VANGUARD US GROWTH ADMIRAL - EQUITY FUNDS

Historical Holders from Q2 2015 to Q3 2025

Type / Class
Equity / EQUITY FUNDS
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
6,364
Holdings value
$1,366,952
% of all portfolios
0%
Number of holders
5
Number of buys
1
Number of sells
-4
Average buys %
+0%
Average sells %
-0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of VANGUARD US GROWTH ADMIRAL - EQUITY FUNDS

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q3 6,364 $1,366,952 -$1,173,183 $214.78 5
2025 Q2 12,224 $2,453,321 +$624,748 $200.69 7
2025 Q1 9,112 $1,514,134 -$242,381 $166.16 5
2024 Q4 10,735 $1,991,871 +$31,417 $185.05 7
2024 Q3 10,565 $1,921,340 -$112,793 $181.86 5
2024 Q2 11,369 $1,985,936 +$101,730 $174.69 5
2024 Q1 9,973 $1,641,713 -$146,685 $164.61 4
2023 Q4 12,507 $1,834,491 -$1,295,396 $146.68 6
2023 Q3 22,267 $2,840,051 +$2,763,051 $127.54 4
2023 Q2 582 $77,000 -$919,881 $132.3 1
2023 Q1 8,421 $987,881 -$367,140 $117.34 4
2022 Q4 12,187 $1,234,781 +$498,758 $101.32 5
2022 Q3 7,265 $743,427 -$44,790 $102.26 3
2022 Q2 7,703 $801,827 +$96,000 $104.1 3
2022 Q1 6,227 $890,413 -$204,000 $143.04 3
2021 Q4 7,436 $1,252,474 +$116,190 $168.4 4
2021 Q3 6,746 $1,258,901 -$1,117 $186.55 4
2021 Q2 8,017 $1,521,576 -$188,566 $189.41 5
2021 Q1 9,013 $1,512,529 +$220,000 $167.91 5
2020 Q4 7,704 $1,310,021 +$449,385 $170.01 4
2020 Q3 4,128 $635,912 -$228,000 $154.05 1
2020 Q2 5,840 $777,390 +$155,000 $133.13 2
2020 Q1 4,868 $477,788 $98.35 2
2019 Q4 4,868 $541,896 +$21,706 $111.11 2
2019 Q3 4,673 $505,306 $107.11 2
2019 Q2 4,673 $499,093 +$174,113 $106.9 2
2019 Q1 3,044 $307,462 $101.01 1
2018 Q4 3,044 $264,547 +$23,291 $86.91 1
2018 Q3 2,776 $312,328 $112.51 1
2018 Q2 2,776 $290,842 $104.77 1
2018 Q1 2,776 $274,047 $98.72 1
2017 Q4 2,776 $262,610 +$262,610 $94.6 1
2015 Q3 0 $0 -$201,000 0
2015 Q2 2,444 $201,000 +$201,000 $82.24 1