VANGUARD SHORT-TERM BOND - BOND FUNDS

Historical Portfolio Holders from Q1 2014 to Q3 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / BOND FUNDS
Shares, excl. options Q2 2024
122K
Holdings value Q2 2024
$1.23M
Value change Q2 2024
+$780K
Grand Portfolio weight change Q2 2024
+0%
Number of holders
5
Number of buys Q2 2024
0
Number of sells Q2 2024
-1
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 Q3 0 $0 -$235 0
2024 Q2 122K $1.23M +$780K $10.04 5
2024 Q1 39K $392K -$150K $10.04 3
2023 Q4 59.4K $600K -$112K $10.10 5
2023 Q3 65.1K $641K -$751K $9.84 3
2023 Q2 141K $1.4M -$194K $9.89 5
2023 Q1 161K $1.61M -$152K $10.01 4
2022 Q4 176K $1.74M +$768K $9.87 5
2022 Q3 97K $951K +$69.2K $9.81 3
2022 Q2 89.9K $905K -$3.99K $10.06 2
2022 Q1 90.3K $922K -$13.7M $10.21 2
2021 Q4 1.38M $14.7M +$1M $10.61 4
2021 Q3 1.29M $13.8M +$268K $10.74 4
2021 Q2 1.26M $13.6M +$606K $10.77 4
2021 Q1 1.21M $13M +$1.1M $10.77 5
2020 Q4 1.1M $12M +$818K $10.87 5
2020 Q3 1.02M $11.1M +$98.3K $10.88 3
2020 Q2 1.01M $11M +$158K $10.89 3
2020 Q1 998K $10.7M +$524K $10.76 3
2019 Q4 949K $10M +$429K $10.57 3
2019 Q3 126K $1.33M +$15.7K $10.60 2
2019 Q2 907K $9.57M -$1.83M $10.55 2
2019 Q1 1.08M $11.3M -$4.95M $10.42 3
2018 Q4 1.56M $16.1M -$3.31M $10.31 3
2018 Q3 1.88M $19.2M +$2.97M $10.22 4
2018 Q2 656K $6.73M -$2.72M $10.25 2
2018 Q1 1.85M $19.1M -$2.74M $10.28 4
2017 Q4 2.12M $22M -$7.63M $10.38 5
2017 Q3 2.85M $29.8M +$7.42M $10.46 6
2017 Q2 2.14M $22.4M +$4.63M $10.46 5
2017 Q1 1.7M $17.8M +$4.61M $10.44 4
2016 Q4 1.26M $13.1M +$5.23M $10.43 4
2016 Q3 759K $8.04M +$1.4M $10.59 4
2016 Q2 627K $6.66M +$1.14M $10.62 5
2016 Q1 520K $5.49M +$390K $10.57 4
2015 Q4 483K $5.04M +$3.26M $10.44 4
2015 Q3 170K $1.8M +$162K $10.54 2
2015 Q2 155K $1.63M -$4.34M $10.52 2
2015 Q1 566K $5.97M +$4.09M $10.55 4
2014 Q4 179K $1.87M +$5.17K $10.50 3
2014 Q3 178K $1.87M +$1.19M $10.49 3
2014 Q2 64.9K $684K +$506K $10.55 3
2014 Q1 16.9K $177K -$42.3K $10.50 1