DELAWARE INV MN MUN INC FD I - COM (VMM) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q1 2022

Type / Class
Equity / COM
Symbol
VMM
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of DELAWARE INV MN MUN INC FD I - COM (VMM) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2022 Q1 0 $0 -$52,652,293 0
2021 Q4 3,743,937 $52,855,293 +$4,862,233 $14.11 38
2021 Q3 3,322,574 $47,113,799 +$1,166,691 $14.18 36
2021 Q2 3,240,209 $45,799,027 -$85,195 $14.14 36
2021 Q1 3,248,082 $42,838,095 +$682,399 $13.19 35
2020 Q4 3,180,391 $41,729,766 +$425,684 $13.12 37
2020 Q3 3,040,936 $39,531,227 +$3,187,964 $13.00 32
2020 Q2 2,796,247 $35,373,085 -$1,222,086 $12.65 33
2020 Q1 2,893,470 $35,790,843 +$2,602,786 $12.37 33
2019 Q4 2,676,207 $35,163,723 +$1,486,880 $13.14 34
2019 Q3 2,447,544 $32,072,000 -$930,246 $13.10 29
2019 Q2 2,518,980 $32,392,000 -$1,139,357 $12.86 30
2019 Q1 2,608,765 $32,962,000 +$544,396 $12.63 33
2018 Q4 2,552,189 $29,847,000 +$4,781,934 $11.86 32
2018 Q3 2,147,272 $25,540,735 +$504,340 $11.90 29
2018 Q2 2,104,276 $26,043,047 +$2,146,806 $12.38 28
2018 Q1 1,930,769 $24,376,049 +$694,146 $12.63 28
2017 Q4 1,872,220 $25,216,981 +$3,118,098 $13.47 25
2017 Q3 1,620,522 $23,106,775 +$720,512 $14.25 23
2017 Q2 1,569,746 $23,019,718 -$755,688 $14.66 23
2017 Q1 1,619,954 $23,623,000 +$2,118,115 $14.55 22
2016 Q4 1,474,388 $19,994,000 +$1,875,824 $13.56 21
2016 Q3 1,295,900 $19,336,000 -$509,915 $14.97 17
2016 Q2 1,329,412 $20,338,000 +$5,686,174 $15.30 19
2016 Q1 959,853 $14,120,000 +$1,551,822 $14.69 22
2015 Q4 885,551 $11,840,000 +$1,427,095 $13.33 20
2015 Q3 763,844 $10,044,000 +$936,633 $13.14 18
2015 Q2 679,115 $8,926,000 -$914,422 $13.14 15
2015 Q1 747,763 $10,353,000 +$259,763 $13.85 16
2014 Q4 771,802 $10,321,339 -$494,461 $13.37 20
2014 Q3 768,922 $10,387,000 +$926,564 $13.50 20
2014 Q2 699,494 $9,897,000 -$967,216 $14.15 19
2014 Q1 773,806 $10,299,000 -$739,235 $13.34 20