Vanguard Scottsdale Fds - INT-TERM CORP (VCIT)

Historical Portfolio Holders from 2014 to 2024

All holders as of
Q1 2024
Type / Class
Equity / INT-TERM CORP
Shares, Excl. Options Q1 2024
$447M
Holdings value Q1 2024
$36B
Value change Q1 2024
+$1.78B
Grand Portfolio weight change Q1 2024
+0.004%
Number of holders
1073
Number of Buys Q1 2024
561
Number of Sells Q1 2024
-389
Average Buys Q1 2024 %
+0.02%
Average Sells Q1 2024 %
-0.019%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Filings
Period Shares, Excl. Options Value, Excl. Options Change Price Filings
2024 Q1 447M $36B +$1.78B $80.51 993
2023 Q4 425M $34.5B +$2.65B $81.28 1,009
2023 Q3 401M $30.5B +$827M $75.98 905
2023 Q2 420M $31.3B +$733M $79.03 914
2023 Q1 386M $31B -$1.32B $80.22 889
2022 Q4 410M $33.1B +$2.1B $77.51 876
2022 Q3 376M $28.5B +$329M $75.68 830
2022 Q2 375M $30B -$1.88B $80.02 845
2022 Q1 399M $34.2B -$274M $86.04 881
2021 Q4 406M $37.6B +$1.33B $92.76 911
2021 Q3 393M $37.1B +$511M $94.41 841
2021 Q2 402M $38.1B +$2.07B $95.07 826
2021 Q1 384M $35.6B +$2.94B $93.03 807
2020 Q4 354M $34.3B +$2.93B $97.14 820
2020 Q3 310M $29.6B +$3.45B $95.80 702
2020 Q2 276M $26.2B +$6.06B $95.14 680
2020 Q1 222M $19.2B +$1.65B $87.09 613
2019 Q4 203M $18.4B +$538M $91.33 643
2019 Q3 198M $18B +$1.12B $91.24 541
2019 Q2 189M $16.9B -$83.7M $89.85 546
2019 Q1 191M $16.5B +$2.97B $86.87 538
2018 Q4 156M $12.9B -$1.16B $82.86 500
2018 Q3 170M $13.5B +$585M $83.53 482
2018 Q2 164M $12.9B +$1.13B $83.52 472
2018 Q1 150M $12.7B +$818M $84.84 477
2017 Q4 143M $12.5B +$992M $87.39 473
2017 Q3 131M $11.6B +$3.25B $88.01 430
2017 Q2 94.8M $8.29B +$575M $87.53 405
2017 Q1 89.2M $7.71B +$1.15B $86.38 384
2016 Q4 75.7M $6.47B +$29M $85.70 367
2016 Q3 75.2M $6.73B +$662M $89.58 334
2016 Q2 69.7M $6.23B +$769M $89.41 323
2016 Q1 61.4M $5.33B +$1.03B $86.93 294
2015 Q4 49.9M $4.2B +$901M $84.09 286
2015 Q3 39.3M $3.35B +$288M $85.43 239
2015 Q2 36.5M $3.12B +$318M $85.30 226
2015 Q1 34M $2.98B -$106M $87.70 228
2014 Q4 35.4M $3.05B +$682M $86.10 209
2014 Q3 27.3M $2.34B +$211M $85.77 186
2014 Q2 24.9M $2.15B +$158M $86.56 173
2014 Q1 23.6M $2.01B +$143M $84.98 162