Vanguard Total Bond Market Index Fund - COM

Historical Holders from Q2 2014 to Q3 2025

Type / Class
Equity / COM
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
2,081,545
Holdings value
$20,872,319
% of all portfolios
0%
Number of holders
6
Number of buys
5
Number of sells
-2
Average buys %
+0%
Average sells %
-0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of Vanguard Total Bond Market Index Fund - COM

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q3 2,081,545 $20,872,319 +$895,822 $9.77 6
2025 Q2 1,982,282 $19,751,870 +$492,998 $9.68 5
2025 Q1 1,929,443 $19,435,525 -$17,628,813 $9.65 5
2024 Q4 3,798,449 $36,443,768 -$549,745 $9.48 7
2024 Q3 3,856,656 $38,517,121 +$472,840 $9.87 5
2024 Q2 3,855,886 $36,556,212 +$34,643,168 $9.48 4
2024 Q1 193,960 $1,852,344 -$433,834 $9.55 4
2023 Q4 246,792 $2,396,364 -$630,453 $9.71 6
2023 Q3 312,498 $2,868,728 -$1,469,007 $9.18 4
2023 Q2 464,978 $4,440,397 +$1,310,843 $9.55 6
2023 Q1 327,705 $3,181,984 +$14,466 $9.71 5
2022 Q4 326,212 $3,091,494 +$1,322,464 $9.48 3
2022 Q3 186,851 $1,754,000 -$1,422,373 $9.36 2
2022 Q2 329,978 $3,270,000 -$564,176 $9.91 2
2022 Q1 386,894 $4,047,000 -$2,120,269 $10.46 2
2021 Q4 587,244 $6,571,000 +$612,094 $11.19 3
2021 Q3 532,483 $6,001,000 -$45,627 $11.27 4
2021 Q2 536,439 $6,068,000 +$331,663 $11.31 4
2021 Q1 507,127 $5,649,000 +$412,149 $11.13 2
2020 Q4 470,130 $5,463,000 -$51,449 $11.63 2
2020 Q3 440,779 $5,121,000 -$162,688 $11.62 1
2020 Q2 454,790 $5,280,031 +$367,747 $11.61 2
2020 Q1 423,161 $4,798,678 +$111,837 $11.34 2
2019 Q4 413,362 $4,568,000 -$158,007 $11.1 2
2019 Q3 427,621 $4,755,000 +$65,643 $11.12 2
2019 Q2 438,001 $4,788,000 -$260,673 $10.92 2
2019 Q1 462,704 $4,942,000 +$219,170 $10.68 3
2018 Q4 440,802 $4,607,000 -$209,380 $10.46 2
2018 Q3 461,094 $4,775,000 -$781,682 $10.28 2
2018 Q2 535,845 $5,589,000 -$2,385,107 $10.43 3
2018 Q1 762,539 $8,022,000 -$21,731,365 $10.52 3
2017 Q4 2,783,155 $29,918,000 -$2,327,305 $10.75 5
2017 Q3 2,999,623 $32,336,000 -$217,383 $10.78 4
2017 Q2 3,019,845 $32,545,000 +$23,378,333 $10.77 5
2017 Q1 852,091 $9,100,222 +$1,778,719 $10.68 4
2016 Q4 685,531 $7,301,193 -$1,282,490 $10.65 4
2016 Q3 800,744 $8,863,595 +$869,736 $11.07 5
2016 Q2 722,171 $8,009,614 +$2,049,539 $11.09 5
2016 Q1 537,446 $5,858,433 +$1,426,412 $10.9 6
2015 Q4 406,578 $4,325,183 +$1,513,768 $10.64 5
2015 Q3 264,147 $2,848,317 +$45,427 $10.78 6
2015 Q2 259,976 $2,793,000 -$18,454,922 $10.72 4
2015 Q1 1,940,277 $21,303,000 -$9,229,794 $10.98 6
2014 Q4 2,788,677 $30,312,347 +$22,852,057 $10.87 6
2014 Q3 686,306 $7,398,000 +$326,462 $10.78 2
2014 Q2 656,034 $7,105,000 +$7,105,000 $10.83 2