VANGUARD TOTAL BOND MARKET INDEX FUND ADMIRAL SHARES - SHS

Historical Portfolio Holders from Q2 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / SHS
Shares, excl. options Q2 2024
3.86M
Holdings value Q2 2024
$36.6M
Value change Q2 2024
+$34.6M
Grand Portfolio weight change Q2 2024
+0%
Number of holders
4
Number of buys Q2 2024
2
Number of sells Q2 2024
-4
Average buys Q2 2024 %
+0%
Average sells Q2 2024 %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q2 3.86M $36.6M +$34.6M $9.48 4
2024 Q1 194K $1.85M -$434K $9.55 4
2023 Q4 247K $2.4M -$630K $9.71 6
2023 Q3 312K $2.87M -$1.47M $9.18 4
2023 Q2 465K $4.44M +$1.31M $9.55 6
2023 Q1 328K $3.18M +$14.5K $9.71 5
2022 Q4 326K $3.09M +$1.32M $9.48 3
2022 Q3 187K $1.75M -$1.42M $9.36 2
2022 Q2 330K $3.27M -$564K $9.91 2
2022 Q1 387K $4.05M -$2.12M $10.46 2
2021 Q4 587K $6.57M +$612K $11.19 3
2021 Q3 532K $6M -$45.6K $11.27 4
2021 Q2 536K $6.07M +$332K $11.31 4
2021 Q1 507K $5.65M +$412K $11.13 2
2020 Q4 470K $5.46M -$51.4K $11.63 2
2020 Q3 441K $5.12M -$163K $11.62 1
2020 Q2 455K $5.28M +$368K $11.61 2
2020 Q1 423K $4.8M +$112K $11.34 2
2019 Q4 413K $4.57M -$158K $11.10 2
2019 Q3 428K $4.76M +$65.6K $11.12 2
2019 Q2 438K $4.79M -$261K $10.92 2
2019 Q1 463K $4.94M +$219K $10.68 3
2018 Q4 441K $4.61M -$209K $10.46 2
2018 Q3 461K $4.78M -$782K $10.28 2
2018 Q2 536K $5.59M -$2.39M $10.43 3
2018 Q1 763K $8.02M -$21.7M $10.52 3
2017 Q4 2.78M $29.9M -$2.33M $10.75 5
2017 Q3 3M $32.3M -$217K $10.78 4
2017 Q2 3.02M $32.5M +$23.4M $10.77 5
2017 Q1 852K $9.1M +$1.78M $10.68 4
2016 Q4 686K $7.3M -$1.28M $10.65 4
2016 Q3 801K $8.86M +$870K $11.07 5
2016 Q2 722K $8.01M +$2.05M $11.09 5
2016 Q1 537K $5.86M +$1.43M $10.90 6
2015 Q4 407K $4.33M +$1.51M $10.64 5
2015 Q3 264K $2.85M +$45.4K $10.78 6
2015 Q2 260K $2.79M -$18.5M $10.72 4
2015 Q1 1.94M $21.3M -$9.23M $10.98 6
2014 Q4 2.79M $30.3M +$22.9M $10.87 6
2014 Q3 686K $7.4M +$326K $10.78 2
2014 Q2 656K $7.11M +$7.11M $10.83 2