2023-07-10
1.00K
986
Shares
531.01K
-18
2021-04-28
949
970
Shares
257K
21
2021-04-28
976
956
Shares
354K
-20
2023-07-10
0
941
Shares
212.40K
941
2021-04-28
925
925
Shares
220K
0
2023-07-10
909
910
Shares
277.78K
1
2021-04-28
908
908
Shares
445K
0
2021-04-28
865
850
Shares
440K
-15
2021-04-28
768
845
Shares
257K
77
2021-04-28
0
742
Shares
245K
742
2021-04-28
702
719
Shares
235K
17
2021-04-28
709
709
Shares
316K
0
2021-04-28
709
709
Shares
316K
0
2021-04-28
679
679
Shares
457K
0
2023-07-10
660
660
Shares
274.87K
0
2021-01-27
0
657
Shares
287K
657
2021-04-28
0
635
Shares
200K
635
2021-01-27
0
612
Shares
222K
612
2021-04-28
513
517
Shares
1.77M
4
2021-04-28
540
516
Shares
215K
-24
2021-04-28
552
484
Shares
258K
-68
2021-01-27
0
453
Shares
214K
453
2021-04-28
328
338
Shares
779K
10
2021-01-27
0
332
Shares
582K
332
2021-04-28
303
311
Shares
203K
8
2023-07-10
79
79
Shares
213.33K
0
2021-04-28
1
1
Shares
411K
0
2023-07-10
1
1
Shares
517.81K
0
2021-04-28
414
0
Shares
0
-414